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  • Search: subject:"Financial System Regulation and Policies"
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Year of publication
Subject
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Financial system regulation and policies 221 Financial stability 111 Financial institutions 89 Financial markets 62 Finanzkrise 62 Financial crisis 61 Bank regulation 57 Bankenregulierung 57 Finanzmarkt 50 Financial sector 46 Finanzsektor 46 Financial market 45 Economic models 35 Theorie 33 Regulierung 32 Geldpolitik 31 Theory 31 Financial market regulation 30 Finanzmarktregulierung 30 Monetary policy 30 Regulation 30 Credit and credit aggregates 27 Welt 27 World 25 Financial services 23 Bank lending 20 Kreditgeschäft 20 Business fluctuations and cycles 19 Market structure and pricing 19 Finanzmarktaufsicht 18 Payment clearing and settlement systems 18 Financial supervision 17 Bank 16 Financial system 16 Finanzsystem 16 International topics 15 Kanada 13 Transmission of monetary policy 13 Clearing 12 Credit risk management 12
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Online availability
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Free 221
Type of publication
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Book / Working Paper 224 Article 1
Type of publication (narrower categories)
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Working Paper 196 Arbeitspapier 96 Graue Literatur 96 Non-commercial literature 96 Article in journal 1 Aufsatz in Zeitschrift 1
Language
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English 209 Undetermined 16
Author
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Schroth, Josef 13 Ahnert, Toni 12 Terajima, Yaz 12 Damar, H. Evren 11 Friedrich, Christian 9 Garriott, Corey 9 Mordel, Adi 9 Allen, Jason 8 Alpanda, Sami 7 Gauthier, Céline 7 Meh, Césaire 7 Souissi, Moez 7 Chapman, James 6 Damar, Evren 6 Desai, Ajit 6 Duprey, Thibaut 6 Li, Fuchun 6 Pasricha, Gurnain Kaur 6 Aizenman, Joshua 5 Anand, Kartik 5 Cociuba, Simona E. 5 Forbes, Kristin 5 Gravelle, Toni 5 Kuncl, Martin 5 Meh, Césaire A. 5 Moran, Kevin 5 Reinhardt, Dennis 5 Shukayev, Malik 5 Ueberfeldt, Alexander 5 Brolley, Michael 4 Cateau, Gino 4 Cheng, Yuteng 4 Chiu, Jonathan 4 Cimon, David A. 4 Davoodalhosseini, Seyed Mohammadreza 4 Fontaine, Jean-Sébastien 4 Graham, Christopher 4 Gropp, Reint 4 Halaj, Grzegorz 4 Klaus, Benjamin 4
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Institution
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Bank of Canada 28
Published in...
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Staff working paper / Bank of Canada 70 Bank of Canada Staff Working Paper 53 Bank of Canada Working Paper 25 Working Papers / Bank of Canada 23 Staff discussion paper 22 Bank of Canada Staff Discussion Paper 17 Bank of Canada Discussion Paper 5 Discussion Papers / Bank of Canada 5 Assurances et gestion des risques : revue trimestrielle 1 BIS working papers 1 Technical report / Bank of Canada 1 Working paper / National Bureau of Economic Research, Inc. 1 Working papers / Ryerson University, Department of Economics 1
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Source
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EconStor 100 ECONIS (ZBW) 97 RePEc 28
Showing 151 - 160 of 225
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Public policy objectives and the next generation of CPA systems: An analytical framework
Chapman, James; Chiu, Jonathan; Jafri, Sajjad; Saiz, … - 2015
The payments landscape in Canada is rapidly changing and will continue to evolve, fuelled by strong and persistent drivers. In Canada, the Canadian Payments Association (CPA) is on a path to modernize Canada's core payment systems. This paper contributes to the discussion in three ways. First,...
Persistent link: https://www.econbiz.de/10011442769
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Credit conditions and consumption, house prices and debt: What makes Canada different?
Muellbauer, John; St-Amant, Pierre; Williams, David - 2015
There is widespread agreement that, in the United States, higher house prices raise consumption via collateral or possibly wealth effects. The presence of similar channels in Canada would have important implications for monetary policy transmission. We trace the impact of shifts in non-price...
Persistent link: https://www.econbiz.de/10011481488
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Effects of Funding Portfolios on the Credit Supply of Canadian Banks
Damar, H. Evren; Meh, Césaire; Terajima, Yaz - Bank of Canada - 2015
This paper studies how banks simultaneously manage the two sides of their balance sheet and its implications for bank risk taking and real economic activity. First, we analyze how changes in funding affect the supply of bank loans. We then examine how the supply of credit by banks that rely more...
Persistent link: https://www.econbiz.de/10011196438
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Motivations for Capital Controls and Their Effectiveness
Pandey, Radhika; Pasricha, Gurnain; Patnaik, Ila; Shah, Ajay - Bank of Canada - 2015
We assess the motivations for changing capital controls and their effectiveness in India, a country with extensive and long-standing controls. We focus on the controls on foreign borrowing that can, in principle, be motivated by macroprudential concerns. We construct a fine-grained data set on...
Persistent link: https://www.econbiz.de/10011152373
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Securitization under Asymmetric Information over the Business Cycle
Kuncl, Martin - Bank of Canada - 2015
This paper studies the efficiency of financial intermediation through securitization in a model with heterogeneous investment projects and asymmetric information about the quality of securitized assets. I show that when retaining part of the risk, the issuer of securitized assets may credibly...
Persistent link: https://www.econbiz.de/10011170163
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Motivations for capital controls and their effectiveness
Pandey, Radhika; Pasricha, Gurnain Kaur; Patnaik, Ila; … - 2015
We assess the motivations for changing capital controls and their effectiveness in India, a country with extensive and long-standing controls. We focus on the controls on foreign borrowing that can, in principle, be motivated by macroprudential concerns. We construct a fine-grained data set on...
Persistent link: https://www.econbiz.de/10010472535
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Effects of funding portfolios on the credit supply of Canadian banks
Damar, H. Evren; Meh, Césaire Assah; Terajima, Yaz - 2015
This paper studies how banks simultaneously manage the two sides of their balance sheet and its implications for bank risk taking and real economic activity. First, we analyze how changes in funding affect the supply of bank loans. We then examine how the supply of credit by banks that rely more...
Persistent link: https://www.econbiz.de/10010488964
Saved in:
Cover Image
Securitization under asymmetric information over the business cycle
Kuncl, Martin - 2015
This paper studies the efficiency of financial intermediation through securitization in a model with heterogeneous investment projects and asymmetric information about the quality of securitized assets. I show that when retaining part of the risk, the issuer of securitized assets may credibly...
Persistent link: https://www.econbiz.de/10010479999
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Quantifying contagion risk in funding markets : a model-based stress-testing approach
Anand, Kartik; Gauthier, Céline; Souissi, Moez - 2015
We propose a tractable, model-based stress-testing framework where the solvency risks, funding liquidity risks and market risks of banks are intertwined. We highlight how coordination failure between a bank's creditors and adverse selection in the secondary market for the bank's assets interact,...
Persistent link: https://www.econbiz.de/10011304764
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Risk sharing in the presence of a public good
Schroth, Josef - 2015
This paper studies an economy where agents can spend resources on consuming a private good and on funding a public good. There is asymmetric information regarding agents' relative preference for private versus public good consumption. I show how private good consumption should be coordinated...
Persistent link: https://www.econbiz.de/10011302006
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