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  • Search: subject:"foreign exchange derivative"
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Year of publication
Subject
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foreign exchange derivative 11 bond 10 derivative 10 financial markets 10 hedge 9 bonds 8 financial institutions 8 hedging 8 derivatives markets 7 financial market 7 financial services 7 financial system 7 stock market 7 bond market 6 derivative instruments 6 derivatives market 6 financial sector 6 financial stability 6 government bonds 6 stock exchange 6 cash flow 5 deposit insurance 5 derivative markets 5 equity markets 5 financial derivatives 5 financial intermediation 5 foreign exchange derivatives 5 government bond 5 hedges 5 international capital 5 long-term bonds 5 money market 5 portfolio investment 5 stock prices 5 term bonds 5 bond markets 4 capital adequacy 4 currency risk 4 derivative contracts 4 derivative transactions 4
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Online availability
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Free 11
Type of publication
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Book / Working Paper 11
Language
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Undetermined 7 English 4
Author
All
Breuer, Peter 1 Craig, R. Sean 1 Drees, Burkhard 1 Heath, Robert M. 1 Iorgova, Silvia 1 Kramer, Charles Frederick 1 Ong, Li L. 1 Papaioannou, Michael G. 1 Rungcharoenkitkul, Phurichai 1 Schinasi, Garry J. 1
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Institution
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International Monetary Fund (IMF) 11 International Monetary Fund 5
Published in...
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IMF Working Papers 6 IMF Staff Country Reports 4 IMF Occasional Papers 1
Source
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RePEc 11
Showing 1 - 10 of 11
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Why are the G-20 Data Gaps Initiative and the SDDS Plus Relevant for Financial Stability Analysis?
Heath, Robert M. - International Monetary Fund (IMF) - 2013
In the wake of the recent global crisis the international community is giving an increased focus on stability of the financial system, so-called financial stability analysis. With the increasing need for data sets to undertake this analysis, the question naturally arises as to what types of data...
Persistent link: https://www.econbiz.de/10011142045
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Mexico; Staff Report for the 2012 Article IV Consultation
International Monetary Fund (IMF); International … - 2012
The IMF staff report on Mexico’s financial policies has been satisfactory; these policies have been said to act as a buffer against risks that erupted during the global economic crisis. Mexico has been identified as a prudent and fairly well-managed economy. However, the issues that would...
Persistent link: https://www.econbiz.de/10011242784
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Macroprudential Policy; What Instruments and How to Use them? Lessons From Country Experiences
International Monetary Fund (IMF); International … - 2011
This paper provides the most comprehensive empirical study of the effectiveness of macroprudential instruments to date. Using data from 49 countries, the paper evaluates the effectiveness of macroprudential instruments in reducing systemic risk over time and across institutions and markets. The...
Persistent link: https://www.econbiz.de/10009369434
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Risk Sharing and Financial Contagion in Asia; An Asset Price Perspective
Rungcharoenkitkul, Phurichai - International Monetary Fund (IMF) - 2011
This paper assesses financial integration in Asia in terms of risk-sharing benefit versus financial-contagion cost. We construct a new measure of risk sharing based on a term structure model, which allows identification of realized stochastic discount factors. Risk sharing is low in Asia, and...
Persistent link: https://www.econbiz.de/10009369441
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The Capital Markets of Emerging Europe; Institutions, Instruments and Investors
Ong, Li L.; Iorgova, Silvia - International Monetary Fund (IMF) - 2008
Emerging European countries have made large strides in developing their local capital markets since the early-1990s. However, the rate of development has been widely disparate across countries and market segments, underpinned by the varying degrees of progress made in key areas such as...
Persistent link: https://www.econbiz.de/10005264095
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Mexico; Financial Sector Assessment Program Update: Technical Note: Derivatives Market: Overview and Potential Vulnerabilities
International Monetary Fund (IMF); International … - 2007
This technical note provides an overview of Mexico’s derivatives markets, and describes concisely the derivatives regulatory framework and risk management practices in financial institutions active in these markets. The most important derivatives market in Mexico is the over-the-counter...
Persistent link: https://www.econbiz.de/10011243042
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Exchange Rate Risk Measurement and Management; Issues and Approaches for Firms
Papaioannou, Michael G. - International Monetary Fund (IMF) - 2006
Measuring and managing exchange rate risk exposure is important for reducing a firm's vulnerabilities from major exchange rate movements, which could adversely affect profit margins and the value of assets. This paper reviews the traditional types of exchange rate risk faced by firms, namely...
Persistent link: https://www.econbiz.de/10005825991
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Uruguay; Second Review under the Stand-By Arrangement, Requests for Modification, Waiver of Nonobservance and Applicability of Performance Criteria, and Extension of Repurchase Expectations in the Credit Tranches
International Monetary Fund (IMF); International … - 2006
Uruguay’s Second Review Under the Stand-By Arrangement and Requests for Modification, Waiver of Nonobservance and Applicability of Performance Criteria are discussed. Growth remains robust, inflation is subdued, and the external position continues to strengthen, with buoyant exports and...
Persistent link: https://www.econbiz.de/10011245054
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Republic of Korea; Financial System Stability Assessment, including Reports on the Observance of Standards and Codes on the following topics: Monetary and Financial Policy Transparency, Banking Supervision, Securities Regulation, Insurance Regulation, Corporate Governance, and Payment Systems
International Monetary Fund (IMF); International … - 2003
This paper presents key finding of the Financial System Stability Assessment for the Republic of Korea, including Reports on the Observance of Standards and Codes on Monetary and Financial Policy Transparency, Banking Supervision, Securities Regulation, Insurance Regulation, Corporate...
Persistent link: https://www.econbiz.de/10005591412
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Modern Banking and OTC Derivatives Markets; The Transformation of Global Finance and its Implications for Systemic Risk
Drees, Burkhard; Schinasi, Garry J.; Kramer, Charles … - International Monetary Fund (IMF) - 2001
Persistent link: https://www.econbiz.de/10005590943
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