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People’s Republic of China–Hong Kong Special Administrative Region : : Financial Sector Assessment Program-Insurance Core Principles-Detailed Assessment of Observance
People’s Republic of China–Hong Kong Special Administrative Region : : Financial Sector Assessment Program-Insurance Core Principles-Detailed Assessment of Observance
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (108 p.)
Disciplina 368.00951212021
Collana IMF Staff Country Reports
Soggetto topico Insurance - China - Hong Kong - Evaluation
Insurance - State supervision - China - Hong Kong
Finance: General
Insurance
Industries: Financial Services
Criminology
Pension Funds
Non-bank Financial Institutions
Financial Instruments
Institutional Investors
Insurance Companies
Actuarial Studies
Monetary Systems
Standards
Regimes
Government and the Monetary System
Payment Systems
Bankruptcy
Liquidation
Illegal Behavior and the Enforcement of Law
Finance
Insurance & actuarial studies
Distributed ledgers
Corporate crime
white-collar crime
Insurance companies
Virtual currencies
Solvency
Anti-money laundering and combating the financing of terrorism (AML/CFT)
Financial institutions
Technology
Financial sector policy and analysis
Crime
Financial services industry
Technological innovations
Debt
Money laundering
ISBN 1-4983-4407-0
1-4983-9979-7
1-4983-2188-7
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; CONTENTS; GLOSSARY; EXECUTIVE SUMMARY; ASSESSMENT OF INSURANCE CORE PRINCIPLES; A. Introduction and Scope; B. Information and Methodology Used for Assessment; C. Overview-Institutional and Macro Prudential Setting; TABLES; 1. Insurance Penetration and Density as at end-2012; 2. Insurance Market Structure; 3. Ownership Structure as at end-2012; 4. Composition of Assets as at end-2012; 5. Gross Written Premium by Major Lines of Business--Long-term Business; 6. New Policies Issued to Mainland Visitors; 7. Gross Written Premium by Major Lines of Business in 2012--General Business
D. Preconditions for Effective Insurance Supervision 8. Solvency Position of Domestic Insurers; 9. Summary of Compliance with the Insurance Core Principles; 10. Summary of Observance Level; 11. Recommendations to Improve Observance of the Insurance Core Principles; AUTHORITIES' RESPONSE TO THE ASSESSMENT; DETAILED ASSESSMENT; 12: Detailed Assessment of Observance of the Insurance Core Principles; APPENDIX; I. Status of Implementation of 2003 FSAP Recommendations
Record Nr. UNINA-9910817199703321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
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People’s Republic of China–Hong Kong Special Administrative Region : : Financial Sector Assessment Program-IOSCO Objectives and Principles of Securities Regulation-Detailed Assessment of Observance
People’s Republic of China–Hong Kong Special Administrative Region : : Financial Sector Assessment Program-IOSCO Objectives and Principles of Securities Regulation-Detailed Assessment of Observance
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (224 p.)
Disciplina 338.9
Collana IMF Staff Country Reports
Soggetto topico Economic development
International finance
Accounting
Investments: General
Investments: Futures
Public Finance
General Financial Markets: General (includes Measurement and Data)
Public Administration
Public Sector Accounting and Audits
Auditing
Pension Funds
Non-bank Financial Institutions
Financial Instruments
Institutional Investors
Investment & securities
Management accounting & bookkeeping
Finance
Financial reporting, financial statements
Public finance accounting
Securities
Futures
Financial statements
Accounting standards
Financial institutions
Public financial management (PFM)
Financial instruments
Finance, Public
Derivative securities
ISBN 1-4983-4526-3
1-4983-0598-9
1-4983-2423-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto ""Cover""; ""CONTENTS""; ""GLOSSARY""; ""SUMMARY""; ""INTRODUCTION""; ""INSTITUTIONAL STRUCTURE""; ""MARKET STRUCTURE""; ""PRECONDITIONS""; ""MAIN FINDINGS""; ""SUMMARY TABLE OF IMPLEMENTATION""; ""RECOMMENDED ACTIONS""; ""AUTHORITIES RESPONSE""; ""DETAILED ASSESSMENT REPORT""
Record Nr. UNINA-9910817447803321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
People’s Republic of China–Hong Kong Special Administrative Region : : Financial Sector Assessment Program-Stress Testing the Banking Sector-Technical Note
People’s Republic of China–Hong Kong Special Administrative Region : : Financial Sector Assessment Program-Stress Testing the Banking Sector-Technical Note
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (128 p.)
