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Economic Integration and Financial Stability : : A European Perspective / / Gianni De Nicolo, Alexander Tieman
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  
Washington, D.C. : , : International Monetary Fund, , 2006
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Economic Integration and Financial Stability : : A European Perspective / / Gianni De Nicolo, Alexander Tieman
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
Actuarial Studies
Banking
Banks and Banking
Banks and banking
Banks
Depository Institutions
Finance
Finance: General
Financial Aspects of Economic Integration
Financial institutions
Financial Instruments
Financial integration
Financial markets
Financial risk management
Financial sector policy and analysis
General Financial Markets: General (includes Measurement and Data)
General Financial Markets: Government Policy and Regulation
Income
Industries: Financial Services
Institutional Investors
Insurance Companies
Insurance companies
Insurance
International finance
Macroeconomics
Micro Finance Institutions
Mortgages
National accounts
Non-bank Financial Institutions
Pension Funds
Personal income
Personal Income, Wealth, and Their Distributions
Stock exchanges
Stock markets
Systemic risk
ISBN 9786613825544
9781462341719
1462341713
9781452703718
145270371X
9781283513098
1283513099
9781451910094
1451910096
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-9910959021503321
De Nicolo Gianni  
Washington, D.C. : , : International Monetary Fund, , 2006
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial Sector Debt Bias / / Oana Luca, Alexander Tieman
Financial Sector Debt Bias / / Oana Luca, Alexander Tieman
Autore Luca Oana
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2016
Descrizione fisica 1 online resource (29 pages)
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
Soggetto topico Banks and Banking
Investments: Energy
Investments: Stocks
Macroeconomics
Industries: Energy
Time-Series Models
Dynamic Quantile Regressions
Dynamic Treatment Effect Models
Diffusion Processes
State Space Models
General Aggregative Models: Forecasting and Simulation
Business Fluctuations
Cycles
International Business Cycles
Macroeconomic Aspects of International Trade and Finance: Forecasting and Simulation
Economywide Country Studies: U.S
Canada
Energy and the Macroeconomy
Energy: Demand and Supply
Prices
Energy: General
Macroeconomics: Production
Pension Funds
Non-bank Financial Institutions
Financial Instruments
Institutional Investors
Interest Rates: Determination, Term Structure, and Effects
Investment & securities
Petroleum, oil & gas industries
Finance
Oil prices
Oil
Oil production
Stocks
Long term interest rates
Commodities
Production
Financial institutions
Financial services
Petroleum industry and trade
Interest rates
ISBN 9781475554137
1475554133
9781475554205
1475554206
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover -- Contents -- I. Introduction -- II. Analyzing the oil market using a multi-country model -- A. The GVAR-Oil model -- B. Effects of a fall in oil prices -- III. Analyzing oil price changes using monthly data -- A. Has the relationship between real oil and equity prices been stable over time? -- B. Are lower oil prices beneficial for the U.S. and the world economy? -- IV. How do global oil supplies respond to lower oil prices? -- V. Concluding Remarks -- References -- Figures -- 1. Nominal and Real (2015 U.S. dollars) WTI Oil Prices -- 2. Effects of Lower Oil Prices on Global Real Equity Prices, Long-Term Interest Rates, and Real GDP -- 3. Effects of Lower Oil Prices on Long-Term Interest Rates in Various Countries -- 4. Effects of Lower Oil Prices on Inflation in Various Countries -- 5. Effects of Lower Oil Prices on Real GDP in Various Countries -- 6. U.S. Oil Production (1000 barrels/day) -- 7. Real Oil Prices and Real US Equity Prices (S& -- P 500), 1946M1-2016M3 -- 8. Rolling Estimates of the Effects of Changes in Oil Prices on Equity Prices -- 9. Real Oil Prices and Real Dividends (S& -- P 500), 1946M1-2016M3 -- 10. Rolling Estimates of the Effects of Changes in Oil Prices on Real Dividends -- 11. Monthly Oil Production for Iran, Iraq, Russia, Saudi Arabia, and the US (1000 barrels/day) -- Tables -- 1. Countries and Regions in the GVAR-Oil Model -- 2. Correlations between Changes in Real Oil Prices, Equity Prices and Dividends -- 3. Estimates of the Long-run Coefficients of Real Oil Prices based on Various ARDL Regressions and Sub-samples, 1970M1-2016M4.
