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A European Mandate for Financial Sector Supervisors in the EU
A European Mandate for Financial Sector Supervisors in the EU
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (32 p.)
Collana IMF Working Papers
Soggetto topico Banks and banking - State supervision
Banks and banking - Government policy
Banks and Banking
Finance: General
Financial Risk Management
Industries: Financial Services
Business and Financial
International Relations and International Political Economy: Other
Financial Institutions and Services: Government Policy and Regulation
Other Economic Systems: International Trade, Finance, Investment and Aid
General Financial Markets: Government Policy and Regulation
Financial Institutions and Services: General
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Financial services law & regulation
Economic & financial crises & disasters
Finance
Banking
Financial sector
Financial regulation and supervision
Deposit insurance
Financial sector stability
Economic sectors
Financial sector policy and analysis
Financial crises
Financial sector policy
Financial services industry
Law and legislation
Crisis management
Banks and banking
ISBN 1-4623-5982-5
1-4527-2586-1
9786612842283
1-282-84228-5
1-4518-7152-X
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. A System of National Supervisors; Table; 1. EU Area: Supervisory Structures; Figures; 1. EU Area: National Supervisory Models; 2. EU Area: Main Additional Tasks of National Supervisory Authorities; III. Formulation and Implementation of a European Mandate; Box; 1. Mutual Responsibilities of Supervisors in Australia and New Zealand; IV. Conclusions; Appendix; I. Recent EU Initiatives on a European Mandate for Supervisors; References
Record Nr. UNINA-9910788349303321
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
A European Mandate for Financial Sector Supervisors in the EU
A European Mandate for Financial Sector Supervisors in the EU
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (32 p.)
Disciplina 379.158094
Collana IMF Working Papers
Soggetto topico Banks and banking - State supervision
Banks and banking - Government policy
Banking
Banks and Banking
Banks and banking
Banks
Business and Financial
Crisis management
Deposit insurance
Depository Institutions
Economic & financial crises & disasters
Economic sectors
Finance
Finance: General
Financial crises
Financial Institutions and Services: General
Financial Institutions and Services: Government Policy and Regulation
Financial regulation and supervision
Financial Risk Management
Financial sector policy and analysis
Financial sector policy
Financial sector stability
Financial sector
Financial services industry
Financial services law & regulation
General Financial Markets: Government Policy and Regulation
Industries: Financial Services
International Relations and International Political Economy: Other
Law and legislation
Micro Finance Institutions
Mortgages
Other Economic Systems: International Trade, Finance, Investment and Aid
ISBN 1-4623-5982-5
1-4527-2586-1
9786612842283
1-282-84228-5
1-4518-7152-X
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. A System of National Supervisors; Table; 1. EU Area: Supervisory Structures; Figures; 1. EU Area: National Supervisory Models; 2. EU Area: Main Additional Tasks of National Supervisory Authorities; III. Formulation and Implementation of a European Mandate; Box; 1. Mutual Responsibilities of Supervisors in Australia and New Zealand; IV. Conclusions; Appendix; I. Recent EU Initiatives on a European Mandate for Supervisors; References
Record Nr. UNINA-9910817535503321
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (80 p.)
Disciplina 330.9
330.90511
Collana IMF Working Papers
Soggetto topico Global Financial Crisis, 2008-2009
Recessions
Banks and Banking
Finance: General
Financing Policy
Financial Risk and Risk Management
Capital and Ownership Structure
Value of Firms
Goodwill
Financial Institutions and Services: Government Policy and Regulation
General Financial Markets: Government Policy and Regulation
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Financial services law & regulation
Economic & financial crises & disasters
Finance
Banking
Bank bailouts
Liquidity risk
Credit risk
Financial sector policy
Financial risk management
Crisis management
Financial services industry
Banks and banking
ISBN 1-4623-3053-3
1-4527-5308-3
9786612844102
1-282-84410-5
