Central America : : Structural Foundations for Regional Financial Integration |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (141 p.) |
Collana | Books |
Soggetto topico |
Intermediation (Finance) - Central America
Insurance - Central America Securities - Central America Migrant remittances - Central America Finance - Central America Banks and Banking Exports and Imports Finance: General Insurance Industries: Financial Services Investments: General Banks Depository Institutions Micro Finance Institutions Mortgages Pension Funds Non-bank Financial Institutions Financial Instruments Institutional Investors Monetary Systems Standards Regimes Government and the Monetary System Payment Systems Insurance Companies Actuarial Studies Remittances General Financial Markets: General (includes Measurement and Data) Financial Institutions and Services: Government Policy and Regulation Finance Banking Insurance & actuarial studies International economics Investment & securities Financial services law & regulation Payment systems Insurance companies Financial markets Financial institutions Securities Balance of payments Banks and banking Clearinghouses International finance Financial instruments |
ISBN |
1-4552-5900-4
1-4527-9375-1 1-283-53512-2 9786613847577 1-4519-7069-2 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | ; Overview and background / Patricia Brenner and Jens Clausen -- Consolidated supervision of financial groups in Central America / Patricia Brenner and R. Armando Morales -- Development of the insurance sector / Daniel Hardy and Miguel Palomino -- Payment and securities settlement systems / Massimo Cirasino and Mario Guadamillas -- Migrant remittances in Central America / Dilip Ratha. |
Record Nr. | UNINA-9910780745903321 |
Washington, D.C. : , : International Monetary Fund, , 2006 | ||
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Lo trovi qui: Univ. Federico II | ||
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Central America : : Structural Foundations for Regional Financial Integration |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (141 p.) |
Collana | Books |
Soggetto topico |
Intermediation (Finance) - Central America
Insurance - Central America Securities - Central America Migrant remittances - Central America Finance - Central America Banks and Banking Exports and Imports Finance: General Insurance Industries: Financial Services Investments: General Banks Depository Institutions Micro Finance Institutions Mortgages Pension Funds Non-bank Financial Institutions Financial Instruments Institutional Investors Monetary Systems Standards Regimes Government and the Monetary System Payment Systems Insurance Companies Actuarial Studies Remittances General Financial Markets: General (includes Measurement and Data) Financial Institutions and Services: Government Policy and Regulation Finance Banking Insurance & actuarial studies International economics Investment & securities Financial services law & regulation Payment systems Insurance companies Financial markets Financial institutions Securities Balance of payments Banks and banking Clearinghouses International finance Financial instruments |
ISBN |
1-4552-5900-4
1-4527-9375-1 1-283-53512-2 9786613847577 1-4519-7069-2 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | ; Overview and background / Patricia Brenner and Jens Clausen -- Consolidated supervision of financial groups in Central America / Patricia Brenner and R. Armando Morales -- Development of the insurance sector / Daniel Hardy and Miguel Palomino -- Payment and securities settlement systems / Massimo Cirasino and Mario Guadamillas -- Migrant remittances in Central America / Dilip Ratha. |
Record Nr. | UNINA-9910810288503321 |
Washington, D.C. : , : International Monetary Fund, , 2006 | ||
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Lo trovi qui: Univ. Federico II | ||
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Contingent Liabilities : : Issues and Practice / / Aliona Cebotari |
Autore | Cebotari Aliona |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (62 p.) |
Disciplina | 336.343351 |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Contingent liabilities (Accounting)