Record Nr. UNINA-9910155013703321
Luca Oana
Washington, D.C. : , : International Monetary Fund, , 2016
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
On Myopic Equilibria in Dynamic Games with Endogenous Discounting / / Wilko Bolt, Alexander Tieman
On Myopic Equilibria in Dynamic Games with Endogenous Discounting / / Wilko Bolt, Alexander Tieman
Autore Bolt Wilko
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2006
Descrizione fisica 1 online resource (18 p.)
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
Soggetto topico Game theory
Competition - Mathematical models
Equilibrium (Economics)
Banks and Banking
Finance: General
Macroeconomics
Environmental Economics
Price Level
Inflation
Deflation
General Financial Markets: General (includes Measurement and Data)
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Environmental Economics: General
Finance
Banking
Environmental economics
Asset prices
Competition
Environment
Prices
Banks and banking
Environmental sciences
ISBN 1-4623-3364-8
1-4527-9150-3
1-283-51256-4
1-4519-1015-0
9786613825018
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto ""Contents""; ""I Introduction""; ""II Defining the multi-stage game with endogenous discounting""; ""III Equilibrium analysis""; ""IV Finite horizon and equilibrium selection""; ""V An illustrative example""; ""VI Discussion and concluding remarks""; ""Appendix""; ""References""
Record Nr. UNINA-9910788417103321
Bolt Wilko  
Washington, D.C. : , : International Monetary Fund, , 2006
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
On Myopic Equilibria in Dynamic Games with Endogenous Discounting / / Wilko Bolt, Alexander Tieman
On Myopic Equilibria in Dynamic Games with Endogenous Discounting / / Wilko Bolt, Alexander Tieman
Autore Bolt Wilko
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2006
Descrizione fisica 1 online resource (18 p.)
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
Soggetto topico Game theory
Competition - Mathematical models
Equilibrium (Economics)
Asset prices
Banking
Banks and Banking
Banks and banking
Banks
Competition
Deflation
Depository Institutions
Environment
Environmental Economics
Environmental economics
Environmental Economics: General
Environmental sciences
Finance
Finance: General
General Financial Markets: General (includes Measurement and Data)
Inflation
Macroeconomics
Micro Finance Institutions
Mortgages
Price Level
Prices
ISBN 9786613825018
9781462333646
1462333648
9781452791500
1452791503
9781283512565
1283512564
9781451910155
1451910150
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto ""Contents""; ""I Introduction""; ""II Defining the multi-stage game with endogenous discounting""; ""III Equilibrium analysis""; ""IV Finite horizon and equilibrium selection""; ""V An illustrative example""; ""VI Discussion and concluding remarks""; ""Appendix""; ""References""
Record Nr. UNINA-9910968753603321
Bolt Wilko  
Washington, D.C. : , : International Monetary Fund, , 2006
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Quality of Financial Sector Regulation and Supervision Around the World / / Martin Cihak, Alexander Tieman
Quality of Financial Sector Regulation and Supervision Around the World / / Martin Cihak, Alexander Tieman
Autore Cihak Martin
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2008
Descrizione fisica 1 online resource (47 p.)
