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Maintaining Financial Stability in Times of Risk and Uncertainty

economy responds to uncertainties is needed. Maintaining Financial Stability in Times of Risk and Uncertainty is an essential reference source;

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Managing Uncertainty, Mitigating Risk

Managing Uncertainty, Mitigating Risk proposes that financial risk management broaden its approach, maintaining quantification where;

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Tools and Techniques for Financial Stability Analysis

Combatting financial stability risks is a highly challenging task which can by no means be concentrated into a 'one-size fits all' approach;

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Global financial stability report

The current Global Financial Stability Report (April 2016) finds that global financial stability risks have risen since the last report;

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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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Risk and Public Policy in East Asia

structures capable of caring for family members in need; and governmental economic and political competence. Post-financial crisis job uncertainty;

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Risk and Public Policy in East Asia

structures capable of caring for family members in need; and governmental economic and political competence. Post-financial crisis job uncertainty;

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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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Financial Market Instability and Central Bank Response in India

financial market stability considerations in the conduct of monetary policy in India. It will be a useful guide for researchers and students;

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Bank Stability, Sovereign Debt and Derivatives

risk in the Eurozone. It also examines the relationship between bank business models and financial stability using evidence from the financial;

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Global Financial Stability Report, September 2011

The September 2011 Global Financial Stability Report cautions that the risks to global financial stability have increased substantially;

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China's Financial Stability

Depression. This book studies financial stability in terms of its determining factors, causal mechanisms and institutional requirements. It aims at;

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Safeguarding Financial Stability

banks, the challenges to financial stability posed by the globalisation of finance and risk, the systemic challenges posed by a greater reliance;

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Global Financial Stability Report

Track market risk and identify potential fault lines with Global Financial Stability Report . It critically examines global financial;

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Understanding Systemic Risk in Global Financial Markets

reduce systemic risk and promoting financial stability.;

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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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The Portfolio Theorists

Read examines probability, risk, and uncertainty through the contributions of John von Neumann, Leonard Jimmie Savage, Kenneth Arrow and;

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Global Financial Stability Report, April 2011

Despite ongoing economic recovery and improvements in global financial stability, structural weaknesses and vulnerabilities remain in some;

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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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Financial Stability Oversight Council

of banking and securities market regulators. The council is charged with monitoring systemic risk in the financial system and coordinating several;

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Global financial stability report: a decade after the global financial crisis

The Global Financial Stability Report provides an assessment of the global financial system and markets, and addresses emerging market;

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Measuring Financial Risk Modelling

defined as the degree of uncertainty about future net return. In different financial institutions people are interested in how to measure risk;

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Uncertainty In Risk Assessment

Explores methods for the representation and treatment of uncertainty in risk assessment In providing guidance for practical decision-making;

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The Banking Sector Under Financial Stability

risk assessment and that the sources of banks' funding also pose risks to financial stability. The book also gives due consideration to the;

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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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Financial Forecasting, Analysis And Modelling

Risk analysis has become critical to modern financial planning Financial Forecasting, Analysis and Modelling provides a complete framework;

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