Disciplina 338.9
Collana IMF Staff Country Reports
Soggetto topico Economic development
International finance
Banks and Banking
Finance: General
Money and Monetary Policy
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Financial Institutions and Services: Government Policy and Regulation
General Financial Markets: Government Policy and Regulation
Monetary Systems
Standards
Regimes
Government and the Monetary System
Payment Systems
Banking
Finance
Financial services law & regulation
Monetary economics
Stress testing
Commercial banks
Capital adequacy requirements
Basel III
Financial sector policy and analysis
Currencies
Money
Financial institutions
Solvency stress testing
Financial regulation and supervision
Banks and banking
Financial risk management
Asset requirements
State supervision
ISBN 1-4983-9416-7
1-4983-7779-3
1-4983-9217-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto ""Cover""; ""CONTENTS""; ""GLOSSARY""; ""EXECUTIVE SUMMARY""; ""INTRODUCTION""; ""A. Background and Objective""; ""B. Synopsis""; ""SOLVENCY STRESS TESTS""; ""A. Summary of All Solvency Stress Tests""; ""B. Bottom-Up Solvency Stress Tests""; ""C. Top-Down Solvency Stress Tests""; ""D. Reconciliation of Solvency Stress Tests""; ""LIQUIDITY STRESS TESTS""; ""SUMMARY AND POLICY IMPLICATIONS""; ""REFERENCES""; ""BOX""; ""1. Overview of the Systemic Contingent Claims Approach Framework for Stress Testing and the Implementation in the Context of Hong Kong SAR""; ""FIGURES""
""1. Macroprudential Stress Tests of Banking Sector""""2. Structural Features of Hong Kong Financial Sector""; ""3. Banking Sector Developments""; ""4. Banking Sector Soundness""; ""5. Banking Sector Performance""; ""6. Banking Sector Lending and Deposit Composition""; ""7. Banking Sector Lending and Deposit Trends""; ""8. Macroeconomic Assumptions under Different Stress Test Scenarios (1)""; ""9. Macroeconomic Assumptions under Different Stress Test Scenarios (2)""; ""10. Liquidity and Short-term Funding""; ""11. Top-down Liquidity Stress Test Results Implied Cash Flow Analysis""
""12. Evolution of Aggregate Capital Ratios in Solvency Stress Tests (1)""""13.Evolution of Aggregate Capital Ratios in Solvency Stress Tests (2)""; ""14. Comparison of IMF Top-down Solvency Stress Test Results Baseline and Severe Adverse Scenario, Capital Adequacy Ratio (Total Capital)""; ""15. Comparison of IMF Top-down Solvency Stress Test Results Baseline and Severe Adverse Scenario, CET1 Ratio""; ""16. Solvency Stress Test (IMF Top-down Approach) Risk Drivers""
""17. Systemic Contingent Claims Approach Distribution of Market-Implied Individual Expected Losses (Historical and Forecasted)""""TABLES""; ""1. Risk Assessment Matrix""; ""2. Stress Test Matrix (STeM) for the Banking Sector Liquidity""; ""3. Stress Test Matrix (STeM) for the Banking Sector Solvency""; ""4. Financial Soundness Indicators of the Banking Sector, 2007""; ""5. Economic Activity under Different Scenarios""; ""6. HKMA Solvency Top-down Stress Test-Detailed Assumptions (Scenario Analysis)""; ""7. Liquidity Stress Test Maturity Mismatch Analysis""
""8. Systemic Contingent Claims Approach Comparison of Total Assets for Locally Incorporated Licensed Banks and Respective Listed Entities""""9. Overview of Sample Banks in the Solvency and Liquidity Stress Testing Exercise""; ""10. Overview of Risk Approach (Basel II) of Sample Banks in Top-down Solvency Stress Test""; ""11. Supervisory Stress Tests: Implied Cash Flow and Credit/Market Risk Linkages of Liquidity Conditions""; ""12. Basel III Liquidity Risk Framework: Standard Measures (LCR and NSFR)""; ""13. Summary of Satellite Model Estimation""
""14. IMF Top-down Solvency Test: Descriptive Statistics/FSIs""
Record Nr. UNINA-9910826244103321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Republic of Armenia : : Request for Arrangement Under the Extended Fund Facility
Republic of Armenia : : Request for Arrangement Under the Extended Fund Facility
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (109 p.)