Liabilities (Accounting) Finance, Public - Accounting Risk management Accounting Budgeting Insurance Public Finance Public Administration Public Sector Accounting and Audits National Budget Budget Systems Insurance Companies Actuarial Studies Public finance & taxation Budgeting & financial management Financial reporting, financial statements Insurance & actuarial studies Contingent liabilities Budget planning and preparation Financial statements Fiscal risks Fiscal policy Budget Finance, Public |
ISBN |
1-4623-0937-2
1-4527-2687-6 1-282-84196-3 1-4518-7103-1 9786612841965 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Background; III. Mitigating Risks Associated with Contingent Liabilities; A. Frameworks for Dealing with Risks from Contingent Liabilities; B. When to take on Contingent Liabilities?; Boxes; 1. Market Failure and Terrorism Insurance; 2. When Are Guarantees Preferable to Other Forms of Support?; C. Strategies to Transfer Risk or Costs Related to Contingent Liabilities; Figures; 1. Typical Infrastructure PPP Project Risks and Hypothetical Allocation; 3. Estimating the Expected Cost and Market Value of Guarantees
D. Other Safeguards against Risks Related to Contingent LiabilitiesIV. Managing Retained Risk from Contingent Liabilities; A. Instruments for Managing Low Impact Liabilities; B. Instruments for Managing High Impact Liabilities; Tables; 1. Contingency Funds to Meet Calls on Contingent Liabilities: Selected Examples; V. Disclosing Contingent Liabilities; 2. IPSAS: When to Recognize and Disclose Contingent Liabilities; 3. Accounting/Statistical Standards and Transparency Initiatives: What to Disclose; 4. Legislative Requirements to Disclose Fiscal Risks: Selected Country Examples VI. Institutional Arrangements for Managing Contingent Liability Risks5. Disclosing the Magnitude of Contingent Liabilities: Selected Country Examples; VII. Conclusion; 4. Institutional Arrangements for Managing PPP Risks; A1. Accounting Standards and Standard Setters; Annexes; I. Accounting/Statistical Standards and Contingent Liabilities; A1. Summary of the Main Requirements for Recognition and Disclosures of Contingent Liabilities; II. Measuring the Value of Contingent Liabilities; A1. The Swedish Debt Office Simulation Model; References |
Record Nr. | UNINA-9910788343003321 |
Cebotari Aliona
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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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Contingent Liabilities : : Issues and Practice / / Aliona Cebotari |
Autore | Cebotari Aliona |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (62 p.) |
Disciplina | 336.343351 |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Contingent liabilities (Accounting)
Liabilities (Accounting) Finance, Public - Accounting Risk management Accounting Budgeting Insurance Public Finance Public Administration Public Sector Accounting and Audits National Budget Budget Systems Insurance Companies Actuarial Studies Public finance & taxation Budgeting & financial management Financial reporting, financial statements Insurance & actuarial studies Contingent liabilities Budget planning and preparation Financial statements Fiscal risks Fiscal policy Budget Finance, Public |
ISBN |
1-4623-0937-2
1-4527-2687-6 1-282-84196-3 1-4518-7103-1 9786612841965 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Background; III. Mitigating Risks Associated with Contingent Liabilities; A. Frameworks for Dealing with Risks from Contingent Liabilities; B. When to take on Contingent Liabilities?; Boxes; 1. Market Failure and Terrorism Insurance; 2. When Are Guarantees Preferable to Other Forms of Support?; C. Strategies to Transfer Risk or Costs Related to Contingent Liabilities; Figures; 1. Typical Infrastructure PPP Project Risks and Hypothetical Allocation; 3. Estimating the Expected Cost and Market Value of Guarantees
