LEADER 01442nam0 22003373i 450 001 PUV0989139 005 20231121125620.0 010 $a8447528049 100 $a20130522d2004 ||||0itac50 ba 101 | $aspa 102 $aes 181 1$6z01$ai $bxxxe 182 1$6z01$an 200 1 $a˜El œpasado presente$earqueologia de los paisajes an la Hispania romana$fEnrique Arino Gil, Josep M. Gurt Esparraguera, Josep M. Palet Martinez 210 $aBarcelona$cEdiciones Universidad de Salamanca$d2004 215 $a234 p.$cill.$d24 cm. 225 | $aUB$eUniversitat de Barcelona$v83 410 0$1001PUV0222969$12001 $aUB$eUniversitat de Barcelona$v83 606 $aSpagna$xSec. 2. a. C.-5.$xFonti archeologiche$2FIR$3RMLC391622$9E 676 $a936.6$9Storia dell'antica penisola iberica e delle isole adiacenti.$v21 700 1$aArino Gil$b, Enrique$3FERV021856$4070$01442297 701 1$aGurt Esparraguera$b, Josep Maria$3LO1V178572$4070$0466803 701 1$aPalet Martinez$b, Josep Maria$3PUVV349789$4070$01442298 801 3$aIT$bIT-01$c20130522 850 $aIT-FR0017 899 $aBiblioteca umanistica Giorgio Aprea$bFR0017 912 $aPUV0989139 950 0$aBiblioteca umanistica Giorgio Aprea$d 52MAG 8/401$e 52FLS0000388135 VMN RS Far anno 2009 prof.ssa Corsi.$fA $h20130522$i20130522 977 $a 52 996 $aPasado presente$93614698 997 $aUNICAS LEADER 06692oam 22012614 450 001 9910970942003321 005 20250426110813.0 010 $a9781475557800 010 $a1475557809 010 $a9781484384763 010 $a1484384768 010 $a9781484349281 010 $a1484349288 035 $a(CKB)2550000001111768 035 $a(EBL)1588072 035 $a(SSID)ssj0001104143 035 $a(PQKBManifestationID)11701121 035 $a(PQKBTitleCode)TC0001104143 035 $a(PQKBWorkID)11088394 035 $a(PQKB)11564261 035 $a(Au-PeEL)EBL1588072 035 $a(CaPaEBR)ebr10748310 035 $a(CaONFJC)MIL511660 035 $a(OCoLC)856625996 035 $a(IMF)WPIEE2013168 035 $a(IMF)WPIEA2013168 035 $a(MiAaPQ)EBC1588072 035 $aWPIEA2013168 035 $a(EXLCZ)992550000001111768 100 $a20020129d2013 uf 0 101 0 $aeng 135 $aur|n|---||||| 181 $ctxt 182 $cc 183 $acr 200 10$aSystemic Risk Monitoring ("SysMo") Toolkit?A User Guide /$fNicolas Blancher, Srobona Mitra, Hanan Morsy, Akira Otani, Tiago Severo, Laura Valderrama 205 $a1st ed. 210 1$aWashington, D.C. :$cInternational Monetary Fund,$d2013. 215 $a1 online resource (81 p.) 225 1 $aIMF Working Papers 300 $aDescription based upon print version of record. 311 08$a9781484383438 311 08$a1484383435 311 08$a9781299804098 311 08$a1299804098 320 $aIncludes bibliographical references. 327 $aCover; Contents; Glossary; B; C; D; E; F; G; J; K; L; M; O; P; S; V; I. Introduction; Figures; 1. Structure of the Guide; II. Approaching Systemic Risk; A. What is Systemic Risk?; B. Key Features of the Toolkit; 2. Buildup of Systemic Risk: Sources and Channels; 3. Unwinding of Systemic Risk: Sources and Channels; III. Mapping Tools to the Territory-A Practical Approach; A. Financial institutions: Is Excessive Risk Building Up in Financial Institutions?; B. Asset Prices: Are Asset Prices Growing Too Fast?; C. Sovereign Risk: How Much is Sovereign Risk a Source of Systemic Risk? 327 $aD. Broader Economy: What are the Amplification Channels among Sectors and through the Domestic Economy?E. Cross-Border Linkages: What are the Amplification Channels through Cross-Border Spillovers?; F. Crisis Risks: What is the Probability of a Systemic Crisis?; IV. Sample Country Case Study; 4. Systemic Risk Dashboard for a Fictitious Country X at end-2007; V. Key Findings and Operational Implications; Table; 1. Characteristics of Different Systemic Risk Monitoring tools-A Summary; Appendix: Tools