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2012, Urban development series, ISBN 0821389629, xvi, 256
The rapid and oft en unplanned expansion of cities is exposing more people and economic assets to the risk of disasters and the effects of climate change. For... 
Urban ecology (Sociology) | Environmental risk assessment | Urban policy | Risk assessment | Environmental aspects | Climatic changes | City planning | Social aspects | Natural disasters | bank lending | Vulnerable Group | price trends | budget deficit | Credit Source | mutual fund | agricultural products | migrant labor | budgetary allocation | output | tea | banking system | basis points | pledges | microfinance institutions | Credit Growth | remittance | savings | stock trading | infrastructure projects | Foreign exchange | oil prices | overdraft loans | repayment | money transfer | consumption expenditures | business associations | interest rates | merchant | dates | reserves | Foreign exchange reserves | foreign investors | exposure | expenditures | consumer prices | retail trade | phone network | commodity | interest rate | Microcredit | Transparency | Corruption | domestic market | stock price | foreign exchange market | repo | Refugee | growth rate | stock market volatility | retail | Union | Economic Developments | Fair Price | demand for food | local market | infrastructure project | Investment Climate | wheat | public stock | exchange rate | Stock Exchange | broad money | growth rates | inflationary pressures | Fair | food resources | public investment | agricultural sector | Monetary Policy | households | economic crisis | current account balance | nonperforming loans | hypothecations | public stocks | Private Sector Credit | Reserve Requirement | macroeconomic policy | Cash Reserve | food price | Bank Policy | Price Increase | repo rates | expenditure | financial institutions | Infrastructure Finance | insurance | microfinance | policy responses | liquidity | remittances | Tax | accounting | sales | Public Debt | repayment period | frozen food | interest rate cap | commodity prices | Regulatory Authority | Grain Production | beneficiaries | formal banking | advanced economies | fiscal deficit | repo rate | rates of interest | Consumer Price Index | stock market | commercial banks | Consumer Price | current account surplus | public-private partnerships | food subsidy | open market | intermediate goods | mobile phone | regulator | food prices | public-private partnership | sugar | income | international markets | global economy | loan | inflation index | overdraft | economic performance | sovereign debt | Food for Work | food grains | regulators | stocks | telecommunications | Inflation | balance of payments | policy response | export credits | export growth | reserve | financial account | food distribution | food imports | Price Increases | consumption expenditure | village | stock index | migrant workers | money growth | urban areas | private investment | good faith | food subsidies | developing countries | current account | food security | developing economies | issuance | storage capacity | banking sector
Book
2015, International political economy series, ISBN 9781137511638, viii, 176
This book provides an original and timely insight into the role that the domestic and international political economy played in the Eurozone sovereign debt... 
Economic policy | Financial crises | European Union countries Economic policy | Europe | Eurozone | Debts, Public | European Union countries
Book
2004, International political risk management, ISBN 0821356496, Volume 2, xi, 238
Part One provides a first look from the "supply side" at the reaction of the political risk insurance market to September 11, 2001, the Argentine economic... 