Disciplina 332.1
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
IMF working paper
Soggetto topico Banks and banking - State supervision
Financial institutions - State supervision
Banks and Banking
Finance: General
Macroeconomics
Business and Financial
General Financial Markets: Government Policy and Regulation
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Corporation and Securities Law
Personal Income, Wealth, and Their Distributions
Financial services law & regulation
Finance
Banking
Financial Sector Assessment Program
Basel Core Principles
Securities regulation
Personal income
Financial services industry
Banks and banking
State supervision
Nonbank financial institutions
Law and legislation
Income
ISBN 1-4623-2047-3
1-4527-0670-0
1-4518-7048-5
9786612841415
1-282-84141-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. Data and Methodology; III. An Introductory Analysis of the Quality of Supervision; A. Overall Findings; Figures; 1. Overall Compliance with Standards and Codes; B. Differences by Income Level and Geographic Region; 2. Overall Compliance by Income Level; 3. Overall Compliance by Geographic Region; C. Main Strengths and Areas for Improvement; IV. Regression Analysis; V. Analysis of Other FSAP Recommendations; Box; 1. Cross-Border Issues in FSAPs for EU Countries: A Survey; VI. Conclusions; 4. Coverage of BCP, IAIS, and IOSCO Assessments, as of December 31, 2007
Tables1. Banking Supervision 'Dictionary'; 2. Insurance Supervision 'Dictionary'; 3. Securities Regulation 'Dictionary'; 4. Financial Sector Standards and Their Four Main Components; 5. Compliance in Detail: Basel Core Principles; 6. Compliance in Detail: IAIS Principles; 7. Compliance in Detail: IOSCO's Objectives and Principles; 8. Regressions of Compliance on Income Per Capita; 5. Supervisory Quality by Level of Development; 6. Supervisory Quality by Geographic Region; 7. Correlation of Standards and Codes Assessments with the BCL Database
8. Correlation of Standards and Codes Assessments with KKM 2002 Database9. Correlation of Standards and Codes Assessments with KKM 2006 Database; 10. Regressions of Standards and Codes on KKM 2002 Variables and GDP Per Capita; 11. Regressions of Standards and Codes on KKM 2006 Variables and GDP Per Capita; 12. Regressions of Standards and Codes on BCL Variables and GDP Per Capita; Appendix; Main Areas for Improvements in Banking, Insurance, and Securities; References
Record Nr. UNINA-9910788233503321
Cihak Martin  
Washington, D.C. : , : International Monetary Fund, , 2008
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Quality of Financial Sector Regulation and Supervision Around the World / / Martin Cihak, Alexander Tieman
Quality of Financial Sector Regulation and Supervision Around the World / / Martin Cihak, Alexander Tieman
Autore Cihak Martin
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2008
Descrizione fisica 1 online resource (47 p.)
Disciplina 332.1
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
IMF working paper
Soggetto topico Banks and banking - State supervision
Financial institutions - State supervision
Banking
Banks and Banking
Banks and banking
Banks
Basel Core Principles
Business and Financial
Corporation and Securities Law
Depository Institutions
Finance
Finance: General
Financial Sector Assessment Program
Financial services industry
Financial services law & regulation
General Financial Markets: Government Policy and Regulation
Income
Law and legislation
Macroeconomics
Micro Finance Institutions
Mortgages
Nonbank financial institutions
Personal income
Personal Income, Wealth, and Their Distributions
Securities regulation
State supervision
ISBN 9786612841415
9781462320479
1462320473
9781452706702
1452706700
9781451870480
1451870485
9781282841413
1282841416
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. Data and Methodology; III. An Introductory Analysis of the Quality of Supervision; A. Overall Findings; Figures; 1. Overall Compliance with Standards and Codes; B. Differences by Income Level and Geographic Region; 2. Overall Compliance by Income Level; 3. Overall Compliance by Geographic Region; C. Main Strengths and Areas for Improvement; IV. Regression Analysis; V. Analysis of Other FSAP Recommendations; Box; 1. Cross-Border Issues in FSAPs for EU Countries: A Survey; VI. Conclusions; 4. Coverage of BCP, IAIS, and IOSCO Assessments, as of December 31, 2007
Tables1. Banking Supervision 'Dictionary'; 2. Insurance Supervision 'Dictionary'; 3. Securities Regulation 'Dictionary'; 4. Financial Sector Standards and Their Four Main Components; 5. Compliance in Detail: Basel Core Principles; 6. Compliance in Detail: IAIS Principles; 7. Compliance in Detail: IOSCO's Objectives and Principles; 8. Regressions of Compliance on Income Per Capita; 5. Supervisory Quality by Level of Development; 6. Supervisory Quality by Geographic Region; 7. Correlation of Standards and Codes Assessments with the BCL Database
8. Correlation of Standards and Codes Assessments with KKM 2002 Database9. Correlation of Standards and Codes Assessments with KKM 2006 Database; 10. Regressions of Standards and Codes on KKM 2002 Variables and GDP Per Capita; 11. Regressions of Standards and Codes on KKM 2006 Variables and GDP Per Capita; 12. Regressions of Standards and Codes on BCL Variables and GDP Per Capita; Appendix; Main Areas for Improvements in Banking, Insurance, and Securities; References
Record Nr. UNINA-9910970188003321
Cihak Martin  
Washington, D.C. : , : International Monetary Fund, , 2008
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Quality of financial sector regulation and supervision around the world / / Martin ćcihàk and Alexander Tieman
Quality of financial sector regulation and supervision around the world / / Martin ćcihàk and Alexander Tieman
Autore ćcihàk Martin
Pubbl/distr/stampa [Washington, District of Columbia] : , : International Monetary Fund, , 2008
Descrizione fisica 1 online resource (47 p.)
