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Anticipating Credit Events Using Credit Default Swaps, with an Application to Sovereign Debt Crises1
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2003 -
Corporate Restructuring in Japan: An Event-Study Analysis
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2001 -
Fundamentals-Based Estimation of Default Probabilities: A Survey1
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2006 -
Hedging Foreign Exchange Risk in Chile: Markets and Instruments1
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2005 -
Is Systematic Default Risk Priced in Equity Returns? A Cross-Sectional Analysis Using Credit Derivatives Prices
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2006 -
Market-Based Estimation of Default Probabilities and Its Application to Financial Market Surveillance
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2006 -
Monetary Policy in a Small Open Economy with Credit Goods Production
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 1998 -
Pension Funds and Emerging Markets
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2004 -
The Impact of Corporate Governance Structures on the Agency Cost of Debt
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2001 -
Regulatory Capital Charges for Too-Connected-to-Fail Institutions: A Practical Proposal1
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2009 -
The Global Financial Crisis and its Impact on the Chilean Banking System
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2010 -
Balance Sheet Network Analysis of Too-Connected-to-Fail Risk in Global and Domestic Banking Systems
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2010 -
Currency Mismatches and Corporate Default Risk: Modeling, Measurement, and Surveillance Applications
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2006 -
Public Debt Sustainability and Management in a Compound Option Framework
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2010 -
Asian Flu or Wall Street Virus? Price and Volatility Spillovers of the Tech and Non-Tech Sectors in the United States and Asia
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2002 -
Corporate Bond Risk and Real Activity: An Empirical Analysis of Yield Spreads and Their Systematic Components
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2001 -
Equity Prices, Credit Default Swaps, and Bond Spreads in Emerging Markets1
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2004 -
Financial Crisis and Credit Crunch as a Result of Inefficient Financial Intermediation--with Reference to the Asian Financial Crisis
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 1998 -
Fixed Investment and Capital Flows: A Real Options Approach
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 1998 -
Idiosyncratic and Systemic Risk in the European Corporate Sector: A CDO Perspective
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2006 -
Tales from Two Neighbors: Productivity Growth in Canada and the United States
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2000 -
Testing the Informational Efficiency of OTC Options on Emerging Market Currencies1
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2003 -
The Corporate Spread Curve and Industrial Production in the United States
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2002 -
The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2006 -
The END: A New Indicator of Financial and Nonfinancial Corporate Sector Vulnerability
A report from the International Monetary Fund.... More
Language: ENGDerechos de autor: 2005