D. Other Safeguards against Risks Related to Contingent LiabilitiesIV. Managing Retained Risk from Contingent Liabilities; A. Instruments for Managing Low Impact Liabilities; B. Instruments for Managing High Impact Liabilities; Tables; 1. Contingency Funds to Meet Calls on Contingent Liabilities: Selected Examples; V. Disclosing Contingent Liabilities; 2. IPSAS: When to Recognize and Disclose Contingent Liabilities; 3. Accounting/Statistical Standards and Transparency Initiatives: What to Disclose; 4. Legislative Requirements to Disclose Fiscal Risks: Selected Country Examples VI. Institutional Arrangements for Managing Contingent Liability Risks5. Disclosing the Magnitude of Contingent Liabilities: Selected Country Examples; VII. Conclusion; 4. Institutional Arrangements for Managing PPP Risks; A1. Accounting Standards and Standard Setters; Annexes; I. Accounting/Statistical Standards and Contingent Liabilities; A1. Summary of the Main Requirements for Recognition and Disclosures of Contingent Liabilities; II. Measuring the Value of Contingent Liabilities; A1. The Swedish Debt Office Simulation Model; References |
Record Nr. | UNINA-9910810966103321 |
Cebotari Aliona
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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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Denmark : : Detailed Assessment of Observance of the Insurance Core Principles |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2014 |
Descrizione fisica | 1 online resource (130 p.) |
Disciplina | 354.85 |
Collana | IMF Staff Country Reports |
Soggetto topico |
Insurance - State supervision - Denmark
Insurance law - Denmark Finance: General Financial Risk Management Insurance Public Finance Industries: Financial Services Pension Funds Non-bank Financial Institutions Financial Instruments Institutional Investors Insurance Companies Actuarial Studies Bankruptcy Liquidation Social Security and Public Pensions Financial Crises Finance Insurance & actuarial studies Pensions Economic & financial crises & disasters Insurance companies Solvency Pension spending Financial crises Financial institutions Financial sector policy and analysis Expenditure Debt |
ISBN |
1-4983-6494-2
1-4755-7225-5 |
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 Macroprudential Setting; TABLES; 1. Insurance Penetration and Density in 2012; 2. Size of the Insurance Sector in 2012; 3. Trends in Insurance Market Structure (number of companies); 4. Trend in Technical Provisions; 5. Composition of Assets; 6. Gross Premiums Written by Major Lines of Business; 7. Profitability Indicators; 8. Solvency Ratios (Solvency I) by Major Lines of Business
D. Preconditions for Effective Insurance Supervision 9. Summary of Compliance with the ICP's; E. Recommendations and Authorities' Response; 10. Summary of Observance Level; 11. Recommendations to Improve Observance of the ICP's; F. Authorities' Responses to the Assessment; DETAILED ASSESSMENT; 12. Detailed Assessment of Observance of the ICP's |
Record Nr. | UNINA-9910788163203321 |
Washington, D.C. : , : International Monetary Fund, , 2014 | ||
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Lo trovi qui: Univ. Federico II | ||
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Denmark : : Detailed Assessment of Observance of the Insurance Core Principles |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2014 |
Descrizione fisica | 1 online resource (130 p.) |
Disciplina | 354.85 |
Collana | IMF Staff Country Reports |
Soggetto topico |
Insurance - State supervision - Denmark
Insurance law - Denmark Finance: General Financial Risk Management Insurance Public Finance Industries: Financial Services Pension Funds Non-bank Financial Institutions Financial Instruments Institutional Investors Insurance Companies Actuarial Studies Bankruptcy Liquidation Social Security and Public Pensions Financial Crises Finance Insurance & actuarial studies Pensions Economic & financial crises & disasters Insurance companies Solvency Pension spending Financial crises Financial institutions Financial sector policy and analysis Expenditure Debt |
ISBN |
1-4983-6494-2
1-4755-7225-5 |
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 Macroprudential Setting; TABLES; 1. Insurance Penetration and Density in 2012; 2. Size of the Insurance Sector in 2012; 3. Trends in Insurance Market Structure (number of companies); 4. Trend in Technical Provisions; 5. Composition of Assets; 6. Gross Premiums Written by Major Lines of Business; 7. Profitability Indicators; 8. Solvency Ratios (Solvency I) by Major Lines of Business
