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The Microstructure of Government Securities Markets
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ISBN: 1462309550 1455205133 Year: 1995 Publisher: [Place of publication not identified] International Monetary Fund

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Book
The microstructure of government securities markets
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Year: 1995 Publisher: Washington, D.C. International Monetary Fund

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Book
Can you map global financial stability?
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ISBN: 1462381979 1455201111 1282846183 9786612846182 1455201286 Year: 2010 Publisher: [Washington, D.C.] : International Monetary Fund, Monetary and Capital Markets Dept.,

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The Global Financial Stability Map was developed as a tool to interpret the risks and conditions that impact financial stability in a graphical manner. It complements other existing tools for assessing financial stability, and seeks to overcome some of the drawbacks of earlier approaches. This paper provides the motivation for the tool, a detailed discussion of its construction, including the choice of risk factors and conditions, a description of the underlying indicators, and a discussion on how the final assessment is determined. When applied to past events of financial instability, the Global Financial Stability Map performs reasonably well in signaling risks to stability, as well as in characterizing the depth of crisis episodes.

Coordinating public debt and monetary management
Authors: --- ---
ISBN: 1557755558 9781455273911 1455273910 9781557755551 1462345212 9781462345212 1455236659 9781455236657 1283537109 9781283537100 9786613849557 6613849553 Year: 1997 Publisher: [Washington, D.C.]

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Edited by V. Sundararajan, Peter Dattels, and Hans Blommestein, this volume outlines strategies for managing public debt, developing government securities markets, and coordinating those activities with monetary management through legal, administrative, and operational arrangements. Both transition and market economies are surveyed. The analysis draws partly on the literature on the microstructure of markets and auction systems and on selected country experiences.

Keywords

336.3 --- 336.74 --- 339.727.2 --- Debts, External --- Debts, Public --- Monetary policy --- AA / International- internationaal --- CA / Canada --- DK / Denmark - Denemarken - Danemark --- ES / Spain - Spanje - Espagne --- GB / United Kingdom - Verenigd Koninkrijk - Royaume Uni --- IE / Ireland - Ierland - Irlande --- IT / Italy - Italië - Italie --- SE / Sweden - Zweden - Suede --- US / United States of America - USA - Verenigde Staten - Etats Unis --- 336.32 --- 333.111.6 --- 333.631 --- 333.741.4 --- 333.634 --- 336.310 --- 333.846.6 --- 336.34 --- Debts, Foreign --- Debts, International --- External debts --- Foreign debts --- International debts --- Debt --- International finance --- Investments, Foreign --- Monetary management --- Economic policy --- Currency boards --- Money supply --- Debts, Government --- Government debts --- National debts --- Public debt --- Public debts --- Sovereign debt --- Bonds --- Deficit financing --- 339.727.2 Internationale kapitaalbeweging. Buitenlandse leningen. Buitenlandse kredieten. Internationale kapitaalbeweging. Buitenlandse investeringen. Kapitaalinvoer. Kapitaaluitvoer. Kapitaalvlucht --- Internationale kapitaalbeweging. Buitenlandse leningen. Buitenlandse kredieten. Internationale kapitaalbeweging. Buitenlandse investeringen. Kapitaalinvoer. Kapitaaluitvoer. Kapitaalvlucht --- 336.74 Geld. Geldwezen. Monetaire sector. --- Geld. Geldwezen. Monetaire sector. --- 336.3 Nationale schulden. Staatsschulden. Openbare schulden. Staatslening. Staatsfondsen. Staatsbankroet --- Nationale schulden. Staatsschulden. Openbare schulden. Staatslening. Staatsfondsen. Staatsbankroet --- Beheer van de rijksschuld. Road shows. --- Betrekkingen van de centrale banken met de overheid. Voorschotten aan de overheid. Monetaire financiering van de schatkist. --- Overheidsfondsen. Markt van de overheidsfondsen. --- Schatkistcertificaten (markt). --- Schatkistcertificaten. --- Techniek van het overheidskrediet: algemeenheden. --- verband tussen de geld-, bank- en kredietpolitiek en de openbare financiën. --- Dettes publiques --- Politique monétaire --- Dettes extérieures --- Betrekkingen van de centrale banken met de overheid. Voorschotten aan de overheid. Monetaire financiering van de schatkist --- Overheidsfondsen. Markt van de overheidsfondsen --- Schatkistcertificaten --- Schatkistcertificaten (markt) --- verband tussen de geld-, bank- en kredietpolitiek en de openbare financiën --- Techniek van het overheidskrediet: algemeenheden --- Beheer van de rijksschuld. Road shows --- Geld. Geldwezen. Monetaire sector --- Debts, Public. --- Monetary policy. --- Debts, External. --- Banks and Banking --- Finance: General --- Financial Risk Management --- Investments: General --- Public Finance --- General Financial Markets: General (includes Measurement and Data) --- Debt Management --- Sovereign Debt --- Banks --- Depository Institutions --- Micro Finance Institutions --- Mortgages --- Taxation, Subsidies, and Revenue: General --- Monetary Systems --- Standards --- Regimes --- Government and the Monetary System --- Payment Systems --- Central Banks and Their Policies --- Investment Banking --- Venture Capital --- Brokerage --- Ratings and Ratings Agencies --- Investment & securities --- Public finance & taxation --- Banking --- Finance --- Monetary economics --- Government debt management --- Government securities --- Treasury bills and bonds --- Securities --- Public financial management (PFM) --- Financial institutions --- Securities markets --- Financial markets --- Debt management --- Asset and liability management --- Banks and banking --- Financial instruments --- Capital market --- United Kingdom


Book
Post-Crisis Changes in Global Bank Business Models: A New Taxonomy
Authors: --- --- --- ---
Year: 2019 Publisher: Washington, D.C. : International Monetary Fund,

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The Global Financial Crisis unleashed changes in the operating and regulatory environments for large international banks. This paper proposes a novel taxonomy to identify and track business model evolution for the 30 Global Systemically Important Banks (G-SIBs). Drawing from banks’ reporting, it identifies strategies along four dimensions –consolidated lines of business and geographic orientation, and the funding models and legal entity structures of international operations. G-SIBs have adjusted their business models, especially by reducing market intensity. While G-SIBs have maintained international orientation, pressures on funding models and entity structures could affect the efficiency of capital flows through the bank channel.


Book
Post-Crisis Changes in Global Bank Business Models: A New Taxonomy
Authors: --- --- --- ---
ISBN: 1513525255 Year: 2019 Publisher: Washington, D.C. : International Monetary Fund,

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Abstract

The Global Financial Crisis unleashed changes in the operating and regulatory environments for large international banks. This paper proposes a novel taxonomy to identify and track business model evolution for the 30 Global Systemically Important Banks (G-SIBs). Drawing from banks’ reporting, it identifies strategies along four dimensions –consolidated lines of business and geographic orientation, and the funding models and legal entity structures of international operations. G-SIBs have adjusted their business models, especially by reducing market intensity. While G-SIBs have maintained international orientation, pressures on funding models and entity structures could affect the efficiency of capital flows through the bank channel.

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