Disciplina 914.7920385
Collana IMF Staff Country Reports
Soggetto topico Economic development - Armenia (Republic)
Exports and Imports
Foreign Exchange
Money and Monetary Policy
Public Finance
Industries: Financial Services
Statistics
Taxation, Subsidies, and Revenue: General
Debt
Debt Management
Sovereign Debt
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
International Lending and Debt Problems
Public finance & taxation
Finance
International economics
Currency
Foreign exchange
Monetary economics
Econometrics & economic statistics
Revenue administration
Public debt
External debt
Loans
Financial institutions
Revenue
Debts, Public
Debts, External
ISBN 1-4755-1610-X
1-4755-1903-6
1-4755-8132-7
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; CONTENTS; INTRODUCTION; RECENT ECONOMIC DEVELOPMENTS; OUTLOOK AND RISKS; BOXES; 1. Gas Price Agreement; PROGRAM POLICIES; A. Fiscal Policy; 2. Tax Revenues; B. Monetary and Exchange Rate Policies; C. Financial Sector Policy; D. Structural Reforms; 3. Armenian Development Strategy 2013-25; E. Program Modalities; STAFF APPRAISAL; TABLES; 1. Selected Economic and Financial Indicators, 2009-16; 2. Balance of Payments, 2009-17; 3. Monetary Accounts, 2009-14; 4. Financial Soundness Indicators for the Banking Sector, 2019-13; 5. Central Government Operations, 2009-16 (in billions of drams)
6. Central Government Operations, 2009-16 (in percent of GDP)7. Medium-Term Macroeconomic Framework, 2009-18; 8. Indicators of Capacity to Repay the Fund, 2011-19; 9. External Financing Requirements and Sources, 2013-17; 10. Fund Disbursements and Timing of Review Under a 38-Month Arrangement Under the Extended Fund Facility; APPENDIX; I. Letter of Intent; Attachment I. Memorandum of Economic and Financial Policies; Attachment II. Technical Memorandum of Understanding; ANNEXES; I. Accession to the Eurasian Customs Union; II. Risk Assessment Matrix
III. Program Objectives, Policy Areas and Key MeasuresIV. Reserve Metrics and Exchange Rate Assessment; V. Public Sector Debt Sustainability Analysis; VI. External Debt Sustainability Analysis; CONTENTS; FUND RELATIONS; WORLD BANK AND IMF COLLABORATION-JMAP IMPLEMENTATION; RELATIONS WITH THE EUROPEAN BANK FOR RECONSTRUCTION AND DEVELOPMENT (EBRD); RELATIONS WITH THE ASIAN DEVELOPMENT BANK (ASDB); STATISTICAL ISSUES
Record Nr. UNINA-9910791043003321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Republic of Armenia : : Request for Arrangement Under the Extended Fund Facility
Republic of Armenia : : Request for Arrangement Under the Extended Fund Facility
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (109 p.)
