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New Framework for Measuring and Managing Macrofinancial Risk and Financial Stability
Financial Crisis Macroeconomics Central Banking Risk Management
2015/4/22
This paper proposes a new approach to improve the way central banks can analyze and manage the financial risks of a national economy. It is based on the modern theory and practice of contingent claims...
New Framework for Measuring and Managing Macrofinancial Risk and Financial Stability
Financial Crisis Macroeconomics Central Banking Risk Management
2015/4/20
This paper proposes a new approach to improve the way central banks can analyze and manage the financial risks of a national economy. It is based on the modern theory and practice of contingent claims...
Monetary Aggregates and the Central Bank’s Financial Stability Mandate
Monetary Aggregates Central Bank’s Financial Stability Mandate
2014/3/18
Money is the balance sheet counterpart to bank lending. As such, highly procyclical components of money reflect incremental bank lending that may reverse abruptly as financial conditions d...
Thoughts on Financial Stability and Central Banking
a speech Roger W. Ferguson Vice Chairman the U.S. Federal Reserve Board Financial Markets
2011/10/4
The article presents a speech by Roger W. Ferguson, Jr., Vice Chairman of the U.S. Federal Reserve Board, delivered April 17, 2006 at the Conference on Modern Financial Institutions, Financial Markets...
Cross-Border Banking: Challenges for Deposit Insurance and Financial Stability in the European Union
bank regulatory structure banking subsidiaries branching cross-border banking financial crises
2011/9/27
This paper examines the implications that alternative regulatory structures may have for resolving failed banking institutions. We place our emphasis on the European Union (EU), which is both economic...
Improving Financial Stability
Improving Financial Stability Sound Policymaking President and Chief Executive Officer sound central banking
2011/9/24
The speech "Improving Financial Stability: We Must Rely on Sound Policymaking" was delivered by President and Chief Executive Officer (CEO) of the Federal Reserve Bank of Philadelphia Charles I. Ploss...
Impossible Trinity, Capital Flow Market and Financial Stability
Systemic problem financial market capital market
2011/9/11
As observed by Calvo (2002) , the world financial market is wrought with systemic hazards that are largely independent to the individual countries affected. Systemic problem requires systemic instrume...
Monitoring financial stability: A financial conditions index approach
financial stability financial conditions economic conditions financial markets
2011/8/21
The authors highlights the monitoring financial stability through financial conditions index approach in the U.S. The authors cite that monitoring financial stability requires understanding on how tra...
The social role of any company is to get the maximum profitability with the less risk. Due to Basel III, banks should now raise their minimum capital levels on an individual basis, with the aim of low...
On information efficiency and financial stability
information efficiency financial stability
2010/10/20
We study a simple model of an asset market with informed and non-informed agents. In the absence of non-informed agents, the market becomes information efficient when the number of traders with diffe...