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|a UAMI
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|a Schinasi, Garry J.,
|e author.
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|a Safeguarding financial stability :
|b theory and practice /
|c Garry J. Schinasi.
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|a [Washington, D.C.] :
|b International Monetary Fund,
|c [2006]
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|c ©2006
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|a 1 online resource (xv, 309 pages) :
|b illustrations
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|a text
|b txt
|2 rdacontent
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|b c
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|a text file
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|a Includes bibliographical references (pages 285-301) and index.
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|a How is finance related to economic processes, and why should it be viewed as a public good requiring policy action? This book provides an answer and also: 1) develops a practical framework for safeguarding financial stability, which encompasses both prevention and resolution of problems, and 2) examines on-going and future challenges to financial stability posed by "globalization," a growing reliance on OTC derivatives and their markets, the capital-market activities of insurers and reinsurers, and others.--Publisher's description
|
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|a Print version record.
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505 |
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|g 1.
|t Introduction and Summary --
|g Part I.
|t Foundations --
|g 2.
|t Money, Finance, and the Economic System --
|g 3.
|t Public Policy Aspects of Finance --
|g 4.
|t Efficiency and Stability --
|g Part II.
|t Toward a Framework for Financial Stability --
|g 5.
|t Defining Financial Stability --
|g 6.
|t Framework for Financial Stability --
|g 7.
|t Role of Central Banks in Ensuring Financial Stability --
|g Part III.
|t Benefits and Challenges of Modern Finance --
|g 8.
|t Challenges Posed by the Globalization of Finance and Risk --
|g 9.
|t Systemic Challenges Posed by Greater Reliance on Over-the-Counter Derivatives Markets --
|g 10.
|t Market for Credit Risk Transfer Vehicles: How Well Is It Functioning and What Are the Future Challenges? --
|g 11.
|t Systemic Implications of the Financial Market Activities of Insurance and Reinsurance Companies --
|g 12.
|t Ongoing National and Global Challenges --
|g 1.1.
|t Changes in Key Financial Aggregates --
|g 1.2.
|t Distribution of Financial Sector Mergers and Acquisitions, 1991-1999 --
|g 1.3.
|t Cross-Border Transactions in Bonds and Equities --
|g 1.4.
|t Outstanding International Debt Securities by Nationality of Issuer --
|g 1.5.
|t Exchange-Traded Derivative Financial Instruments: Notional Principal Amounts Outstanding and Annual Turnover --
|g 1.6.
|t Market Turbulence and Crises in the 1990s and Early 2000s --
|g 2.1.
|t Finance as a Temporary Exchange of Services --
|g 2.2.
|t Relative Values of Services --
|g 3.1.
|t Typology of Benefits from Goods, Based on Characteristics of the Goods --
|g 6.1.
|t Source of Risk to Financial Stability --
|g 6.2.
|t IMF Financial Soundness Indicators: Core and Encouraged --
|g 6.3.
|t Policy Instruments for Financial Stability --
|g 8.1.
|t Cross-Border Transactions in Bonds and Equities --
|g 8.2.
|t International Equity Issues by Selected Industrial and Developing Countries and Regions --
|g 8.3.
|t Outstanding International Debt Securities by Nationality of Issuer for Selected Industrial and Developing Countries and Regions --
|g 8.4.
|t Major Industrial Countries: Bank Deposits of Commercial Banks --
|g 8.5.
|t Major Industrial Countries: Bank Loans of Commercial Banks --
|g 8.6.
|t Major Industrial Countries: Tradable Securities Holdings of Commercial Banks Assets --
|g 8.7.
|t Major Industrial Countries: Financial Assets of Institutional Investors --
|g 9.1.
|t Top 20 Derivatives Dealers in 2004 and Their Corresponding Ranks in 2003 --
|g 9.2.
|t Global Over-the-Counter Derivatives Markets: Notional Amounts and Gross Market Values of Outstanding Contracts by Counterparty, Remaining Maturity, and Currency --
|g 11.1.
|t Life Insurance: Premium Growth Rates --
|g 11.2.
|t Profitability Decomposition of Major Nonlife Insurance Markets --
|g 1.1.
|t Composition of Key Financial Aggregates in 1970 and 2000 --
|g 1.2.
