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Coping with Financial Fragility and Systemic Risk

Coping with Financial Fragility and Systemic Risk identifies and discusses the sources of perceived fragility in financial institutions;

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Systemic Risk

Systemic Risk provides readers with a wide-ranging practical guide to systemic risk in the financial system. It challenges the notion that;

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Systemic Risk in the Financial Sector

be the potential triggers for such a collapse to occur in the future? Systemic Risk in the Financial Sector: Ten Years after the Great Crash;

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Risk Management in Public Administration

in the EU, the financial distress of public sector entities, and systemic risk in the insurance sector, it also explores innovative and emerging;

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Systemic Risk

Systemic Risk opens new ground in the study of financial crises. It treats the financial system as a complex adaptive system and shows how;

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The Handbook of Global Shadow Banking, Volume I

Pigovian tax to tame financial and systemic risks, this handbook is a must-read for professionals and policy-makers within the banking sector, as;

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The Handbook of Global Shadow Banking Volume I

coined. Engaging in financial intermediary services outside of normal regulatory parameters, the shadow banking sector was arguably a critical;

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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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Understanding Systemic Risk in Global Financial Markets

An accessible and detailed overview of the risks posed by financial institutions Understanding Systemic Risk in Global Financial Markets;

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Risk Assessment and Financial Regulation in Emerging Markets' Banking

approaches for banks. Highlighting current problems connected with the evaluation and modelling of financial risks in the banking sector of emerging;

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Governance & Control In Finance & Banking

scholars worldwide ever since. In this respect the vital importance of governance and risk issues for the financial sector was re-emphasized by;

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New Directions for Understanding Systemic Risk

of interbank funds; and for context, descriptions of how systemic risk in the financial system affects trading activities. Table of Contents;

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Regulating Systemic Risk of Financial Institutions

Regulating Systemic Risk of Financial Institutions is een boek van Stefan Schwerter;

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Debt, Financial Fragility, and Systemic Risk

in the corporate and household sectors (financial fragility), and widespread disorder in the financial sector (systemic risk). Davis focuses on;

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Systemic Risk and Macroprudential Regulations

book emphasizes 'systemic risk' as the new-found villain of the financial space and narrates how such risk can be addressed through;

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Systemic Risk and Macroprudential Regulations

book emphasizes 'systemic risk' as the new-found villain of the financial space and narrates how such risk can be addressed through;

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Handbook of Research on Emerging Theories, Models, and Applications of Financial Econometrics

This handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector;

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Systemic Risk Tomography

sovereign and bank risks reflected into bubble-like spreads, as if financial markets had received a wake-up call concerning the disregarded;

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Systemic Risk

In the five years since the outbreak of one of the worst global financial crises, systemic risk has become a buzzword and developed into an;

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Handbook On Systemic Risk

of systemic risks facing the global financial markets. The Handbook explores the multidisciplinary approaches to analyzing this risk, the data;

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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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The Economics, Regulation, and Systemic Risk of Insurance Markets

risks of the insurance sector and the potential for systemic risk. The various chapters discuss the risks both on the asset and liability sides;

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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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Bank Management & Financial Services 9E

recession. Systemic Risk and the presentation of the challenges posed in the financial system. Exploration of changing views on the too big to;

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China's road to greater financial stability

issues such as the financial stability framework, systemic linkages, liquidity management, risk and vulnerability analysis, and sequencing;

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Stress testing at the IMF

test is a methodology to assess financial vulnerabilities that can trigger systemic risk and the need of systemwide mitigating measures. The;

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Interest Rate Risk Exposure&fin.Performance of Commercial Banks-Uganda

The book explains how interest rate risk exposure affects the financial performance of commercial banks in Uganda. The banking sector;

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