D. Preconditions for Effective Insurance Supervision 9. Summary of Compliance with the ICP's; E. Recommendations and Authorities' Response; 10. Summary of Observance Level; 11. Recommendations to Improve Observance of the ICP's; F. Authorities' Responses to the Assessment; DETAILED ASSESSMENT; 12. Detailed Assessment of Observance of the ICP's |
Record Nr. | UNINA-9910825934403321 |
Washington, D.C. : , : International Monetary Fund, , 2014 | ||
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Lo trovi qui: Univ. Federico II | ||
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Economic Integration and Financial Stability : : A European Perspective / / Gianni De Nicolo, Alexander Tieman |
Autore | De Nicolo Gianni |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (30 p.) |
Altri autori (Persone) | TiemanAlexander |
Collana | IMF Working Papers |
Soggetto topico |
Fiscal policy - Europe - Econometric models
Finance - Europe - Econometric models Banks and Banking Finance: General Industries: Financial Services Macroeconomics Financial Aspects of Economic Integration Banks Depository Institutions Micro Finance Institutions Mortgages Insurance Insurance Companies Actuarial Studies General Financial Markets: Government Policy and Regulation General Financial Markets: General (includes Measurement and Data) Pension Funds Non-bank Financial Institutions Financial Instruments Institutional Investors Personal Income, Wealth, and Their Distributions Finance Banking Systemic risk Stock markets Financial integration Insurance companies Financial sector policy and analysis Financial markets Financial institutions Personal income National accounts Financial risk management Stock exchanges Banks and banking International finance Income |
ISBN |
1-4623-4171-3
1-4527-0371-X 1-283-51309-9 9786613825544 1-4519-1009-6 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
""Economic Integration and Financial Stability: A European Perspective""; ""Contents""; ""I. INTRODUCTION""; ""II. SYNCHRONIZATION OF REAL ACTIVITY""; ""III. EQUITY MARKETS INTEGRATION""; ""IV. SYSTEMIC RISK AND INTEGRATION""; ""V. CONCLUSION""; ""Table 1. EGARCH Estimates for the Common Components of IPG""; ""Table 2. EGARCH Estimates for Cross-Country Variances of IPG and De-Trended IPG""; ""Table 3. Country-by-Country EGARCH Estimates for IPG""; ""Table 4. Dependent Variables: Cross-Country Variance of IEDFs and Country IEDFs""
""Table 5. Dependent Variables: Cross-Country Variance of Portfolios� DDs""""Table 6. Dependent Variable: Banks DDs Changes""; ""Table 7. Dependent Variable: Insurance DDs Changes""; ""Appendix Table 1. Banks and Insurance Companies""; ""REFERENCES"" |
Record Nr. | UNINA-9910788408903321 |
De Nicolo Gianni
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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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Economic Integration and Financial Stability : : A European Perspective / / Gianni De Nicolo, Alexander Tieman |
Autore | De Nicolo Gianni |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (30 p.) |
Altri autori (Persone) | TiemanAlexander |
Collana | IMF Working Papers |
Soggetto topico |
Fiscal policy - Europe - Econometric models
Finance - Europe - Econometric models Banks and Banking Finance: General Industries: Financial Services Macroeconomics Financial Aspects of Economic Integration Banks Depository Institutions Micro Finance Institutions Mortgages Insurance Insurance Companies Actuarial Studies General Financial Markets: Government Policy and Regulation General Financial Markets: General (includes Measurement and Data) Pension Funds Non-bank Financial Institutions Financial Instruments Institutional Investors Personal Income, Wealth, and Their Distributions Finance Banking Systemic risk Stock markets Financial integration Insurance companies Financial sector policy and analysis Financial markets Financial institutions Personal income National accounts Financial risk management Stock exchanges Banks and banking International finance Income |
ISBN |
1-4623-4171-3
1-4527-0371-X 1-283-51309-9 9786613825544 1-4519-1009-6 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
