LEADER 02977nam 2200529I 450 001 9910819081403321 005 20181217105406.0 010 $a1-78756-847-4 010 $a1-78756-845-8 035 $a(CKB)4100000007187050 035 $a(MiAaPQ)EBC5609299 035 $a(UtOrBLW)9781787568457 035 $a(EXLCZ)994100000007187050 100 $a20181217h20182019 uy 0 101 0 $aeng 135 $aurun||||||||| 181 $ctxt$2rdacontent 182 $cc$2rdamedia 183 $acr$2rdacarrier 200 10$aTools and techniques for financial stability analysis /$fby Indranarain Ramlall (University of Mauritius, Mauritius) 205 $aFirst edition. 210 1$aUnited Kingdom :$cEmerald Publishing,$d[2019] 215 $a1 online resource (149 pages) 225 0 $aThe theory and practice of financial stability ;$vvolume 5 311 $a1-78756-848-2 311 $a1-78756-846-6 320 $aIncludes bibliographical references and index. 327 $aPrelims -- Value at risk -- Stress testing -- Graphical tools of financial stability -- Financial system stress index -- Ratios/Metrics of financial stability assessment -- Challenges of financial stability: the road ahead -- References -- Index. 330 $aCombatting financial stability risks is a highly challenging task which can by no means be concentrated into a 'one-size fits all' approach. It is important to select the appropriate tools and techniques in order to monitor, analyse, and maintain financial stability through proactive policy measures. 'Tools and Techniques for Financial Stability Analysis' explores all key aspects of analytical tools and challenges for sound financial stability assessments. Comprehensive coverage is given to value at risk, stress testing, graphical tools for financial stability, the financial system stress index, as well as ratios and metrics of financial stability assessment. Finally, a concluding chapter is devoted to understand the key challenges involved in maintaining financial stability. This book will prove valuable to central bankers, economists, and policy-makers who are involved in the field of financial stability, as well as researchers studying the field. 606 $aFinancial institutions$xEvaluation$xEconometric models 606 $aRisk assessment$xEconometric models 606 $aInflation (Finance) 606 $aBusiness & Economics$xFinance$xGeneral$2bisacsh 606 $aFinance$2bicssc 615 0$aFinancial institutions$xEvaluation$xEconometric models. 615 0$aRisk assessment$xEconometric models. 615 0$aInflation (Finance) 615 7$aBusiness & Economics$xFinance$xGeneral. 615 7$aFinance. 676 $a332.41 700 $aRamlall$b Indranarain$0885669 801 0$bUtOrBLW 801 1$bUtOrBLW 906 $aBOOK 912 $a9910819081403321 996 $aTools and techniques for financial stability analysis$94108340 997 $aUNINA