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  • Search: subject:"failure resolution"
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Year of publication
Subject
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failure resolution 16 banking 14 banking system 13 foreign exchange 12 bank failures 11 banking sector 11 banking supervision 11 interbank market 10 bank failure 9 banking crisis 9 capital adequacy 9 deposit guarantee 9 deposit insurance 9 deposit insurance scheme 9 prudential regulation 9 banking crises 8 Deposit insurance 7 banking industry 7 banking institutions 7 bank assets 6 bank deposits 6 bank restructuring 6 banking law 6 banking regulation 6 banking systems 6 bankruptcy law 6 capital adequacy ratio 6 loan classification 6 moral hazard 6 recapitalization 6 supervisory authorities 6 bank capital 5 bank lending 5 bank liabilities 5 bank liquidation 5 bank liquidity 5 bank managers 5 bank regulation 5 banking business 5 banking supervisor 5
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Online availability
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Free 22
Type of publication
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Book / Working Paper 21 Article 1
Type of publication (narrower categories)
All
Article in journal 1 Aufsatz in Zeitschrift 1
Language
All
Undetermined 17 English 5
Author
All
Rochet, Jean-Charles 3 Vives, Xavier 3 Garcia, G. G. 2 Hall, Maximilian J. B. 2 Kaufman, George G. 2 Andrews, Michael 1 Downes, Patrick 1 Hardy, Daniel C. 1 Hoelscher, David S. 1 Josefsson, Mats 1 Kick, Thomas 1 Klueh, Ulrich H. 1 Koetter, Michael 1 Marston, David 1 Poghosyan, Tigran 1 Schich, Sebastian T. 1 Seelig, Steven A. 1 Taylor, Michael 1 Toader, Oana 1 Ötker, Inci 1
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Institution
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International Monetary Fund (IMF) 15 International Monetary Fund 7 School of Business and Economics, Loughborough University 2 HWWA Institut für Wirtschaftsforschung 1 London School of Economics (LSE) 1 Networks Financial Institute, Scott College of Business 1
Published in...
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IMF Staff Country Reports 7 IMF Working Papers 5 Discussion Paper Series / School of Business and Economics, Loughborough University 2 IMF Occasional Papers 2 Discussion Paper Series / HWWA Institut für Wirtschaftsforschung 1 IMF Policy Discussion Papers 1 Journal of financial management, markets and institutions 1 LSE Research Online Documents on Economics 1 NFI Policy Briefs 1
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Source
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RePEc 20 BASE 1 ECONIS (ZBW) 1
Showing 1 - 10 of 22
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To be or not to be a G-SIB : does it matter?
Schich, Sebastian T.; Toader, Oana - In: Journal of financial management, markets and institutions 5 (2017) 2, pp. 169-192
Persistent link: https://www.econbiz.de/10011960194
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Russian Federation; Financial System Stability Assessment
International Monetary Fund (IMF); International … - 2003
This paper presents key findings of the Financial System Stability Assessment for the Russian Federation. There are significant vulnerabilities and weaknesses in the financial sector, although given its small size, the macroeconomy would be relatively little affected by the immediate impact of...
Persistent link: https://www.econbiz.de/10005599009
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Bank Resolution Costs, Depositor Preference, and Asset Encumbrance
Hardy, Daniel C. - International Monetary Fund (IMF) - 2013
Depositor preference and collateralization of borrowing may reduce the cost of settling the conflicts among creditors that arises in case of resolution or bankruptcy. This net benefit, which may be capitalized into the value of the bank rather than affect creditors’ expected returns, should...
Persistent link: https://www.econbiz.de/10011123844
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Malaysia; Publication of Financial Sector Assessment Program Documentation—Detailed Assessment of Observance of Core Principles for Effective Deposit Insurance Systems
International Monetary Fund (IMF); International … - 2013
This paper evaluates and addresses Malaysia’s compliance with the Core Principles for Effective Deposit Insurance Systems (Core Principles), and reviews relevant laws, regulations and regulatory and supervisory practices related to conventional banking sector, and the operations of...
Persistent link: https://www.econbiz.de/10011243456
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Recovery Determinants of Distressed Banks; Regulators, Market Discipline, or the Environment?
Koetter, Michael; Poghosyan, Tigran; Kick, Thomas - International Monetary Fund (IMF) - 2010
Based on detailed regulatory intervention data among German banks during 1994-2008, we test if supervisory measures affect the likelihood and the timing of bank recovery. Severe regulatory measures increase both the likelihood of recovery and its duration while weak measures are insignificant....
Persistent link: https://www.econbiz.de/10008519496
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BANK BAILOUT MARK "II" : WILL IT WORK?
Hall, Maximilian J. B. - School of Business and Economics, Loughborough University - 2009
On 19 January 2009, the UK Government unveiled a second comprehensive bank bailout plan. This followed the failure of its October bailout package to stimulate domestic lending, as intended. The various components of the new "rescue package" are duly explained and analysed in this article, which...
Persistent link: https://www.econbiz.de/10005125103
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The sub-prime crisis, the credit squeeze, Northern Rock and beyond: The lessons to be learnt
Hall, Maximilian J. B. - School of Business and Economics, Loughborough University - 2009
On 14 September 2007, after failing to find a 'White Knight' to take over its business, Northern Rock bank turned to the Bank of England ('the Bank') for a liquidity lifeline. This was duly provided but failed to quell the financial panic, which manifested itself in the first fully-blown...
Persistent link: https://www.econbiz.de/10005570228
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Republic of Lithuania; Financial System Stability Assessment: Update
International Monetary Fund (IMF); International … - 2008
Lithuania’s catch-up toward the European average has been impressive. This success has been coupled with the emergence of macroeconomic imbalances. The dominance of foreign-owned banks in the banking system constitutes both a source of strength and risk. Although stress tests indicate...
Persistent link: https://www.econbiz.de/10011243521
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A Program for Minimizing the Private and Public Costs of Bank Failures
Kaufman, George G. - Networks Financial Institute, Scott College of Business - 2007
Bank failures are often perceived to be more costly to the economy than the failure of other firms of comparable size and to generate widespread public fear. As a result, preventing bank failures is a major public policy concern in all countries. Unfortunately, most public policy strategies...
Persistent link: https://www.econbiz.de/10010761813
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Mexico; Financial Sector Assessment Program Update: Technical Note: Organizational Arrangements for Effective Financial System Regulation, Supervision and Policymaking
International Monetary Fund (IMF); International … - 2007
This paper discusses Mexico’s organizational arrangements for effective financial system regulation, supervision and policymaking. Reforms implemented encompassed the legal framework, operational arrangements, and information systems, as well as transparency and information disclosure...
Persistent link: https://www.econbiz.de/10011244193
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