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Deposit Insurance

Deposit Insurance »

Source: Deposit Insurance : A Survey of Actual and Best Practices

Volume/Issue: 1999/54

Series: IMF Working Papers

Author(s): G. Garcia

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 April 1999

ISBN: 9781451847499

Keywords: deposit insurance, banking, bankers, moral hazard, coinsurance

The paper surveys the characteristics of explicit systems of deposit insurance in 68 countries. It compares these actual practices with a set of best practices that has been adopted by IMF staff for their advice to...

How Risky Are Banks' Risk Weighted Assets? Evidence From the Financial Crisis

How Risky Are Banks' Risk Weighted Assets? Evidence From the Financial Crisis »

Source: How Risky Are Banks' Risk Weighted Assets? Evidence From the Financial Crisis

Volume/Issue: 2012/36

Series: IMF Working Papers

Author(s): Sonali Das , and Amadou Sy

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 January 2012

ISBN: 9781463933791

Keywords: crisis, regulation, risk weighted assets, Basel III, banking, return on assets, dummy variables, standard errors, independent variables, Financial Institutions and Services: General

We study how investors account for the riskiness of banks' risk-weighted assets (RWA) by examining the determinants of stock returns and market measures of risk. We find that banks with higher RWA had lower stock r...

Deposit Insurance
			: A Survey of Actual and Best Practices

Deposit Insurance : A Survey of Actual and Best Practices »

Volume/Issue: 1999/54

Series: IMF Working Papers

Author(s): G. Garcia

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 April 1999

DOI: http://dx.doi.org/10.5089/9781451847499.001

ISBN: 9781451847499

Keywords: deposit insurance, banking, bankers, moral hazard, coinsurance

The paper surveys the characteristics of explicit systems of deposit insurance in 68 countries. It compares these actual practices with a set of best practices that has been adopted by IMF staff for their advice to...

How Risky Are Banks' Risk Weighted Assets? Evidence From the Financial Crisis

How Risky Are Banks' Risk Weighted Assets? Evidence From the Financial Crisis »

Volume/Issue: 2012/36

Series: IMF Working Papers

Author(s): Sonali Das , and Amadou Sy

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 January 2012

DOI: http://dx.doi.org/10.5089/9781463933791.001

ISBN: 9781463933791

Keywords: crisis, regulation, risk weighted assets, Basel III, banking, return on assets, dummy variables, standard errors, independent variables, Financial Institutions and Services: General

We study how investors account for the riskiness of banks' risk-weighted assets (RWA) by examining the determinants of stock returns and market measures of risk. We find that banks with higher RWA had lower stock r...

Monitoring Systemic Risk Basedon Dynamic Thresholds

Monitoring Systemic Risk Basedon Dynamic Thresholds »

Volume/Issue: 2012/159

Series: IMF Working Papers

Author(s): Kasper Lund-Jensen

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 June 2012

DOI: http://dx.doi.org/10.5089/9781475504576.001

ISBN: 9781475504576

Keywords: Systemic Risk, banking, systemic banking crisis, banking crises

Successful implementation of macroprudential policy is contingent on the ability to identify and estimate systemic risk in real time. In this paper, systemic risk is defined as the conditional probability of a syst...

The Real Effect of Banking Crises

The Real Effect of Banking Crises »

Volume/Issue: 2005/63

Series: IMF Working Papers

Author(s): Giovanni Dell'Ariccia , Raghuram Rajan , and Enrica Detragiache

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 March 2005

DOI: http://dx.doi.org/10.5089/9781451860825.001

ISBN: 9781451860825

Keywords: bank lending channel, banking, banking crisis, currency crisis, bank lending, Financial Markets and the Macroeconomy,

Banking crises are usually followed by a decline in credit and growth. Is this because crises tend to take place during economic downturns, or do banking sector problems have independent negative effects on the eco...

International Financial Statistics Yearbook, 2005

International Financial Statistics Yearbook, 2005 »

Series: International Financial Statistics

Author(s): International Monetary Fund. Statistics Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 September 2005

DOI: http://dx.doi.org/10.5089/9781589064591.041

ISBN: 9781589064591

Keywords: claims, liabilities, debt, deposit money, deposit money banks, loans, interest, financial derivatives, debt securities, portfolio investment

The International Financial Statistics Yearbook, usually published in September, contains available annual data covering 12 years for countries appearing in the monthly issues of IFS. The IFS service is the standar...

International Financial Statistics Yearbook, 2006

International Financial Statistics Yearbook, 2006 »

Series: International Financial Statistics

Author(s): International Monetary Fund. Statistics Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 12 September 2006

DOI: http://dx.doi.org/10.5089/9781589065772.041

ISBN: 9781589065772

Keywords: claims, liabilities, debt, loans, deposit money, deposit money banks, interest, financial derivatives, debt securities, portfolio investment

The International Financial Statistics Yearbook, usually published in September, contains available annual data covering 12 years for countries appearing in the monthly issues of IFS. The IFS service is the standar...

International Financial Statistics Yearbook, 2008

International Financial Statistics Yearbook, 2008 »

Series: International Financial Statistics

Author(s): International Monetary Fund. Statistics Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 11 November 2008

DOI: http://dx.doi.org/10.5089/9781589067523.041

ISBN: 9781589067523

Keywords: claims, liabilities, loans, banking, interest, debt, financial derivatives, money market, debt securities, portfolio investment

The International Financial Statistics Yearbook, usually published in September, contains available annual data covering 12 years for countries appearing in the monthly issues of IFS. The IFS service is the standar...

Monitoring Systemic Risk Basedon Dynamic Thresholds1

Monitoring Systemic Risk Basedon Dynamic Thresholds1 »

Source: Monitoring Systemic Risk Basedon Dynamic Thresholds

Volume/Issue: 2012/159

Series: IMF Working Papers

Author(s): Kasper Lund-Jensen

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 June 2012

ISBN: 9781475504576

Keywords: Systemic Risk, banking, systemic banking crisis, banking crises

Successful implementation of macroprudential policy is contingent on the ability to identify and estimate systemic risk in real time. In this paper, systemic risk is defined as the conditional probability of a syst...