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Financial Stability Risk. Measuring the Illiquidity of Corporate and Sovereign Bonds

Financial Stability Risk. Measuring the Illiquidity of Corporate and Sovereign Bonds;

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Bank Stability, Sovereign Debt and Derivatives

Bank Stability, Sovereign Debt and Derivatives brings together the latest research on banking, financial markets, and the;

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Bank Stability, Sovereign Debt and Derivatives

The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were;

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Global Financial Stability Report, April 2012

The Global Financial Stability Report, April 2012 assesses changes in risks to financial stability over the past six months, focusing on;

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Global financial stability report

The April 2012 Global Financial Stability Report assesses changes in risks to financial stability over the past six months, focusing on;

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Transmission Channels of Financial Shocks to Stock, Bond, and Asset-Backed Markets

risk-free fixed income securities, such as highly rated asset-backed securities and sovereign bonds from core Eurozone countries. The authors;

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The Corporate, Real Estate, Household, Government and Non-Bank Financial Sectors Under Financial Stability

sector, the real estate sector, the government sector, and the non-bank financial sector. This volume provides a complete analysis and risk;

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Global Financial Stability Report, April 2011

sources and channels of financial distress with an emphasis on sovereign risk, notes the pressures arising from capital inflows in emerging;

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Bank Performance, Risk and Securitization

The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were;

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Global Financial Stability Report, April 2010

Risks to global financial stability have eased as the economic recovery has gained steam. But policies are needed to reduce sovereign;

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Sovereign Default Risk Valuation

analyzing sovereign bonds and foreseeing trends in the international financial architecture. The result should be a better understanding of debt;

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Global financial stability report

The Global Financial Stability Report examines current risks facing the global financial system and policy actions that may mitigate these;

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Global Financial Stability Report, April 2013

The Global Financial Stability Report examines current risks facing the global financial system and policy actions that may mitigate these;

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Financial Crises, Sovereign Risk and the Role of Institutions

crises and defaults. The present book contains new research on various important issues related to financial crises and sovereign default risk;

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Financial Crises, Sovereign Risk and the Role of Institutions

crises and defaults. The present book contains new research on various important issues related to financial crises and sovereign default risk;

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Capital Market & Rating Agencies in Asia

Credit Rating originated in the USA has spread out to the world since the 1980s. Credit risk is a risk that a borrower either through bonds;

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Handbook of Fixed-Income Securities

tools required to analyze default risk, the relevant empirical evidence, and a special focus on the recent sovereign crises A complete reference;

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Global financial stability report

financial stability have arisen. The global financial system is being buffeted by a series of changes, including lower oil prices and, in some cases;

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Intro Derivative Financial Instruments

in portfolio management, hedging, and the importance of managing risk.;

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Financial Risk Management: Identification, Measurement and Management

This book provides a quantitative overview of corporate risk management for both financial and non-financial organisations. It;

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Financial Risk Management: Identification, Measurement and Management

This book provides a quantitative overview of corporate risk management for both financial and non-financial organisations. It;

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Complex Systems Multi Sided Incentives and Risk Perception in Companies

symbiotic relationships with financial stability, systemic risk and/or sustainable growth. Within the context of Regret Minimization, MN;

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Global financial stability report

conditions remain accommodative. As a result, financial vulnerabilities have continued to build in the sovereign, corporate, and nonbank financial;

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Emerging Markets and Sovereign Risk

Emerging Markets and Sovereign Risk provides case studies, commentary and analysis on the financial risk management and measurement in the;

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Global financial stability report

The October 2015 Global Financial Stability Report finds that, despite an improvement in financial stability in advanced economies, risks;

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Financial Management MCQs

statements analysis, financial management overview, capital budgeting, cash flow analysis, cash flow estimation and risk analysis, applications;

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Economic Analyses of Financial Crises

Published in 1995, this set of 13 essays on the causes and implications of financial problems in three different economic organizations;

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