1-4518-7351-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover Page; Title Page; Copyright Page; Contents; I. Introduction; II. Measuring Financial Sector Distress and Policy Initiatives; A. The Libor-OIS Spread; 1 The 3-month Libor-OIS Spreads in Levels and First Differences, in the United States, United Kingdom, Euro Area and Japan, January 1, 2007-March 31, 2009; B. Crisis Timeline; C. Policy Announcements; 1. Classification of Policy Measures; 2. Number of Front-Page Policy Announcements, June 1, 2007-March 31, 2009; 2. Cumulative Number of Front-Page Policy Announcements, June 1, 2007-March 31, 2009; III. Event Study Methodology
3. Impact of Policy Announcements on the Libor-OIS Spread, June 1, 2007-March 31, 2009IV. Impact of Policy Announcements on Interbank Credit and Liquidity Risk; A. Analysis on a Pooled Sample; Graphical Analysis; 4. Frequency Plots for the Pooled Sample of Announcements; 5. Time Profile of the Response of the Libor-OIS Spread to Policy Announcements; Statistical Analysis; 6. Magnitude and Statistical Significance of the Libor-OIS Spread Response to Policy Announcements (Pooled Sample); 3. Statistical Tests on a Pooled Sample for Alternative Event Windows and Measures of Surprise
4. Statistical Tests on a Pooled Sample for Alternative Measures of Financial Risk5. Characteristics and Impact of Financial Sector Policy Measures; B. Robustness Checks; C. Country-Specific Results; Graphical Analysis; 7. Impact of Domestic and Foreign Policy Announcements on the Libor-OIS Spread, June 1, 2007-March 31, 2009; Statistical Analysis; 8. Magnitude and Statistical Significance of the Libor-OIS Spread Response to Domestic and Foreign Policy Announcements (by Country)
9. Magnitude and Statistical Significance of the Libor-OIS Spread Response to Domestic and Foreign Policy Inaction and Ad Hoc Bank Bailouts (by Country)6. Statistical Significance of Foreign Policy Announcments on the Libor-OIS Spreads; V. Conclusion; Appendix I. Statistical Tests; References; Footnotes
Record Nr. UNINA-9910788226603321
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (80 p.)
Disciplina 330.9
330.90511
Collana IMF Working Papers
Soggetto topico Global Financial Crisis, 2008-2009
Recessions
Bank bailouts
Banking
Banks and Banking
Banks and banking
Banks
Capital and Ownership Structure
Credit risk
Crisis management
Depository Institutions
Economic & financial crises & disasters
Finance
Finance: General
Financial Institutions and Services: Government Policy and Regulation
Financial Risk and Risk Management
Financial risk management
Financial sector policy
Financial services industry
Financial services law & regulation
Financing Policy
General Financial Markets: Government Policy and Regulation
Goodwill
Liquidity risk
Micro Finance Institutions
Mortgages
Value of Firms
ISBN 1-4623-3053-3
1-4527-5308-3
9786612844102
1-282-84410-5
1-4518-7351-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover Page; Title Page; Copyright Page; Contents; I. Introduction; II. Measuring Financial Sector Distress and Policy Initiatives; A. The Libor-OIS Spread; 1 The 3-month Libor-OIS Spreads in Levels and First Differences, in the United States, United Kingdom, Euro Area and Japan, January 1, 2007-March 31, 2009; B. Crisis Timeline; C. Policy Announcements; 1. Classification of Policy Measures; 2. Number of Front-Page Policy Announcements, June 1, 2007-March 31, 2009; 2. Cumulative Number of Front-Page Policy Announcements, June 1, 2007-March 31, 2009; III. Event Study Methodology
3. Impact of Policy Announcements on the Libor-OIS Spread, June 1, 2007-March 31, 2009IV. Impact of Policy Announcements on Interbank Credit and Liquidity Risk; A. Analysis on a Pooled Sample; Graphical Analysis; 4. Frequency Plots for the Pooled Sample of Announcements; 5. Time Profile of the Response of the Libor-OIS Spread to Policy Announcements; Statistical Analysis; 6. Magnitude and Statistical Significance of the Libor-OIS Spread Response to Policy Announcements (Pooled Sample); 3. Statistical Tests on a Pooled Sample for Alternative Event Windows and Measures of Surprise
4. Statistical Tests on a Pooled Sample for Alternative Measures of Financial Risk5. Characteristics and Impact of Financial Sector Policy Measures; B. Robustness Checks; C. Country-Specific Results; Graphical Analysis; 7. Impact of Domestic and Foreign Policy Announcements on the Libor-OIS Spread, June 1, 2007-March 31, 2009; Statistical Analysis; 8. Magnitude and Statistical Significance of the Libor-OIS Spread Response to Domestic and Foreign Policy Announcements (by Country)
9. Magnitude and Statistical Significance of the Libor-OIS Spread Response to Domestic and Foreign Policy Inaction and Ad Hoc Bank Bailouts (by Country)6. Statistical Significance of Foreign Policy Announcments on the Libor-OIS Spreads; V. Conclusion; Appendix I. Statistical Tests; References; Footnotes
Record Nr. UNINA-9910812314903321
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui