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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 221 - 225 of 225
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Unsecured Debt, Consumer Bankruptcy, and Small Business
Meh, Césaire A.; Terajima, Yaz - Bank of Canada - 2008
In this paper we develop a quantitative model of entrepreneurial activity (risk-taking) and consumer bankruptcy choices and use the model to study the effects of bankruptcy regulations on entrepreneurial activity, bankruptcy rate and welfare. We show that eliminating bankruptcy exemptions leads...
Persistent link: https://www.econbiz.de/10005673329
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Ownership Concentration and Competition in Banking Markets
Lai, Alexandra; Solomon, Raphael - Bank of Canada - 2006
Many countries prohibit large shareholdings in their domestic banks. The authors examine whether such a restriction restrains competition in a duopolistic loan market. Blockholders may influence managers' output decisions by choosing capital structure, as in Brander and Lewis (1986). For the...
Persistent link: https://www.econbiz.de/10005162422
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What Matters in Determining Capital Surcharges for Systemically Important Financial Institutions?
Gauthier, Céline; Gravelle, Toni; Liu, Xuezhi; … - Bank of Canada - 2011
One way of internalizing the externalities that each individual bank imposes on the rest of the financial system is to impose capital surcharges on them in line with their systemic importance. Given the complexity of the financial system and the resulting difficulties in measuring systemic...
Persistent link: https://www.econbiz.de/10009364337
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Regulatory Constraints on Bank Leverage: Issues and Lessons from the Canadian Experience
Bordeleau, Etienne; Crawford, Allan; Graham, Christopher - Bank of Canada - 2009
The Basel capital framework plays an important role in risk management by linking a bank's minimum capital requirements to the riskiness of its assets. Nevertheless, the risk estimates underlying these calculations may be imperfect, and it appears that a cyclical bias in measures of...
Persistent link: https://www.econbiz.de/10008502640
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Hedge Funds and Financial Stability: The State of the Debate
King, Michael R.; Maier, Philipp - Bank of Canada - 2007
The authors review the state of the debate on hedge funds and the potential threat that hedge funds pose to financial stability. The collapse of a hedge fund or a group of hedge funds might pose a systemic risk directly by damaging systematically important financial institutions, or indirectly...
Persistent link: https://www.econbiz.de/10005808270
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