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13 Changes in Bank Behavior During Japan’s Financial Crisis

13 Changes in Bank Behavior During Japan’s Financial Crisis »

Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

Keywords: Financial stability, Risk premium, banking, financial system, financial sector, regulation, financial institutions

In the 1990s, Japan faced a serious financial crisis due to the formation and bursting of a bubble. In terms of magnitude, it was a crisis no other country had ever experienced. Though essentially a serious...

Chapitre 1. Le marché obligataire chinois : caractéristiques, perspectives, réformes

Chapitre 1. Le marché obligataire chinois : caractéristiques, perspectives, réformes »

Source: Extrait : L'avenir du marché obligataire chinois

Series: Miscellaneous Publication (Other)

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 30 April 2019

Language: French

ISBN: UTDFAEX

Keywords: Market interest rates, Open market operations, Bond markets, Credit default swap, Financial sector development, Exchange rate markets, marché obligataire, Banque populaire de Chine, entreprises publiques, renminbi

L’année 2018 a marqué le quarantième anniversaire du programme « Réforme et ouverture » de la Chine, qui a ouvert la voie à une croissance extraordinaire et — sauf choc important — à l’accession du pays au r...

Chapter 33. A Forward-Looking Macroprudential Stress Test for U.S. Banks

Chapter 33. A Forward-Looking Macroprudential Stress Test for U.S. Banks »

Source: A Guide to IMF Stress Testing : Methods and Models

Series: Books

Author(s): Li Ong

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 December 2014

ISBN: 9781484368589

Keywords: banking, banking system, financial institutions, financial stability, financial sector

This chapter presents a forward-looking macroprudential stress test methodology for 53 U.S. bank holding companies to assess how changes in the operating environment may affect the medium-term health of indi...

Chapter 29. A Macro Stress Test Model of Credit Risk for the Brazilian Banking Sector

Chapter 29. A Macro Stress Test Model of Credit Risk for the Brazilian Banking Sector »

Source: A Guide to IMF Stress Testing : Methods and Models

Series: Books

Author(s): Li Ong

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 December 2014

ISBN: 9781484368589

Keywords: banking, banking system, financial institutions, financial stability, financial sector

This chapter proposes a model to conduct a macro stress test of credit risk for the banking sector based on scenario analysis. We employ an original bank-level data set that splits bank credit portfolios int...

Chapter 30. A Practical Example of the Nonperforming Loans Projection Approach to Stress Testing

Chapter 30. A Practical Example of the Nonperforming Loans Projection Approach to Stress Testing »

Source: A Guide to IMF Stress Testing : Methods and Models

Series: Books

Author(s): Li Ong

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 December 2014

ISBN: 9781484368589

Keywords: banking, banking system, financial institutions, financial stability, financial sector

Using a case study approach, this chapter illustrates the process of developing a balance sheet stress testing model for a relatively large banking sector of regional importance. The chapter first discusses...

CHAPTER 3 Academics

CHAPTER 3 Academics »

Source: The Crisis and Miss Emily's Perceptions

Series: Departmental Papers / Policy Papers

Author(s): Luc Leruth , and Pierre Nicolas

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 19 November 2010

ISBN: 9781462327331

Keywords: Global Financial Crisis 2008-2009, paper, monetary policy, probability, scientists, financial sector

Theoretical models used by academics specializing in social sciences and other sciences exhibit at least two features that are rarely found in the real world: they are simple and perfectly consistent. There...

Chapter 3. Asia’s Most Dollarized Economy: Causes and Consequences

Chapter 3. Asia’s Most Dollarized Economy: Causes and Consequences »

Source: Cambodia : Entering a New Phase of Growth

Series: Books

Author(s): Olaf Unteroberdoerster

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 27 February 2014

ISBN: 9781475560787

Keywords: banking, financial stability, banking system, financial system, financial sector

Cambodia has made great strides toward macroeconomic and political stability over the past decade. Following decades of civil war and the Khmer Rouge regime, reconstruction efforts began in the mid-1990s. Th...

Chapter 15. Balance Sheet Network Analysis of Too-Connected-to-Fail Risk in Global and Domestic Banking Systems

Chapter 15. Balance Sheet Network Analysis of Too-Connected-to-Fail Risk in Global and Domestic Banking Systems »

Source: A Guide to IMF Stress Testing : Methods and Models

Series: Books

Author(s): Li Ong

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 December 2014

ISBN: 9781484368589

Keywords: banking, banking system, financial institutions, financial stability, financial sector

The 2008–9 financial crisis highlighted the importance of evaluating vulnerabilities owing to interconnectedness, or too-connected-to-fail risk, among financial institutions for country monitoring, financial...

Chapter 11. Bankers without Borders? Implications of Ring-Fencing for European Cross-Border Banks

Chapter 11. Bankers without Borders? Implications of Ring-Fencing for European Cross-Border Banks »

Source: A Guide to IMF Stress Testing : Methods and Models

Series: Books

Author(s): Li Ong

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 December 2014

ISBN: 9781484368589

Keywords: banking, banking system, financial institutions, financial stability, financial sector

This chapter presents a stylized analysis of the effects of ring-fencing (i.e., different restrictions on cross-border transfers of excess profits and/or capital between a parent bank and its subsidiaries lo...

Chapter 32. Banking Stability Measures

Chapter 32. Banking Stability Measures »

Source: A Guide to IMF Stress Testing : Methods and Models

Series: Books

Author(s): Li Ong

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 December 2014

ISBN: 9781484368589

Keywords: banking, banking system, financial institutions, financial stability, financial sector

This chapter defines a set of banking stability measures that take account of distress dependence among the banks in a system, thereby providing a set of tools to analyze stability from complementary perspec...