Investments, Foreign | September 11 Terrorist Attacks, 2001 | Investment guaranty insurance | Country risk | Economic aspects | Risk management | International business enterprises | Political aspects | Risk (Insurance) | CENTRAL GOVERNMENTS | PRIVATE INSURANCE | RISK INSURANCE | MDB | CAPITAL MARKETS ADB | DEBT | RATING AGENCIES | BROKER | DEVELOPED COUNTRIES | UNDERWRITING | PUBLIC INFRASTRUCTURE | POLITICAL RISK ANALYSIS | PROGRAMS | PRIVATIZATION | CROWDING OUT | FEDERAL FINANCIAL INSTITUTIONS | REINSURANCE | INSURANCE RATES | RISK MITIGATION | PARTNERSHIP | TERRORISM | PORTFOLIO INVESTMENTS | MULTILATERAL DEVELOPMENT BANKS | PUBLIC POLICY | PRIVATE SECTOR | INSURERS | INTERNATIONAL MARKETS | EMERGING ECONOMIES | DECENTRALIZATION | TREATY REINSURANCE | POWER PLANTS | INVESTMENT | ASSURANCE | EMERGING MARKETS | INSURANCE MARKETS | DISASTERS | RISK MANAGEMENT TECHNIQUES | SUBSIDIARY | COVERAGE | PRIVATE INVESTMENT | INSURANCE | SOVEREIGN RISK | WATERSHED | LABOR COSTS | ECONOMIC CRISES | REGULATORY AGENCIES | RATES | INVESTORS | INCOME | ECONOMIC ACTIVITY | ECONOMIC DEVELOPMENT | INSURANCE INDUSTRY | INVESTMENT INSURANCE | INSURANCE COVERAGE | PUBLIC AGENCIES | BROKERS | SOLVENCY | SALVAGE | BALANCE SHEETS | REINSURERS | FOREIGN DIRECT INVESTMENT | SECURITIES | BANKRUPTCY | POTENTIAL EXPOSURE | PROPERTY INSURANCE | INTERNATIONAL FINANCE | CAPITAL MARKETS | CROWDING | MUNICIPAL GOVERNMENTS | RISK MANAGEMENT | STOCKS | COMMERCIAL PROPERTY | INSURANCE CONTRACTS
Book
2015, ISBN 1137450657, xvi, 298
Emerging Markets and Sovereign Risk provides case studies, commentary and analysis on the financial risk management and measurement in the context of frontier... 
Country risk | Developing countries Economic conditions | Investments | Corporations-Finance
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
Journal of Money, Credit and Banking, ISSN 0022-2879, 12/2019, Volume 51, Issue 8, pp. 2173 - 2206
Euro redenomination risk is the risk that a euro asset is redenominated into a devalued legacy currency. We propose a time‐varying, country‐specific intra‐euro... 
sovereign credit spreads | redenomination risk | euro | C32 | F36 | G12 | G15 | systemic risk | Euro | International finance
Journal Article
2006, Lecture notes in economics and mathematical systems, ISBN 3540374485, Volume 582, xi, 251
Past cycles of sovereign lending and default in emerging markets suggest that debt crises will recur at some point. In addressing debt crises it has proven... 
Mathematical models | Government securities | Valuation | Default (Finance) | Financial risk | Debts, Public | Finance & Accounting | Economic policy | Economic Policy | Finance /Banking | Development Economics | Financial Economics | Economics/Management Science | Public Finance & Economics | Quantitative Finance
Book
2004, ISBN 3540222480, xii, 258
Book
