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2013, ISBN 9781484315347, xiii, 229
China has reached a stage where further financial sector reforms appear essential. As the reform process progresses and macrofinancial linkages deepen, the... 
Banks and banking | Macroeconomics | China Economic policy | Economic development | Finance | Economic stabilization
Book
2011, World Bank Studies, ISBN 0821387812, xii, 61
Examining innovative ways to address Africa?s infrastructure deficit is at the heart of this analysis. Africa?s infrastructure stock and quality is among the... 
INVESTMENT FUND | SECURITY STRUCTURES | REGULATORY BARRIERS | WITHDRAWAL OF FUNDS | MATURITIES | NATIONAL INVESTMENT | PRIVATE INVESTORS | ISSUANCE | FOREIGN CURRENCY | SHORT-TERM DEPOSITS | LOCAL MARKET | PRIVATE CREDIT | TRANSITION ECONOMIES | LIABILITY | BONDS | CENTRAL BANK | CREDIT ENHANCEMENT | FOREIGN EXCHANGE | PENSION FUND INVESTMENTS | INVESTING | INVESTMENT CORPORATION | PRIVATE INVESTMENT | BALANCE SHEET | CASH FLOWS | DEVELOPING COUNTRIES | INFRASTRUCTURE INVESTMENT | LIFE INSURANCE COMPANIES | STOCK EXCHANGES | INFRASTRUCTURE BOND | BOURSE | LONG-TERM DEBT | POLITICAL RISKS | ISSUANCE OF BONDS | LOCAL CURRENCY | LIFE INSURANCE POLICIES | CAPITAL REQUIREMENTS | INTERNATIONAL FINANCE | BANK CREDIT | LENDING LIMIT | INVESTMENT GUIDELINES | PENSION FUND INVESTMENT | CREDIT AGENCY | INTERNATIONAL FINANCIAL STATISTICS | RISK MANAGEMENT | CORPORATE BOND | ASSET-LIABILITY MISMATCH | STOCKS | BANK LENDING | GOVERNMENT GRANTS | SOVEREIGN LENDING | GOVERNMENT BOND MARKET | INTERNATIONAL BANK | INVESTMENT BANK | FINANCING REQUIREMENTS | COMPETITIVE BIDDING | CREDIT RATING | PENSION FUND | INSURANCE POLICIES | MORAL HAZARD | LONG-TERM YIELDS | ALTERNATIVE INVESTMENTS | FINANCIAL RISKS | ILLIQUIDITY | SOVEREIGN RATING | CREDIT LINES | BOND ISSUANCES | ASSET CLASSES | GOVERNMENT BONDS | PRIVATE FINANCE | RESERVE BANK | MEZZANINE DEBT | PUBLIC INVESTMENT | PENSION FUNDS | LOCAL DEBT | CAPITAL MOVEMENTS | INVESTMENT ASSET | INVESTMENT REGULATIONS | INFRASTRUCTURE BONDS | RESERVE | BOND ISSUANCE | DIRECT INVESTMENT | EQUITY FUNDS | DEVELOPMENT BANK | MONEY MARKET | DIRECT INVESTMENTS | ENABLING ENVIRONMENT | POTENTIAL INVESTOR | GOVERNMENT SUPPORT | INSURANCE | MATURITY | LONG-TERM INVESTMENT | BORROWER | CENTRAL BANKS | PRIVATE FINANCING | LONG-TERM DEBT MARKET | RETURN | DEPOSIT