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220928 ||| eng |
020 |
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|a 9781589061057
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245 |
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0 |
|a Global Financial Stability Report, March 2002
|b Market Developments and Issues
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260 |
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|a Washington, D.C.
|b International Monetary Fund
|c 2002
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300 |
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|a 90 pages
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651 |
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4 |
|a United States
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653 |
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|a Credit
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653 |
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|a Stock exchanges
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653 |
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|a Banks
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653 |
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|a Finance
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653 |
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|a Financial crises
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653 |
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|a Mortgages
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653 |
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|a Money
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653 |
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|a Foreign Exchange
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653 |
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|a Financial markets
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653 |
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|a Emerging and frontier financial markets
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653 |
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|a Financial risk management
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653 |
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|a Capital and Ownership Structure
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653 |
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|a Credit risk
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653 |
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|a Goodwill
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653 |
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|a Early warning systems
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653 |
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|a Financial Risk and Risk Management
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653 |
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|a Financing Policy
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653 |
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|a Financial Risk Management
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653 |
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|a Depository Institutions
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653 |
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|a Economic & financial crises & disasters
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653 |
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|a Monetary economics
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653 |
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|a Value of Firms
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653 |
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|a Micro Finance Institutions
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653 |
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|a Monetary Policy, Central Banking, and the Supply of Money and Credit: General
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653 |
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|a Crisis management
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653 |
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|a General Financial Markets: General (includes Measurement and Data)
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653 |
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|a Investments: Bonds
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653 |
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|a Stock markets
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653 |
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|a Banks and Banking
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653 |
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|a Financial regulation and supervision
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653 |
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|a Financial services industry
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653 |
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|a Investment & securities
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653 |
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|a Money and Monetary Policy
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653 |
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|a Finance: General
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653 |
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|a Financial services law & regulation
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653 |
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|a Financial Crises
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710 |
2 |
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|a International Monetary Fund
|b Monetary and Capital Markets Department
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041 |
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7 |
|a eng
|2 ISO 639-2
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989 |
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|b IMF
|a International Monetary Fund
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490 |
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|a Global Financial Stability Report
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028 |
5 |
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|a 10.5089/9781589061057.082
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856 |
4 |
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|u https://elibrary.imf.org/display/book/9781589061057/9781589061057.xml?cid=15643-com-dsp-marc
|x Verlag
|3 Volltext
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|a 330
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520 |
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|a This March 2002 issue of the Global Financial Stability Report highlights that financial markets ended the year 2001 on a positive note. Equity markets recovered and rallied noticeably from their lows of late September. In bond markets, yield spreads of corporate and high-yielding bonds, particularly emerging market bonds, narrowed against the U.S. Treasury. At the same time, the U.S. Treasury yield curve steepened, and the U.S. dollar has strengthened. Financial markets thus anticipate, and have priced in, a recovery in economic activity and corporate earnings during 2002
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