Disciplina 914.7920385
Collana IMF Staff Country Reports
Soggetto topico Economic development - Armenia (Republic)
Exports and Imports
Foreign Exchange
Money and Monetary Policy
Public Finance
Industries: Financial Services
Statistics
Taxation, Subsidies, and Revenue: General
Debt
Debt Management
Sovereign Debt
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
International Lending and Debt Problems
Public finance & taxation
Finance
International economics
Currency
Foreign exchange
Monetary economics
Econometrics & economic statistics
Revenue administration
Public debt
External debt
Loans
Financial institutions
Revenue
Debts, Public
Debts, External
ISBN 1-4755-1610-X
1-4755-1903-6
1-4755-8132-7
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; CONTENTS; INTRODUCTION; RECENT ECONOMIC DEVELOPMENTS; OUTLOOK AND RISKS; BOXES; 1. Gas Price Agreement; PROGRAM POLICIES; A. Fiscal Policy; 2. Tax Revenues; B. Monetary and Exchange Rate Policies; C. Financial Sector Policy; D. Structural Reforms; 3. Armenian Development Strategy 2013-25; E. Program Modalities; STAFF APPRAISAL; TABLES; 1. Selected Economic and Financial Indicators, 2009-16; 2. Balance of Payments, 2009-17; 3. Monetary Accounts, 2009-14; 4. Financial Soundness Indicators for the Banking Sector, 2019-13; 5. Central Government Operations, 2009-16 (in billions of drams)
6. Central Government Operations, 2009-16 (in percent of GDP)7. Medium-Term Macroeconomic Framework, 2009-18; 8. Indicators of Capacity to Repay the Fund, 2011-19; 9. External Financing Requirements and Sources, 2013-17; 10. Fund Disbursements and Timing of Review Under a 38-Month Arrangement Under the Extended Fund Facility; APPENDIX; I. Letter of Intent; Attachment I. Memorandum of Economic and Financial Policies; Attachment II. Technical Memorandum of Understanding; ANNEXES; I. Accession to the Eurasian Customs Union; II. Risk Assessment Matrix
III. Program Objectives, Policy Areas and Key MeasuresIV. Reserve Metrics and Exchange Rate Assessment; V. Public Sector Debt Sustainability Analysis; VI. External Debt Sustainability Analysis; CONTENTS; FUND RELATIONS; WORLD BANK AND IMF COLLABORATION-JMAP IMPLEMENTATION; RELATIONS WITH THE EUROPEAN BANK FOR RECONSTRUCTION AND DEVELOPMENT (EBRD); RELATIONS WITH THE ASIAN DEVELOPMENT BANK (ASDB); STATISTICAL ISSUES
Record Nr. UNINA-9910819497303321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The Republic of Kazakhstan : : Financial System Stability Assessment
The Republic of Kazakhstan : : Financial System Stability Assessment
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (96 p.)
Disciplina 332.110958705
Collana IMF Staff Country Reports
Soggetto topico Banks and banking - Kazakhstan
Finance - Kazakhstan
Banks and Banking
Public Finance
Industries: Financial Services
Money and Monetary Policy
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Social Security and Public Pensions
Financial Institutions and Services: Government Policy and Regulation
Monetary Policy, Central Banking, and the Supply of Money and Credit: General
Banking
Finance
Pensions
Financial services law & regulation
Monetary economics
Nonperforming loans
Pension spending
Capital adequacy requirements
Commercial banks
Financial institutions
Credit
Money
Loans
Financial regulation and supervision
Expenditure
Banks and banking
Asset requirements
ISBN 1-4983-2861-X
1-4843-8470-9
1-4983-7236-8
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; CONTENTS; Glossary; EXECUTIVE SUMMARY; TABLES; 1. FSAP Key Recommendations; MACRO-FINANCIAL SETTING AND FINANCIAL SECTOR OVERVIEW; A. Unbalanced Economic Growth and Financial Vulnerabilities; FIGURES; 1. Distribution of Loans and NPLs; 2. The Aftermath of the Crisis; B. Financial System Structure; 3. Structure of the Financial System; FINANCIAL SECTOR RISKS AND RESILIENCE: RECOVERY FROM THE CRISIS IS NOT YET COMPLETE; A. Banking Sector; 4: Credit Real Growth; 5. Dollarization and Wholesale Funding; 6. Macrofinancial Baseline and Stress Scenarios; 7. Scenario Solvency Risk Results
8. Solvency Risk: Sensitivity Analyses 9. Liquidity Risk: Scenario Analyses; B. Insurance and Pensions; BOLSTERING THE FINANCIAL SAFETY NET; A. Weak Systemic Liquidity Management in Normal Times; B. Untested Crisis Management Framework; C. Crisis Preparedness Framework; DELINQUENCY MANAGEMENT AND RESOLUTION OF NPLS: SOLVING THE LEGACY PROBLEM; A. Slow Progress Resolving NPLs; B. A Multi-Track Approach to Resolve the NPLs Universe; STRENGTHENING FINANCIAL SECTOR OVERSIGHT: AVOIDING ANOTHER SURGE IN BAD LOANS; A. Bank Regulation: Achieving Better Implementation
B. Insurance Sector: Stronger Prudential Requirements and Reinsurance Supervision C. NBK Management of Pensions: Sound Investment Practices are Key; D. Securities Markets: Reducing Uncertainty and Mitigating Mispricing and Reputational Risks; E. Financial Market Infrastructure: Addressing Gaps in Risk Management; 10. Economic Developments; 11. Banking Sector Developments; 12. Capital Markets and Expected Default Frequencies; 13. Monetary and External Sector Developments; 14. Key Financial Soundness Indicators-Cross-Country Comparison; 2. Selected Economic Indicators, 2010-2019
3. Financial System Structure, 2005-134. Financial Soundness Indicators of the Banking System, 2008-2013; 5. Financial Soundness Indicators of the Non-Banking System, 2005-2013; APPENDICES; I. List of Recent Macroprudential Policy Measures; II. Funded Pension System; III. Risk Assessment Matrix; IV. Macroeconomic Scenarios; V. Report on the Observance of Standards and Codes: Basel Core Principles-Summary Assessment
Record Nr. UNINA-9910787952003321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The Republic of Kazakhstan : : Financial System Stability Assessment
The Republic of Kazakhstan : : Financial System Stability Assessment
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (96 p.)