Binder; Contents; I. Conditional Value-At-Risk (CoVaR); II. Joint Distress Indicators 327 $aIII. Returns SpilloversIV. Distress Spillovers; V. Market-Based Probability of Default; VI. Debt Sustainability Analysis (DSA); VII. Indicators of Fiscal Stress; VIII. Sovereign Funding Shock Scenarios; IX. Asset Price Models; X. Balance Sheet Approach; XI. Systemic CCA; XII. Cross-Border Interconnectedness; XIII. Cross-border Network Contagion; XIV. Systemic Liquidity Risk Indicator; XV. Regime-Switching Volatility Model; XVI. Financial Soundness Indicators (FSIs); XVII. Bank Health Assessment Tool (HEAT); XVIII. Thresholds Model; XIX. Macro Stress Tests; XX. GDP at Risk 327 $aXXI. Credit to GDP-Based Crisis Prediction ModelXXII. Crisis Prediction Models; XXIII. DSGE Model; Referrences 330 3 $aThere has recently been a proliferation of new quantitative tools as part of various initiatives to improve the monitoring of systemic risk. The "SysMo" project takes stock of the current toolkit used at the IMF for this purpose. It offers detailed and practical guidance on the use of current systemic risk monitoring tools on the basis of six key questions policymakers are likely to ask. It provides "how-to" guidance to select and interpret monitoring tools; a continuously updated inventory of key categories of tools ("Tools Binder"); and suggestions on how to operationalize systemic risk monitoring, including through a systemic risk "Dashboard." In doing so, the project cuts across various country-specific circumstances and makes a preliminary assessment of the adequacy and limitations of the current toolkit. 410 0$aIMF Working Papers; Working Paper ;$vNo. 2013/168 606 $aFinancial risk management 606 $aMacroeconomics 606 $aAsset prices$2imf 606 $aDeflation$2imf 606 $aEconomic & financial crises & disasters$2imf 606 $aFinance$2imf 606 $aFinance: General$2imf 606 $aFinancial Crises$2imf 606 $aFinancial crises$2imf 606 $aFinancial Institutions and Services: Government Policy and Regulation$2imf 606 $aFinancial Institutions and Services: Other$2imf 606 $aFinancial Risk Management$2imf 606 $aFinancial risk management$2imf 606 $aGeneral Financial Markets: Government Policy and Regulation$2imf 606 $aInflation$2imf 606 $aMacroeconomics$2imf 606 $aModel Construction and Estimation$2imf 606 $aPrice Level$2imf 606 $aPrices$2imf 606 $aStress testing$2imf 606 $aSystemic risk assessment$2imf 606 $aSystemic risk$2imf 615 0$aFinancial risk management. 615 0$aMacroeconomics. 615 7$aAsset prices 615 7$aDeflation 615 7$aEconomic & financial crises & disasters 615 7$aFinance 615 7$aFinance: General 615 7$aFinancial Crises 615 7$aFinancial crises 615 7$aFinancial Institutions and Services: Government Policy and Regulation 615 7$aFinancial Institutions and Services: Other 615 7$aFinancial Risk Management 615 7$aFinancial risk management 615 7$aGeneral Financial Markets: Government Policy and Regulation 615 7$aInflation 615 7$aMacroeconomics 615 7$aModel Construction and Estimation 615 7$aPrice Level 615 7$aPrices 615 7$aStress testing 615 7$aSystemic risk assessment 615 7$aSystemic risk 676 $a332.1 700 $aBlancher$b Nicolas$01815946 701 $aMitra$b Srobona$01816380 701 $aMorsy$b Hanan$01816381 701 $aOtani$b Akira$01816382 701 $aSevero$b Tiago$01816060 701 $aValderrama$b Laura$01815686 801 0$bDcWaIMF 906 $aBOOK 912 $a9910970942003321 996 $aSystemic Risk Monitoring ("SysMo") Toolkit?A User Guide$94372416 997 $aUNINA