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The efficiency of early warning indicators for financial crises

damage on the countries in which they originated. In this work, the efficiency of early warning indicators for these disastrous economic events;

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Assessing Financial Vulnerability - An Early Warning System for Emerging Markets

contributed to a heightened interest in the early warning signals of financial crises. This pathbreaking study presents a comprehensive battery;

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Financial Soundness Indicators

The financial turmoil of the late 1990s prompted a broad search for tools and techniques for detecting and preventing financial crises, and;

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Dangerous Markets

played out on the front pages of newspapers, and these are just the most recent financial crises that have rolled across the globe in the last;

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Financial Soundness Indicators

Financial Soundness Indicators (FSIs) are calculated and disseminated for the purpose of supporting macroprudential analysis - the;

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The Differences between Slow-burn Crises and Acute Crises

Essay from the year 2013 in the subject Sociology - Methodology and Methods, language: English, abstract: Crises have become more numerous;

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Risks and returns

often funded by foreign capital. Although boosting financial inclusion of firms and households, the model was accompanied by lower efficiency;

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Global Economic Leadership and the Group of Seven

program that includes reforming the exchange rate regime, creating a new financial facility at the IMF to deal with crises sparked by private;

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Corporate Financial Distress

plans for recovery can lead to future successes and sustainability rather than just a fix to ensure survival of the business. Crises, if managed;

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Systemic Risk and Macroprudential Regulations

. The book also examines major crisis management frameworks, stress testing, relevant regulatory and supervisory development, and early warning;

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Systemic Risk and Macroprudential Regulations

. The book also examines major crisis management frameworks, stress testing, relevant regulatory and supervisory development, and early warning;

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The Little Data Book on Financial Development

The Little Data Book on Financial Development 2014 is a pocket edition of the Global Financial Development Database, published as part;

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The Little Data Book on Financial Development 2015/16

The Little Data Book on Financial Development 2015/2016 is a pocket edition of the Global Financial Development Database, published as part;

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Getting Finance in South Asia 2009

financial sector in the South Asia region and help pinpoint where performance is strong and where improvements are most needed.This book compiles;

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Fraud Prevention and Detection

, and acting on early Red Flag warning signs. Based on an empirically tested strategy, the Red Flag System reflects the authors' more than 100;

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Developing Performance Indicators for Managing Maintenance

Optimization Continuous Improvement The Performance Indicator Hierarchy: Corporate Performance Indicators; Financial Performance Indicators; Efficiency;

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Race to the Top - Winners & Losers in Banking

measuring the impact of the current financial and economic crises on banks' efficiency. It provides a snapshot into the race of nations towards;

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Early Warning Indicators of Corporate Failure

Published in 1997, this text focuses on the conundrum between the academics ability to distinguish between failing and non-failing;

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Early Warning Indicators of Corporate Failure

Published in 1997, this text focuses on the conundrum between the academics ability to distinguish between failing and non-failing;

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Capital Flows and Crises

. Eichengreen argues that international financial liberalization, like other forms of economic liberalization, can positively affect the efficiency;

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Global financial stability report

downside risks to GDP growth and adds to early-warning models for financial crises. Policymakers can use estimates of house prices at risk to;

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Turkish Financial Crises of November 2000 and February 2001

of them. In this book, the author also aims to construct a model for the Turkish financial crises of November 2000 and February 2001. To this;

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Advances in Macroeconomic Theory

, including Joseph Stiglitz's warning on the misplaced zeal for financial market liberalization which partly engendered the East Asian and Russian;

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Global Stock Market Integration

market efficiency within developing and emerging countries is not the only measure necessary for effecting real financial growth. This work;

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Global Markets and Financial Crises in Asia

necessary for averting or managing new financial crises. Starting with the Asian financial crises, he identifies new types of financial crises that;

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The Financial Landscape of Emerging Economies

discussing financial performance and well-being, economic policy uncertainty, efficiency of commodity markets and various recent trends in the;

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Financial Crises

presents case studies for other countries. Section IV contains readings on the international transmission of financial crises. Section V concludes;

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