Disciplina 332.110958705
Collana IMF Staff Country Reports
Soggetto topico Banks and banking - Kazakhstan
Finance - Kazakhstan
Banks and Banking
Public Finance
Industries: Financial Services
Money and Monetary Policy
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Social Security and Public Pensions
Financial Institutions and Services: Government Policy and Regulation
Monetary Policy, Central Banking, and the Supply of Money and Credit: General
Banking
Finance
Pensions
Financial services law & regulation
Monetary economics
Nonperforming loans
Pension spending
Capital adequacy requirements
Commercial banks
Financial institutions
Credit
Money
Loans
Financial regulation and supervision
Expenditure
Banks and banking
Asset requirements
ISBN 1-4983-2861-X
1-4843-8470-9
1-4983-7236-8
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; CONTENTS; Glossary; EXECUTIVE SUMMARY; TABLES; 1. FSAP Key Recommendations; MACRO-FINANCIAL SETTING AND FINANCIAL SECTOR OVERVIEW; A. Unbalanced Economic Growth and Financial Vulnerabilities; FIGURES; 1. Distribution of Loans and NPLs; 2. The Aftermath of the Crisis; B. Financial System Structure; 3. Structure of the Financial System; FINANCIAL SECTOR RISKS AND RESILIENCE: RECOVERY FROM THE CRISIS IS NOT YET COMPLETE; A. Banking Sector; 4: Credit Real Growth; 5. Dollarization and Wholesale Funding; 6. Macrofinancial Baseline and Stress Scenarios; 7. Scenario Solvency Risk Results
8. Solvency Risk: Sensitivity Analyses 9. Liquidity Risk: Scenario Analyses; B. Insurance and Pensions; BOLSTERING THE FINANCIAL SAFETY NET; A. Weak Systemic Liquidity Management in Normal Times; B. Untested Crisis Management Framework; C. Crisis Preparedness Framework; DELINQUENCY MANAGEMENT AND RESOLUTION OF NPLS: SOLVING THE LEGACY PROBLEM; A. Slow Progress Resolving NPLs; B. A Multi-Track Approach to Resolve the NPLs Universe; STRENGTHENING FINANCIAL SECTOR OVERSIGHT: AVOIDING ANOTHER SURGE IN BAD LOANS; A. Bank Regulation: Achieving Better Implementation
B. Insurance Sector: Stronger Prudential Requirements and Reinsurance Supervision C. NBK Management of Pensions: Sound Investment Practices are Key; D. Securities Markets: Reducing Uncertainty and Mitigating Mispricing and Reputational Risks; E. Financial Market Infrastructure: Addressing Gaps in Risk Management; 10. Economic Developments; 11. Banking Sector Developments; 12. Capital Markets and Expected Default Frequencies; 13. Monetary and External Sector Developments; 14. Key Financial Soundness Indicators-Cross-Country Comparison; 2. Selected Economic Indicators, 2010-2019
3. Financial System Structure, 2005-134. Financial Soundness Indicators of the Banking System, 2008-2013; 5. Financial Soundness Indicators of the Non-Banking System, 2005-2013; APPENDICES; I. List of Recent Macroprudential Policy Measures; II. Funded Pension System; III. Risk Assessment Matrix; IV. Macroeconomic Scenarios; V. Report on the Observance of Standards and Codes: Basel Core Principles-Summary Assessment
Record Nr. UNINA-9910821950103321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Republic of Poland : : Selected Issues Paper
Republic of Poland : : Selected Issues Paper
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (103 pages)
Disciplina 330.9438022
Collana IMF Staff Country Reports
Soggetto topico International economic relations
Investments: Bonds
Labor
Macroeconomics
Public Finance
Taxation
General Financial Markets: General (includes Measurement and Data)
Macroeconomics: Consumption
Saving
Wealth
Business Taxes and Subsidies
Social Security and Public Pensions
Nonwage Labor Costs and Benefits
