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2004, ISBN 9780470821275, xii, 503
Book
1969, Bulletin/New York University. Graduate School of Business Administration. Institute of Finance, Volume no. 53-54, 96
Book
2010, World Bank working paper, ISBN 0821382535, Volume no. 184, vii, 173
The purpose of this paper is to compare the European Union (EU) and United States (U.S.) securities regulations. In November 2007, the market in financial... 
Securities | European Parliament. Directive 2004/39/EC of the European Parliament and of the Council of 21 April 2004 on markets in financial instruments | due diligence | Investor protection | insider dealing | institutional investors | capital requirements | frauds | harmonization | International Settlements | Securities Market | CDS | scandal | investment risks | Securities Exchanges | corporate governance | pension | conflicts of interest | Financial Services | central banks | Municipal Securities | market infrastructure | government securities | Securities Regulators | Electronic Communication | exposure | Company Law | credit institutions | income trading | disclosure requirements | derivative market | Capital Requirement | market conditions | securities transaction | enforcement procedures | Adequacy | collective investment | securities laws | currency | Stock Exchange | liquid assets | financial system | investment regulation | investment risk | public companies | Credit Default Swaps | capital markets | Market Securities | Securities Exchange | regulatory frameworks | disclosure requirement | investment activities | professional investors | futures contracts | secondary markets | Credit Default | insurance | prudential supervisions | Hedge fund managers | reputation | Hedge fund | government bond | Transferable Securities | Exchange Commission | Regulatory Authority | Money Laundering | Trading | portfolio management | Securities Regulations | transaction costs | insider trading | market prices | commercial banks | conflict of interest | Treasury | checks | foreign banks | regulator | equity trading | finances | debt | efficient markets | International Securities | systemic risks | Trading venue | Minimum capital requirements | Warehouse | capital formation | market information | derivative | instrument | stocks | Financial Sector | market depth | cash settlement | Equity securities | investment banks | mutual funds | small business | market surveillance | share of equity | Holding | trading volume | protection of investors | Municipal bonds | market size | securities broker | investment bank | level playing field | government bond market | international financial crisis | credit rating | secondary market | market share | savings | credit derivatives | risk management | country to country | interest rates | market liquidity | equities | Liquidity | Copyright Clearance Center | Price Discovery | pension funds | sale of investment | securities activities | Transparency | equity markets | Financial Crisis | financial institution | Market Shares | Fixed Income | security price | investment decisions | securities industry | security futures | holdings | securities regulation | financial markets | Trading System | shareholders | Trading Systems | corporate bonds | Reserve Requirements | insurance companies | exposures | Market Transparency | registration of securities | securities registration | framework for securities | transaction | ownership structure | money market | orderly trading | margin requirements | financial market | government bonds | Securities Dealers | fixed income securities | derivatives | Federal Reserve System | informed investors | money market instruments | Holding Company | portfolio | Financial Instruments | legal provisions | Stock Market | Systemic Risk | Securities Markets | tax | flow of information | Financial Institutions | national securities | Regulatory Framework | public offering | fraud | price transparency | Financial Instrument | Futures | Holding Companies | public debt | Market Data | Commodity | Retail investors | individual investors | market participants | market price | securities transactions | credit rating agency | hedge funds | Collective Investments | Federal Reserve | trades | regulatory systems | investment policies | Copyright Clearance | International Bank
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
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
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
1985, Monetary monographs, ISBN 9024732069, Volume no. 3, 91
Book
2008, ISBN 9781589066755, xi, 397
About one-third of countries covered by the IMF's African Department are members of the CFA franc zone. With most other countries moving away from fixed... 
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
2008, 10th ed., The McGraw-Hill/Irwin Series in Finance, Insurance, and Real Estate, ISBN 0073405167, xxxviii, 767
Book
2005, World Bank working paper, ISBN 9780821360156, Volume no. 45, xvii, 90
Capital Markets and Non-bank Financial Institutions in Romania is part of the World Bank Working Paper series. These papers are published to communicate the... 
