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1
Bottom-Up Default Analysis of Corporate Solvency Risk : An Application to Latin America
by
Chan-Lau, Jorge
Published 2017
International Monetary Fund
Subjects:
“
...
Banks
...
”
Read Now
2
An Option-Based Approach to
Bank
Vulnerabilities in Emerging Markets
by
Jobert, Arnaud
Published 2004
International Monetary Fund
Subjects:
“
...Commercial
banks
...
”
Read Now
3
The Impact of Corporate Governance Structures on the Agency Cost of Debt
by
Chan-Lau, Jorge
Published 2001
International Monetary Fund
Subjects:
“
...
Banks
...
”
Read Now
4
Equity Returns in the
Banking
Sector in the Wake of the Great Recession and the European Sovereign Debt Crisis
by
Chan-Lau, Jorge
Published 2012
International Monetary Fund
Subjects:
“
...Commercial
banks
...
”
Read Now
5
The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions
by
Ong, Li
Published 2006
International Monetary Fund
Subjects:
“
...
Banks
...
”
Read Now
6
ABBA: An Agent-Based Model of the
Banking
System
by
Chan-Lau, Jorge
Published 2017
International Monetary Fund
Subjects:
“
...Commercial
banks
...
”
Read Now
7
Idiosyncratic and Systemic Risk in the European Corporate Sector : A CDO Perspective
by
Lu, Yinqiu
Published 2006
International Monetary Fund
Subjects:
“
...
Finance
...
”
Read Now
8
Fixed
Investment
and Capital Flows : A Real Options Approach
by
Chan-Lau, Jorge
Published 1998
International Monetary Fund
Subjects:
“
...
Investments
, Foreign...
”
Read Now
9
Is Systematic Default Risk Priced in Equity Returns? A Cross-Sectional Analysis Using Credit Derivatives Prices
by
Chan-Lau, Jorge
Published 2006
International Monetary Fund
Subjects:
“
...Monetary Policy, Central
Banking
, and the Supply of Money and Credit: General...
”
Read Now
10
The Corporate Spread Curve and Industrial Production in the United States
by
Chan-Lau, Jorge
Published 2002
International Monetary Fund
Subjects:
“
...
Finance
...
”
Read Now
11
Corporate Bond Risk and Real Activity : An Empirical Analysis of Yield Spreads and Their Systematic Components
by
Ivaschenko, Iryna
Published 2001
International Monetary Fund
Subjects:
“
...
Finance
...
”
Read Now
12
Lasso Regressions and Forecasting Models in Applied Stress Testing
by
Chan-Lau, Jorge
Published 2017
International Monetary Fund
Subjects:
“
...
Banks
...
”
Read Now
13
U.S. Mutual Fund Retail Investors in International Equity Markets : Is the Tail Wagging the Dog?
by
Chan-Lau, Jorge
Published 2005
International Monetary Fund
Subjects:
“
...
Finance
...
”
Read Now
14
Equity and Private Debt Markets in Central America, Panama, and the Dominican Republic
by
Shah, Hemant
Published 2007
International Monetary Fund
Subjects:
“
...
Banks
...
”
Read Now
15
Extreme Contagion in Equity Markets
by
Yao, James
Published 2002
International Monetary Fund
Subjects:
“
...International
finance
...
”
Read Now
16
Market-Based Estimation of Default Probabilities and its Application to Financial Market Surveillance
by
Chan-Lau, Jorge
Published 2006
International Monetary Fund
Subjects:
“
...
Finance
...
”
Read Now
17
Recent Advances in Credit Risk Modeling
by
Gasha, Jose
Published 2009
International Monetary Fund
Subjects:
“
...
Finance
...
”
Read Now
18
Hedging Foreign Exchange Risk in Chile : Markets and Instruments
by
Chan-Lau, Jorge
Published 2005
International Monetary Fund
Subjects:
“
...
Finance
...
”
Read Now
19
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:
“
...International
finance
...
”
Read Now
20
Financial Crisis and Credit Crunch as a Result of Inefficient Financial Intermediation—with Reference to the Asian Financial Crisis
by
Chen, Zhaohui
Published 1998
International Monetary Fund
Subjects:
“
...
Banks
...
”
1
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International Monetary Fund
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