2010, Wolrd Investment and Political Risk, ISBN 9780821381151, 96
Political risk is a top concern for corporate foreign investors from industrialized but also developing countries when venturing into emerging markets. At the... 
Country risk | Political aspects | Investments, Foreign | ECONOMIC IMBALANCES | INFORMATION TECHNOLOGY | INVESTMENT REGIMES | INVESTMENT DECISIONS | CORPORATE INVESTORS | CDS | FOREIGN CURRENCY | MACROECONOMIC STABILITY | NEW PRODUCTS | MARKET CONDITIONS | CAPITAL ACCOUNT | HOST COUNTRY | LIABILITY | GOVERNMENT BUDGETS | MONETARY POLICIES | COMMODITY PRICE | EXPROPRIATION RISK | INVESTMENT CLIMATE | POLICY RESPONSES | PRIVATE CREDITORS | FOREIGN EXCHANGE | LIQUIDITY | INVESTING | HOST COUNTRIES | INVESTMENT CORPORATION | FINANCIAL INSTITUTIONS | PRIVATE INVESTMENT | EQUITY INVESTMENT | RISK AVERSION | DEVELOPING COUNTRIES | FOREIGN INVESTMENT FLOWS | TRANSITION COUNTRIES | CAPITAL ACCOUNT TRANSACTIONS | CONSUMER GOODS | POLITICAL RISKS | EQUITY FLOWS | DEVELOPING ECONOMIES | LOCAL CURRENCY | TREATY | LOCAL GOVERNMENTS | DURABLE | CAPITAL FLOWS | GROWTH RATE | CREDIT AGENCY | RISK MANAGEMENT | SETTLEMENT | FINANCIAL SERVICES | BANK DEPOSITS | CREDIT RISK PREMIUMS | INTERNATIONAL BANK | GLOBALIZATION | INVESTMENT OPPORTUNITIES | GROWTH RATES | COMMODITY | CREDIT RATING | FINANCIAL MARKET | DEBT | GLOBAL ECONOMY | COMMODITY PRICES | OIL PRICES | GLOBAL INVESTORS | PRIVATE CAPITAL | REINSURANCE | INVESTOR DEMAND | DOMESTIC FINANCIAL MARKETS | OUTPUT | RESERVE BANK | EMERGING ECONOMIES | CREDIT AGENCIES | RISK OF EXPROPRIATION | INVESTMENT REGULATIONS | MARKET CAPITALIZATION | RESERVE | NET DEBT | MARKET MECHANISMS | EQUITY FUNDS | DIRECT INVESTMENTS | INSURANCE | LONG-TERM INVESTMENT | RETURN | BALANCE OF PAYMENTS | EXCHANGE CONTROLS | ECONOMIC CRISIS | INSURANCE MARKET | CRITICAL MASS | EXPENDITURES | LOCAL GOVERNMENT | EXCHANGE RATES | GLOBAL TRADE | CONTRACTUAL OBLIGATIONS | INSURANCE INDUSTRY | BOND | EXPOSURE | SOCIAL RELATIONS | CURRENCY | INTERNATIONAL DEBT MARKETS | FINANCIAL CRISES | OUTPUT LOSSES | EXPORT CREDIT | RESERVES | CREDIT DEFAULT | INVESTOR PERCEPTIONS | SAVINGS | EXPROPRIATION RISKS | FOREIGN ASSETS | PRIVATE CAPITAL INFLOWS | REMITTANCES | GROSS DOMESTIC PRODUCT | COPYRIGHT CLEARANCE | CONTRACT RENEGOTIATIONS | CREDIT RISK | DEBT CRISIS | FINANCIAL MARKETS | GOVERNMENT REVENUES | GOVERNMENT INTERVENTIONS | REINVESTMENT | GLOBAL FINANCIAL MARKETS | JOINT VENTURES | DIVESTMENT | INTERNATIONAL DEBT | DECENTRALIZATION | INTERNATIONAL TRADE | ECONOMIC DOWNTURN | POLITICAL RISK INSURANCE | INVESTMENT PROJECTS | CAPITAL ACCOUNTS | PRIVATE DEBT | DEBT FLOWS | RISK PREMIUMS | LOCAL MARKETS | REGULATORY FRAMEWORK | NEW MARKETS | INTERNATIONAL INVESTMENT | CONVERTIBILITY RESTRICTIONS | ECONOMIC CRISES | EXPROPRIATION | NATURAL RESOURCE | INCOME | FOREIGN INVESTMENTS | HOME MARKETS | FINANCIAL LIBERALIZATION | HOST GOVERNMENT | TREATIES | RETURNS | PRIVATE CAPITAL FLOWS | COPYRIGHT CLEARANCE CENTER | INVESTMENT FLOWS | FINANCIAL CRISIS | FINANCIAL INSTABILITY | PROPERTY MARKETS | EQUITY MARKETS | LIQUIDITY CONSTRAINTS | SOVEREIGN GUARANTEES | CREDIT DEFAULT SWAPS | CREDITORS | DOMESTIC MARKETS | INFRASTRUCTURE PROJECTS | COMMODITIES | WITHDRAWAL | POLITICAL RISK | INFORMATION SHARING | EMERGING MARKET ASSETS | INVESTOR CONFIDENCE | PORTFOLIOS | TAX | MACROECONOMIC INSTABILITY | PRIVATE EQUITY | INVESTMENT HORIZONS | DOMESTIC BANKS | FOREIGN MARKETS | ACCOUNTING | TERRORISM | GOVERNMENT INTERVENTION | INSURERS | MACROECONOMIC DATA | FOREIGN FUNDS | FIXED INVESTMENT | FINANCIAL CONSTRAINTS | EMERGING MARKETS | GLOBAL INVESTMENT | EXPROPRIATIONS | FOREIGN INVESTORS | FLOATING EXCHANGE RATE | GOVERNMENT GUARANTEES | BUSINESS ENVIRONMENTS | CREDIT GUARANTEE | WEALTH EFFECTS | EMERGING MARKET | PRIVATE DEBT FLOWS | PROPERTY RIGHTS | NATURAL RESOURCES | REGULATORY ENVIRONMENTS | ACCESS TO FINANCING | HOST GOVERNMENTS | INTERNATIONAL COOPERATION | MARKET INVESTORS | PORTFOLIO | MONETARY FUND | FOREIGN INVESTMENT | OUTPUT GAP | FOREIGN DIRECT INVESTMENT | BANKING SECTOR | WORLD ECONOMY | EMERGING-MARKET | PRIVATE MARKET | BALANCE OF PAYMENTS CRISES | INVESTOR AWARENESS | CAPITAL MARKETS | INTELLECTUAL PROPERTY | LOCAL FINANCIAL MARKETS | BUSINESS ENVIRONMENT | STOCK MARKETS | SOVEREIGN ENTITIES
Book
2011, ISBN 9780821384794, 108
Two years into the deepest global financial crisis in the post-war era, the world economy is still experiencing uneven economic recovery and financial... 
Country risk | Political aspects | Investments, Foreign | FOREIGN DIRECT INVESTORS | INVESTMENT DECISIONS | INVESTMENT PLANS | INFORMATION CONSTRAINT | CROSS-BORDER CAPITAL | PORTFOLIO INVESTMENT FLOWS | UNEMPLOYMENT RATES | FOREIGN CAPITAL FLOWS | INTEREST RATES | LIABILITY | HUMAN RESOURCES | CAPITAL FORMATION | PRIVATE CREDITORS | GROUP OF INVESTORS | INVESTMENT DISPUTES | INVESTING | HOST COUNTRIES | TECHNOLOGY TRANSFER | INVESTMENT CORPORATION | PRIVATE INVESTMENT | POLITICAL STABILITY | EQUITY INVESTMENT | DEVELOPING COUNTRIES | INTANGIBLE ASSETS | GOVERNMENT SPENDING | INVESTOR INTERESTS | TRANSITION COUNTRIES | BANKS | HOME COUNTRIES | INVESTMENT INSURANCE | FOOD PRICES | POLITICAL RISKS | POVERTY ALLEVIATION | EQUITY FLOWS | DEVELOPING ECONOMIES | TREATY | LOCAL GOVERNMENTS | CAPITAL FLOWS | INTERNATIONAL FINANCE | GROWTH RATE | PUBLIC FINANCE | PORTFOLIO INVESTMENT | CREDIT AGENCY | RISK MANAGEMENT | ARBITRATION | INSTITUTIONAL INVESTOR | SETTLEMENT | BANK LENDING | FINANCIAL SERVICES | BUSINESS OPPORTUNITIES | INTERNATIONAL BANK | STATISTICAL ANALYSIS | INVESTMENT OPPORTUNITIES | COMMODITY | CONFIDENCE INDEX | DEBT | GLOBAL ECONOMY | COMMODITY PRICES | INVENTORY | PRIVATE CAPITAL | ARREARS | REINSURANCE | HUMAN RIGHTS | GLOBAL FINANCIAL STABILITY | OUTPUT | DEBT DEFAULT | LARGE-SCALE INVESTMENTS | INTERNATIONAL MARKETS | AFFILIATES | CREDIT AGENCIES | NET DEBT | ECONOMIC PERFORMANCE | BOND ISSUANCE | MARKET SIZE | INSURANCE | MARKET FAILURE | LONG-TERM INVESTMENT | RETURN | ECONOMIC CRISIS | INSURANCE MARKET | GLOBAL TRADE | ECONOMIC DEVELOPMENT | INSURANCE INDUSTRY | BOND | EXCHANGE RATE | CURRENCY | BORROWING POLICY | REGULATORY ENVIRONMENT | INTERNATIONAL DEBT MARKETS | CONSOLIDATION | EXPORT CREDIT | CREDIT DEFAULT | INVESTOR PERCEPTIONS | MULTILATERAL INVESTMENT GUARANTEE AGENCY | MARKET CONFIDENCE | REMITTANCES | RATES OF RETURN | GROSS DOMESTIC PRODUCT | INTERNATIONAL CAPITAL FLOWS | DEBT FINANCING | FOREIGN FIRMS | COPYRIGHT CLEARANCE | CONTRACT RENEGOTIATIONS | INTANGIBLE | CIVIL WARS | DEFICITS | INTERNATIONAL INVESTMENT AGREEMENTS | REGULATORY FRAMEWORKS | EMPLOYMENT | FINANCIAL MARKETS | GOVERNMENT INTERVENTIONS | JOINT VENTURES | AMORTIZATION | FINANCIAL SYSTEM | INTERNATIONAL DEBT | LAWS | ECONOMIC DOWNTURN | POLITICAL RISK INSURANCE | COINSURANCE | FINANCIAL SECTOR | PRIVATE DEBT | DEBT FLOWS | SUBSIDIARY | MIDDLE-INCOME COUNTRIES | INVESTOR PREFERENCE | NEW MARKETS | FOREIGN CAPITAL | INTERNATIONAL INVESTMENT | CONVERTIBILITY RESTRICTIONS | MANDATES | EXPROPRIATION | RED TAPE | NATURAL RESOURCE | INCOME | INVESTOR BEHAVIOR | INCOMES | PROFITABILITY | HOST GOVERNMENT | TREATIES | RETURNS | PRIVATE CAPITAL FLOWS | COPYRIGHT CLEARANCE CENTER | INVESTMENT FLOWS | FINANCIAL CRISIS | DOMESTIC DEBT | DEPOSITS | INTERNATIONAL BANKING | MARKET ECONOMIES | SOVEREIGN GUARANTEES | CREDIT DEFAULT SWAPS | LIBERALIZATION | COMMODITIES | FINANCIAL SYSTEMS | HOLDING | VIRTUOUS CYCLE | POLITICAL RISK | SOCIAL SERVICES | COUNTRY RISK | EMERGING MARKET ECONOMIES | OWNERSHIP STRUCTURE | MACROECONOMIC INSTABILITY | RISK MITIGATION | ACCOUNTING | TERRORISM | FINANCIAL FLOWS | PUBLIC UTILITIES | LOW-INCOME COUNTRIES | GOVERNMENT INTERVENTION | SECURITY CONCERNS | INSURERS | INVESTMENT FLOW | MACROECONOMIC DATA | TELECOMMUNICATIONS | GLOBAL EXPORTS | LOCAL ECONOMIES | INTERNATIONAL CAPITAL | CIVIL WAR | EXPROPRIATIONS | FOREIGN INVESTORS | BANKING SYSTEM | GLOBAL ECONOMIC PROSPECTS | INTEREST RATE | LOCAL CURRENCIES | EMERGING MARKET | INTERNATIONAL DEVELOPMENT | PRIVATE DEBT FLOWS | JOINT VENTURE | FOREIGN OWNERSHIP | NATURAL RESOURCES | TRANSPARENCY | HOST GOVERNMENTS | PUBLIC DEBT | PORTFOLIO | CURRENT PRICES | RECAPITALIZATION | MONETARY FUND | STATE INTERVENTION | FOREIGN INVESTMENT | FOREIGN DIRECT INVESTMENT | LOCAL ENTERPRISES | WORLD ECONOMY | PRIVATE MARKET | FOREIGN DIRECT INVESTOR | PRODUCTIVITY | BUSINESS ENVIRONMENT | INVESTMENT LOCATION DECISIONS | LEVEL OF RISK
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
2019, ISBN 3038974447
Risk measures play a vital role in many subfields of economics and finance. It has been proposed that risk measures could be analysed in relation to the... 
