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Why do bank-dependent firms bear interest-rate risk
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Strategic Corporate Layoffs
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Does Balance Sheet Strength Drive the Investment Cycle? Evidence from Pre- and Post-Crisis Cyprus
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Fiscal Monitor, October 2016
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Emerging Market Corporate Leverage and Global Financial Conditions
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Toward An Effective Supervision of Partially Dollarized Banking Systems
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Currency Risk Premia in Global Stock Markets
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A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager
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Interest Rate Determination in Lebanon
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Financial Instruments to Hedge Commodity Price Risk for Developing Countries
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Portfolio Credit Risk and Macroeconomic Shocks
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Finances & Développement, septembre 2009
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Assessing the Cost of Financial Regulation
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Recent Advances in Credit Risk Modeling
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The Effects of the Financial Crisison Public-Private Partnerships
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The Systemic Regulation of Credit Rating Agencies and Rated Markets
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Credit Risk Spreads in Local and Foreign Currencies
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Spillovers to Emerging Equity Markets
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Estimating Default Frequencies and Macrofinancial Linkages in the Mexican Banking Sector
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Inflation Hedging for Long-Term Investors
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What Role Can Financial Policies Play in Revitalizing SMEs in Japan
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Taxation and Leverage in International Banking
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Spring Forward or Fall Back? The Post-Crisis Recovery of Firms
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Systemic Risk from Global Financial Derivatives
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Stress Testing at the IMF
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Transmission of Liquidity Shocks
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The International Diversification Puzzle when Goods Prices Are Sticky
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The Determinants of Commercial Bank Profitability in Sub-Saharan Africa
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Distress in European Banks
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The Tasks Ahead
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Perspectives on High Real Interest Rates in Turkey
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Commodities and the Market Price of Risk
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The Eastern Caribbean Central Bank
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Sovereign Default, Private Sector Creditors and the IFIs
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The Cost of Aggressive Sovereign Debt Policies
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Pricing of Sovereign Credit Risk
(1)
Systemic Liquidity Management in the U.A.E.
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Excessive Lending, Leverage, and Risk-Taking in the Presence of Bailout Expectations
(1)
Macro-Hedging for Commodity Exporters
(1)
Oil Prices and Bank Profitability
(1)
What Determines Bond Market Development in Sub-Saharan Africa
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How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
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Modernizing Bank Regulation in Support of Financial Deepening
(1)
Banking and Trading
(1)
Sovereign Debt Restructurings 1950-2010
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Sovereign Assets and Liabilities Management
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A Guide to IMF Stress Testing
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Financial Intermediation Costs in Low-Income Countries
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The Stock Market and the Financing of Corporate Growth in Africa
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Exchange Rate Risk Measurement and Management
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Bank Risk-Taking and Competition Revisited
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Review and Implementation of Credit Risk Models of the Financial Sector Assessment Program (FSAP)
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Pricing and Hedging of Contingent Credit Lines
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Safeguarding Financial Stability
(1)
Managing Confidence in Emerging Market Bank Runs
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Post-Crisis Bank Behavior
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Macroprudential Solvency Stress Testing of the Insurance Sector
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The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions
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The Limits of Market-Based Risk Transfer and Implications for Managing Systemic Risks
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Exploring the Dynamics of Global Liquidity
(1)
Effects of Culture on Firm Risk-Taking
(1)
Macroprudential Solvency Stress Testing of the Insurance Sector
(1)
Oil Prices and Bank Profitability
(1)
Exchange Rate Risk Measurement and Management
(1)
Pricing of Sovereign Credit Risk
(1)
Effects of Culture on Firm Risk-Taking
(1)
Portfolio Credit Risk and Macroeconomic Shocks
(1)
How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
(1)
Modernizing Bank Regulation in Support of Financial Deepening
(1)
Financial Instruments to Hedge Commodity Price Risk for Developing Countries
(1)
The Eastern Caribbean Central Bank
(1)
Financial Intermediation Costs in Low-Income Countries
(1)
Taxation and Leverage in International Banking
(1)
A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager
(1)
Bank Risk-Taking and Competition Revisited
(1)
Interest Rate Determination in Lebanon
(1)
Credit Risk Spreads in Local and Foreign Currencies
(1)
Estimating Default Frequencies and Macrofinancial Linkages in the Mexican Banking Sector
(1)
Sovereign Assets and Liabilities Management
(1)
Inflation Hedging for Long-Term Investors
(1)
Managing Confidence in Emerging Market Bank Runs
(1)
The Effects of the Financial Crisison Public-Private Partnerships
(1)
The Stock Market and the Financing of Corporate Growth in Africa
(1)
Exploring the Dynamics of Global Liquidity
(1)
Pricing and Hedging of Contingent Credit Lines
(1)
Macro-Hedging for Commodity Exporters
(1)
The Determinants of Commercial Bank Profitability in Sub-Saharan Africa
(1)
The International Diversification Puzzle when Goods Prices Are Sticky
(1)
The Tasks Ahead
(1)
Sovereign Debt Restructurings 1950-2010
(1)
Sovereign Default, Private Sector Creditors and the IFIs
(1)
Distress in European Banks
(1)
Toward An Effective Supervision of Partially Dollarized Banking Systems
(1)
Recent Advances in Credit Risk Modeling
(1)
Spillovers to Emerging Equity Markets
(1)
What Determines Bond Market Development in Sub-Saharan Africa
(1)
Assessing the Cost of Financial Regulation
(1)
Stress Testing at the IMF
(1)
Currency Risk Premia in Global Stock Markets
(1)
The Limits of Market-Based Risk Transfer and Implications for Managing Systemic Risks
(1)
Excessive Lending, Leverage, and Risk-Taking in the Presence of Bailout Expectations
(1)
Finances & Développement, septembre 2009
(1)
Perspectives on High Real Interest Rates in Turkey
(1)
Transmission of Liquidity Shocks
(1)
The Cost of Aggressive Sovereign Debt Policies
(1)
The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions
(1)
Post-Crisis Bank Behavior
(1)
Spring Forward or Fall Back? The Post-Crisis Recovery of Firms
(1)
Systemic Risk from Global Financial Derivatives
(1)
Safeguarding Financial Stability
(1)
A Guide to IMF Stress Testing
(1)
Banking and Trading
(1)
Commodities and the Market Price of Risk
(1)
What Role Can Financial Policies Play in Revitalizing SMEs in Japan
(1)
The Systemic Regulation of Credit Rating Agencies and Rated Markets
(1)
Systemic Liquidity Management in the U.A.E.
(1)
Review and Implementation of Credit Risk Models of the Financial Sector Assessment Program (FSAP)
(1)