Publications Search Results

October 25, 2014

The search found 45 of 12873 documents sorted by Date with the following criteria:
Subject / Keyword: event

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1.

Title: Canada: Financial Sector Assessment Program-Crisis Management and Bank Resolution Framework-Technical Note
Series: Country Report No. 14/67
Published: March 7, 2014
Subject(s): Financial Sector Assessment Program | Financial safety nets | Banking sector | Bank resolution | Deposit insurance | Bank supervision | Crisis prevention | Canada

 

2.

Title: Austria: Publication of Financial Sector Assessment Program Documentation—Technical Note on Crisis Preparedness and Management Framework
Series: Country Report No. 14/15
Published: January 21, 2014
Subject(s): Financial Sector Assessment Program | Financial stability | Macroprudential Policy | Deposit insurance | Bank resolution | Bank supervision | Liquidity management | Financial safety nets | Crisis prevention | Risk management | Austria

 

3.

Title: France: Financial Sector Assessment Program—Technical Note on Crisis Management and Bank Resolution Framework
Series: Country Report No. 13/186
Published: July 1, 2013
Subject(s): Bank resolution | Central bank role | Bank supervision | Deposit insurance | Risk management | Crisis prevention | International cooperation | Financial Sector Assessment Program | France

 

4.

Title: Nigeria: Publication of Financial Sector Assessment Program Documentation––Technical Note on Crisis Management and Crisis Preparedness Frameworks
Series: Country Report No. 13/143
Published: May 28, 2013
Subject(s): Banking sector | Banking crisis | Bank supervision | Bank resolution | Deposit insurance | Risk management | Crisis prevention | Financial systems | Nigeria

 

5.

Title: Belgium: Technical Note on Crisis Management and Bank Resolution Framework
Series: Country Report No.13/135
Published: May 24, 2013
Subject(s): Bank resolution | Bank supervision | Banking sector | Deposit insurance | Risk management | Crisis prevention | Financial Sector Assessment Program | Belgium

 

6.

Title: Israel: Technical Note on Crisis Prevention and Management
Series: Country Report No. 12/304
Published: November 14, 2012
Subject(s): Financial Sector Assessment Program | Crisis prevention | Financial institutions | Liquidity | Emergency assistance | Intervention | Bank resolution | Macroprudential Policy | Risk management | Israel

 

7.

Title: Japan: Financial Sector Stability Assessment Update
Series: Country Report No. 12/210
Published: August 1, 2012
Subject(s): Bank supervision | Banks | Crisis prevention | Financial risk | Financial safety nets | Financial sector | Financial stability | Financial system stability assessment | Securities markets | Securities regulations | Spillovers | Stress testing | Japan

 

8.

Title: Czech Republic: Technical Note on Crisis Management and Bank Resolution Framework
Series: Country Report No. 12/173
Published: July 17, 2012
Subject(s): Bank resolution | Bank supervision | Banking sector | Crisis prevention | Financial Sector Assessment Program | Risk management | Czech Republic

 

9.

Title: Russian Federation: Technical Note on Crisis Management and Crisis Preparedness Frameworks
Series: Country Report No. 11/335
Published: November 29, 2011
Subject(s): Bank resolution | Bank supervision | Banking sector | Crisis prevention | Financial crisis | Fiscal risk | Risk management | Russian Federation

 

10.

Title: Unforeseen Events Wait Lurking: Estimating Policy Spillovers From U.S. To Foreign Asset Prices
Author/Editor: Bayoumi, Tamim ; Bui, Trung
Series: Working Paper No. 11/183
Published: August 1, 2011
Subject(s): Asset prices | Bank reforms | Banking sector | Central banks | Financial sector | Fiscal policy | Group of Twenty | Monetary policy | Spillovers | Switzerland | United States
Author's keyword(s): Event studies | policy announcements | interntational asset price transmission

 

11.

Title: Kingdom of the Netherlands-Netherlands: Publication of Financial Sector Assessment Program Documentation - Technical Note on Crisis Management and Bank Resolution Frameworks
Series: Country Report No. 11/207
Published: July 25, 2011
Subject(s): Bank resolution | Bank restructuring | Bank supervision | Banks | Crisis prevention | Financial Sector Assessment Program | Risk management | Netherlands

 

12.