risk assessment | VIX | business groups | SHARE | asymptotic approximation | European stock markets | whole life insurance | dynamic hedging | risk-neutral distribution | cooperative banks | Data Envelopment Analysis (DEA) | group-affiliated | early warning system | factor models | smoothing process | GMC | falsified products | S&P 500 index options | credit derivatives | corporate sustainability | term life insurance | risk management | crude oil | financial stability | social efficiency | dynamic conditional correlation | emerging market | out-of-sample forecast | financial crisis | binomial tree | news release | green energy | perceived usefulness | Bayesian approach | two-level optimization | probability of default | bank risk | SYMBOL | information asymmetry | CoVaR | probabilistic cash flow | japonica rice production | bank profitability | Monte Carlo Simulations | gain-loss ratio | coherent risk measures | Mezzanine Financing | national health system | option value | conscientiousness | online purchase intention | Slovak enterprises | spot and futures prices | liquidity premium | institutional voids | utility | random forests | bankruptcy | optimizing financial model | sustainable food security system | dynamic panel | co-dependence modelling | financial performance | time-varying correlations | Project Financing | future health risk | generalized autoregressive score functions | volatility spillovers | financial risks | simulations | life insurance | emotion | finance risk | markov regime switching | diversification | production frontier function | Granger causality | health risk | risks mitigation | returns and volatility | sadness | low-income country | the sudden stop of capital inflow | bank failure | China’s food policy | objective health status | IPO underpricing | polarity | climate change | stock return volatility | sentiment analysis | empirical process | full BEKK | stochastic frontier model | perceived ease of use | volatility transmission | openness to experience | sustainability | low carbon targets | quasi likelihood ratio (QLR) test | banking regulation | sustainable development | specification testing | fossil fuels | time-varying copula function | tree structures | monthly CPI data | coal | cartel | regular vine copulas | sustainability of economic recovery | ANN | EGARCH-m | financial security | leniency program | financial hazard map | uncertainty termination | causal path | stakeholder theory | technological progress | banking | investment horizon | regression model | two-level CES function | joy | the optimal scale of foreign exchange reserve | carbon emissions | stochastic volatility | B-splines | self-perceived health | sovereign credit default swap (SCDS) | RV5MIN | utility maximization | credit risk | policy simulation | socially responsible investment | portfolio selection | scientific verification | European banking system | risk-free rate | wild bootstrap | medication | investment profitability | Amihud’s illiquidity ratio | multivariate regime-switching | inflation forecast | risk aversion | market timing | need hierarchy theory | variance | diagonal BEKK | conjugate prior | risk | moving averages | financial risk | risk measures
eBook
Journal of Monetary Economics, ISSN 0304-3932, 07/2014, Volume 65, pp. 36 - 53
We compare the capital shortfall measured by regulatory stress tests, to that of a benchmark methodology — the “V-Lab stress test” — that employs only publicly... 
Systemic risk | Macroprudential regulation | Risk-weighted assets | Stress test | BUSINESS, FINANCE | ECONOMICS | Working capital | Economic conditions
Journal Article
The American Economic Review, ISSN 0002-8282, 10/2012, Volume 102, Issue 6, pp. 2674 - 2699
We advance quantitative-theoretic models of sovereign debt by proving the existence of a downward sloping equilibrium price function for long-term debt and... 
Economic models | Long term debt | Debt | Loan defaults | Lenders | Short term debt | Credit risk | Financial instruments | Sovereign debt | Financial bonds | BUSINESS CYCLES | SOVEREIGN DEFAULT | INTEREST-RATES | ECONOMICS | DEBT | EMERGING ECONOMIES | Evaluation | Research | Public debts | Valuation | Long-term debt | Default (Finance) | Studies | Monetary policy | Equilibrium
Journal Article
2006, ISBN 9781403987518, xiv, 182
The procyclicality of financial systems has received an increasing amount of attention from policymakers, academics, and international organizations in recent... 