MONEY BANKS | LOAN | INSURANCE MARKET | EXPENDITURES | PRIVATE PARTIES | ECONOMIC DEVELOPMENT | INSURANCE INDUSTRY | BOND | PENSIONS | BOND MARKETS | CURRENCY | FOREIGN FINANCING | PENSION SYSTEMS | MORTGAGE | STOCK EXCHANGE | GOVERNMENT BOND | FUND MANAGERS | COUPON | FIXED INTEREST RATE | MONEY MARKET INSTRUMENTS | PARTIAL RISK | FIXED INCOME | FOREIGN BANKS | MARKET FAILURES | YIELD CURVE | MARKET MAKER | IMMOVABLE PROPERTY | DEPOSIT | LONG TERM DEBT | PENSION | DEBT FINANCING | GUARANTEE FUND | CAPITAL INVESTMENT | LONG-TERM COST | FIXED INTEREST | CREDIT RISK | BOND RATING | TOTAL DEBT | COUPON RATE | BANK LOANS | INFRASTRUCTURE FINANCE | INTERNATIONAL FINANCIAL INSTITUTIONS | DUE DILIGENCE | RISK SHARING | BOND HOLDERS | RISK PREMIUMS | LONG-TERM FINANCE | RISK PROFILE | LOCAL MARKETS | REGULATORY FRAMEWORK | INFRASTRUCTURE FINANCING | PENSION ASSETS | TRANSACTION | INFRASTRUCTURE DEVELOPMENT | SECONDARY BOND MARKETS | CAPITAL MARKET | TRANSFER RISKS | RISK DIVERSIFICATION | GRACE PERIODS | BALANCE SHEETS | SECURITIES | RETURNS | GOVERNMENT BUDGET | FINANCIAL CRISIS | GROUP BORROWER | MUNICIPAL BONDS | PUBLIC FUNDS | MUTUAL FUNDS | CORPORATE BONDS | LONG-TERM LOANS | ASSET MANAGEMENT | INFLATION | EQUITY MARKETS | ALTERNATIVE ASSET | GOVERNMENT SECURITIES | WITHDRAWAL | INSURANCE CORPORATION | POLITICAL RISK | COUNTRY RISK | COMMERCIAL BANKS | INFRASTRUCTURE CONCESSION | CAPACITY BUILDING | TAX | PRIVATE EQUITY | LIFE INSURANCE | SUBORDINATED DEBT | ACCOUNTING | PRINCIPAL REPAYMENTS | GUARANTEE PRODUCTS | CORPORATE BOND MARKET | LOAN EXPOSURE | PENSION FUND ASSET | LONG-TERM RESOURCE | TELECOMMUNICATIONS | GOVERNMENT SUBSIDIES | RECOURSE FINANCING | CREDIT RATINGS | ASSET CLASS | MARKET CONSTRAINTS | FOREIGN EXCHANGE RISK | CREDIT GUARANTEE | CREDIT RATING AGENCY | INSTITUTIONAL INVESTORS | INVESTMENT PROCESS | INTERNATIONAL INSURANCE | CAPITAL MARKET DEVELOPMENT | CREDITOR | TRANSPARENCY | TREASURY | LOCAL BANKS | RISK MEASUREMENT | PORTFOLIO | INSURANCE INDUSTRIES | MONETARY FUND | REGULATORY AUTHORITY | HOLDINGS | INFRASTRUCTURE INVESTMENTS | BANKING SECTOR | PARTIAL CREDIT | SOVEREIGN DEBT | CAPITAL MARKETS | LOCAL FINANCIAL MARKETS | LONG-TERM RESOURCES
Book
2009, ISBN 0821376853, xvi, 201
This book argues that poor countries need additional, cross-border capital channeled to the private sector for employment generation, growth, and poverty... 
