EconBiz - Find Economic Literature
    • Logout
    • Change account settings
  • A-Z
  • Beta
  • About EconBiz
  • News
  • Thesaurus (STW)
  • Academic Skills
  • Help
  •  My account 
    • Logout
    • Change account settings
  • Login
EconBiz - Find Economic Literature
Publications Events
Search options
Advanced Search history
My EconBiz
Favorites Loans Reservations Fines
    You are here:
  • Home
  • Search: subject:"partial derivative"
Narrow search

Narrow search

Year of publication
Subject
All
derivative 15 partial derivative 15 bond 13 financial markets 11 Economic models 8 bonds 8 cash flows 8 financial sector 8 financial system 8 financial institutions 7 financial market 7 bond prices 6 cash flow 6 deposit insurance 6 money market 6 present value 6 sovereign bond 6 bond market 5 corporate bond 5 discount rate 5 emerging market bond 5 financial stability 5 government bonds 5 international financial markets 5 market bond 5 moral hazard 5 partial derivatives 5 banking system 4 bond markets 4 bond spreads 4 capital adequacy 4 corporate bonds 4 deposit rate 4 equity market 4 equity markets 4 financial economics 4 financial intermediaries 4 government bond 4 hedge 4 international finance 4
more ... less ...
Online availability
All
Free 15
Type of publication
All
Book / Working Paper 15
Language
All
Undetermined 9 English 6
Author
All
Baldacci, Emanuele 1 Chakravorti, Sujit 1 Claessens, Stijn 1 Dell'Ariccia, Giovanni 1 Dell'Erba, Salvatore 1 Feyzioglu, Tarhan 1 Gray, Dale F. 1 Grigorian, David A. 1 Isard, Peter 1 Jobst, Andreas 1 Jobst, Andreas A. 1 Khramov, Vadim 1 Lall, Subir 1 Mathieson, Donald J. 1 Medeiros, Carlos I. 1 Papaioannou, Michael G. 1 Poghosyan, Tigran 1 Polan, Magdalena 1 Ramlogan, Parmeshwar 1 Rojas-Suárez, Liliana 1 Sarr, Abdourahmane 1 Schnabel, Isabel 1 Severo, Tiago 1 Ueda, Kenichi 1 Yafeh, Yishay 1 Zettelmeyer, Jeromin 1
more ... less ...
Institution
All
International Monetary Fund (IMF) 15 International Monetary Fund 1
Published in...
All
IMF Working Papers 14 IMF Staff Country Reports 1
Source
All
RePEc 15
Showing 1 - 10 of 15
Cover Image
Systemic Contingent Claims Analysis; Estimating Market-Implied Systemic Risk
Jobst, Andreas A.; Gray, Dale F. - International Monetary Fund (IMF) - 2013
The recent global financial crisis has forced a re-examination of risk transmission in the financial sector and how it affects financial stability. Current macroprudential policy and surveillance (MPS) efforts are aimed establishing a regulatory framework that helps mitigate the risk from...
Persistent link: https://www.econbiz.de/10011242440
Saved in:
Cover Image
Asymmetric Effects of the Financial Crisis; Collateral-Based Investment-Cash Flow Sensitivity Analysis
Khramov, Vadim - International Monetary Fund (IMF) - 2012
This paper uses the financial crisis of 2008 as a natural experiment to demonstrate that when measuring investment-cash flow sensitivity, the value of a firm's assets that can be used as collateral should be taken into account. Using panel data on U.S. firms from 1990 to 2011, it was found that...
Persistent link: https://www.econbiz.de/10011242338
Saved in:
Cover Image
Measuring Systemic Risk-Adjusted Liquidity (SRL); A Model Approach
Jobst, Andreas - International Monetary Fund (IMF) - 2012
Little progress has been made so far in addressing—in a comprehensive way—the externalities caused by impact of the interconnectedness within institutions and markets on funding and market liquidity risk within financial systems. The Systemic Risk-adjusted Liquidity (SRL) model...
Persistent link: https://www.econbiz.de/10011242398
Saved in:
Cover Image
Measuring Systemic Liquidity Risk and the Cost of Liquidity Insurance
Severo, Tiago - International Monetary Fund (IMF) - 2012
I construct a systemic liquidity risk index (SLRI) from data on violations of arbitrage relationships across several asset classes between 2004 and 2010. Then I test whether the equity returns of 53 global banks were exposed to this liquidity risk factor. Results show that the level of bank...
Persistent link: https://www.econbiz.de/10010790406
Saved in:
Cover Image
Spatial Spillovers in Emerging Market Spreads
Dell'Erba, Salvatore; Baldacci, Emanuele; Poghosyan, Tigran - International Monetary Fund (IMF) - 2011
We use novel spatial econometrics techniques to explore spillovers in the sovereign bond market for 24 emerging economies during 1995-2010. The paper extends the previous literature focusing on spillover effects from advanced to emerging economies by analyzing transmission of shocks across...
Persistent link: https://www.econbiz.de/10009327872
Saved in:
Cover Image
Germany; Technical Note on Stress Testing
International Monetary Fund (IMF); International … - 2011
This note summarizes the stress tests undertaken for the German banking system as part of the Financial Sector Assessment Program (FSAP) update. Solvency tests for the German banking system assessed medium-term vulnerabilities under two adverse macroeconomic scenarios. The tests considered a...
Persistent link: https://www.econbiz.de/10011242747
Saved in:
Cover Image
Financial Frictions, Investment, and Institutions
Yafeh, Yishay; Ueda, Kenichi; Claessens, Stijn - International Monetary Fund (IMF) - 2010
Financial frictions have been identified as key factors affecting economic fluctuations and growth. But, can institutional reforms reduce financial frictions? Based on a canonical investment model, we consider two potential channels: (i) financial transaction costs at the firm level; and (ii)...
Persistent link: https://www.econbiz.de/10008680276
Saved in:
Cover Image
Does Good Financial Performance Mean Good Financial Intermediation in China?
Feyzioglu, Tarhan - International Monetary Fund (IMF) - 2009
Chinese banks generate large profits and have relatively low nonperforming loans. However, good financial performance does not, in itself, guarantee that banks efficiently intermediate the economy's financial resources. This paper first examines how efficient Chinese banks are in financial...
Persistent link: https://www.econbiz.de/10008528607
Saved in:
Cover Image
A Primeron Sovereign Debt Buybacks and Swaps
Polan, Magdalena; Ramlogan, Parmeshwar; Medeiros, Carlos I. - International Monetary Fund (IMF) - 2007
This paper sets forth some basic principles that could help debt managers in emerging market and other countries to plan and implement sovereign debt buyback and swap operations. It discusses the macroeconomic context in which buybacks and swaps are undertaken, the objectives of buybacks and...
Persistent link: https://www.econbiz.de/10005826410
Saved in:
Cover Image
A Primer for Risk Measurement of Bonded Debt From the Perspective of a Sovereign Debt Manager
Papaioannou, Michael G. - International Monetary Fund (IMF) - 2006
This paper presents some conventional and new measures of market, credit, and liquidity risks for government bonds. These measures are analyzed from the perspective of a sovereign's debt manager. In particular, it examines duration, convexity, M-square, skewness, kurtosis, and VaR statistics as...
Persistent link: https://www.econbiz.de/10005825661
Saved in:
  • 1
  • 2
  • Next
  • Last
A service of the
zbw
  • Sitemap
  • Plain language
  • Accessibility
  • Contact us
  • Imprint
  • Privacy

Loading...