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1
by Mylonas, Paul
Published 1999
OECD Publishing
... of financial market indicators by monetary policy authorities. With this in mind, the OECD canvassed a number...

2
by Schich, Sebastian
Published 2008
OECD Publishing
...One specific aspect of financial safety nets that has been in the spotlight of late is deposit...

3
by Schich, Sebastian
Published 2011
OECD Publishing
...Systemic financial crises are a recurrent phenomenon, and despite regulatory efforts...

4
by Schich, Sebastian
Published 2009
OECD Publishing
...Government provision of a financial safety net for banks and other financialinstitutions has been a...

5
by Schich, Sebastian
Published 2007
OECD Publishing
...India's financial sector has become much more diversified, with capital markets playing...

6
by Schich, Sebastian
Published 2010
OECD Publishing
... market, and to related securities appears to have been limited. But the financial crisis has nonetheless...

7
by Schich, Sebastian
Published 2011
OECD Publishing
...Guarantees have become the preferred instrument to address many financial policy objectives...

8
by Schich, Sebastian
Published 2007
OECD Publishing
...' balance sheets and financial stability for some time now. Household debt has risen in many OECD countries...

9
by Schich, Sebastian
Published 2008
OECD Publishing
... raise questions regarding the role of financial guarantors in specific financial market segments...

10
by Ervin, Carolyn
Published 2007
OECD Publishing
...Pension funds have become the largest class of investors in many markets and, given their size...

11
by Mylonas, Paul
Published 2000
OECD Publishing
... and, through an impact on balance sheets, borrowing costs. Recent financial market developments may have made...

12
by Schich, Sebastian
Published 2009
OECD Publishing
... key proposition is that financial institutions are most willing and able to offer decumulation...

13
by Levy, Aviram
Published 2010
OECD Publishing
... in place in response to the financial crisis, starting with government guarantees for bond issues...

14
by Antolin, Pablo
Published 2011
OECD Publishing
... of return promised to beneficiaries when financial markets were more elevated...

15
by Schich, Sebastian
Published 2007
OECD Publishing
... Committee on Financial Markets (CMF) discussed specific issues related to these entities on several...

16
by Schich, Sebastian
Published 2009
OECD Publishing
... of this hypothesis argue, when baby boomers startentering retirement they will become net sellers of financial assets...

17
by Denk, Oliver
Published 2015
OECD Publishing
... them? This paper finds that "financial excesses" - situations where bank credit reaches levels...

18
by Schich, Sebastian
Published 2013
OECD Publishing
...High values of implicit guarantees for bank debt can be taken as signalling the market...

19
by Schich, Sebastian
Published 2010
OECD Publishing
... for financial institutions has been a key element of the policy response to the recent financial crisis...

20
by Schich, Sebastian
Published 2012
OECD Publishing
...The global financial crisis and the policy response to it have placed a sharp spotlight...