Economic assistance | Economic development | Developing countries Finance | Finance | Developing countries | Economic policy | TREASURIES | DEBT SERVICING | SECONDARY MARKET | FALLEN ANGELS | PERMANENT DEBT | SOVEREIGN BONDS | BOND INVESTORS | BOND MARKET | IPO | PRIVATE INVESTORS | ISSUANCE | CDS | FOREIGN CURRENCY | JUNK BOND | BOND OPTION | BANK CREDITS | INCOME INSTRUMENTS | TREASURY INFLATION | PAR BONDS | BANK DEBT | GLOBAL CAPITAL MARKETS | HOST COUNTRY | BONDHOLDERS | TRADING | CREDIT CEILING | SMALL BUSINESS | SAFETY NET | BALANCE-OF-PAYMENTS CRISIS | BOND FUND | BONDS | CENTRAL BANK | CREDIT ENHANCEMENT | MARKET INTEREST RATES | HEDGE FUNDS | LIQUIDITY | DEBTOR | POLITICAL STABILITY | COUNTRY DEBT | DEVELOPING COUNTRIES | INVESTOR BASE | BOND SALES | GLOBAL BONDS | MARKET VALUES | EQUITY FLOWS | BENEFICIARY | PERFORMANCE RISKS | LOCAL CURRENCY | BANKRUPTCY | LIFE INSURANCE POLICIES | CAPITAL FLOWS | INTERNATIONAL FINANCE | PUBLIC FINANCE | PREPAYMENT | BACKED SECURITIES | CREDIT HISTORY | RISK MANAGEMENT | SHORT-TERM CAPITAL | INTERNATIONAL BANKS | SETTLEMENT | INDEBTED COUNTRIES | BANK LENDING | JUNK BONDS | WARRANTS | INTERNATIONAL CAPITAL MARKETS | INTERNATIONAL BANK | SOVEREIGN RATINGS | FINANCING REQUIREMENTS | CREDIT RATING | GLOBAL ECONOMY | OIL PRICES | FISCAL POLICIES | BANKRUPTCY LAWS | COUPON PAYMENTS | INITIAL PUBLIC OFFERING | PRIVATE CAPITAL | TREASURY BONDS | PRICE RISK | MICROFINANCE INSTITUTIONS | SOVEREIGN RATING | INTERNATIONAL FINANCIAL MARKETS | DEBT CAPITAL | DEBT DEFAULT | DEBT FORGIVENESS | DEVELOPING COUNTRY | PENSION FUNDS | DEBTOR COUNTRIES | RENEGOTIATIONS | BOND ISSUANCE | DEBT-EQUITY SWAP | DISCLOSURE REQUIREMENTS | DEBT ISSUES | GLOBAL CAPITAL | INSURANCE | MORTGAGE LOAN | DEBT-EQUITY SWAPS | MATURITY | BORROWER | OUTSTANDING LOANS | PRIVATE FINANCING | IMMUNIZATION | RETURN | LOAN | EXPENDITURES | ECONOMIC DEVELOPMENT | BOND | DEBT ISSUANCE | DEBT REDUCTION | MORTGAGE | OIL PRICE | DEBT CONTRACTS | COUPON | DISCOUNT BONDS | RESERVES | DEBT SERVICE PAYMENTS | PARTIAL RISK | FIXED INCOME | COLLATERAL | LEGAL FRAMEWORK | REMITTANCES | DEBT RELIEF | GROSS DOMESTIC PRODUCT | PENSION | COUPONS | EXTERNAL FINANCE | INTERNATIONAL ECONOMICS | DEBT BURDEN | STATE BANK | CREDIT RISK | LOAN MARKET | TRADE FINANCE | DEBT CRISIS | FINANCIAL MARKETS | CREDIT RATING AGENCIES | BORROWING COSTS | COLLECTIVE ACTION CLAUSES | INDEXED BONDS | FACE VALUE | INTERNATIONAL DEBT | BANK LOANS | CERTIFICATES OF DEPOSIT | INTERNATIONAL FINANCIAL INSTITUTIONS | PRIVATE DEBT | DEBT FLOWS | ECONOMIC POLICIES | EXCHANGE COMMISSION | FOREIGN CAPITAL | GLOBAL DEVELOPMENT FINANCE | TRANSACTION | INFRASTRUCTURE DEVELOPMENT | RELIANCE ON SHORT-TERM DEBT | TRANSFER RISKS | CREDIT CARD | FOREIGN DEBT | CURRENCY CRISIS | DEBT OBLIGATIONS | DEFAULTS | COLLECTIVE ACTION | DEBT RESTRUCTURING | DEBT SERVICE | SECURITIES | INTERNATIONAL FINANCIAL SYSTEM | RETURNS | FINANCIAL CRISIS | MUTUAL FUNDS | DEPOSITS | CLAIMANT | SOVEREIGN DEBT RESTRUCTURING | CAPITAL ASSET PRICING | PERFORMANCE RISK | CREDITORS | FINANCIAL STRUCTURE | INSURANCE CORPORATION | COUNTRY RISK | DEVELOPMENT BONDS | TAX | BOND ISSUE | INSURANCE COMPANIES | FOREIGN CURRENCY DEBT | LIFE INSURANCE | ACCOUNTING | DEBT CRISES | FINANCIAL FLOWS | MICROFINANCE | PAR BOND | TELECOMMUNICATIONS | VALUATION | PARTIAL GUARANTEES | COUPON BONDS | CREDIT RATINGS | ASSET CLASS | FEDERAL DEPOSIT INSURANCE | INTERNATIONAL CAPITAL | BUYBACKS | EMERGING MARKETS | INTEREST COSTS | EQUITY STAKES | FINANCIAL INSTRUMENTS | RISK OF DEFAULT | VARIABLE RATE | CAPITAL OUTFLOWS | INSTITUTIONAL INVESTORS | CREDIT RISKS | BOND FINANCING | DEBT STOCK | SOVEREIGN RISK | EXTERNAL FINANCES | DEVELOPMENT FINANCE | CONTINGENT LIABILITIES | INTERNATIONAL DEVELOPMENT | CREDITOR | PRIVATE LENDERS | TRANSPARENCY | REPAYMENT | TREASURY | DEBT-EQUITY | FLOATING INTEREST RATES | INSURANCE PREMIUM | BASIS POINTS | SOVEREIGN BOND | PORTFOLIO | MONETARY FUND | FOREIGN DIRECT INVESTMENT | MARKET ACCESS | FINANCIAL STRESS | SOVEREIGN DEBT | INSTRUMENT | REMITTANCE | DEBTORS | INTELLECTUAL PROPERTY | INVESTMENT RATE | INSURANCE PREMIUMS | DEBTS | INVESTMENT BANKS
Book
2010, ISBN 9781589069275, xxi, 306
The book covers a wide range of topics of relevance to policymakers in countries that have sovereign wealth funds (SWFs) and those that receive SWF... 
Book
2003, ISBN 9781589062078, vi, 183
Russia Rebounds analyzes Russia's dramatic economic recovery since the country's 1998 financial crisis, emphasizing macroeconomic issues and fiscal and banking... 
Banks and banking | Russia (Federation) Economic policy | Taxation | Russia (Federation) Economic conditions | Debts, Public | Economic Recovery
Book
2007, ISBN 1589066235, xviii, 261
By and large, EU financial integration has been a success story. Still, the reform agenda is far from finished. What are the remaining challenges? What are the... 
Financial Stability | Banking
Book
2005, ISBN 9781589064706, ix, 229
This book provides a comprehensive review of recent economic developments in South Africa and the structural and policy challenges facing the authorities.... 
Book
2001, World economic and financial surveys, ISBN 9781589060562, x, 232
Following a review and assesment of recent developments in capital market and banking systems, this year's International Capital Markets report review and... 
Banks and banking | Foreign exchange futures | Capital market | International finance
Book
2005, 1, Cornell studies in political economy, ISBN 9780801443282, xiii, 186
InThe New Masters of Capital, Timothy J. Sinclair examines a key aspect of the global economy-the rating agencies. In the global economy, trust is formalized... 
Rating agencies (Finance) | United States | Bonds | Finance | Credit ratings | Ratings | Political Science | Ratings and rankings
Book
1979, Reprint series - Institute for Policy Analysis, University of Toronto, Volume no. 125, [1057]-1076. --
Book
Book
1947, National Bureau of Economic Research., Volume 6, [vii], 40 p. diagrs., tables.
Book
1938, "First edition.", xii p., 1 l., 249 p. front.
Book
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