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Sökning efter: International Monetary Fund. Monetary and Capital Markets Dept. 115 träffar

Titel Författare År Språk
21 Inflation pressures and monetary policy options in emerging and developing countries electronic resource - a cross regional perspective 2009, c2008 Engelska
22 Can regional cross-listings accelerate stock market development? electronic resource - empirical evidence from Sub-Saharan Africa Olatundun Janet. Adelegan c2008 Engelska
23 Cross-border coordination of prudential supervision and deposit guarantees electronic resource Daniel C. L. Hardy c2008 Engelska
24 Innovation in banking and excessive loan growth electronic resource Daniel C. L. Hardy c2008 Engelska
25 Quality of financial sector regulation and supervision around the world electronic resource Martin. Čihák c2008 Engelska
26 Stress testing at the IMF electronic resource Marina. Moretti c2008 Engelska
27 Central bank response to the 2007-08 financial market turbulence electronic resource - experiences and lessons drawn c2008 Engelska
28 Bank losses, monetary policy and financial stability electronic resource - evidence on the interplay from panel data Erlend. Nier c2008 Engelska
29 The capital markets of emerging Europe - institutions, instruments and investors Silvia. Iorgova c2008 Engelska
30 Central bank involvement in banking crises in Latin America electronic resource Luis Ignacio. Jácome c2008 Engelska
31 Stressing to breaking point - interpreting stress test results DeLisle. Worrell c2008 Engelska
32 Investors' risk appetite and global financial market conditions Brenda. González-Hermosillo c2008 Engelska
33 Factor model for stress-testing with a contingent claims model of the Chilean banking system Dale Gray c2008 Engelska
34 Emerging market spread compression - is it real or is it liquidity? Kristian. Hartelius c2008 Engelska
35 Public debt markets in Central America c2007 Engelska
36 Financial instruments to hedge commodity price risk for developing countries Yinqiu. Lu 2008 Engelska
37 How well do aggregate bank ratios identify banking problems? Martin. Čihák c2007 Engelska
38 Islamic banks and financial stability - an empirical analysis Martin. Čihák c2008 Engelska
39 Estimating spillover risk among large EU banks Martin. Čihák 2007 Engelska
40 Macroeconomic and financial soundness indicators - an empirical investigation Rita Babihuga c2007 Engelska

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