Toggle navigation
Campus Access
About MPG.eBooks
Skip to content
Search Tips
Home
>
Search: "Financial Risk And Risk Management"
Language
English
Deutsch
Español
Français
Italiano
日本語
Nederlands
Português
Português (Brasil)
中文(简体)
中文(繁體)
Türkçe
עברית
Gaeilge
Cymraeg
Ελληνικά
Català
Euskara
Русский
Čeština
Suomi
Svenska
polski
Dansk
slovenščina
اللغة العربية
বাংলা
Galego
Tiếng Việt
Hrvatski
हिंदी
All Fields
Title
Person
Topic
ISBN/ISSN
Year
Collection
Advanced
Retain my current filters
product_txtF_mv:"International Monetary Fund"
Showing
161
-
180
of
809
Search:
'"Financial Risk And Risk Management"'
,
query time: 0.78s
Book List
0
Sort:
Relevance
Year Descending
Year Ascending
Author
Title
Read Now
161
The Challenge of Predicting Economic Crises
by
Berg, Andrew
Published 2001
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
162
Spillovers to Emerging Equity Markets : An Econometric Assessment
by
Sun, Tao
Published 2009
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
163
The Use of Mortgage Covered Bonds
by
Avesani, Renzo
Published 2007
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
164
Reforming the Corporate Governance of Italian Banks
by
Jassaud, Nadège
Published 2014
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
165
Bank Network Analysis in the ECCU
by
Csonto, Balazs
Published 2018
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
166
Euro Area Policies : Financial Sector Assessment Program-Technical Note-Stress Testing the Banking Sector
Published 2018
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
167
Luxembourg : Financial Sector Assessment Program: Technical Note-Fund Management: Regulation, Supervision, and Systemic Risk Monitoring
Published 2017
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
168
The New Capital Adequacy Framework : Institutional Constraints and Incentive Structures
by
Karacadag, Cem
Published 2000
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
169
Testing the Credibility of Belgium's Exchange Rate Policy
by
Halikias, Ioannis
Published 1993
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
170
Commodities and the Market Price of Risk
by
Roache, Shaun
Published 2008
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
171
Mapping Financial Sector Vulnerability in a Non-Crisis Country
by
Ötker, Inci
Published 1999
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
172
The Stock Market and the Financing of Corporate Growth in Africa : The Case of Ghana
by
Yartey, Charles Amo
Published 2006
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
173
Prudential Issues in Less Diversified Economies
by
Narain, Aditya
Published 2003
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
174
British Virgin Islands : Financial Sector Assessment Program Update: Detailed Assessment of Basel Core Principles for Effective Banking Supervision
Published 2010
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
175
Investors’ Risk Appetite and Global Financial Market Conditions
by
Gonzalez-Hermosillo, Brenda
Published 2008
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
176
The Eastern Caribbean Central Bank : Challenges to an Effective Lender of Last Resort
by
Druck, Pablo
Published 2008
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
177
Credit Derivatives : Systemic Risks and Policy Options?
by
Kiff, John
Published 2009
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
178
Policies to Mitigate Procyclicality
Published 2009
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
179
Colombia : Selected Issues
Published 2006
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
180
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
and
Risk
Management
...
”
4
5
6
7
8
9
10
11
12
13
14
Back
Narrow Search
Remove Filters
Clear Filter
Collection: International Monetary Fund
Year of Publication
From:
To:
Classification
330 - Economics
809
Language
English
786
Spanish
8
Arabic
3
Russian
3
Chinese
2
Portuguese
1
Collection
International Monetary Fund
Author
International Monetary Fund Monetary and Capital Markets Department
167
International Monetary Fund
138
International Monetary Fund External Relations Dept
12
International Monetary Fund Finance Dept
12
Jobst, Andreas
11
Berg, Andrew
10
more ...
Chan-Lau, Jorge
10
International Monetary Fund Western Hemisphere Dept
9
Papaioannou, Michael
9
Pattillo, Catherine
9
International Monetary Fund European Dept
8
Ötker, Inci
8
International Monetary Fund Middle East and Central Asia Dept
7
Schumacher, Liliana
7
International Monetary Fund Legal Dept
6
International Monetary Fund Secretary's Department
6
Ong, Li
6
Schmieder, Christian
6
Kiff, John
5
Mooij, Ruud A.
5
Poghosyan, Tigran
5
Santos, Andre
5
Surti, Jay
5
Sy, Amadou
5
Alter, Adrian
4
Borensztein, Eduardo
4
Gonzalez-Hermosillo, Brenda
4
International Monetary Fund African Dept
4
International Monetary Fund Independent Evaluation Office
4
International Monetary Fund Statistics Dept
4
International Monetary Fund Strategy, Policy, & Review Department
4
Kirti, Divya
4
Kupiec, Paul
4
Méndez Morales, Armando
4
Pazarbasioglu, Ceyla
4
Ratnovski, Lev
4
Roache, Shaun
4
Schinasi, Garry
4
Schmittmann, Jochen M.
4
Segoviano, Miguel
4
Valderrama, Laura
4
Alhassan, Abdullah
3
Avesani, Renzo
3
Barnhill, Theodore
3
Comelli, Fabio
3
Dobler, Marc
3
Espinoza, Raphael
3
Furceri, Davide
3
Gold, Joseph
3
Gray, Simon
3
Grippa, Pierpaolo
3
Hesse, Heiko
3
Ilyina, Anna
3
Ize, Alain
3
Khiaonarong, Tanai
3
Lu, Yinqiu
3
Miryugin, Fedor
3
Mitra, Srobona
3
Miyajima, Ken
3
Moreno Badia, Marialuz
3
Narain, Aditya
3
Neftci, Salih
3
Rochon, Celine
3
Sole, Juan
3
Trebesch, Christoph
3
Varghese, Richard
3
Wilson, Christopher
3
Adelmann, Frank
2
Adler, Gustavo
2
Almarzoqi, Raja
2
Arslanalp, Serkan
2
Awad, Rachid
2
Barajas, Adolfo
2
Ben Naceur, Sami
2
Bologna, Pierluigi
2
Brandão-Marques, Luis
2
Breuer, Peter
2
Caceres, Carlos
2
Catão, Luis
2
Cevik, Serhan
2
Chae, Kyungla
2
Chami, Ralph
2
Che, Natasha
2
Chen, Qianying
2
Chen, Sally
2
Chen, Sophia
2
Choi, Woon
2
Cihak, Martin
2
Cook, David
2
Copestake, Alexander
2
Cosimano, Thomas
2
Das, Udaibir
2
De Nicolo, Gianni
2
Deghi, Andrea
2
Drees, Burkhard
2
Ebeke, Christian
2
Elliott, Douglas
2
Elliott, Jennifer
2
Fiechter, Jonathan
2
Forni, Lorenzo
2
see all ...
less ...
Search Tools
Get RSS Feed
Share Search
https://ebooks.mpdl.mpg.de/ebooks/Search/Results?page=9&filter%5B%5D=product_txtF_mv%3A%22International+Monetary+Fund%22&lookfor=%22Financial+Risk+And+Risk+Management%22&type=Subject
Send by Email
×
Loading...