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1
Regulatory Capital Charges for Too-Connected-to-Fail Institutions : A Practical Proposal
by
Chan-Lau, Jorge
Published 2010
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
2
Anticipating Credit Events Using Credit Default Swaps, with An Application to Sovereign Debt Crises
by
Chan-Lau, Jorge
Published 2003
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
3
Recent Advances in Credit Risk Modeling
by
Gasha, Jose
Published 2009
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
4
Currency Mismatches and Corporate Default Risk : Modeling, Measurement, and Surveillance Applications
by
Santos, Andre
Published 2006
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
5
The END : A New Indicator of Financial and Nonfinancial Corporate Sector Vulnerability
by
Chan-Lau, Jorge
Published 2005
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
6
Hedging Foreign Exchange Risk in Chile : Markets and Instruments
by
Chan-Lau, Jorge
Published 2005
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
7
The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions
by
Ong, Li
Published 2006
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
8
Market-Based Structural Top-Down Stress Tests of the Banking System
by
Chan-Lau, Jorge
Published 2013
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
9
Surrogate Data Models: Interpreting Large-scale Machine Learning Crisis Prediction Models
by
Chan-Lau, Jorge
Published 2023
International Monetary Fund
Subjects:
“
...Financial Risk and
Risk
Management
...
”
Read Now
10
Assessing Corporate Vulnerabilities in Indonesia : A Bottom-Up Default Analysis
by
Chan-Lau, Jorge
Published 2017
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
11
Policy Instruments to Lean Against the Wind in Latin America
by
Terrier, G.
Published 2011
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
12
Idiosyncratic and Systemic Risk in the European Corporate Sector : A CDO Perspective
by
Lu, Yinqiu
Published 2006
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
13
Distance-to-Default in Banking : A Bridge Too Far?
by
Sy, Amadou
Published 2006
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
14
Do Dynamic Provisions Enhance Bank Solvency and Reduce Credit Procyclicality? a Study of the Chilean Banking System
by
Chan-Lau, Jorge
Published 2012
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
15
Extreme Contagion in Equity Markets
by
Yao, James
Published 2002
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
16
Pension Funds and Emerging Markets
by
Chan-Lau, Jorge
Published 2004
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
17
Asian Flu or Wall Street Virus? Price and Volatility Spillovers of the Tech and Non-Tech Sectors in the United States and Asia
by
Chan-Lau, Jorge
Published 2002
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
18
Market-Based Estimation of Default Probabilities and its Application to Financial Market Surveillance
by
Chan-Lau, Jorge
Published 2006
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
19
Public Debt Sustainability and Management in a Compound Option Framework
by
Chan-Lau, Jorge
Published 2010
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
20
ABBA: An Agent-Based Model of the Banking System
by
Chan-Lau, Jorge
Published 2017
International Monetary Fund
Subjects:
“
...Financial Risk and
Risk
Management
...
”
1
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International Monetary Fund
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