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Macroprudential regulation and policy. Bank for International Settlements.Monetary and Economic Department.

Por: Idioma: Inglés Series BIS Papers / Bank for International Settlements ; No. 60Detalles de publicación: Basle, Bank for International Settlements, 2011.Descripción: xiv, 141 p. figuras, tablasTipo de contenido:
  • text
Tipo de medio:
  • no mediado
Tipo de soporte:
  • volumen
ISBN:
  • 9291310522
Tema(s): Clasificación CDD:
  • 332.46 B218
Contenidos:
Contiene: “Systemic risk measures: the simpler the better?” / María Rodríguez Moreno, Juan Ignacio Peña ; “Systemic risk contributions” / Xin Huang, Hao Zhou ; Systemic capital requirements” / Lewis Webber, Matthew Willison ; “Monetary policy framewok and finacial procyclicality: international evidence” / Kyungsoo Kim, Byoung-Ki Kam, Hail Park ; “Boom-bust cycles and stabilization policy – monetary and macroprudential rules: a loss function approach” / Caterina Mendicino, María Teresa Punzi ; “Optimal macroprudential regulation in a Fisherian madel of financial crises” / Javier Bianchi, Enrique G. Mendoza ; “The long-term economic impact of higher capital levels” / Jochen Schanz, David Aikman, Paul Collazos, Marc Farag, David Gregory, Sujit Kapadia ; “Macrofinancial vulnerabilities and future financial stress: assessing systemic risks and predicting systemic events” / Marco Lo Duca, Tuomas Peltonen ; “Getting effective macroprudential policy on the road: eight propositions” / Dietrich Domanski, Tim Ng ; “Countercyclical tools: a comparative assessment” / Sang Chul Ryoo, Cheol Hong ; “Macroprudential policy and central bank communication” / Michael Ehrmann, Marcel Fratzscher ; “Thoughts on the proper desing of macro stress tests” Petr Jakubïk, Gregory D Sutton.
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Libros Libros BIBLIOTECA ECONOMICA BCE - CUENCA 332.46/B218 (Navegar estantería(Abre debajo)) Disponible 028439

Proceedings of a joint conference organised by the BIS and the Bank of Korea in Seoul on 17-18 january 2011.

Contiene: “Systemic risk measures: the simpler the better?” / María Rodríguez Moreno, Juan Ignacio Peña ; “Systemic risk contributions” / Xin Huang, Hao Zhou ; Systemic capital requirements” / Lewis Webber, Matthew Willison ; “Monetary policy framewok and finacial procyclicality: international evidence” / Kyungsoo Kim, Byoung-Ki Kam, Hail Park ; “Boom-bust cycles and stabilization policy – monetary and macroprudential rules: a loss function approach” / Caterina Mendicino, María Teresa Punzi ; “Optimal macroprudential regulation in a Fisherian madel of financial crises” / Javier Bianchi, Enrique G. Mendoza ; “The long-term economic impact of higher capital levels” / Jochen Schanz, David Aikman, Paul Collazos, Marc Farag, David Gregory, Sujit Kapadia ; “Macrofinancial vulnerabilities and future financial stress: assessing systemic risks and predicting systemic events” / Marco Lo Duca, Tuomas Peltonen ; “Getting effective macroprudential policy on the road: eight propositions” / Dietrich Domanski, Tim Ng ; “Countercyclical tools: a comparative assessment” / Sang Chul Ryoo, Cheol Hong ; “Macroprudential policy and central bank communication” / Michael Ehrmann, Marcel Fratzscher ; “Thoughts on the proper desing of macro stress tests” Petr Jakubïk, Gregory D Sutton.

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