The Costs of Sovereign Default / / Eduardo Borensztein, Ugo Panizza |
Autore | Borensztein Eduardo |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (52 p.) |
Disciplina | 336.3435 |
Altri autori (Persone) | PanizzaUgo |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Debts, External - Econometric models
Default (Finance) - Econometric models Debts, Public Financial crises - Econometric models Bank failures - Econometric models Banks and Banking Exports and Imports Money and Monetary Policy International Lending and Debt Problems Monetary Policy, Central Banking, and the Supply of Money and Credit: General Financial Crises International economics Monetary economics Economic & financial crises & disasters Trade credits Banking crises Credit ratings Bank credit Debt default Debts, External Financial crises Credit |
ISBN |
1-4623-3157-2
1-4527-0165-2 1-4518-7096-5 1-282-84189-0 9786612841897 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Two Hundred Years of Sovereign Default; III. Default and GDP Growth; IV. Default and Reputation; V. Default and International Trade; VI. Default and the Domestic Banking System; VII. Political Implications of Default; VIII. Conclusions; References; Figures; 1. Number of Defaults (1824-2004); Tables; 1. Default Episodes; 2. Default and Growth, Panel 1972-2000; 3. Default and Growth, Panel 1972-2000; 4. Default and Credit Ratings, Cross Section Regression, 1999-2002; 5. Defaults and Bond Spreads, Panel Regression, 1997-2004; 6. Default and Trade Credit
7. Default and Trade: Does Trade Credit Matter?8. Probabilities of Default and Banking Crisis; 9. Default and Industry Value-Added Growth; 10. Defaults and Elections; 11. Type of Default; 12. Type of Default and Government; Appendix Tables; A1. Private Lending to Sovereign. Default and Rescheduling; A2: Logit Model for the Probability of Default |
Record Nr. | UNINA-9910788344403321 |
Borensztein Eduardo
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Washington, D.C. : , : International Monetary Fund, , 2008 | ||
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Lo trovi qui: Univ. Federico II | ||
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The Costs of Sovereign Default / / Eduardo Borensztein, Ugo Panizza |
Autore | Borensztein Eduardo |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (52 p.) |
Disciplina | 336.3435 |
Altri autori (Persone) | PanizzaUgo |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Debts, External - Econometric models
Default (Finance) - Econometric models Debts, Public Financial crises - Econometric models Bank failures - Econometric models Banks and Banking Exports and Imports Money and Monetary Policy International Lending and Debt Problems Monetary Policy, Central Banking, and the Supply of Money and Credit: General Financial Crises International economics Monetary economics Economic & financial crises & disasters Trade credits Banking crises Credit ratings Bank credit Debt default Debts, External Financial crises Credit |
ISBN |
1-4623-3157-2
1-4527-0165-2 1-4518-7096-5 1-282-84189-0 9786612841897 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Two Hundred Years of Sovereign Default; III. Default and GDP Growth; IV. Default and Reputation; V. Default and International Trade; VI. Default and the Domestic Banking System; VII. Political Implications of Default; VIII. Conclusions; References; Figures; 1. Number of Defaults (1824-2004); Tables; 1. Default Episodes; 2. Default and Growth, Panel 1972-2000; 3. Default and Growth, Panel 1972-2000; 4. Default and Credit Ratings, Cross Section Regression, 1999-2002; 5. Defaults and Bond Spreads, Panel Regression, 1997-2004; 6. Default and Trade Credit
7. Default and Trade: Does Trade Credit Matter?8. Probabilities of Default and Banking Crisis; 9. Default and Industry Value-Added Growth; 10. Defaults and Elections; 11. Type of Default; 12. Type of Default and Government; Appendix Tables; A1. Private Lending to Sovereign. Default and Rescheduling; A2: Logit Model for the Probability of Default |
Record Nr. | UNINA-9910810966903321 |
Borensztein Eduardo
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Washington, D.C. : , : International Monetary Fund, , 2008 | ||
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Lo trovi qui: Univ. Federico II | ||
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Cote D'Ivoire : : Request for an Extended Arrangement Under the Extended Fund Facility and an Arrangement Under the Extended Credit Facility-Press Release; Staff Report; and Statement by the Executive Director for Cote D'Ivoire |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2016 |
Descrizione fisica | 1 online resource (131 pages) : illustrations, tables |
Disciplina | 338.9 |
Collana | IMF Staff Country Reports |
Soggetto topico |
Economic development
Banks and Banking Exports and Imports Macroeconomics Public Finance Taxation Corporate Finance International Lending and Debt Problems Debt Debt Management Sovereign Debt Taxation, Subsidies, and Revenue: General National Government Expenditures and Related Policies: General General Aggregative Models: General Public finance & taxation International economics Sales tax, tariffs & customs duties Banking Public debt External debt Public financial management (PFM) Revenue administration Debt sustainability Debts, External Debts, Public Finance, Public Revenue National income |
ISBN |
1-4755-6128-8
1-4755-6130-X |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Record Nr. | UNINA-9910157525103321 |
Washington, D.C. : , : International Monetary Fund, , 2016 | ||
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Lo trovi qui: Univ. Federico II | ||
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Country Stress Events : : Does Governance Matter? / / Anna Kochanova, Carlos Caceres |
Autore | Kochanova Anna |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2012 |
Descrizione fisica | 1 online resource (46 p.) |
Altri autori (Persone) | CaceresCarlos |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Economic policy
Economics Banks and Banking Money and Monetary Policy Industries: Financial Services Financial Risk Management 'Panel Data Models Spatio-temporal Models' Financial Aspects of Economic Integration Banks Depository Institutions Micro Finance Institutions Mortgages Socialist Institutions and Their Transitions: Financial Economics Monetary Policy, Central Banking, and the Supply of Money and Credit: General Financial Crises Banking Monetary economics Finance Economic & financial crises & disasters Foreign banks Bank credit Credit Loans Financial institutions Money Financial crises Banks and banking Banks and banking, Foreign Exports and Imports Finance: General Macroeconomics Public Finance Criminology Relation of Economics to Other Disciplines Institutions and the Macroeconomy Fiscal Policy Corporate Finance and Governance: Government Policy and Regulation Law and Economics: General (including Data Sources and Description) Public Administration Public Sector Accounting and Audits Personal Income, Wealth, and Their Distributions Bureaucracy Administrative Processes in Public Organizations Corruption International Lending and Debt Problems General Financial Markets: Government Policy and Regulation Public finance & taxation Corporate crime white-collar crime International economics Fiscal risks Personal income Debt default Financial soundness indicators Fiscal policy Income Debts, External Financial services industry |
ISBN |
1-4755-1820-X
1-4755-4247-X |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover; CONTENTS; I. INTRODUCTION; II. DATA AND CONSTRUCTION OF THE MAIN VARIABLES; A. GOVERNANCE MEASURES; B. FISCAL STRESS INDICATOR (FSI); C. POLITICAL STRESS INDICATOR (PSI); D. OTHER VARIABLES; III. ESTIMATION METHODOLOGY AND MAIN RESULTS; A. ESTIMATION TECHNIQUE; B. ESTIMATION RESULTS; IV. DISCUSSION OF THE RESULTS; A. FISCAL STRESS; B. POLITICAL STRESS; V. CONCLUSION; REFERENCES; ANNEX I: DATA AND DESCRIPTIVE STATISTICS; ANNEX II: DATA SOURCES; ANNEX III: FISCAL AND POLITICAL STRESS EVENTS; ANNEX IV: GROUPING OF COUNTRIES BY REGION AND HYDROCARBON EXPORT; ANNEX V: ESTIMATION RESULTS
ANNEX VI: PREDICTED VALUES FROM STRESS EVENT MODEL |
Record Nr. | UNINA-9910779224603321 |
Kochanova Anna