Title: Luxembourg: Financial System Stability Assessment - Update
Series: Country Report No. 11/148
Published: June 28, 2011
Subject(s): Anti-money laundering | Bank supervision | Banks | Basel Core Principles | Combating the financing of terrorism | Crisis prevention | Financial safety nets | Financial sector | Insurance | Investment | Payment systems | Securities regulations | Financial system stability assessment | Luxembourg

 

13.

Title: What Drives House Prices in Australia? A Cross-Country Approach
Author/Editor: Tumbarello, Patrizia ; Wang, Shengzu
Series: Working Paper No. 10/291
Published: December 1, 2010
Subject(s): Australia | Capital inflows | Cross country analysis | Economic models | Housing prices | Terms of trade
Author's keyword(s): House prices | cointegration | VECM | event analysis | capital inflows | terms of trade

 

14.

Title: Cyprus: Financial Sector Assessment Program - Financial System Stability Assessment
Series: Country Report No. 09/308
Published: November 3, 2009
Subject(s): Bank supervision | Banking sector | Credit risk | Crisis prevention | Deposit insurance | Economic indicators | Financial crisis | Financial Sector Assessment Program | Financial system stability assessment | Insurance supervision | Risk management | Securities regulations | Cyprus

 

15.

Title: Sovereign Wealth Funds and Financial Stability-An Event Study Analysis
Author/Editor: Sun, Tao ; Hesse, Heiko
Series: Working Paper No. 09/239
Published: October 1, 2009
Subject(s): Asset management | Asset prices | Capital markets | Corporate governance | Developed countries | Domestic investment | Emerging markets | Financial institutions | Financial stability | Sovereign wealth funds
Author's keyword(s): Sovereign Wealth Funds | Financial Stability | Event Study | Governance

 

16.

Title: How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
Author/Editor: Aït-Sahalia, Yacine ; Andritzky, Jochen R. ; Jobst, Andreas ; Nowak, Sylwia Barbara ; Tamirisa, Natalia T.
Series: Working Paper No. 09/204
Published: September 1, 2009
Subject(s): Banks | Capital markets | Central banks | Data analysis | Databases | Financial crisis | Financial sector | Monetary policy | Spillovers | Statistics
Author's keyword(s): Crisis | policy | announcement | event | financial | liquidity | monetary | fiscal | bank

 

17.

Title: The impact of the regional cross-listing of stocks on firm value in sub-Saharan Africa
Author/Editor: Adelegan, Olatundun Janet
Series: Working Paper No. 09/99
Published: May 1, 2009
Subject(s): Capital markets | Sub-Saharan Africa | Stock markets | Stock prices | Nonbank financial sector | Corporate sector | Economic integration | Cross country analysis
Author's keyword(s): Regional cross-listing; stock markets; event study

 

18.

Title: World Economic Outlook, April 2009: Crisis and Recovery
Author/Editor: International Monetary Fund. Research Dept.
Series: World Economic Outlook
Published: April 22, 2009
Subject(s): Crisis prevention | Economic recovery | Economic recession | Economic growth | Emerging markets | Financial sector | Financial crisis | Globalization | Monetary policy | Fiscal policy
Author's keyword(s): economic growth | financial crisis | recovery | recession | financial crisis | WEO

 

19.

Title: The Perimeter of Financial Regulation
Author/Editor: Carvajal, Ana ; Dodd, Randall ; Moore, Michael ; Nier, Erlend ; Tower, Ian ; Zanforlin, L.
Series: Staff Position Note No. 2009/07
Published: March 26, 2009
Subject(s): Bank regulations | Bank supervision | Capital markets | Crisis prevention | Financial crisis | Financial institutions | Financial instruments | Financial risk | Financial systems | Nonbank financial sector | Risk management | Securities regulations

 

20.

Title: Five Years After: European Union Membership and Macro-Financial Stability in the New Member States
Author/Editor: Cihák, Martin ; Fonteyne, Wim
Series: Working Paper No. 09/68
Published: March 1, 2009
Subject(s): Financial stability | European Union | Eastern Europe | Economic integration | Economic growth | Exchange rates | Price stabilization | Payments imbalances | Financial crisis | Crisis prevention | Cross country analysis
Author's keyword(s): European Union | macroeconomic stability | financial stability

 

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