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Euro-Area Banking At the Crossroads

Euro-Area Banking At the Crossroads »

Source: Euro-Area Banking At the Crossroads

Volume/Issue: 2001/28

Series: IMF Working Papers

Author(s): Agnes Belaisch , Joaquim Levy , Laura Kodres , and Angel Ubide

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 March 2001

ISBN: 9781451844665

Keywords: Banking mergers, too big too fail, banking, banking system, banking sector, financial stability, financial institutions, Financial Institutions and Services: Government Policy and Regulation,

This paper analyses the process of disintermediation, the progress in consolidation, the impact of new technologies, and the role of ownership and control structures for the euro area banking sector. The impact of...

Bank Capital

Bank Capital »

Source: Bank Capital : Lessons From the Financial Crisis

Volume/Issue: 2010/286

Series: IMF Working Papers

Author(s): Ouarda Merrouche , Enrica Detragiache , and Asli Demirgüç-Kunt

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 December 2010

ISBN: 9781455210930

Keywords: Basel capital accord, stock returns, stock market, bank stock, tier 2 capital, Financial Institutions and Services: Government Policy and Regulation,

Using a multi-country panel of banks, we study whether better capitalized banks experienced higher stock returns during the financial crisis. We differentiate among various types of capital ratios: the Basel risk-a...

The Accountability of Financial Sector Supervisors

The Accountability of Financial Sector Supervisors »

Source: The Accountability of Financial Sector Supervisors : Principles and Practice

Volume/Issue: 2005/51

Series: IMF Working Papers

Author(s): Michael Taylor , Marc Quintyn , and Eva Hüpkes

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 March 2005

ISBN: 9781451860702

Keywords: Financial regulation, regulatory agencies, public administration accountability, banking, financial system, financial services, financial sector, financial institutions, General Financial Markets: Government Policy and Regulation, Financial Institutions and Services: Government Policy and Regulation

Policymakers' uneasiness about granting independence to financial sector regulators stems to a large extent from the lack of familiarity with, and elusiveness of, the concept of accountability. This paper gives ope...

French Banks Amid the Global Financial Crisis

French Banks Amid the Global Financial Crisis »

Source: French Banks Amid the Global Financial Crisis

Volume/Issue: 2009/201

Series: IMF Working Papers

Author(s): Yingbin Xiao

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 September 2009

ISBN: 9781451873481

Keywords: French banks, debt guarantee, government support, refinancing, banking, capital adequacy, subordinated debt, Financial Institutions and Services: Government Policy and Regulation, General Financial Markets,

This paper runs the gamut of qualitative and quantitative analyses to examine the performance of French banks during 2006-2008 and the financial support measures taken by the French government. French banks were no...

Regulatory and Supervisory Independence and Financial Stability

Regulatory and Supervisory Independence and Financial Stability »

Source: Regulatory and Supervisory Independence and Financial Stability

Volume/Issue: 2002/46

Series: IMF Working Papers

Author(s): Michael Taylor , and Marc Quintyn

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 March 2002

ISBN: 9781451846560

Keywords: Financial Regulation, Regulatory Agencies, Agency Independence, banking, supervisory agency, bank independence, supervisory agencies, General Financial Markets: Government Policy and Regulation, Financial Institutions and Services: Government Policy and Regulation, Regulated Industries and Administrative Law

Despite its importance, the issue of financial sector regulatory and supervisory independence (RSI) has received only marginal attention in literature and practice. However, experience has demonstrated that imprope...

Short-Term Wholesale Funding and Systemic Risk

Short-Term Wholesale Funding and Systemic Risk »

Source: Short-Term Wholesale Funding and Systemic Risk : A Global Covar Approach

Volume/Issue: 2012/46

Series: IMF Working Papers

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 February 2012

ISBN: 9781463936471

Keywords: Wholesale Funding, Macroprudential Regulation, recapitalization, financial system, contagion, Multiple or Simultaneous Equation Models: General, Financial Institutions and Services: General, General Financial Markets,

In this paper we identify some of the main factors behind systemic risk in a set of international large-scale complex banks using the novel CoVaR approach. We find that short-term wholesale funding is a key determi...

Systemic Risks and the Macroeconomy

Systemic Risks and the Macroeconomy »

Source: Systemic Risks and the Macroeconomy

Volume/Issue: 2010/29

Series: IMF Working Papers

Author(s): Marcella Lucchetta , and Gianni De Nicolo

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 February 2010

ISBN: 9781451962567

Keywords: Dynamic Factor Model, Quantile Regressions, bank credit, forecasting, banking, bank lending, Econometric Modeling, Business Fluctuations, And Cycles, financial Institutions And Services,

This paper presents a modeling framework that delivers joint forecasts of indicators of systemic real risk and systemic financial risk, as well as stress-tests of these indicators as impulse responses to structural...

Systemic Real and Financial Risks

Systemic Real and Financial Risks »

Source: Systemic Real and Financial Risks : Measurement, Forecasting, and Stress Testing

Volume/Issue: 2012/58

Series: IMF Working Papers

Author(s): Marcella Lucchetta , and Gianni De Nicolo

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 February 2012

ISBN: 9781463937768

Keywords: Systemic Risks, Dynamic Factor Model, Quantile Auto-regressions, Density Forecasts, forecasting, bank credit, banking, probability, Econometric Modeling, Business Fluctuations

This paper formulates a novel modeling framework that delivers: (a) forecasts of indicators of systemic real risk and systemic financial risk based on density forecasts of indicators of real activity and financial...

Euro-Area Banking At the Crossroads

Euro-Area Banking At the Crossroads »

Volume/Issue: 2001/28

Series: IMF Working Papers

Author(s): Agnes Belaisch , Joaquim Levy , Laura Kodres , and Angel Ubide

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 March 2001

DOI: http://dx.doi.org/10.5089/9781451844665.001

ISBN: 9781451844665

Keywords: Banking mergers, too big too fail, banking, banking system, banking sector, financial stability, financial institutions, Financial Institutions and Services: Government Policy and Regulation,

This paper analyses the process of disintermediation, the progress in consolidation, the impact of new technologies, and the role of ownership and control structures for the euro area banking sector. The impact of...

Bank Capital
			: Lessons From the Financial Crisis

Bank Capital : Lessons From the Financial Crisis »

Volume/Issue: 2010/286

Series: IMF Working Papers

Author(s): Ouarda Merrouche , Enrica Detragiache , and Asli Demirgüç-Kunt

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 December 2010

DOI: http://dx.doi.org/10.5089/9781455210930.001

ISBN: 9781455210930

Keywords: Basel capital accord, stock returns, stock market, bank stock, tier 2 capital, Financial Institutions and Services: Government Policy and Regulation,

Using a multi-country panel of banks, we study whether better capitalized banks experienced higher stock returns during the financial crisis. We differentiate among various types of capital ratios: the Basel risk-a...