Private Pensions
Pensions
Investment & securities
Public finance & taxation
Labour
income economics
Private savings
Value-added tax
Pension spending
Sovereign bonds
National accounts
Taxes
Financial institutions
Expenditure
Saving and investment
Bonds
Spendings tax
Debts, External
ISBN 1-4983-3927-1
1-4983-6825-5
1-4983-7443-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; CONTENTS; GLOBAL FINANCIAL SPILLOVERS TO EMERGING MARKET SOVEREIGN BOND MARKETS: THE ROLE OF FOREIGN PARTICIPATION AND THE INVESTOR BASE; A. Introduction; B. Foreign Participation and Government Bond Yields; C. Foreign Participation, Investor Base Concentration, and the Transmission of Shocks; D. Conclusion; FIGURES; 1. Global Financial Conditions and Foreign Participation in Ems Government Bond Markets; 2. International Financial Spillovers into EMs; TABLES; 1. Foreign Holdings of FX Debt and Yield Volatility. Period 2004:Q1-2013:Q2
2. Foreign Holdings of LC Debt and Yield Volatility. Period 2004:Q1-2013:Q23. Foreign Holdings of FX Debt and FX Yield Level. Period 2004:Q1-2013:Q2; 4. Foreign Holdings of LC Debt and LC Yield Level. Period 2004:Q1-2013:Q2; 5. Panel Non-Linear Estimates; REFERENCES; CORPORATE SECTOR VULNERABILITIES; A. Introduction; FIGURES; 1. Poland: Corporate Sector Overview; B. Stylized Facts; 2. Selected Countries: Credit to the Nonfinancial Sector; 3. Selected Countries: Composition of Total Nonfinancial Corporate Debt; BOX; 1. Measuring Nonfinancial Corporate Debt
4. Poland: Nonfinancial Sector International Investment Position and Debt5. Selected Countries: Nonfinancial Sector External Debt and Intercompany Debt; 6. Selected Countries: Maturity Breakdown of Nonfinancial Sector External Debt; 7. Poland and EMs: Composition of Nonfinancial Sector External Debt; 8. Selected Countries: Debt Outstanding, Rollover Needs, and Debt Issuance; 9. Poland and EMs: Nonfinancial Sector Securities Issuance; 10. Selected Countries: Vulnerability Indicators; 11. Poland: High-Frequency Vulnerability Indicators; C. Resilience to Shocks; 12. Poland: Responses to Shocks
D. ConclusionREFERENCES; CYCLICAL BEHAVIOR OF VAT REVENUES IN EUROPE; A. Introduction; B. Stylized Facts; C. Empirical Design; D. Results; E. Exploring Asymmetries and Non-Linear Effects; F. Policy Implications; G. Conclusion; TABLES; 1. Linear Effect of Demand Shocks to VAT Revenues in Europe: Dynamic Heterogeneous Panel Estimates; 2. Has the Crisis Led to a Shift in the Sensitivity of VAT Tax Receipts to Domestic Demand Shocks?; 3. Type of Demand Shocks and Cyclicality of VAT Revenues; 4. Role of Protracted Shocks; REFERENCES
THE POLISH PENSION SYSTEM: FISCAL IMPACT OF THE 2014 CHANGES AND REMAINING POLICY CHALLENGESA. Introduction; B. Background and Methodology; BOXES; 1. The 1999 Pension Reform; C. Assessing the Impact of the 2014 Pension Changes; 2. Accounting for the Fiscal Impact of Pension Changes; TABLE; 1. Summary Statistics of Selected Variables Under Alternative Scenarios; D. Assessing Legacy Fiscal Risks; E. Conclusion; REFERENCES; ANNEXES; I. Major Reforms and Modifications to the Polish Pension; II. A Stylized Example; ARE PRIVATE SAVING ACCELERATIONS PREDICTABLE?; A. Introduction; FIGURES
1. The Case for Higher Saving Rates in Poland
Record Nr. UNINA-9910791145003321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Republic of Poland : : Selected Issues Paper
Republic of Poland : : Selected Issues Paper
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2014
Descrizione fisica 1 online resource (103 pages)
Disciplina 330.9438022
Collana IMF Staff Country Reports
Soggetto topico International economic relations