""Economic Integration and Financial Stability: A European Perspective""; ""Contents""; ""I. INTRODUCTION""; ""II. SYNCHRONIZATION OF REAL ACTIVITY""; ""III. EQUITY MARKETS INTEGRATION""; ""IV. SYSTEMIC RISK AND INTEGRATION""; ""V. CONCLUSION""; ""Table 1. EGARCH Estimates for the Common Components of IPG""; ""Table 2. EGARCH Estimates for Cross-Country Variances of IPG and De-Trended IPG""; ""Table 3. Country-by-Country EGARCH Estimates for IPG""; ""Table 4. Dependent Variables: Cross-Country Variance of IEDFs and Country IEDFs""
""Table 5. Dependent Variables: Cross-Country Variance of Portfolios� DDs""""Table 6. Dependent Variable: Banks DDs Changes""; ""Table 7. Dependent Variable: Insurance DDs Changes""; ""Appendix Table 1. Banks and Insurance Companies""; ""REFERENCES"" |
Record Nr. | UNINA-9910826087003321 |
De Nicolo Gianni
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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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Efficiency and Performance of Bulgarian Private Pensions / / Gregorio Impavido |
Autore | Impavido Gregorio |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (107 p.) |
Disciplina | 331.25 |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Pensions - Bulgaria
Old age pensions - Bulgaria Financial Risk Management Insurance Labor Public Finance Social Security and Public Pensions Nonwage Labor Costs and Benefits Private Pensions Governmental Property International Financial Markets Insurance Companies Actuarial Studies Pensions Public finance & taxation Finance Insurance & actuarial studies Pension spending Government asset management Asset management Finance, Public Asset-liability management |
ISBN |
1-4623-9816-2
1-4527-9044-2 9786612842191 1-282-84219-6 1-4518-7126-0 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover Page; Title Page; Copyright Page; Contents; Glossary; I. Introduction; II. Brief Description of the Bulgarian Pension System; 1. Key Features of the Bulgarian Pension System; III. Market Structure; 2. Number of Legal Entities; 3. Direct Shareholding Structure of PICs; 4. Membership Growth and Concentration; 5. Net Assets Growth and Concentration; 6. Annual Contributions Growth and Concentration; 7. Assets of Autonomous Pension Funds in Select OECD and non-OECD Countries; 8. Concentration Indicators-Select Countries; IV. Asset Allocation and Investment Performance; A. Asset Allocation
1. Asset Allocation in 2006 in Select OECD Countries2. Asset Allocation of Bulgarian Pension Funds, 2004-07; 9. Investment Portfolios of UPFs; 10. Investment Portfolios of PPFs; 11. Investment Portfolios of VPFs; B. Investment Performance; 12. Average Maturity of PICs' Bond Portfolio (March, 2007); 13. Gross Nominal and Real Investment Performance, 2002-2007; 14. International Comparison of Real Rates of Returns; 15. Net Nominal Investment Performance, 2003-2007; C. Price Distortions; 16. Concentration and Market Power-Select Countries; V. Regulatory Framework A. Issues in the Accumulation Phase17. Minimum Return Guarantee in Select Countries; 18. Standard Deviation in Portfolio Weights and Returns of PICs; 19. Price Regulation in Select Countries; 3. Forty-year Charge Ratios in Select Countries; 20. Forty-year AUM Equivalent First Floor Fees (Select Countries, Percent); 21. Number of Transfers across Latin American Pension Funds, 2000 - mid-2007; 4. Switches in the Mexican AFORE Market (2006); B. Issues in the Payout Phase; VI. Policy Conclusions; A. The Market; B. Regulation and Supervision I. Overview of Second and Third Pillars Institutional ArrangementsII. Detailed Data by Legal Entity; 22. Membership by Legal Entity; 23. Net Assets by Legal Entity; 24. Annual Contributions by Legal Entity; 25. Annual Gross Investment Performance by Legal Entity; 26. Portfolio Allocation by UPFs (2004); 27. Portfolio Allocation by UPFs (2005); 28. Portfolio Allocation by UPFs (2006); 29. Portfolio Allocation by UPFs (2007); 30. Portfolio Allocation by PPFs (2004); 31. Portfolio Allocation by PPFs (2005); 32. Portfolio Allocation by PPFs (2006); 33. Portfolio Allocation by PPFs (2007) 34. Portfolio Allocation by VPFs (2004)35. Portfolio Allocation by VPFs (2005); 36. Portfolio Allocation by VPFs (2006); 37. Portfolio Allocation by VPFs (2007); 38. Pension Funds Investment Regulation; III. Investment Rules for Pension Funds; IV. Relationship Between Concentration, Market Power and Demand Elasticity; 39. Lerner Indices with No Investment Income; 40. Lerner Indices with Investment Income; VII. References; Footnotes |