Financial institutions | Capital market | Romania | COMPETITIVENESS | FOREIGN BANKS | COLLATERAL | INVESTMENT FUND | JOINT STOCK | LEASING COMPANIES | BOND MARKET | GROSS DOMESTIC PRODUCT | MATURITIES | CREDIT INSURANCE | PRIVATE INVESTORS | GDP | NATIONAL INCOME | PRIVATIZATION | MORTGAGES | MONEY LAUNDERING | TRANSITION ECONOMIES | ORGANIZATIONAL STRUCTURE | CREDIT RISK | LOCAL CAPITAL MARKETS | DELIVERY VERSUS PAYMENT | INVESTMENT POLICY | FINANCIAL MARKETS | BENCHMARKING | CREDIT RATING AGENCIES | FINANCIAL SYSTEM | BANKING CRISES | LAWS | INFLATION RATE | CASH MANAGEMENT | INTERNATIONAL FINANCIAL INSTITUTIONS | BONDS | FINANCIAL PERFORMANCE | FINANCIAL SECTOR | CONSOLIDATED SUPERVISION | REGULATORY REFORM | PRIVATE DEBT | CREDIT INSTITUTIONS | MUTUAL FUND | INVESTMENT REQUIREMENTS | REGULATORY FRAMEWORK | FINANCIAL INSTITUTIONS | TAX INCENTIVES | WORKING CAPITAL | SUPERVISORY AUTHORITIES | CAPITAL MARKET | LEGISLATION | LOCAL ADMINISTRATION | FIDUCIARY DUTIES | INCOME | BANKS | FINANCIAL INFORMATION | RETAINED EARNINGS | SUPERVISORY AGENCIES | FINANCIAL RESOURCES | BENCHMARKS | FINANCIAL REPORTING | SECURITIZATION | TRADE VOLUME | SECURITIES | LOCAL GOVERNMENTS | CAPITAL REQUIREMENTS | INVESTMENT FLOWS | T-BILLS | CURRENT ACCOUNT | DEPOSITORY RECEIPTS | INTERNATIONAL FINANCE | MUNICIPAL BONDS | MUTUAL FUNDS | PUBLIC FINANCE | CORPORATE BONDS | PER CAPITA INCOMES | ASSET MANAGEMENT | INFLATION | EQUITY MARKETS | INTERNATIONAL FINANCIAL STATISTICS | GOVERNMENT SECURITIES | PER CAPITA INCOME | ASSET MANAGEMENT COMPANIES | MUNICIPAL FINANCE | AUCTION | BANK LENDING | FINANCIAL SERVICES | GROSS SETTLEMENT SYSTEM | SHAREHOLDERS | NONBANKS | RTGS | CAPACITY BUILDING | FINANCIAL ACCOUNTING | FINANCIAL MARKET | DEBT | GROSS SETTLEMENT | RATING AGENCIES | FISCAL DEFICITS | DISCLOSURE | INSURANCE COMPANIES | FINANCIAL CONGLOMERATES | INFLATION RATES | FINANCIAL MANAGEMENT | LIFE INSURANCE | DOMESTIC CAPITAL MARKETS | AMERICAN DEPOSITORY RECEIPTS | ACCOUNTING | CLEARANCE | YIELD CURVES | SECURITIES MARKETS | GOVERNMENT BONDS | LEASING | RETIREMENT | CAPITALIZATION | PENSION FUNDS | SHARE CAPITAL | REAL SECTOR | STOCK MARKET | DEPOSITORY | ISSUERS | EMERGING MARKETS | DIRECT INVESTMENT | INTERNATIONAL ACCOUNTING STANDARDS | HOUSING FINANCE | MONEY MARKET | BANKING SYSTEM | ASSET VALUE | COMPANY LAW | FINANCIAL ASSETS | INSTITUTIONAL INVESTORS | REAL GDP | DEALERS | CORPORATE FINANCE | INFORMATION DISCLOSURE | INSURANCE | INVESTMENT COMPANIES | REPURCHASE AGREEMENT | CORPORATE GOVERNANCE | MATURITY | INTERNATIONAL DEVELOPMENT | ACCOUNTING PRACTICES | BALANCE OF PAYMENTS | MORTGAGE BONDS | MACROECONOMIC PERFORMANCE | TRANSPARENCY | HOUSING | SECURITIES DEALERS | BID | BOND | MARKET PARTICIPANTS | MORTGAGE SECURITIES | PENSIONS | PUBLIC DEBT | PORTFOLIO | MIGRATION | BORROWING | MUNICIPALITIES | DOMESTIC SECURITIES | FOREIGN DIRECT INVESTMENT | BANKING SECTOR | STATE ENTERPRISES | FACTORING | STOCK EXCHANGE | BOND ISSUES | EUROBOND MARKET | CAPITAL MARKETS | CONSOLIDATION | AUDITING | MONEY MARKET INSTRUMENTS | SAVINGS | DEBT SECURITIES | BUSINESS ENVIRONMENT | MERGERS | PRIVATE PENSION | DVP
Book
2004, ISBN 9781589063495, xi, 133
Over the past decade and beyond, the need for a modern anti-money-laundering strategy has become widely accepted internationally. Depriving criminal elements... 
Prevention | Terrorism | Finance | Commercial crimes | Money laundering | Financial Sector | Financial Systems
Book
2000, IMF occasional paper, ISBN 9781557758941, Volume no. 195, ix, 65
The Eastern Caribbean Central Bank is one of just a few regional central banks in the world and the only one where the member countries have pooled all their... 
Monetary unions | Eastern Caribbean Central Bank History | History | Eastern Caribbean Currency Union History
Book
International Business Management, ISSN 1993-5250, 2016, Volume 10, Issue 5, pp. 646 - 651
Journal Article
2013, 1. Aufl., Wiley finance, ISBN 1118513452, 351
The book aims to prioritise what needs mastering and presents the content in the most understandable, concise and pedagogical way illustrated by real market... 
Business & Economics | Finance | Small business | Money market | United States | European Union countries | Financial instruments | Business enterprises | Auditing | Business mathematics
eBook
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