Safeguarding Financial Stability: Theory and PracticeInternational Monetary Fund, 2005 M12 12 - 330 páginas How is finance related to economic processes, and why should it be viewed as a public good requiring policy action? This book provides an answer. The book develops a practical framework for safeguarding financial stability, which encompasses both prevention and resolution of problems. It also examines on-going and future challenges to financial stability posed by globalization, a growing reliance on derivatives and their markets, and the capital market activities of insurers and reinsurers. |
Contenido
IV | 1 |
V | 4 |
XI | 6 |
XII | 7 |
XIII | 8 |
XIV | 9 |
XV | 10 |
XX | 11 |
LIV | 154 |
LV | 156 |
LIX | 158 |
LX | 160 |
LXI | 161 |
LXIII | 162 |
LXIX | 181 |
LXX | 186 |
XXI | 12 |
XXV | 13 |
XXVI | 23 |
XXVII | 27 |
XXVIII | 33 |
XXIX | 34 |
XXX | 41 |
XXXI | 43 |
XXXII | 44 |
XXXIII | 49 |
XXXIV | 52 |
XXXV | 62 |
XXXVI | 67 |
XXXVII | 68 |
XXXVIII | 69 |
XXXIX | 70 |
XL | 71 |
XLI | 73 |
XLII | 77 |
XLIII | 98 |
XLIV | 103 |
XLV | 105 |
XLVI | 107 |
XLVII | 112 |
XLVIII | 116 |
XLIX | 117 |
L | 119 |
LI | 134 |
LII | 151 |
LIII | 153 |
LXXV | 188 |
LXXVI | 192 |
LXXVII | 196 |
LXXVIII | 198 |
LXXIX | 202 |
LXXX | 218 |
LXXXI | 228 |
LXXXII | 229 |
LXXXIII | 230 |
LXXXIV | 236 |
LXXXV | 241 |
LXXXVI | 245 |
LXXXVII | 247 |
LXXXVIII | 248 |
LXXXIX | 249 |
XC | 250 |
XCI | 252 |
XCII | 253 |
XCIII | 254 |
XCIV | 255 |
XCV | 256 |
XCVI | 258 |
XCVII | 259 |
XCVIII | 271 |
XCIX | 277 |
285 | |
303 | |
CII | |
Otras ediciones - Ver todas
Safeguarding Financial Stability: Theory and Practice Mr. Garry J. Schinasi Sin vista previa disponible - 2005 |
Términos y frases comunes
allocation assessment asset prices banking supervision billion bonds Capital Markets central bank challenges Chapter cial collateral costs counterparty counterparty risk countries credit default swaps credit derivatives credit exposures credit risk transfer crises crisis currency default deposits disclosure effective efficiency enhance Enron ensuring financial stability equity example exchange externalities fiat money financial activities financial markets financial risks financial-stability framework global financial hedge funds human trust imbalances important incentives infrastructure instability instruments insurance companies interest rate intertemporal investment investors involvement issues Japan liquidity loans Long-Term Capital Management LTCM market discipline market imperfections market liquidity market participants ment monetary options OTC derivatives activities OTC derivatives markets percent positions potential private-collective real economic regulation regulatory reinsurance requirements risk management risks and vulnerabilities role safeguarding financial stability Schinasi sector store of value structural supervisory swaps systemic risk tion trading transactions U.S. dollar uncertainty underlying volatility