|t Growth of Key Financial Assets, 1970-2004 --
|g 1.3.
|t Financial Sector Mergers and Acquisitions, 1990-1999 --
|g 2.1.
|t Evolution of Modern Finance --
|g 4.1.
|t Private Demand and Supply Equal to Social Demand and Supply --
|g 4.2.
|t Private Marginal Benefit Below Social Marginal Benefit --
|g 4.3.
|t Private Marginal Cost Below Social Marginal Cost --
|g 4.4.
|t Stable Disequilibrium --
|g 6.1.
|t Stylized View of Factors Affecting Financial System Performance --
|g 6.2.
|t Framework for Maintaining Financial System Stability --
|g 9.1.
|t Structure of OTC Derivatives Markets, End-December 2003 --
|g 10.1.
|t Global Credit Derivatives Market Size and Structure --
|g 10.2.
|t Key Characteristics of Credit Derivatives Markets --
|g 10.3.
|t Spread Between Credit Derivatives Premium and Underlying Bond Spread --
|g 11.1.
|t Shares of Total Financial Assets of Institutional Investors and Banks: United States and Japan --
|g 11.2.
|t Shares of Total Financial Assets of Institutional Investors and Banks: Selected Euro Area Countries and the United Kingdom --
|g 11.3.
|t Holdings of Financial Securities by Insurance Companies and Banks --
|g 11.4.
|t Holdings of Securities Relative to Market Size --
|g 11.5.
|t United States: Corporate and Foreign Bonds --
|g 11.6.
|t Balance Sheet Assets of Insurance Companies: United States and Japan --
|g 11.7.
|t Balance Sheet Assets of Insurance Companies: Selected Euro Area Countries and the United Kingdom --
|g 11.8.
|t Global Insurance Industry Results --
|g 11.9.
|t Nonlife Insurance: Combined Ratios in the Industrial Countries --
|g 3.1.
|t Prisoner's Dilemma --
|g 3.2.
|t Sources of Market Failure in Finance --
|g 3.3.
|t Samuelson's Store of Value as a "Social Contrivance" Providing a Public Good --
|g 6.1.
|t Remedial Action: Dutch Housing Market Boom in the 1990s --
|g 6.2.
|t Crisis Resolution: Terrorist Attacks on September 11, 2001 --
|g 9.1.
|t Role of OTC Currency Options in the Dollar-Yen Market --
|g 9.2.
|t Long-Term Capital Management and Turbulence in Global Financial Markets --
|g 9.3.
|t Role of Derivatives in Crises in Emerging Markets --
|g 9.4.
|t Sources of Legal Uncertainty in the U.S. Regulatory Environment --
|g 10.1.
|t Financial Implications of Enron's Bankruptcy.
|
590 |
|
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|a eBooks on EBSCOhost
|b EBSCO eBook Subscription Academic Collection - Worldwide
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590 |
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|a ProQuest Ebook Central
|b Ebook Central Academic Complete
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|a Banks and banking, Central.
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650 |
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|a Finance.
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|a Risk.
|
650 |
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2 |
|a Risk
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6 |
|a Finances.
|
650 |
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|a Banques centrales.
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|a Risque.
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650 |
|
7 |
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|2 aat
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|2 bisacsh
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|a Banks and banking, Central
|2 fast
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|a Finance
|2 fast
|
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7 |
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|
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1 |
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|2 gtt
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1 |
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|2 gtt
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1 |
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|2 gtt
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|2 imf
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|a Financial Institutions.
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|
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|a Financial System.
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|a OTC.
|2 imf
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|a Japan.
|2 imf
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|a United Kingdom.
|2 imf
|
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|a United States.
|2 imf
|
710 |
2 |
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|a International Monetary Fund,
|e issuing body.
|
758 |
|
|
|i has work:
|a Safeguarding financial stability (Text)
|1 https://id.oclc.org/worldcat/entity/E39PCFXk3g4fdJVxRtJvqkbQVP
|4 https://id.oclc.org/worldcat/ontology/hasWork
|
776 |
0 |
8 |
|i Print version:
|a Schinasi, Garry J.
|t Safeguarding financial stability.
|d Washington, DC : International Monetary Fund, ©2006
|w (DLC) 2006295083
|
856 |
4 |
0 |
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