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Year of publication
Subject
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EU countries 4 EU-Staaten 4 Financial crisis 4 Finanzkrise 4 Country risk 3 Credit rating 3 Kreditwürdigkeit 3 Länderrisiko 3 Rating agency 3 Ratingagentur 3 Regulation 3 Regulierung 3 Spillover effect 3 Spillover-Effekt 3 Africa 2 Afrika 2 Ankündigungseffekt 2 Announcement effect 2 Bank 2 Debt management 2 Financial market 2 Finanzmarkt 2 Schuldenmanagement 2 Sovereign default 2 Sovereign wealth fund 2 Staatsbankrott 2 Staatsfonds 2 Welt 2 World 2 Aktienmarkt 1 Anleihe 1 Asset-liability management 1 Bailout 1 Bank risk 1 Bankenkrise 1 Banking crisis 1 Bankrisiko 1 Basel Accord 1 Basler Akkord 1 Bilanzstrukturmanagement 1
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Online availability
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Free 28
Type of publication
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Book / Working Paper 30
Language
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English 17 Undetermined 13
Author
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Sy, Amadou Nicolas Racine 30 Candelon, Bertrand 5 Arezki, Rabah 4 Chan-Lau, Jorge A. 2 Das, Udaibir S. 2 Gueye, Cheikh 2 Lu, Yinqiu 2 Mulder, Christian B. 2 Balima, Hippolyte 1 Becker, Torbjorn 1 Camara, Ibrahima 1 Das, Sonali 1 Gueye, Cheikh Anta 1 Jobst, Andreas (Andy) 1 Kunzel, Peter 1 Mbelu, Asithandile 1 Mills, Paul S. 1 Ong, Li 1 Ouedraogo, Rasmané 1 Pescatori, Andrea 1
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Published in...
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IMF Working Paper 10 CESifo Working Paper Series 1 IMF WP/09/179 1 IMF Working Paper 09/129 1 IMF Working Paper, Vol. , pp. 1-18, 2005 1 IMF Working Paper, Vol. , pp. 1-19, 2006 1 IMF Working Paper, Vol. , pp. 1-25, 2006 1 IMF Working Paper, Vol. , pp. 1-29, 1999 1 IMF Working Papers, Vol. , pp. 1-12, 2007 1 IMF Working Papers, Vol. , pp. 1-17, 2007 1 IMF Working Papers, Vol. , pp. 1-18, 2011 1 IMF Working Papers, Vol. , pp. 1-21, 2009 1 IMF Working Papers, Vol. , pp. 1-21, 2010 1 IMF Working Papers, Vol. , pp. 1-27, 2011 1 IMF Working Papers, Vol. , pp. 1-36, 2009 1
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Source
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ECONIS (ZBW) 30
Showing 1 - 10 of 30
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Unbearable Costs : When is Inflation Impeding Job Creation? Evidence from Sub-Saharan Africa
Camara, Ibrahima; Ouedraogo, Rasmané; Sy, Amadou … - 2023
Covid-19 and war-induced commodity price fluctuations, and broadening price pressures have led to a surge in inflation in many sub-Saharan Africa (SSA) countries. To adjust to increasing costs, firms have resorted to several measures including shuttering offices, reducing businesses, laying off,...
Persistent link: https://www.econbiz.de/10014254184
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The Impact of Bailouts on the Probability of Sovereign Debt Crises : Evidence from IMF-Supported Programs
Balima, Hippolyte - 2019
This paper studies the role of IMF-supported programs in mitigating the likelihood of subsequent sovereign defaults in borrowing countries. Using a panel of 106 developing countries from 1970 to 2016 and an entropy balancing methodology, we find that IMF-supported programs significantly reduce...
Persistent link: https://www.econbiz.de/10012892896
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Coping with Falling Oil Prices : The Different Fortunes of African Banks
Gueye, Cheikh - 2019
This paper studies the impact of declining oil prices on banks in sub-Saharan African oil-exporting countries. Results indicate that banks respond differently to an oil shock depending on their ownership: (i) domestic banks are the most adversely impacted and experience a deterioration in asset...
Persistent link: https://www.econbiz.de/10012866905
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How Risky are Banks' Risk Weighted Assets? Evidence from the Financial Crisis
Das, Sonali - 2015
We study how investors account for the riskiness of banks' risk-weighted assets (RWA) by examining the determinants of stock returns and market measures of risk. We find that banks with higher RWA had lower stock returns over the US and European crises. This relationship is weaker in Europe...
Persistent link: https://www.econbiz.de/10013037250
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How Did Markets React to Stress Tests?
Candelon, Bertrand - 2015
We use event study methods to compare the market reaction to U.S. and EU-wide stress tests performed from 2009 to 2013. Typically, stress tests have a positive impact on stressed banks' returns. While the 2009 U.S. stress test had a large positive outcome, the impact of subsequent U.S. exercises...
Persistent link: https://www.econbiz.de/10013023274
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Regulating Credit Ratings Agencies : Where to Now?
Sy, Amadou Nicolas Racine - 2012
This paper reviews current proposals to regulate credit rating agencies. The proposals can be classified in two broad areas: (1) micro- and (2) macro-prudential measures. While the previous regulations relied on micro-prudential measures, experience from the U.S. subprime crisis and the European...
Persistent link: https://www.econbiz.de/10013102822
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Are There Spillover Effects from Munis?
Arezki, Rabah - 2011
This paper studies the spillover effects both within the bond markets for individual U.S. states and between the latter and the market for U.S. Treasury securities. We perform the Forbes and Rigobon (2002) spillover test using daily bond yield data over the period 2005 to 2011. Results are...
Persistent link: https://www.econbiz.de/10013117568
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Municipal Fallout
Arezki, Rabah - 2011
We examine the spillover effects both within the munis markets and between the bond markets for individual U.S. states and the market for U.S. Treasury securities. Results are twofold. First, we find that between most markets for individual U.S. state bonds there are negative spillovers that...
Persistent link: https://www.econbiz.de/10013118889
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Sovereign Rating News and Financial Markets Spillovers : Evidence from the European Debt Crisis
Arezki, Rabah - 2011
This paper examines the spillover effects of sovereign rating news on European financial markets during the period 2007-2010. Our main finding is that sovereign rating downgrades have statistically and economically significant spillover effects both across countries and financial markets. The...
Persistent link: https://www.econbiz.de/10013127179
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Sovereign Rating News and Financial Markets Spillovers : Evidence from the European Debt Crisis
Arezki, Rabah - 2011
This paper examines the spillover effects of sovereign rating news on European financial markets during the period 2007-2010. Our main finding is that sovereign rating downgrades have statistically and economically significant spillover effects both across countries and financial markets. The...
Persistent link: https://www.econbiz.de/10013127648
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