Disciplina 332.1
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
IMF working paper
Soggetto topico Banks and banking - State supervision
Financial institutions - State supervision
Soggetto genere / forma Electronic books.
ISBN 1-4623-2047-3
1-4527-0670-0
1-4518-7048-5
9786612841415
1-282-84141-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. Data and Methodology; III. An Introductory Analysis of the Quality of Supervision; A. Overall Findings; Figures; 1. Overall Compliance with Standards and Codes; B. Differences by Income Level and Geographic Region; 2. Overall Compliance by Income Level; 3. Overall Compliance by Geographic Region; C. Main Strengths and Areas for Improvement; IV. Regression Analysis; V. Analysis of Other FSAP Recommendations; Box; 1. Cross-Border Issues in FSAPs for EU Countries: A Survey; VI. Conclusions; 4. Coverage of BCP, IAIS, and IOSCO Assessments, as of December 31, 2007
Tables1. Banking Supervision 'Dictionary'; 2. Insurance Supervision 'Dictionary'; 3. Securities Regulation 'Dictionary'; 4. Financial Sector Standards and Their Four Main Components; 5. Compliance in Detail: Basel Core Principles; 6. Compliance in Detail: IAIS Principles; 7. Compliance in Detail: IOSCO's Objectives and Principles; 8. Regressions of Compliance on Income Per Capita; 5. Supervisory Quality by Level of Development; 6. Supervisory Quality by Geographic Region; 7. Correlation of Standards and Codes Assessments with the BCL Database
8. Correlation of Standards and Codes Assessments with KKM 2002 Database9. Correlation of Standards and Codes Assessments with KKM 2006 Database; 10. Regressions of Standards and Codes on KKM 2002 Variables and GDP Per Capita; 11. Regressions of Standards and Codes on KKM 2006 Variables and GDP Per Capita; 12. Regressions of Standards and Codes on BCL Variables and GDP Per Capita; Appendix; Main Areas for Improvements in Banking, Insurance, and Securities; References
Record Nr. UNINA-9910463619803321
ćcihàk Martin  
[Washington, District of Columbia] : , : International Monetary Fund, , 2008
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The Real Effects of Financial Sector Risk / / Andrea Maechler, Alexander Tieman
The Real Effects of Financial Sector Risk / / Andrea Maechler, Alexander Tieman
Autore Maechler Andrea
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (49 p.)
Disciplina 658.15
658.155
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
Soggetto topico Financial risk
Economic development
Banks and Banking
Finance: General
Money and Monetary Policy
Industries: Financial Services
Monetary Policy, Central Banking, and the Supply of Money and Credit: General
Financial Institutions and Services: General
General Financial Markets: Government Policy and Regulation
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Monetary economics
Finance
Banking
Credit
Financial sector
Financial sector risk
Bank credit
Financial services industry
Financial risk management
Banks and banking
ISBN 1-4623-7090-X
1-282-84406-7
1-4527-7730-6
1-4518-7345-X
9786612844065
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover Page; Title Page; Copyright Page; Contents; I. Introduction; II. Data; 1. Average Distance-to-Default in the Sample; 2. Average One-Year Expected Default Frequency; 1. The Distance-to-Default Measure; 3. Real Private Sector Credit Growth; III. Methodology; IV. Regresion Results and Discussion; 1. Macroeconomic Regressions-Distance-to-Default Indicators and Implied Effect on Credit Growth for Major European Banks; 2. Bank-Specific Regressions-Distance-to-Default Indicators and Implied Effect on Credit Growth for Major European Banks; V. Conclusion and Policy Implications
I. Data and Tables1. Data Summary; 2. Vector Error Correction Model Regression Results; 3. Macroeconomic Panel Regression Results for Private Sector Credit Using EDF1; 4. Macroeconomic Panel Regression Results for Private Sector Credit Using EDF5; 5. Macroeconomic Panel Regression Results for Private Sector Credit Using DD; 6. Macroeconomic Panel Regression Results for Private Sector Credit Using System DD; 7. Macroeconomic Panel Regression Results for Private Sector Credit Using DD Index; 8. Macroeconomic Panel Regression Results for Private Sector Credit Using Average Weighted DD
