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Publications Search Results
The search found 5 of 11781 documents sorted by Date with the following criteria:
Subject / Keyword: macroeconomic shock
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1. |
Title:
Business Cycle Fluctuations, Large Shocks, and Development Aid: New Evidence
Author/Editor: Dabla-Norris, Era ; Minoiu, Camelia ; Zanna, Luis-Felipe
Series: Working Paper No. 10/240
Published: October 1, 2010
Subject(s): Aid flows | Bilateral aid | Business cycles | Developed countries | Developing countries | Development assistance | Economic growth | Economic models | External shocks | Fund | Terms of trade
Author's keyword(s):
foreign aid | bilateral donors | business cycle | macroeconomic shocks
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2. |
Title:
Why has Unemployment in Algeria been higher than in MENA and Transition Countries
Author/Editor: Kpodar, Kangni
Series: Working Paper No. 07/210
Published: August 1, 2007
Subject(s): Unemployment | Algeria | Labor markets | Taxation
Author's keyword(s):
Unemployment | Labor market institutions | Macroeconomic shocks
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3. |
Title:
Are Workers' Remittances a Hedge Against Macroeconomic Shocks? The Case of Sri Lanka
Author/Editor: Lueth, Erik ; Ruiz-Arranz, Marta
Series: Working Paper No. 07/22
Published: February 1, 2007
Subject(s): Workers remittances | Sri Lanka | Business cycles | Economic conditions | Economic models
Author's keyword(s):
Workers' remittances | cyclicality | macroeconomic shock | Vector Error Correction Model
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4. |
Title:
Portfolio Credit Risk and Macroeconomic Shocks: Applications to Stress Testing Under Data-Restricted Environments
Author/Editor: Segoviano Basurto, Miguel A.
Series: Working Paper No. 06/283
Published: December 1, 2006
Subject(s): Credit risk | Economic conditions | Statistics | Economic models
Author's keyword(s):
Portfolio credit risk measurement | stress testing | macroeconomic shock measurement | multivariate density estimation | entropy distribution
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5. |
Title:
Default, Credit Growth, and Asset Prices
Author/Editor: Segoviano Basurto, Miguel A. ; Goodhart, C. A. E. ; Hofmann, Boris
Series: Working Paper No. 06/223
Published: September 1, 2006
Subject(s): Credit risk | Bank credit | Bank soundness | Asset prices | Economic models
Author's keyword(s):
Probability of default | credit risk | systemic risk | macroeconomic shocks | stress testing | financial surveillance
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