Investments: Bonds
Labor
Macroeconomics
Public Finance
Taxation
General Financial Markets: General (includes Measurement and Data)
Macroeconomics: Consumption
Saving
Wealth
Business Taxes and Subsidies
Social Security and Public Pensions
Nonwage Labor Costs and Benefits
Private Pensions
Pensions
Investment & securities
Public finance & taxation
Labour
income economics
Private savings
Value-added tax
Pension spending
Sovereign bonds
National accounts
Taxes
Financial institutions
Expenditure
Saving and investment
Bonds
Spendings tax
Debts, External
ISBN 1-4983-3927-1
1-4983-6825-5
1-4983-7443-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; CONTENTS; GLOBAL FINANCIAL SPILLOVERS TO EMERGING MARKET SOVEREIGN BOND MARKETS: THE ROLE OF FOREIGN PARTICIPATION AND THE INVESTOR BASE; A. Introduction; B. Foreign Participation and Government Bond Yields; C. Foreign Participation, Investor Base Concentration, and the Transmission of Shocks; D. Conclusion; FIGURES; 1. Global Financial Conditions and Foreign Participation in Ems Government Bond Markets; 2. International Financial Spillovers into EMs; TABLES; 1. Foreign Holdings of FX Debt and Yield Volatility. Period 2004:Q1-2013:Q2
2. Foreign Holdings of LC Debt and Yield Volatility. Period 2004:Q1-2013:Q23. Foreign Holdings of FX Debt and FX Yield Level. Period 2004:Q1-2013:Q2; 4. Foreign Holdings of LC Debt and LC Yield Level. Period 2004:Q1-2013:Q2; 5. Panel Non-Linear Estimates; REFERENCES; CORPORATE SECTOR VULNERABILITIES; A. Introduction; FIGURES; 1. Poland: Corporate Sector Overview; B. Stylized Facts; 2. Selected Countries: Credit to the Nonfinancial Sector; 3. Selected Countries: Composition of Total Nonfinancial Corporate Debt; BOX; 1. Measuring Nonfinancial Corporate Debt
4. Poland: Nonfinancial Sector International Investment Position and Debt5. Selected Countries: Nonfinancial Sector External Debt and Intercompany Debt; 6. Selected Countries: Maturity Breakdown of Nonfinancial Sector External Debt; 7. Poland and EMs: Composition of Nonfinancial Sector External Debt; 8. Selected Countries: Debt Outstanding, Rollover Needs, and Debt Issuance; 9. Poland and EMs: Nonfinancial Sector Securities Issuance; 10. Selected Countries: Vulnerability Indicators; 11. Poland: High-Frequency Vulnerability Indicators; C. Resilience to Shocks; 12. Poland: Responses to Shocks
D. ConclusionREFERENCES; CYCLICAL BEHAVIOR OF VAT REVENUES IN EUROPE; A. Introduction; B. Stylized Facts; C. Empirical Design; D. Results; E. Exploring Asymmetries and Non-Linear Effects; F. Policy Implications; G. Conclusion; TABLES; 1. Linear Effect of Demand Shocks to VAT Revenues in Europe: Dynamic Heterogeneous Panel Estimates; 2. Has the Crisis Led to a Shift in the Sensitivity of VAT Tax Receipts to Domestic Demand Shocks?; 3. Type of Demand Shocks and Cyclicality of VAT Revenues; 4. Role of Protracted Shocks; REFERENCES
THE POLISH PENSION SYSTEM: FISCAL IMPACT OF THE 2014 CHANGES AND REMAINING POLICY CHALLENGESA. Introduction; B. Background and Methodology; BOXES; 1. The 1999 Pension Reform; C. Assessing the Impact of the 2014 Pension Changes; 2. Accounting for the Fiscal Impact of Pension Changes; TABLE; 1. Summary Statistics of Selected Variables Under Alternative Scenarios; D. Assessing Legacy Fiscal Risks; E. Conclusion; REFERENCES; ANNEXES; I. Major Reforms and Modifications to the Polish Pension; II. A Stylized Example; ARE PRIVATE SAVING ACCELERATIONS PREDICTABLE?; A. Introduction; FIGURES
1. The Case for Higher Saving Rates in Poland
Record Nr. UNINA-9910807830703321
Washington, D.C. : , : International Monetary Fund, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
