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Segoviano, Miguel
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1
Portfolio Credit Risk and Macroeconomic Shocks : Applications to Stress Testing Under Data-Restricted Environments
by
Segoviano
,
Miguel
Published 2006
International Monetary Fund
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2
Probabilities of Default and the Market Price of Risk in a Distressed Economy
by
Segoviano
,
Miguel
Published 2011
International Monetary Fund
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3
Sovereign Spreads : Global Risk Aversion, Contagion or Fundamentals?
by
Segoviano
,
Miguel
Published 2010
International Monetary Fund
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4
Securitization : Lessons Learned and the Road Ahead
by
Segoviano
,
Miguel
Published 2013
International Monetary Fund
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5
Securitization : The Road Ahead
by
Segoviano
,
Miguel
Published 2015
International Monetary Fund
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6
Optimal Bank Recovery
by
Goodhart, C.
Published 2015
International Monetary Fund
Other Authors:
“
...
Segoviano
,
Miguel
...
”
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7
Banking Stability Measures
by
Goodhart, C.
Published 2009
International Monetary Fund
Other Authors:
“
...
Segoviano
,
Miguel
...
”
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8
Counterparty Risk in the Over-The-Counter Derivatives Market
by
Singh, Manmohan
Published 2008
International Monetary Fund
Other Authors:
“
...
Segoviano
,
Miguel
...
”
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9
Default, Credit Growth, and Asset Prices
by
Goodhart, C.
Published 2006
International Monetary Fund
Other Authors:
“
...
Segoviano
,
Miguel
...
”
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10
Systemic Risk Modeling: How Theory Can Meet Statistics
by
Espinoza, Raphael
Published 2020
International Monetary Fund
Other Authors:
“
...
Segoviano
,
Miguel
...
”
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11
A Comprehensive Multi-Sector Tool for Analysis of Systemic Risk and Interconnectedness (SyRIN)
by
Cortes, Fabio
Published 2018
International Monetary Fund
Other Authors:
“
...
Segoviano
,
Miguel
...
”
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12
Macroprudential Stress Tests: A Reduced-Form Approach to Quantifying Systemic Risk Losses
by
Alla, Zineddine
Published 2018
International Monetary Fund
Other Authors:
“
...
Segoviano
,
Miguel
...
”
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