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07/2012, ISBN 9781475506532, 70
In recent years, the IMF has released a growing number of reports and other documents covering economic and financial developments and trends in member... 
Article IV consultation reports ;Bank supervision ;Banking sector ;Economic growth ;Economic indicators ;Fiscal consolidation ;Fiscal reforms ;Fiscal sustainability ;Privatization ;Staff Reports ;bond;financial sector;bond market;bonds;corporate bond;corporate bond market;international reserves;financial institutions;nominal interest rate;corporate bonds;financial assets;financial corporations;debt stock;bond issuance;financial stability;financial system;term bond;liquidity support;corporate bond market development;hedging;currency hedging;deposit growth;domestic corporate bond;bond market development;government bond market;government bond;portfolio investment;short-term corporate bonds;reserve requirements;hedge;deposit money banks;term bonds;currency mismatch;nominal exchange rate;flexible exchange rate;long-term bonds;deposit money;domestic-currency;nominal depreciation;reserve requirement;hedging instruments;derivative;currency hedging instruments;currency derivative;derivative transactions;t-bonds;financial market;government bonds;financial derivatives;Article IV consultation reports ;Bank supervision ;Banking sector ;Economic growth ;Economic indicators ;Fiscal consolidation ;Fiscal reforms ;Fiscal sustainability ;Privatization ;Staff Reports ;bond;financial sector;bond market;bonds;corporate bond;corporate bond market;international reserves;financial institutions;nominal interest rate;corporate bonds;financial assets;financial corporations;debt stock;bond issuance;financial stability;financial system;term bond;liquidity support;corporate bond market development;hedging;currency hedging;deposit growth;domestic corporate bond;bond market development;government bond market;government bond;portfolio investment;short-term corporate bonds;reserve requirements;hedge;deposit money banks;term bonds;currency mismatch;nominal exchange rate;flexible exchange rate;long-term bonds;deposit money;domestic-currency;nominal depreciation;reserve requirement;hedging instruments;derivative;currency hedging instruments;currency derivative;derivative transactions;t-bonds;financial market;government bonds;financial derivatives | Poland | Monetary policy | Fiscal policy | Economic conditions | Foreign exchange
Book
Journal of Monetary Economics, ISSN 0304-3932, 2009, Volume 56, Issue 4, pp. 471 - 493
To identify disruptions in credit markets, research on the role of asset prices in economic fluctuations has focused on the information content of various... 
Corporate bond spreads | Financial accelerator | Factor models | NUMBER | PRICES | RETURNS | MONETARY-POLICY | REAL ACTIVITY | BUSINESS, FINANCE | INFLATION | PREDICTORS | VARIABLES | ECONOMICS | SPREAD | Corporate bond spreads Financial accelerator Factor models | Corporate bonds | Securities offerings | Central banks | Credit market | Stock markets
Journal Article
The European Journal of Finance: SELECTION OF PAPERS FROM THE 4th CONFERENCE OF THE PORTUGUESE FINANCE NETWORK, 6th-8th JULY 2006, PORTO, ISSN 1351-847X, 02/2009, Volume 15, Issue 2, pp. 191 - 209
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 08/2014, Volume 45, Issue 1, pp. 105 - 116
Corporate bond spreads are affected by both credit risk and liquidity and it is difficult to disentangle the two factors empirically. In this paper we separate... 
Liquidity | Credit spread puzzle | Credit risk | Corporate bond spreads | Corporate bond liquidity | MARKET | TRANSACTION COSTS | TRADING COSTS | DETERMINANTS | RETURNS | YIELD SPREADS | BUSINESS, FINANCE | TRANSPARENCY | ECONOMICS | ILLIQUIDITY | Corporate bonds
Journal Article
The Journal of Finance, ISSN 0022-1082, 10/2015, Volume 70, Issue 5, pp. 1863 - 1901
This paper studies reaching for yield—investors' propensity to buy riskier assets to achieve higher yields—in the corporate bond market. We show that insurance... 
BUSINESS, FINANCE | ECONOMICS | COSTS | FIRM | Business cycles | Credit market | Corporate bonds
Journal Article
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
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... 
Finance | Banking | Financial Stability | Financial stability | Capital markets | Europe | Financial institutions | Capital market
Book
Journal of Financial Economics, ISSN 0304-405X, 07/2012, Volume 105, Issue 1, pp. 18 - 36
We investigate whether liquidity is an important price factor in the US corporate bond market. In particular, we focus on whether liquidity effects are more... 
Liquidity | Corporate bonds | OTC markets | Financial crisis | TRANSACTION COSTS | PRICE | RETURNS | RISK | YIELD SPREADS | BUSINESS, FINANCE | BID-ASK SPREAD | ECONOMICS | DEFAULT | Financial markets | Credit market | Bonds
Journal Article
Journal Article
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 | 21st century | China | 2000 | Economic policy
Book
The American Economic Review, ISSN 0002-8282, 06/2009, Volume 99, Issue 3, pp. 628 - 666
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 2011, Volume 35, Issue 2, pp. 343 - 357
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 03/2019, Volume 131, Issue 3, pp. 619 - 642
We investigate the cross-sectional determinants of corporate bond returns and find that downside risk is the strongest predictor of future bond returns. We... 
Corporate bond | Downside risk | Credit risk | Liquidity risk | Risk factors | BUSINESS, FINANCE | MARKETS | EQUILIBRIUM | YIELD SPREADS | ECONOMICS | ILLIQUIDITY | STOCKS | Federal Reserve banks | Business schools | Corporate bonds | Financial markets | Conferences and conventions | Premiums | Credit | Risk assessment | Liquidity | Corporate finance | Maturity | Portfolios | Bond ratings
Journal Article
Journal of Mathematical Analysis and Applications, ISSN 0022-247X, 08/2015, Volume 428, Issue 2, pp. 896 - 909
In this paper, a free boundary model for pricing a corporate bond with credit rating migration is proposed. This is a new model for credit rating migration.... 
Credit rating migration | Structure model | Free boundary | Credit risk | Corporate bond pricing | Firm asset value | MATHEMATICS | MATHEMATICS, APPLIED | SECURITIES | DEBT | Evaluation | Corporate bonds | Financial analysis | Analysis | Credit ratings
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 10/2018, Volume 130, Issue 1, pp. 95 - 113
Focusing on downgrades as stress events that drive the selling of corporate bonds, we show that the illiquidity of stressed bonds has increased after the... 
Capital commitment | Dealer inventory | Regulation | Volcker Rule | Market making | Corporate bond illiquidity | LIQUIDITY | INFORMATION | RETURNS | BUSINESS, FINANCE | ECONOMICS | ILLIQUIDITY | INVESTMENT BANKS | Business schools | Corporate bonds | Credit market | Conferences and conventions
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 10/2014, Volume 114, Issue 1, pp. 155 - 177
We examine recovery rates of defaulted bonds in the US corporate bond market, based on a complete set of traded prices and volumes. A study of the trading... 
Liquidity | Recovery rate | Corporate bonds | Credit risk | STRATEGIC DEBT-SERVICE | BANKRUPTCY | RISK | MODEL | BUSINESS, FINANCE | TERM STRUCTURE | LIQUIDATION | COVENANTS | OPTIMAL CAPITAL STRUCTURE | ECONOMICS | ILLIQUIDITY | Credit market | Securities trading
Journal Article