9. Macroeconomic Panel Regression Results for Private Sector Credit Using Average Weighted EDF110. Macroeconomic Panel Regression Results for Private Sector Credit Using Average Weighted EDF5; 11. Macroeconomic Panel Regression Results for GDP Using DD; 12. Bank-Specific Panel Regression Results Using EDF1; 13. Bank-Specific Panel Regression Results Using EDF5; 14. Bank-Specific Panel Regression Using DD; 15. Bank Specific Panel Regression Results Using EDF1 and Competition Controls; 16. Bank-Specific Panel Regression Results Using EDF5 and Competition Controls
17. Bank-Specific Panel Regression Results Using DD and Competition Controls18. Bank-Specific Panel Regression Results for GDP Using DD; References; Footnotes
Record Nr. UNINA-9910788227103321
Maechler Andrea  
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The Real Effects of Financial Sector Risk / / Andrea Maechler, Alexander Tieman
The Real Effects of Financial Sector Risk / / Andrea Maechler, Alexander Tieman
Autore Maechler Andrea
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (49 p.)
Disciplina 658.15
658.155
Altri autori (Persone) TiemanAlexander
Collana IMF Working Papers
Soggetto topico Financial risk
Economic development
Bank credit
Banking
Banks and Banking
Banks and banking
Banks
Credit
Depository Institutions
Finance
Finance: General
Financial Institutions and Services: General
Financial risk management
Financial sector risk
Financial sector
Financial services industry
General Financial Markets: Government Policy and Regulation
Industries: Financial Services
Micro Finance Institutions
Monetary economics
Monetary Policy, Central Banking, and the Supply of Money and Credit: General
Money and Monetary Policy
Mortgages
ISBN 9786612844065
9781462370900
146237090X
9781282844063
1282844067
9781452777306
1452777306
9781451873450
145187345X
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover Page; Title Page; Copyright Page; Contents; I. Introduction; II. Data; 1. Average Distance-to-Default in the Sample; 2. Average One-Year Expected Default Frequency; 1. The Distance-to-Default Measure; 3. Real Private Sector Credit Growth; III. Methodology; IV. Regresion Results and Discussion; 1. Macroeconomic Regressions-Distance-to-Default Indicators and Implied Effect on Credit Growth for Major European Banks; 2. Bank-Specific Regressions-Distance-to-Default Indicators and Implied Effect on Credit Growth for Major European Banks; V. Conclusion and Policy Implications
I. Data and Tables1. Data Summary; 2. Vector Error Correction Model Regression Results; 3. Macroeconomic Panel Regression Results for Private Sector Credit Using EDF1; 4. Macroeconomic Panel Regression Results for Private Sector Credit Using EDF5; 5. Macroeconomic Panel Regression Results for Private Sector Credit Using DD; 6. Macroeconomic Panel Regression Results for Private Sector Credit Using System DD; 7. Macroeconomic Panel Regression Results for Private Sector Credit Using DD Index; 8. Macroeconomic Panel Regression Results for Private Sector Credit Using Average Weighted DD
9. Macroeconomic Panel Regression Results for Private Sector Credit Using Average Weighted EDF110. Macroeconomic Panel Regression Results for Private Sector Credit Using Average Weighted EDF5; 11. Macroeconomic Panel Regression Results for GDP Using DD; 12. Bank-Specific Panel Regression Results Using EDF1; 13. Bank-Specific Panel Regression Results Using EDF5; 14. Bank-Specific Panel Regression Using DD; 15. Bank Specific Panel Regression Results Using EDF1 and Competition Controls; 16. Bank-Specific Panel Regression Results Using EDF5 and Competition Controls
17. Bank-Specific Panel Regression Results Using DD and Competition Controls18. Bank-Specific Panel Regression Results for GDP Using DD; References; Footnotes
Record Nr. UNINA-9910960076903321
Maechler Andrea  
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui