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Idiosyncratic and Systemic Risk in the European Corporate Sector (1)
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A New Risk Indicator and Stress Testing Tool (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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Perspectivas económicas, abril de 2008 (1)
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Regional Economic Outlook, November 2007 (1)
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Regional Economic Outlook, November 2007, Europe (1)
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Regional Economic Outlook, April 2008, Western Hemisphere (1)
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Integrating Europe's Financial Markets (1)
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Regional Economic Outlook, September 2006, Asia and Pacific (1)
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Regional Economic Outlook, October 2007, Asia and Pacific (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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Bond Markets As Conduits for Capital Flows (1)
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Regulatory Lessons from the Crisis of Costa Rica’s Mutual Fund Industry (1)
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Are Asset Price Guarantees Useful for Preventing Sudden Stops?A Quantitative Investigation of the Globalization Hazard-Moral Hazard Tradeoff (1)
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Perspectiveson Low Global Interest Rates (1)
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Financial Integration in Asia (1)
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The Evolution of Asian Financial Linkages (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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India at the Crossroads -- Sustaining Growth and Reducing Poverty (1)
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The External Wealth of Nations Mark II (1)
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The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions (1)
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Sudden Stops and Currency Drops (1)
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Insuring Public Finances Against Natural Disasters (1)
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The Limits of Market-Based Risk Transfer and Implications for Managing Systemic Risks (1)
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The External Financing of Emerging Market Countries (1)
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Market-Based Estimation of Default Probabilities and its Application to Financial Market Surveillance (1)
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Tax Incentives and Investment in the Eastern Caribbean (1)
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Sovereign Insurance and Program Design (1)
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Wealth Effects in Europe (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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The Impact of Longevity Improvements on U.S. Corporate Defined Benefit Pension Plans (1)
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Resource Windfalls, Optimal Public Investment and Redistribution (1)
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Intertwined Sovereign and Bank Solvencies in a Model of Self-Fulfilling Crisis (1)
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Barriers to Household Risk Management (1)
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Macroprudential Solvency Stress Testing of the Insurance Sector (1)
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A U.S. Financial Conditions Index (1)
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French Banks Amid the Global Financial Crisis (1)
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Frugality (1)
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Regional Economic Outlook, September 2006, Asia and Pacific (1)
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Regional Economic Outlook, October 2007, Asia and Pacific (1)
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Perspectives économiques régionales (1)
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Habit Formation and Persistence in Individual Asset Portfolio Holdings (1)
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Sovereign Wealth Funds in the Pacific Island Countries (1)
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Economics of Sovereign Wealth Funds (1)
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Finance & Development, December 2007 (1)
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Asian Equity Markets (1)
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Barriers to Household Risk Management (1)
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Financial Instruments to Hedge Commodity Price Risk for Developing Countries (1)
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Perspectivas económicas, abril de 2008 (1)
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India at the Crossroads -- Sustaining Growth and Reducing Poverty (1)
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Financial Integration (1)
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The Jordanian Stock Market—Should You Invest in It for Risk Diversification or Performance (1)
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Incorporating Market Information into the Construction of the Fan Chart (1)
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Counterparty Risk, Impacton Collateral Flows and Role for Central Counterparties (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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Emerging Market Spread Compression (1)
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Regional Economic Outlook, November 2007, Europe (1)
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Inflation Hedging for Long-Term Investors (1)
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The External Wealth of Nations Mark II (1)
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A Model of Sovereign Debt in Democracies (1)
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Financial Integration and Risk-Adjusted Growth Opportunities (1)
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Why Are Canadian Banks More Resilient (1)
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Economic Integration and Financial Stability (1)
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The Stock Market and the Financing of Corporate Growth in Africa (1)
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Intertwined Sovereign and Bank Solvencies in a Model of Self-Fulfilling Crisis (1)
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Institutional Quality, Knightian Uncertainty, and Insurability (1)
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Is Systematic Default Risk Priced in Equity Returns? A Cross-Sectional Analysis Using Credit Derivatives Prices (1)
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Capital Flows to Central and Eastern Europe (1)
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The Impact of Public Capital, Human Capital, and Knowledge on Aggregate Output (1)
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The Option-iPoD (1)
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Can the Eastern Caribbean Currency Union Afford to Grow Old (1)
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Pricing and Hedging of Contingent Credit Lines (1)
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Idiosyncratic and Systemic Risk in the European Corporate Sector (1)
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Integration of the Securities Market Infrastructure in the European Union (1)
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International Currency Portfolios (1)
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Valuation of Unlisted Direct Investment Equity (1)
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Financial Integration in Asia (1)
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The Volatility Costs of Procyclical Lending Standards (1)
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The Determinants of Commercial Bank Profitability in Sub-Saharan Africa (1)
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Regional Economic Outlook, November 2007 (1)
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Measures of Fiscal Risk in Hydrocarbon-Exporting Countries (1)
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Foreign Banks in the CESE Countries (1)
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The International Diversification Puzzle when Goods Prices Are Sticky (1)
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Wealth Effects in Europe (1)
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Regional Financial Spillovers Across Europe (1)
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How Can Burundi Raise its Growth Rate? the Impact of Civil Conflicts and State Interventionon Burundi'S Growth Performance (1)
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Real Effects of the Subprime Mortgage Crisis (1)
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Tax Incentives and Investment in the Eastern Caribbean (1)
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Perspectiveson Low Global Interest Rates (1)
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A Framework for Financial Market Development (1)
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Recent Advances in Credit Risk Modeling (1)
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