Global Financial Stability Report, October 2007: Financial Market Turbulence Causes, Consequences, and Policies
October 15, 2007
Also available in中文
Summary
Subject: Balance of payments, Capital inflows, Credit, Econometric analysis, Emerging and frontier financial markets, Financial institutions, Financial markets, Hedge funds, Money, Vector autoregression
Keywords: Africa, Asia and Pacific, asset, Capital inflows, Caribbean, cash market need, commercial paper, Credit, Emerging and frontier financial markets, emerging market, Europe, GFSR, Global, Hedge funds, market, market dynamics, market infrastructure, market liquidity, market participant, market turmoil, Middle East, money market securities, securities, U.S. dollar, Vector autoregression
Pages:
194
Volume:
2007
DOI:
Issue:
002
Series:
Global Financial Stability Report No. 2007/002
Stock No:
GFSREA2007002
ISBN:
9781589066762
ISSN:
1729-701X






