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Carry Trade vs. Deposit-Driven Euroization

Carry Trade vs. Deposit-Driven Euroization »

Source: Carry Trade vs. Deposit-Driven Euroization

Volume/Issue: 2018/58

Series: IMF Working Papers

Author(s): Nan Geng , Tiberiu Scutaru , and Johannes Wiegand

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 March 2018

ISBN: 9781484345269

Keywords: Financial Dollarization, Euroization, Emerging Europe, Portfolio Choice

Financial 'euroization'-or 'dollarization' outside of Central and Eastern Europe-is typically analyzed as a singular phenomenon that can be traced to a common set of factors. This paper argues that two types of eur...

A Primer on Managing Sovereign Debt-Portfolio Risks

A Primer on Managing Sovereign Debt-Portfolio Risks »

Source: A Primer on Managing Sovereign Debt-Portfolio Risks

Volume/Issue: 2018/74

Series: IMF Working Papers

Author(s): Thordur Jonasson , and Michael Papaioannou

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 06 April 2018

ISBN: 9781484350546

Keywords: Public debt management, Financial risk, Foreign Exchange Hedging, Government Securities Markets, General, Portfolio Choice

This paper provides an overview of sovereign debt portfolio risks and discusses various liability management operations (LMOs) and instruments used by public debt managers to mitigate these risks. Debt management s...

Cyber Risk for the Financial Sector: A Framework for Quantitative Assessment

Cyber Risk for the Financial Sector: A Framework for Quantitative Assessment »

Source: Cyber Risk for the Financial Sector: A Framework for Quantitative Assessment

Volume/Issue: 2018/143

Series: IMF Working Papers

Author(s): Antoine Bouveret

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 22 June 2018

ISBN: 9781484360750

Keywords: Operational risk, Systemic risk, Cyber risk, risk management, Financial Markets and the Macroeconomy, Portfolio Choice

Cyber risk has emerged as a key threat to financial stability, following recent attacks on financial institutions. This paper presents a novel documentation of cyber risk around the world for financial institutions...

Household Wealth and Resilience to Financial Shocks in Italy1

Household Wealth and Resilience to Financial Shocks in Italy1 »

Source: Household Wealth and Resilience to Financial Shocks in Italy

Volume/Issue: 2018/196

Series: IMF Working Papers

Author(s): Daniel Garcia-Macia

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 31 August 2018

ISBN: 9781484374894

Keywords: Europe, Italy, Flow of funds, financial linkages, balance sheet analysis, bail-in, bailout, Portfolio Choice

High household wealth is often cited as a key strength of the Italian economy. Both in absolute terms and relative to income, the Italian household sector is wealthier than most euro area peers. A sizable fraction...

Commodity-based Sovereign Wealth Funds

Commodity-based Sovereign Wealth Funds »

Source: Commodity-based Sovereign Wealth Funds : Managing Financial Flows in the Context of the Sovereign Balance Sheet

Volume/Issue: 2018/26

Series: IMF Working Papers

Author(s): Abdullah Al-Hassan , Sue Brake , Michael Papaioannou , and Martin Skancke

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 09 February 2018

ISBN: 9781484340967

Keywords: International financial markets, Risk management, Sovereign wealth funds, sovereign asset and liability management, financing gap, investment management, macroeconomic coordination, Portfolio Choice

Commodity-based sovereign wealth funds (SWFs) have been at a crossroads following the recent fall in commodity prices. This paper provides a framework for commodity-based SWF management, focusing on stabilization a...

Carry Trade vs. Deposit-Driven Euroization

Carry Trade vs. Deposit-Driven Euroization »

Volume/Issue: 2018/58

Series: IMF Working Papers

Author(s): Nan Geng , Tiberiu Scutaru , and Johannes Wiegand

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 March 2018

DOI: http://dx.doi.org/10.5089/9781484345269.001

ISBN: 9781484345269

Keywords: Financial Dollarization, Euroization, Emerging Europe, Portfolio Choice

Financial 'euroization'-or 'dollarization' outside of Central and Eastern Europe-is typically analyzed as a singular phenomenon that can be traced to a common set of factors. This paper argues that two types of eur...

International Capital Flow Pressures

International Capital Flow Pressures »

Source: International Capital Flow Pressures

Volume/Issue: 2018/30

Series: IMF Working Papers

Author(s): Linda Goldberg , and Signe Krogstrup

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 February 2018

ISBN: 9781484341803

Keywords: Exchange Market Pressure; Risk aversion; Safe haven; Capital flows; Exchange Rate; Foreign Exchange Reserves, Exchange Market Pressure, Risk aversion, Safe haven, Capital flows, Exchange Rate, Foreign Exchange Reserves, Portfolio Choice, General

This paper presents a new measure of capital flow pressures in the form of a recast Exchange Market Pressure index. The measure captures pressures that materialize in actual international capital flows as well as p...

Understanding the Use of Long-term Finance in Developing Economies*

Understanding the Use of Long-term Finance in Developing Economies* »

Source: Understanding the Use of Long-term Finance in Developing Economies

Volume/Issue: 2017/96

Series: IMF Working Papers

Author(s): Maria Martinez Peria , and Sergio Schmukler

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 26 April 2017

ISBN: 9781475595758

Keywords: Financial crises, Financial crises, Financial intermediaries, Banks, Bond markets, International financial markets, firm financing, institutional investors, issuance maturity, long-term debt

This short paper reviews recent literature on the use of long-term finance in developing economies (relative to advanced ones) to identify where long-term financing occurs, and what role different financial interme...

Global Imbalances

Global Imbalances »

Source: Global Imbalances : In Midstream?

Volume/Issue: 2009/29

Series: IMF Staff Position Notes

Author(s): Gian Milesi-Ferretti , and Olivier Blanchard

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 22 December 2009

ISBN: 9781462333387

Keywords: Financial crisis, Capital flows, Asset prices, Current account deficits, Cross country analysis, Capital markets, Private savings, Private investment, Investment, International financial system

...

A Primer on Managing Sovereign Debt-Portfolio Risks

A Primer on Managing Sovereign Debt-Portfolio Risks »

Volume/Issue: 2018/74

Series: IMF Working Papers

Author(s): Thordur Jonasson , and Michael Papaioannou

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 06 April 2018

DOI: http://dx.doi.org/10.5089/9781484350546.001

ISBN: 9781484350546

Keywords: Public debt management, Financial risk, Foreign Exchange Hedging, Government Securities Markets, General, Portfolio Choice

This paper provides an overview of sovereign debt portfolio risks and discusses various liability management operations (LMOs) and instruments used by public debt managers to mitigate these risks. Debt management s...