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  • Search: subject:"liquidity stress tests"
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Year of publication
Subject
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Financial supervision 2 Finanzmarktaufsicht 2 Asia and Pacific 1 Bank liquidity 1 Bank risk 1 Bankenaufsicht 1 Bankenliquidität 1 Banking supervision 1 Bankrisiko 1 Basel Accord 1 Basler Akkord 1 Betriebliche Liquidität 1 Commercial banks 1 Corporate liquidity 1 Financial Sector Assessment Program 1 Financial crisis 1 Financial market 1 Financial sector 1 Financial sector stability 1 Financial system 1 Finanzkrise 1 Finanzmarkt 1 Finanzsektor 1 Finanzsystem 1 Global 1 H. investment fund liquidity stress tests 1 Hong Kong 1 Hong Kong SAR authorities 1 Hong Kong SAR economy 1 Hongkong 1 Liquidity 1 Liquidität 1 Stress test 1 Stress testing 1 Stresstest 1 bank supervision 1 feedback effects 1 financial crisis 1 financial stability 1 liquidity risk monitoring 1
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Online availability
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Free 1
Type of publication
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Article 1 Book / Working Paper 1
Type of publication (narrower categories)
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Article in journal 1 Aufsatz in Zeitschrift 1 Graue Literatur 1 Non-commercial literature 1
Language
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English 2
Author
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Puhr, Claus 1 Schmitz, Stefan W. 1
Institution
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Internationaler Währungsfonds 1
Published in...
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IMF country report 1 Journal of risk management in financial institutions 1
Source
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ECONIS (ZBW) 2
Showing 1 - 2 of 2
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People's Republic of China-Hong Kong Special Administrative Region : financial system stability assessment : press release and statement by the Executive Director for the People's Republic of China-Hong Kong Special Administrative Region
Internationaler Währungsfonds - 2021
The main macro-financial risks relate to extensive linkages to Mainland China, stretched real estate valuations, and exposure to shifts in global market and domestic risk sentiment, compounded by escalating U.S.-China tensions. Stress tests show that the financial system is resilient to severe...
Persistent link: https://www.econbiz.de/10012604041
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Cover Image
A view from the top : the interaction between solvency and liquidity stress
Puhr, Claus; Schmitz, Stefan W. - In: Journal of risk management in financial institutions 7 (2014) 1, pp. 38-51
Persistent link: https://www.econbiz.de/10010259566
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