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Washington, D.C. : , : International Monetary Fund, , 2012 | ||
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Lo trovi qui: Univ. Federico II | ||
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Country Stress Events : : Does Governance Matter? / / Anna Kochanova, Carlos Caceres |
Autore | Kochanova Anna |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2012 |
Descrizione fisica | 1 online resource (46 p.) |
Disciplina | 332.10973 |
Altri autori (Persone) | CaceresCarlos |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Economic policy
Economics Banks and Banking Money and Monetary Policy Industries: Financial Services Financial Risk Management 'Panel Data Models Spatio-temporal Models' Financial Aspects of Economic Integration Banks Depository Institutions Micro Finance Institutions Mortgages Socialist Institutions and Their Transitions: Financial Economics Monetary Policy, Central Banking, and the Supply of Money and Credit: General Financial Crises Banking Monetary economics Finance Economic & financial crises & disasters Foreign banks Bank credit Credit Loans Financial institutions Money Financial crises Banks and banking Banks and banking, Foreign Exports and Imports Finance: General Macroeconomics Public Finance Criminology Relation of Economics to Other Disciplines Institutions and the Macroeconomy Fiscal Policy Corporate Finance and Governance: Government Policy and Regulation Law and Economics: General (including Data Sources and Description) Public Administration Public Sector Accounting and Audits Personal Income, Wealth, and Their Distributions Bureaucracy Administrative Processes in Public Organizations Corruption International Lending and Debt Problems General Financial Markets: Government Policy and Regulation Public finance & taxation Corporate crime white-collar crime International economics Fiscal risks Personal income Debt default Financial soundness indicators Fiscal policy Income Debts, External Financial services industry |
ISBN |
1-4755-1820-X
1-4755-4247-X |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover; CONTENTS; I. INTRODUCTION; II. DATA AND CONSTRUCTION OF THE MAIN VARIABLES; A. GOVERNANCE MEASURES; B. FISCAL STRESS INDICATOR (FSI); C. POLITICAL STRESS INDICATOR (PSI); D. OTHER VARIABLES; III. ESTIMATION METHODOLOGY AND MAIN RESULTS; A. ESTIMATION TECHNIQUE; B. ESTIMATION RESULTS; IV. DISCUSSION OF THE RESULTS; A. FISCAL STRESS; B. POLITICAL STRESS; V. CONCLUSION; REFERENCES; ANNEX I: DATA AND DESCRIPTIVE STATISTICS; ANNEX II: DATA SOURCES; ANNEX III: FISCAL AND POLITICAL STRESS EVENTS; ANNEX IV: GROUPING OF COUNTRIES BY REGION AND HYDROCARBON EXPORT; ANNEX V: ESTIMATION RESULTS
ANNEX VI: PREDICTED VALUES FROM STRESS EVENT MODEL |
Record Nr. | UNINA-9910813302403321 |
Kochanova Anna
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Washington, D.C. : , : International Monetary Fund, , 2012 | ||
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Lo trovi qui: Univ. Federico II | ||
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Credit Flows, Fiscal Policy, and the External Deficit of Bosnia and Herzegovina / / Daniel Kanda |
Autore | Kanda Daniel |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (20 p.) |
Collana | IMF Working Papers |
Soggetto topico |
Credit - Bosnia and Hercegovina
Fiscal policy - Bosnia and Hercegovina Exports and Imports Money and Monetary Policy Monetary Policy, Central Banking, and the Supply of Money and Credit: General Empirical Studies of Trade Monetary Systems Standards Regimes Government and the Monetary System Payment Systems Monetary economics International economics Trade balance Credit Bank credit Consumer credit Currencies Balance of trade Money |
ISBN |
1-4623-8813-2
1-4527-1986-1 1-283-51577-6 1-4519-0989-6 9786613828224 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | ""Contents""; ""I. BACKGROUND""; ""II. A THEORETICAL MODEL OF THE TRADE BALANCE""; ""A. The Consumer�s Problem""; ""B. The Firm�s Problem""; ""C. The Government�s Problem""; ""D. The Bank�s Problem""; ""E. Import and Export Market Clearing""; ""F. The Trade Balance""; ""G. The Exchange Rate""; ""III. THE ESTIMATED MODEL""; ""A. Data Considerations""; ""B. Stationarity""; ""C. Estimation Results""; ""D. Forecast Evaluation""; ""IV. POLICY IMPLICATIONS""; ""Appendix Dataset Used in the Estimation""; ""References"" |
