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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
All
Free 221
Type of publication
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Book / Working Paper 224 Article 1
Type of publication (narrower categories)
All
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
All
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 171 - 180 of 225
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A policy model to analyze macroprudential regulations and monetary policy
Alpanda, Sami; Cateau, Gino; Meh, Césaire Assah - 2014
We construct a small-open-economy, New Keynesian dynamic stochastic generalequilibrium model with real-financial linkages to analyze the effects of financial shocks and macroprudential policies on the Canadian economy. Our model has four key features. First, it allows for non-trivial...
Persistent link: https://www.econbiz.de/10010238951
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Rollover risk, liquidity and macroprudential regulation
Ahnert, Toni - 2014
I study rollover risk in the wholesale funding market when intermediaries can hold liquidity ex ante and are subject to fire sales ex post. Precautionary liquidity restores multiple equilibria in a global rollover game. An intermediate liquidity level supports both the usual run equilibrium and...
Persistent link: https://www.econbiz.de/10010360348
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Addressing household indebtedness : monetary, fiscal or macroprudential policy?
Alpanda, Sami; Zubairy, Sarah - 2014
In this paper, we build a dynamic stochastic general-equilibrium model with housing and household debt, and compare the effectiveness of monetary policy, housing-related fiscal policy, and macroprudential regulations in reducing household indebtedness. The model features long-term fixed-rate...
Persistent link: https://www.econbiz.de/10010457935
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A policy model to analyze macroprudential regulations and monetary policy
Alpanda, Sami; Cateau, Gino; Meh, Césaire Assah - 2014
Persistent link: https://www.econbiz.de/10010433950
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Why do emerging markets liberalize capital outflow controls? Fiscal versus net capital flow concerns
Aizenman, Joshua; Pasricha, Gurnain Kaur - 2013
In this paper, we provide empirical evidence on the factors that motivated emerging economies to change their capital outflow controls in recent decades. Liberalization of capital outflow controls can allow emerging-market economies (EMEs) to reduce net capital inflow (NKI) pressures, but may...
Persistent link: https://www.econbiz.de/10010319621
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The 'Celtic crisis': Guarantees, transparency and systemic liquidity risk
König, Philipp; Anand, Kartik; Heinemann, Frank - 2013
Bank liability guarantee schemes have traditionally been viewed as costless measures to shore up investor confidence and prevent bank runs. However, as the experiences of some European countries, most notably Ireland, have demonstrated, the credibility and effectiveness of these guarantees are...
Persistent link: https://www.econbiz.de/10010319688
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Why Do Emerging Markets Liberalize Capital Outflow Controls? Fiscal versus Net Capital Flow Concerns
Aizenman, Joshua; Pasricha, Gurnain - Bank of Canada - 2013
In this paper, we provide empirical evidence on the factors that motivated emerging economies to change their capital outflow controls in recent decades. Liberalization of capital outflow controls can allow emerging-market economies (EMEs) to reduce net capital inflow (NKI) pressures, but may...
Persistent link: https://www.econbiz.de/10010849944
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Cover Image
The ‘Celtic Crisis’: Guarantees, Transparency and Systemic Liquidity Risk
König, Philipp; Anand, Kartik; Heinemann, Frank - Bank of Canada - 2013
Bank liability guarantee schemes have traditionally been viewed as costless measures to shore up investor confidence and prevent bank runs. However, as the experiences of some European countries, most notably Ireland, have demonstrated, the credibility and effectiveness of these guarantees are...
Persistent link: https://www.econbiz.de/10010691319
Saved in:
Cover Image
Why do emerging markets liberalize capital outflow controls? : fiscal versus net capital flow concerns
Aizenman, Joshua; Pasricha, Gurnain Kaur - 2013
In this paper, we provide empirical evidence on the factors that motivated emerging economies to change their capital outflow controls in recent decades. Liberalization of capital outflow controls can allow emerging-market economies (EMEs) to reduce net capital inflow (NKI) pressures, but may...
Persistent link: https://www.econbiz.de/10009762130
Saved in:
Cover Image
The 'Celtic crisis' : guarantees, transparency and systemic liquidity risk
König, Philipp Johann; Anand, Kartik; Heinemann, Frank - 2013
Bank liability guarantee schemes have traditionally been viewed as costless measures to shore up investor confidence and prevent bank runs. However, as the experiences of some European countries, most notably Ireland, have demonstrated, the credibility and effectiveness of these guarantees are...
Persistent link: https://www.econbiz.de/10009788961
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