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People's republic of China-Hong Kong special administrative region (1)
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Why do bank-dependent firms bear interest-rate risk (1)
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FDIC consumer news (1)
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Bankruptcy (1)
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Incomplete insurance, irreversible investment, and the microfoundations of financial intermediation (1)
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The detection and deterrence of mortgage fraud against financial institutions (1)
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The Communicating Lender Activity Reports from the Small Business Administration (CLEAR SBA) Act of 2015 (1)
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In the Senate of the United States. August 8, 1856. -- Ordered to be printed. Mr. Wade made the following report. (To accompany Bill S. 439.) The Committee of Claims, to whom was referred the petition of George Jewett, executor of Luther Jewett, deceased, report . (1)
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Republic of Equatorial Guinea (1)
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To Bet or Not to Bet (1)
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Financial and Business Cycles in Brazil (1)
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Indian Financial Sector (1)
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Financial Information and Macroeconomic Forecasts (1)
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China’s Rising IQ (Innovation Quotient) and Growth (1)
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Real Effects of Capital Inflows in Emerging Markets (1)
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Macro-Financial Linkages and Heterogeneous Non-Performing Loans Projections (1)
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Stock Market Liquidity in Chile (1)
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Non-Performing Loans in the ECCU (1)
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Assessing Liquidity Buffers in the Panamanian Banking Sector (1)
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The Relative Effectiveness of Spot and Derivatives Based Intervention (1)
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EIB Working Papers 2019 (1)
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Is Housing Wealth An 'ATM'? the Relationship Between Household Wealth, Home Equity withdrawal, and Saving Rates (1)
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Financial Integration (1)
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Credit Booms and Lending Standards (1)
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Habit Formation and Persistence in Individual Asset Portfolio Holdings (1)
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Portfolio Credit Risk and Macroeconomic Shocks (1)
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Spending Seigniorage (1)
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Finance & Development, June 2006 (1)
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New Zealand Bank Vulnerabilities in International Perspective (1)
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Democratic Republic of the Congo (1)
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Macroeconomic Fundamentals, Price Discovery and Volatility Dynamics in Emerging Markets (1)
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Regional Financial Integration in the Caribbean (1)
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Why Are Canadian Banks More Resilient (1)
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The Systemic Regulation of Credit Rating Agencies and Rated Markets (1)
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Canadian Residential Mortgage Markets (1)
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Credit Risk Spreads in Local and Foreign Currencies (1)
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From Bear Stearns to Anglo Irish (1)
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Spillovers to Emerging Equity Markets (1)
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Estimating Default Frequencies and Macrofinancial Linkages in the Mexican Banking Sector (1)
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Inflation Hedging for Long-Term Investors (1)
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Ponzi Schemes in the Caribbean (1)
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Exposure to Real Estate Losses (1)
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From Subprime Loans to Subprime Growth? Evidence for the Euro Area (1)
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The Use (and Abuse) of CDS Spreads During Distress (1)
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Deleveraging After Lehman (1)
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What’s in it for Me? A Primeron Differences between Islamic and Conventional Finance in Malaysia (1)
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The Need for "Un-consolidating" Consolidated Banks' Stress Tests (1)
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Financing Growth in the WAEMU Through the Regional Securities Market (1)
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Tracking Global Demand for Advanced Economy Sovereign Debt (1)
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Systemic Risk from Global Financial Derivatives (1)
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Local Governments’ Fiscal Balance, Privatization, and Banking Sector Reform in Transition Countries (1)
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Fiscal Foresight and Information Flows (1)
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Systemic Risk and Asymmetric Responses in the Financial Industry (1)
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The Global Findex Database 2017 (1)
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Solomon Islands (1)
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Interest Rate Liberalization in China (1)
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Counterparty Risk, Impacton Collateral Flows and Role for Central Counterparties (1)
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A Framework for Financial Market Development (1)
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The Mechanics of a Strong Euro Area (1)
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China (1)
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Building Strong Banks Through Surveillance and Resolution (1)
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Economic Integration and Financial Stability (1)
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Seasonalities in China's Stock Markets (1)
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Asian Equity Markets (1)
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The Stock Market and the Financing of Corporate Growth in Africa (1)
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Bank Risk-Taking and Competition Revisited (1)
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Pricing and Hedging of Contingent Credit Lines (1)
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Regional Economic Outlook, May 2013, Sub-Saharan Africa (1)
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Long-Run and Short-Run Determinants of Sovereign Bond Yields in Advanced Economies (1)
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Measures of Fiscal Risk in Hydrocarbon-Exporting Countries (1)
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Safeguarding Financial Stability (1)
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Regional Economic Outlook, November 2007, Europe (1)
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Regional Economic Outlook, April 2008, Europe (1)
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Using the Balance Sheet Approach in Surveillance (1)
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China and India Learning from Each Other (1)
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Sub-Saharan Africa (1)
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Financial markets (1)
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Government Bonds and their Investors (1)
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Banks' Liability Structure and Mortgage Lending During the Financial Crisis (1)
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Building a More Resilient Financial Sector (1)
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Monitoring Systemic Risk Basedon Dynamic Thresholds (1)
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Contabilidad de corredurias de seguros (1)
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How Might a Disorderly Resolution of Global Imbalances Affect Global Wealth (1)
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Institutions and the External Capital Structure of Countries (1)
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Banks As Coordinators of Economic Growth (1)
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Banks During the Argentine Crisis (1)
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Perspectiveson Low Global Interest Rates (1)
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The Evolution of Asian Financial Linkages (1)
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The Domestic Credit Supply Response to International Bank Deleveraging (1)
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Handbook of key global financial markets, institutions and infrastructure (1)
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Finance & Development, December 2007 (1)
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Macroprudential Solvency Stress Testing of the Insurance Sector (1)
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Organizing Access To Capital (1)
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Financial geography (1)
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Cambodia (1)
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India at the Crossroads -- Sustaining Growth and Reducing Poverty (1)
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Analyzing Balance Sheet Vulnerabilities in a Dollarized Economy (1)
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Insuring Public Finances Against Natural Disasters (1)
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Foreign Banks in Poor Countries (1)
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Market-Based Estimation of Default Probabilities and its Application to Financial Market Surveillance (1)
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Wealth Effects in Europe (1)
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Post-Crisis Recovery (1)
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China's Road to Greater Financial Stability (1)
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Financial institutions and financial regulation (1)
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Equity Returns in the Banking Sector in the Wake of the Great Recession and the European Sovereign Debt Crisis (1)
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Exchange Rate and Foreign Interest Rate Linkages for Sub-Saharan Africa Floaters (1)
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Emerging Market Sovereign Bond Spreads (1)
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The Impact of Longevity Improvements on U.S. Corporate Defined Benefit Pension Plans (1)
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The Chicago Plan Revisited (1)
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Macro-prudential Policy in a Fisherian Model of Financial Innovation (1)
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Intergenerational Implications of Fiscal Consolidation in Japan (1)
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Resource Windfalls, Optimal Public Investment and Redistribution (1)
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Paths to Eurobonds (1)
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Latin America (1)
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Intertwined Sovereign and Bank Solvencies in a Model of Self-Fulfilling Crisis (1)
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