Record Nr. | UNINA-9910788406803321 |
Kanda Daniel
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Washington, D.C. : , : International Monetary Fund, , 2006 | ||
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Lo trovi qui: Univ. Federico II | ||
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Credit Flows, Fiscal Policy, and the External Deficit of Bosnia and Herzegovina / / Daniel Kanda |
Autore | Kanda Daniel |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (20 p.) |
Collana | IMF Working Papers |
Soggetto topico |
Credit - Bosnia and Hercegovina
Fiscal policy - Bosnia and Hercegovina Exports and Imports Money and Monetary Policy Monetary Policy, Central Banking, and the Supply of Money and Credit: General Empirical Studies of Trade Monetary Systems Standards Regimes Government and the Monetary System Payment Systems Monetary economics International economics Trade balance Credit Bank credit Consumer credit Currencies Balance of trade Money |
ISBN |
1-4623-8813-2
1-4527-1986-1 1-283-51577-6 1-4519-0989-6 9786613828224 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | ""Contents""; ""I. BACKGROUND""; ""II. A THEORETICAL MODEL OF THE TRADE BALANCE""; ""A. The Consumer�s Problem""; ""B. The Firm�s Problem""; ""C. The Government�s Problem""; ""D. The Bank�s Problem""; ""E. Import and Export Market Clearing""; ""F. The Trade Balance""; ""G. The Exchange Rate""; ""III. THE ESTIMATED MODEL""; ""A. Data Considerations""; ""B. Stationarity""; ""C. Estimation Results""; ""D. Forecast Evaluation""; ""IV. POLICY IMPLICATIONS""; ""Appendix Dataset Used in the Estimation""; ""References"" |
Record Nr. | UNINA-9910825688403321 |
Kanda Daniel
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Washington, D.C. : , : International Monetary Fund, , 2006 | ||
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Lo trovi qui: Univ. Federico II | ||
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Credit Growth in the Middle East, North Africa, and Central Asia Region / / Joe Crowley |
Autore | Crowley Joe |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (62 p.) |
Disciplina | 332.7 |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Credit - Middle East
Credit - Africa, North Credit - Asia, Central Petroleum industry and trade - Economic aspects - Middle East Petroleum industry and trade - Economic aspects - Africa, North Petroleum industry and trade - Economic aspects - Asia, Central Investments: Energy Exports and Imports Macroeconomics Money and Monetary Policy Monetary Policy, Central Banking, and the Supply of Money and Credit: General Energy: General Trade: General Public Enterprises Public-Private Enterprises Monetary economics Investment & securities International economics Civil service & public sector Credit Oil Consumer credit Oil exports Public sector Petroleum industry and trade Exports Finance, Public |
ISBN |
1-4623-4671-5
1-4527-7228-2 9786612841354 1-4518-7042-6 1-282-84135-1 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Background; III. Overview of Private Sector Credit Growth in the Region; Figures; 1. Average Annual Private Sector Credit Growth Rates (SDRs); 2. Private Sector Credit to GDP, 1998 and 2006; 3. Private Sector Credit to GDP by Region, 1996-2006; Tables; 1. Private Sector Credit, Ratios to Oil and Nonoil GDP, 1996-2006; 4. Private Sector Credit to GDP, 1996-2006; IV. Public Sector Credit Growth; 5. Private Sector Credit to Total Credit in MCD Countries, 2001-2006; V. Analysis of Factors Determining Credit Growth; 6. Public Sector Credit to Nonoil GDP, 1996-2006
2. Regressions of Credit Growth, 1997-2006VI. Tests for Regional Spillovers from Oil; A. Exports; B. Capital Flows; 3. Exports of Goods and Services, 1996-2006; 7. Net Capital Flows, 1996-2006; C. Transfers; 4. Capital Flows as a Share of GDP, 1996-2006; 8. Net Transfers, 1996-2006; D. Indirect effects; VII. Investment; A. Overview; 5. Regressions of Credit Growth on Top Oil Producers' Earnings, 1997-2006; 6. Private Investment, 1996-2006; B. Regression Results; C. Implications for Nonoil Exports; 7. Regressions of Credit Growth on Investment and Foreign Liabilities, 1997-2006 1/ VIII. Current Accounts A. Overview; B. Implications for Nonoil Exports; 8. Net Exports of Goods and Services in the MCD region, 1996-2006; IX. Structural Variables; 9. Regressions of Credit Growth on Structural Variables, 1997-2006 1/; X. Prudential Indicators and Profitability; A. Variables Examined; 9. Credit Growth and Profitability: 2006; 10. Credit Growth and Prudential Indicators: 2006; B. Regression Results; 10. Regressions of Credit Growth on Prudential Indicators, 2002-2006 1/; XI. Interest rates and Inflation; XII. Public Sector Involvement and Foreign Banks 11. Inflation (weighted by GDP) and Exchange Rates, 1996-2006 XIII. An Analysis of the Components of Private Sector Credit Growth; A. Economic Growth; B. Financial Sector Deepening; 12. GDP Growth, 1997-2006; 11. Deposits to GDP, by Region, 1996, 2006; C. Banks' Willingness to Lend to the Private Sector; 12. Private Sector Credit to Available Funds*, by Region, 1996-2006; XIV. Outlook for the Future; A. Regional Comparisons; B. Examination of the Components of Private Sector Credit Growth; C. Outlook by Region; D. Risks; XV. Policy Implications; XVI. Summary and Conclusions XVII. Topics for Further Investigation Appendixes; I. Summary of Regression Variables; II. Data and Countries Analyzed; III. Fixed Effects Regressions; Appendix Tables; 1. Regressions of Credit Growth Regressions, 1997-2006-Fixed Effects; 2. Regressions of Credit Growth on Top Oil Producers' Earnings, 1997-2006-Fixed Effects; 3. Regressions of Credit Growth on Investment and Foreign Liabilities, 1997-2006-Fixed Effects; 4. Regressions of Credit Growth on Structural Variables, 1997-2006-Fixed Effects; 5. Regressions of Credit Growth on Prudential Indicators, 2002-2006-Fixed Effects IV. Interest Rate Table |
Record Nr. | UNINA-9910788235303321 |
Crowley Joe
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Washington, D.C. : , : International Monetary Fund, , 2008 | ||
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Lo trovi qui: Univ. Federico II | ||
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Credit Growth in the Middle East, North Africa, and Central Asia Region / / Joe Crowley |
Autore | Crowley Joe |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (62 p.) |
Disciplina | 332.7 |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Credit - Middle East
Credit - Africa, North Credit - Asia, Central Petroleum industry and trade - Economic aspects - Middle East Petroleum industry and trade - Economic aspects - Africa, North Petroleum industry and trade - Economic aspects - Asia, Central Investments: Energy Exports and Imports Macroeconomics Money and Monetary Policy Monetary Policy, Central Banking, and the Supply of Money and Credit: General Energy: General Trade: General Public Enterprises Public-Private Enterprises Monetary economics Investment & securities International economics Civil service & public sector Credit Oil Consumer credit Oil exports Public sector Petroleum industry and trade Exports Finance, Public |
ISBN |
1-4623-4671-5
1-4527-7228-2 9786612841354 1-4518-7042-6 1-282-84135-1 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Background; III. Overview of Private Sector Credit Growth in the Region; Figures; 1. Average Annual Private Sector Credit Growth Rates (SDRs); 2. Private Sector Credit to GDP, 1998 and 2006; 3. Private Sector Credit to GDP by Region, 1996-2006; Tables; 1. Private Sector Credit, Ratios to Oil and Nonoil GDP, 1996-2006; 4. Private Sector Credit to GDP, 1996-2006; IV. Public Sector Credit Growth; 5. Private Sector Credit to Total Credit in MCD Countries, 2001-2006; V. Analysis of Factors Determining Credit Growth; 6. Public Sector Credit to Nonoil GDP, 1996-2006