Record Nr. | UNINA-9910788341403321 |
Impavido Gregorio
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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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Efficiency and Performance of Bulgarian Private Pensions / / Gregorio Impavido |
Autore | Impavido Gregorio |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2008 |
Descrizione fisica | 1 online resource (107 p.) |
Disciplina | 331.25 |
Collana |
IMF Working Papers
IMF working paper |
Soggetto topico |
Pensions - Bulgaria
Old age pensions - Bulgaria Financial Risk Management Insurance Labor Public Finance Social Security and Public Pensions Nonwage Labor Costs and Benefits Private Pensions Governmental Property International Financial Markets Insurance Companies Actuarial Studies Pensions Public finance & taxation Finance Insurance & actuarial studies Pension spending Government asset management Asset management Finance, Public Asset-liability management |
ISBN |
1-4623-9816-2
1-4527-9044-2 9786612842191 1-282-84219-6 1-4518-7126-0 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover Page; Title Page; Copyright Page; Contents; Glossary; I. Introduction; II. Brief Description of the Bulgarian Pension System; 1. Key Features of the Bulgarian Pension System; III. Market Structure; 2. Number of Legal Entities; 3. Direct Shareholding Structure of PICs; 4. Membership Growth and Concentration; 5. Net Assets Growth and Concentration; 6. Annual Contributions Growth and Concentration; 7. Assets of Autonomous Pension Funds in Select OECD and non-OECD Countries; 8. Concentration Indicators-Select Countries; IV. Asset Allocation and Investment Performance; A. Asset Allocation
1. Asset Allocation in 2006 in Select OECD Countries2. Asset Allocation of Bulgarian Pension Funds, 2004-07; 9. Investment Portfolios of UPFs; 10. Investment Portfolios of PPFs; 11. Investment Portfolios of VPFs; B. Investment Performance; 12. Average Maturity of PICs' Bond Portfolio (March, 2007); 13. Gross Nominal and Real Investment Performance, 2002-2007; 14. International Comparison of Real Rates of Returns; 15. Net Nominal Investment Performance, 2003-2007; C. Price Distortions; 16. Concentration and Market Power-Select Countries; V. Regulatory Framework A. Issues in the Accumulation Phase17. Minimum Return Guarantee in Select Countries; 18. Standard Deviation in Portfolio Weights and Returns of PICs; 19. Price Regulation in Select Countries; 3. Forty-year Charge Ratios in Select Countries; 20. Forty-year AUM Equivalent First Floor Fees (Select Countries, Percent); 21. Number of Transfers across Latin American Pension Funds, 2000 - mid-2007; 4. Switches in the Mexican AFORE Market (2006); B. Issues in the Payout Phase; VI. Policy Conclusions; A. The Market; B. Regulation and Supervision I. Overview of Second and Third Pillars Institutional ArrangementsII. Detailed Data by Legal Entity; 22. Membership by Legal Entity; 23. Net Assets by Legal Entity; 24. Annual Contributions by Legal Entity; 25. Annual Gross Investment Performance by Legal Entity; 26. Portfolio Allocation by UPFs (2004); 27. Portfolio Allocation by UPFs (2005); 28. Portfolio Allocation by UPFs (2006); 29. Portfolio Allocation by UPFs (2007); 30. Portfolio Allocation by PPFs (2004); 31. Portfolio Allocation by PPFs (2005); 32. Portfolio Allocation by PPFs (2006); 33. Portfolio Allocation by PPFs (2007) 34. Portfolio Allocation by VPFs (2004)35. Portfolio Allocation by VPFs (2005); 36. Portfolio Allocation by VPFs (2006); 37. Portfolio Allocation by VPFs (2007); 38. Pension Funds Investment Regulation; III. Investment Rules for Pension Funds; IV. Relationship Between Concentration, Market Power and Demand Elasticity; 39. Lerner Indices with No Investment Income; 40. Lerner Indices with Investment Income; VII. References; Footnotes |
Record Nr. | UNINA-9910812130503321 |
Impavido Gregorio
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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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