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  • Search: subject:"Financial vulnerabilities"
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Year of publication
Subject
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financial vulnerabilities 49 financial institutions 33 financial system 33 financial markets 32 financial stability 29 bond 26 bonds 25 financial sector 25 financial market 22 stock market 22 financial assets 20 deposit insurance 18 financial instruments 18 money market 18 financial intermediaries 17 financial intermediation 17 financial services 17 international standards 17 financial systems 16 international reserves 16 reserve requirements 16 international financial statistics 15 stock exchange 15 Financial crisis 14 Finanzkrise 14 equity market 14 government bonds 14 moral hazard 14 portfolio investment 14 bond markets 13 capital adequacy 13 debt stock 13 derivative 13 financial regulation 13 foreign exchange 13 hedging 13 liquidity support 13 currency risk 12 hedge 12 international capital 12
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Online availability
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Free 50 Undetermined 4
Type of publication
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Book / Working Paper 50 Article 5
Type of publication (narrower categories)
All
Working Paper 13 Arbeitspapier 9 Graue Literatur 9 Non-commercial literature 9 Article in journal 5 Aufsatz in Zeitschrift 5
Language
All
English 32 Undetermined 23
Author
All
Bajzík, Josef 4 Ehrenbergerová, Dominika 4 Janků, Jan 4 Malovaná, Simona 4 Azar, Pablo D. 3 Baughman, Garth 3 Carapella, Francesca 3 Gerszten, Jacob 3 Lubis, Arazi 3 Perez-Sangimino, Juan Pablo 3 Rappoport, David E. 3 Scotti, Chiara 3 Swem, Nathan 3 Vardoulakis, Alexandros 3 Werman, Aurite 3 Fisher, Jack 2 Geršl, Adam 2 Greiwe, Moritz 2 Hilbers, Paul Louis Ceriel 2 Imam, Patrick A. 2 Jones, Matthew T. 2 Kang, Kenneth 2 Karasulu, Meral 2 Lang, Jan Hannes 2 Lee, Seung Jung 2 Mody, Ashoka 2 Papavangjeli, Meri 2 Rachel, Lukasz 2 Rusnák, Marek 2 Aikman, David 1 Allegret, Jean-Pierre 1 Benink, Harald A. 1 Caceres, Carlos 1 Chai, Jingqing 1 Chamon, Marcos 1 Chopra, Ajai 1 Cihák, Martin 1 Cordella, Tito 1 Eichengreen, Barry J. 1 Fassler, Segismundo 1
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Institution
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International Monetary Fund (IMF) 37 International Monetary Fund 16
Published in...
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IMF Working Papers 19 IMF Staff Country Reports 13 IMF Occasional Papers 3 Journal of banking & finance 2 Applied economics 1 Discussion paper / Center for Economic Research, Tilburg University 1 ECB Working Paper 1 Federal Reserve Bank of Cleveland working paper series 1 Finance and economics discussion series 1 IES Occasional Paper 1 IES Working Paper 1 IES occasional paper 1 IES working paper 1 IMF Staff Discussion Notes 1 IMF Staff Position Notes 1 Journal of economic surveys 1 Journal of risk management in financial institutions 1 Research and policy notes 1 Staff Reports 1 Staff reports / Federal Reserve Bank of New York 1 Staff working papers / Bank of England 1 Working paper series / European Central Bank 1
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Source
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RePEc 37 ECONIS (ZBW) 14 EconStor 4
Showing 1 - 10 of 55
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Monetary policy, macro-financial vulnerabilities, and macroeconomic outcomes
Papavangjeli, Meri; Geršl, Adam - 2024
macro-financial vulnerabilities, the significance of monitoring financial conditions becomes even more pronounced and calls …. The findings suggest that the credit-to-GDP gap could potentially function as an early warning indicator of financial … vulnerabilities, with a positive gap possibly reflecting excessive risk-taking by financial institutions. Furthermore, the …
Persistent link: https://www.econbiz.de/10014577253
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Cover Image
Monetary policy, macro-financial vulnerabilities, and macroeconomic outcomes
Papavangjeli, Meri; Geršl, Adam - 2024
macro-financial vulnerabilities, the significance of monitoring financial conditions becomes even more pronounced and calls …. The findings suggest that the credit-to-GDP gap could potentially function as an early warning indicator of financial … vulnerabilities, with a positive gap possibly reflecting excessive risk-taking by financial institutions. Furthermore, the …
Persistent link: https://www.econbiz.de/10014531999
Saved in:
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Financial fragility indexes for Latin American countries
Martínez, Constanza; Čížek, Pavel; Benink, Harald A. - 2024
Persistent link: https://www.econbiz.de/10014478803
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Medium-term growth-at-risk in the euro area
Lang, Jan Hannes; Rusnák, Marek; Greiwe, Moritz - 2023
Financial stability indicators can be grouped into financial stress indicators that reflect heightened spreads and market volatility, and financial vulnerability indicators that reflect credit and asset price imbalances. Based on a panel of euro area countries, we show that both types of...
Persistent link: https://www.econbiz.de/10014374596
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Medium-term growth-at-risk in the euro area
Lang, Jan Hannes; Rusnák, Marek; Greiwe, Moritz - 2023
Financial stability indicators can be grouped into financial stress indicators that reflect heightened spreads and market volatility, and financial vulnerability indicators that reflect credit and asset price imbalances. Based on a panel of euro area countries, we show that both types of...
Persistent link: https://www.econbiz.de/10014278684
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The financial stability implications of digital assets
Azar, Pablo D.; Baughman, Garth; Carapella, Francesca; … - 2022
The value of assets in the digital ecosystem has grown rapidly amid periods of high volatility. Does the digital financial system create new potential challenges to financial stability? This paper explores this question using the Federal Reserve's framework for analyzing vulnerabilities in the...
Persistent link: https://www.econbiz.de/10014302756
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The financial stability implications of digital assets
Azar, Pablo D.; Baughman, Garth; Carapella, Francesca; … - 2022
The value of assets in the digital ecosystem has grown rapidly amid periods of high volatility. Does the digital financial system create new potential challenges to financial stability? This paper explores this question using the Federal Reserve's framework for analyzing vulnerabilities in the...
Persistent link: https://www.econbiz.de/10013401861
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The financial stability implications of digital assets
Azar, Pablo D.; Baughman, Garth; Carapella, Francesca; … - 2022
Persistent link: https://www.econbiz.de/10013414208
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Can governments sleep more soundly when holding international reserves? : A banking and financial vulnerabilities perspective*
Sallenave, Audrey; Allegret, Jean-Pierre; Omay, Tolga - In: Applied economics 56 (2024) 15, pp. 1748-1762
Persistent link: https://www.econbiz.de/10014473209
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A prolonged period of low interest iates: Unintended consequences
Malovaná, Simona; Bajzík, Josef; Ehrenbergerová, Dominika - 2021
Based on intraday data for a large cross-section of individual stocks and Exchange traded funds, we show that short-term as well as long-term fluctuations of realized market and average idiosyncratic higher moments risks are priced in the crosssectionof asset returns. Specifically, we find that...
Persistent link: https://www.econbiz.de/10012819055
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