2. Regressions of Credit Growth, 1997-2006VI. Tests for Regional Spillovers from Oil; A. Exports; B. Capital Flows; 3. Exports of Goods and Services, 1996-2006; 7. Net Capital Flows, 1996-2006; C. Transfers; 4. Capital Flows as a Share of GDP, 1996-2006; 8. Net Transfers, 1996-2006; D. Indirect effects; VII. Investment; A. Overview; 5. Regressions of Credit Growth on Top Oil Producers' Earnings, 1997-2006; 6. Private Investment, 1996-2006; B. Regression Results; C. Implications for Nonoil Exports; 7. Regressions of Credit Growth on Investment and Foreign Liabilities, 1997-2006 1/ VIII. Current Accounts A. Overview; B. Implications for Nonoil Exports; 8. Net Exports of Goods and Services in the MCD region, 1996-2006; IX. Structural Variables; 9. Regressions of Credit Growth on Structural Variables, 1997-2006 1/; X. Prudential Indicators and Profitability; A. Variables Examined; 9. Credit Growth and Profitability: 2006; 10. Credit Growth and Prudential Indicators: 2006; B. Regression Results; 10. Regressions of Credit Growth on Prudential Indicators, 2002-2006 1/; XI. Interest rates and Inflation; XII. Public Sector Involvement and Foreign Banks 11. Inflation (weighted by GDP) and Exchange Rates, 1996-2006 XIII. An Analysis of the Components of Private Sector Credit Growth; A. Economic Growth; B. Financial Sector Deepening; 12. GDP Growth, 1997-2006; 11. Deposits to GDP, by Region, 1996, 2006; C. Banks' Willingness to Lend to the Private Sector; 12. Private Sector Credit to Available Funds*, by Region, 1996-2006; XIV. Outlook for the Future; A. Regional Comparisons; B. Examination of the Components of Private Sector Credit Growth; C. Outlook by Region; D. Risks; XV. Policy Implications; XVI. Summary and Conclusions XVII. Topics for Further Investigation Appendixes; I. Summary of Regression Variables; II. Data and Countries Analyzed; III. Fixed Effects Regressions; Appendix Tables; 1. Regressions of Credit Growth Regressions, 1997-2006-Fixed Effects; 2. Regressions of Credit Growth on Top Oil Producers' Earnings, 1997-2006-Fixed Effects; 3. Regressions of Credit Growth on Investment and Foreign Liabilities, 1997-2006-Fixed Effects; 4. Regressions of Credit Growth on Structural Variables, 1997-2006-Fixed Effects; 5. Regressions of Credit Growth on Prudential Indicators, 2002-2006-Fixed Effects IV. Interest Rate Table |
Record Nr. | UNINA-9910813692803321 |
Crowley Joe
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Washington, D.C. : , : International Monetary Fund, , 2008 | ||
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Lo trovi qui: Univ. Federico II | ||
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Currency Mismatches and Corporate Default Risk : : Modeling, Measurement, and Surveillance Applications / / Andre Santos, Jorge Chan-Lau |
Autore | Santos Andre |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (32 p.) |
Altri autori (Persone) | Chan-LauJorge |
Collana | IMF Working Papers |
Soggetto topico |
Corporations - Finance
Default (Finance) Exports and Imports Finance: General Financial Risk Management Foreign Exchange Money and Monetary Policy International Financial Markets General Financial Markets: Government Policy and Regulation Monetary Systems Standards Regimes Government and the Monetary System Payment Systems International Lending and Debt Problems Finance Monetary economics International economics Currency Foreign exchange Asset valuation Currency mismatches Currencies Debt default Exchange rates Asset-liability management Financial risk management Money Debts, External |
ISBN |
1-4623-4273-6
1-4527-7435-8 1-283-51638-1 9786613828835 1-4519-0982-9 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | ""Contents""; ""I. INTRODUCTION""; ""II. WHY DO CURRENCY MISMATCHES MATTER?""; ""III. THE STRUCTURAL APPROACH TO DEFAULT RISK""; ""IV. THE DIFUSSION MODEL""; ""V. THE JUMP-DIFFUSION MODEL""; ""VI. THE DOUBLE EXPONENTIAL JUMP-DIFFUSION MODEL""; ""VII. SURVEILLANCE APPLICATIONS""; ""VIII. CONCLUSIONS""; ""REFERENCES"" |
Record Nr. | UNINA-9910788698803321 |
Santos Andre
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Washington, D.C. : , : International Monetary Fund, , 2006 | ||
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Lo trovi qui: Univ. Federico II | ||
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