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The social value of the financial sector : too big to fail or just too big? / / editors, Viral V Acharya (New York University, USA & Centre for Economic Policy (CEPR), UK) [and four others]
The social value of the financial sector : too big to fail or just too big? / / editors, Viral V Acharya (New York University, USA & Centre for Economic Policy (CEPR), UK) [and four others]
Pubbl/distr/stampa New Jersey : , : World Scientific Pub. Co. Pte. Ltd., , [2014]
Descrizione fisica 1 online resource (536 p.)
Disciplina 332.1
Altri autori (Persone) AcharyaViral V
Collana World scientific studies in international economics
Soggetto topico Financial institutions
Financial institutions - Government policy
Banks and banking
Social policy
Soggetto genere / forma Electronic books.
ISBN 981-4520-29-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Keynote addresses -- A ferment of regulatory proposals / Charles A. E. Goodhartá -- Progress and priorities for financial reform / Mary John Miller -- Description and measurement of the financial system : what is meaningful banking reform, why is it so necessary and so unlikely? / Charles W. Calomiris -- The great leveraging / Alan M. Taylor -- Social benefits and costs of the current financial system : bank regulatory reforms and racial wage discrimination / Ross Levine, Alexey Levkov, and Yona Rubinstein -- Finance : economic lifeblood or toxin? / Marco Pagano -- Finance : is bigger badder? / Gerard Caprio, Jr -- Financial industry innovation -- A proposal for the resolution of systemically important assets and liabilities : the case of the repo market / Viral V. Acharya and T. Sabri Öncü -- Reexamining financial innovation after the global financial crisis / W. Scott Frame and Lawrence J. White -- Financial innovation and shadow banking / Luc Laeven -- Effects of regulation, the safety net and other government guarantees : evolving intermediation / Nicola Cetorelliá -- The socially optimal level of capital requirements : a view from two papers / Javier Suarezá -- Effects of regulation, the safety net, and other government guarantees / Mathias Dewatripontá -- Finance and economic activity : variations across emerging and developed markets -- Legal and alternative institutions in finance and commerce / Franklin Allen and Jun Qian -- Finance in the tropics : understanding structural gaps and policy challenges / Thorsten Beck -- Foreign banks : access to finance and financial stability / Neeltje van Horená -- Institutions, finance, and economic activity : views and agenda / Elias Papaioannouá -- Break up the big banks? -- Breaking (banks) up is hard to do : new perspective on too big to fail / James R. Barth and Apanard (Penny) Prabha -- Restructuring the banking system to improve safety and soundness / Thomas M. Hoenig and Charles S. Morris -- Ending too big to fail : a proposal for reform / Richard W. Fisher and Harvey Rosenblumá -- Where to from here? implementation, implementation, implementation / Claudio Borio -- Complexity in financial regulation / Andrew G. Haldane and Vasileios Madouros -- Financial reform : on the right road, at the right pace? / Thomas Huertas -- Banking regulation and supervision in the next 10 years and their unintended consequences / Danièle Nouy -- The social value of the financial sector : where to from here? / Barbara A. Rehm -- Public policy options / Jürgen Stark.
Record Nr. UNINA-9910453253403321
New Jersey : , : World Scientific Pub. Co. Pte. Ltd., , [2014]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui