Macroeconomics category: 2722 books

Cover of Aftermath of the CFA Franc Devaluation
by Stéphane Mr. Cossé, Johannes Mr. Mueller, Jean Mr. Le Dem
Language: English
Release Date: June 18, 1996

Developments in the countries of the CFA franc zone in the aftermath of the January 1994 devaluation of the CFA franc are reviewed in this paper. Following a summary of the new adjusment strategy, the papers describes the progress made and the difficulties encountered during 1994 and early 1995 in implementing the programs supported by use of IMF resources.
Cover of Regional Economic Outlook, October 2011: Sub-Saharan Africa - Sustaining the Expansion
by International Monetary Fund. African Dept.
Language: English
Release Date: October 20, 2011

This year looks set to be another encouraging one for most sub-Saharan African economies. Reflecting mainly strong demand but also elevated commodity prices, the region's economy is set to expand by more than 5¼ percent in 2011. For 2012, the IMF staff's baseline projection is for growth to be higher...
Cover of Meaning of the European Court of Auditors
by Mario Palamara
Language: English
Release Date: May 25, 2011

Seminar paper from the year 2010 in the subject Economics - Macro-economics, general, grade: 2,3, Cologne University of Applied Sciences, language: English, abstract: The European Union is comprised of seven institutions: the European Parliament, the European Council, the Council of the European Union,...
Cover of The Design and Implementation of Deposit Insurance Systems
by David Mr. Hoelscher, Michael Mr. Taylor, Ulrich Mr. Klueh
Language: English
Release Date: December 7, 2006

This paper describes recently established deposit insurance systems, identifying emerging trends. In line with previous IMF work on the subject, it argues against the development of "best practices" applicable to all systems. Rather, it stresses the importance of incorporating each country’s individual...
Cover of Macroeconomic Policy after the Crash

Macroeconomic Policy after the Crash

Issues in Microprudential and Macroprudential Policy

by Richard Barwell
Language: English
Release Date: February 27, 2017

This book reviews the key policy debates during the post-crash era, describing the issues that policymakers grappled with, the decisions that they took and the details of the policy instruments that were created.  It focuses specifically on the policy regimes at the epicentre of the crisis: micro-...
Cover of Credit Rating Agencies

Credit Rating Agencies

Self-regulation, Statutory Regulation and Case Law Regulation in the United States and European Union

by Mohammed Hemraj
Language: English
Release Date: June 22, 2015

The book examines the role of credit rating agencies (CRAs) in the subprime mortgage crisis. The CRAs are blamed for awarding risky securities ‘3-A’ investment grade status and then failing to downgrade them quickly enough when circumstances changed, which led to investors suffering substantial...
Cover of Trade-offs in Bank Resolution
by Giovanni Dell'Ariccia, Maria Soledad Martinez Peria, Deniz O Igan
Language: English
Release Date: February 9, 2018

This SDN revisits the debate on bank resolution regimes, first by presenting a simple model of bank insolvency that transparently describes the trade-off involved between bail-outs, bail-ins, and larger capital buffers. The note then looks for empirical evidence to assess the moral hazard consequences of bail-outs and the systemic spillovers from bail-ins.
Cover of Neutral and Indifference Portfolio Pricing, Hedging and Investing
by Srdjan Stojanovic
Language: English
Release Date: August 31, 2011

This book is written for quantitative finance professionals, students, educators, and mathematically inclined individual investors. It is about some of the latest developments in pricing, hedging, and investing in incomplete markets. With regard to pricing, two frameworks are fully elaborated: neutral...
Cover of Scenario Analysis in Risk Management

Scenario Analysis in Risk Management

Theory and Practice in Finance

by Bertrand K. Hassani
Language: English
Release Date: October 26, 2016

This book focuses on identifying and explaining the key determinants of scenario analysis in the context of operational risk, stress testing and systemic risk, as well as management and planning. Each chapter presents alternative solutions to perform reliable scenario analysis. The author also provides...
Cover of Thirty Tomorrows

Thirty Tomorrows

The Next Three Decades of Globalization, Demographics, and How We Will Live

by Milton Ezrati
Language: English
Release Date: April 8, 2014

"This book is a forecast." Over the next three decades, the aging populations in America, Europe, and Japan will begin to threaten our way of life. The ever-increasing pool of retirees will burden relatively diminished workforces, slowing the pace of growth and straining public and...
Cover of The Role of the Exchange Rate in Inflation-Targeting Emerging Economies
by Anna Nordstrom, Scott Mr. Roger, Mark Mr. Stone
Language: English
Release Date: November 23, 2009

This paper explores the role of exchange rates in emerging economies with inflation-targeting regimes, an issue that has become especially germane during the current episode of financial turmoil and volatile capital flows. Under inflation targeting, the interest rate is the main monetary policy tool...
Cover of Macroprudential Indicators of Financial System Soundness
by Paul Mr. Hilbers, Alfredo Mr. Leone, Mahinder Mr. Gill
Language: English
Release Date: April 15, 2000

Following the severe financial crises of the 1990s, identifying and assessing financial sector vulnerabilities has become a key priority of the international community. The costly disruptions in global markets underscored the need to establish a set of monitorable variables for evaluating strengths...
Cover of Developing Essential Financial Markets in Smaller Economies: Stylized Facts and Policy Options
by International Monetary Fund
Language: English
Release Date: December 16, 2008

This paper surveys the foreign exchange markets, money and secondary government security markets, and stock exchanges in 107 smaller economy countries. The underdevelopment of these markets impedes risk transfer, monetary policy, corporate financing, and the capacity to absorb capital inflows. This study...
Cover of The Spanish Economy

The Spanish Economy

A General Equilibrium Perspective

by
Language: English
Release Date: May 26, 2011

This book examines the pattern of growth of the Spanish economy in the last few decades, and studies the causes of its labour productivity, and the special features characterising business cycles in Spain.
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