Business cycles | Financial institutions | International finance | Asia | Financial Systems
Book
2015, ISBN 9781137304940, xxi, 275
The European Periphery Debt Crisis (EPDC) has its roots in the structural characteristics of the individual economies affected. This book offers a full... 
European Union countries Economic policy | Financial crises History | Debts, Public | Risk management | Fiscal policy | Financial crises | Eurozone
Book
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
2009, ISBN 9780821376799, xxxiii, 115
This evaluation reviews the World Bank Group's (WBG's) experience with guarantee instruments during 1990-2007. Although these instruments have been an... 
Surety and fidelity insurance | World Bank Group Evaluation | Bank insurance | BOND MARKET | ACCESS TO FINANCIAL SERVICES | MATURITIES | MARKETING STRATEGY | OUTREACH | PRIVATE INVESTORS | COMMERCIAL TRANSACTION | ISSUANCE | CREDIBILITY | TRANSFER RISK | COMMERCIAL FINANCE | LOAN PRODUCTS | BANK GUARANTEE | INFORMATION ASYMMETRIES | ECONOMIC GROWTH | URBAN DEVELOPMENT | INTEREST RATES | PRIVATE BORROWERS | EARNINGS | LIABILITY | INDEBTEDNESS | PLEDGES | BONDS | CREDIT ENHANCEMENT | FOREIGN EXCHANGE | BUSINESS VOLUMES | EQUITY INVESTMENTS | COMMERCIAL TRANSACTIONS | LIQUIDITY | HOST COUNTRIES | TRANCHE | INVESTMENT CORPORATION | MARKET SHARE | RISK PERCEPTIONS | PRIVATE INVESTMENT | BALANCE SHEET | PRIVATE SECTOR FINANCING | CASH FLOWS | DEVELOPING COUNTRIES | ACCOUNTABILITY | DEVALUATION | BANK POLICIES | FLOW OF INVESTMENT | POLITICAL RISKS | GUARANTEE PRODUCT | BENEFICIARY | CREDITS | LOAN PROGRAM | LOCAL CURRENCY | CAPITAL REQUIREMENTS | UNDERLYING ASSETS | CAPITAL FLOWS | INTERNATIONAL FINANCE | LETTERS OF CREDIT | FINANCIAL INNOVATION | INVESTMENT GUIDELINES | RISK MANAGEMENT | EXTERNAL FUNDING | SETTLEMENT | INDEBTED COUNTRIES | BANK LENDING | FINANCIAL SERVICES | LENDER | UNION | BUSINESS OPPORTUNITIES | ADB | BANK GUARANTEES | SHAREHOLDERS | INTERNATIONAL BANK | GLOBAL PRIVATE SECTOR | PRIVATE DEBT MARKETS | DEBT | MARKET DEVELOPMENTS | COMMODITY PRICES | COMMERCIAL PAPER | MORAL HAZARD | MARKET DATA | PRIVATE CAPITAL | BUSINESS DEVELOPMENT | SHORT-TERM FINANCE | DOMESTIC FINANCIAL MARKETS | INTERNATIONAL FINANCIAL MARKETS | INSURANCE AGENCY | BANK POLICY | DIRECT LOANS | PRIVATE FINANCE | DEBT MANAGEMENT | CREDIT GUARANTEES | VILLAGE | MULTINATIONAL | LIABILITY SIDE | EXPORTER | BENEFICIARIES | DEVELOPMENT BANK | DERIVATIVE CONTRACT | ADVICE TO GOVERNMENTS | FINANCIAL ASSETS | INSURANCE | FINANCIAL INSTRUMENT | CONFLICT OF INTEREST | MATURITY | BORROWER | RETURN | LOAN | EXCHANGE RATES | GLOBAL TRADE | CONTRACTUAL OBLIGATIONS | BID | BOND | LIQUID MARKETS | PORTFOLIO RISK | NEW MARKET | GUARANTEE AGENCY | PAYMENT OF INTEREST |