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International Monetary Fund. Monetary and Capital Markets Department
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Search Results | College of the Holy Cross
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1
South Africa Financial Sector Assessment Program : Basel core principles for effective banking supervision detailed assessment of compliance prepared by Monetary and Capital Markets Department.
Published 2015
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2
Financial instruments to hedge commodity price risk for developing countries prepared by Yinqiu Lu and Salih Neftci.
by
Lu, Yinqiu
,
Neftci, Salih N.
Published 2008
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3
Governance practices at financial regulatory and supervisory agencies prepared by Steven Seelig and Alicia Novoa.
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Seelig, Steven A.
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Novoa, Alicia
Published 2009
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4
Regional financial interlinkages and financial contagion within Europe prepared by Zsófia Árvai, Karl Driessen, and İnci Ötker-Robe.
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Árvai, Zsófia
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Driessen, Karl
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Ötker, İnci
Published 2009
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5
What determines bond market development in Sub-Saharan Africa? O. Janet Adelegan and Bozena Radzewicz-Bak.
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Adelegan, Olatundun Janet
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Radzewicz-Bak, Bozena
Published 2009
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6
Global market conditions and systemic risk prepared by Brenda González-Hermosillo and Heiko Hesse.
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González-Hermosillo, Brenda
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Hesse, Heiko
Published 2009
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7
Integration of the securities market infrastructure in the European Union : policy and regulatory issues Elias Kazarian.
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Kazarian, Elias G., 1957-
Published 2006
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8
Elements of optimal monetary policy committee design Jérôme Vandenbussche.
by
Vandenbussche, Jérôme
Published 2006
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9
Spain : financial system stability assessment prepared by the Monetary and Capital Markets and European Departments.
Published 2012
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10
A coincident indicator of the Gulf Cooperation Council (GCC) business cycle prepared by Abdullah Al-Hassan.
by
Al-Hassan, Abdullah
Published 2009
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11
Measures of central bank autonomy : empirical evidence for OECD, developing, and emerging market economies Marco Arnone, Bernard J. Laurens, and Jean-François Segalotto.
by
Arnone, Marco
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Laurens, Bernard
,
Segalotto, Jean-François
Published 2006
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12
The measurement of central bank autonomy : survey of models, indicators, and empirical evidence Marco Arnone, Bernard J. Laurens, and Jean-François Segalotto.
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Arnone, Marco
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Laurens, Bernard
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Segalotto, Jean-François
Published 2006
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13
Implementing inflation targeting : institutional arrangements, target design, and communications prepared by Geoffrey Heenan, Marcel Peter, and Scott Roger.
by
Heenan, Geoffrey
,
Peter, Marcel
,
Roger, Scott
Published 2006
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14
A primer for risk measurement of bonded debt from the perspective of a sovereign debt manager [prepared by] Michael Papaioannou.
by
Papaioannou, Michael G.
Published 2006
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15
Central bank boards around the world : why does membership size differ? [prepared by] Helge Berger, Volker Nitsch, and Tonny Lybek.
by
Berger, Helge
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Nitsch, Volker
,
Lybek, Tonny
Published 2006
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16
People's Republic of China : detailed assessment report : observance of IOSCO objectives and principles of securities regulation [prepared International Monetary Fund Monetary and Capital Markets Department, the World Bank Financial and Private Sector Development Vice Presidency and Pacific Region Vice Presidency.
Published 2012
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17
A new heuristic measure of fragility and tail risks : application to stress testing prepared by Nassim N. Taleb [and others].
by
Taleb, Nassim Nicholas, 1960-
Published 2012
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18
Assessing the cost of financial regulation prepared by Douglas Elliott, Suzanne Salloy, and André Oliveira Santos.
by
Elliott, Douglas J., 1959-
Published 2012
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19
The impact of longevity improvements on U.S. corporate defined benefit pension plans prepared by Michael Kisser [and others].
by
Kisser, Michael
Published 2012
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20
Strategic considerations for first-time sovereign bond issuers prepared by Udaibir S. Das, Michael Papaioannou, and Magdalena Polan.
by
Das, Udaibir S.
,
Papaioannou, Michael G.
,
Polan, Magdalena
Published 2008
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