Einfache Ansicht MARC ISBD

Capital account liberalization and financial sector stability [Book /]by a staff team led by Shogo Ishii and Karl Habermeier, with Jorge Iv�an Canales-Kriljenko ... [et al.].

Von: Ishii , Shogo.
Mitwirkende(r): Ishii, Shogo | Habermeier, Karl Friedrich | Canales-Kriljenko, Jorge Iv�an.
Materialtyp: materialTypeLabelBuchReihen: Occasional paper (International Monetary Fund): 211.Verlag: Washington, DC : International Monetary Fund, 2002Auflage: 1 st ed.Beschreibung: vii, 94 p. : ill. (some col.) ; 28 cm.ISBN: 1589060857.Schlagwörter: Capital movements | Capital market | Financial institutions -- State supervision | Banks and banking -- State supervision | Financial crises | Monetary policy | International financeDDC-Klassifikation: 657.76 Online-Ressourcen: Table of contents
Inhalte:
Machine generated contents note: Part I.A Framework for Sequencing -- I Overview 3 -- 11 Analytical Issues 5 -- Sources of Financial Sector Instability 5 -- Linkages of Financial Sector Instability with Capital -- Account Liberalization 6 -- Contagion and the Influence of Size and Openness 12 -- III Sequencing Capital Account Liberalization -- with Other Reforms 14 -- Sequencing: Insights from Country Experiences 14 -- General Principles for Sequencing 17 -- IV A Suggested Methodology for Sequencing 19 -- Applying the Methodology-An Example 21 -- Part II.The Prudential Framework and Capital Account Liberalization -- V The General Framework for Financial Sector Stability 31 -- Development of Financial Markets and Institutions 32 -- Prudential Regulation and Supervision: General Issues 33 -- Improved Risk Management by Financial Institutions 34 -- Capital Controls and Prudential Policies 35 -- Accounting, Auditing, and Disclosure 37 -- Financial Safety Nets and Resolution Policies 37 -- VI Prudential Regulation and Supervision of -- Cross-Border Transactions 40 -- Prudential Regulation and Supervision of Banks 40 -- Prudential Aspects of Offshore Financial Centers 46 -- Nonbank Financial Institutions 47 -- Supervisory Practices 48 -- Part III.Selected Country Experiences with Capital Account -- Liberalization and Financial Sector Stability -- VII Countries That Avoided a Financial Crisis 53 -- Austria: Integration into Regional and Global Markets 53 -- Hungary: Resilience to Contagion from the 1998 Russian Crisis 56 -- South Africa: Contagion from the 1997-98 Financial Crises 59 -- United Kingdom: The 1992 ERM Crisis 63 -- VIII Countries That Experienced a Financial Crisis 68 -- Korea: The 1997 Twin Crises 68 -- Mexico: The 1994-95 Crisis 72 -- Sweden: The Early 1990s Twin Crises 78 -- Turkey: The 1994 and 2000 Crises 81 -- Paraguay: The 1995-98 Financial Sector Crisis 85.
Tags dieser Bibliothek: Es gibt keine Tags für diesen Titel. Tag(s) hinzufügen
Einloggen um Tags hinzuzufügen.
    Durchschnitt: 0.0 (0 Bewertungen)
Medientyp Aktueller Standort Signatur Exemplarnr. Status Fälligkeitsdatum
Books Books 6october
1203
657.76 I C (Regal durchstöbern) 1 Verfügbar

Includes bibliographical references (p. 90-92).

Machine generated contents note: Part I.A Framework for Sequencing -- I Overview 3 -- 11 Analytical Issues 5 -- Sources of Financial Sector Instability 5 -- Linkages of Financial Sector Instability with Capital -- Account Liberalization 6 -- Contagion and the Influence of Size and Openness 12 -- III Sequencing Capital Account Liberalization -- with Other Reforms 14 -- Sequencing: Insights from Country Experiences 14 -- General Principles for Sequencing 17 -- IV A Suggested Methodology for Sequencing 19 -- Applying the Methodology-An Example 21 -- Part II.The Prudential Framework and Capital Account Liberalization -- V The General Framework for Financial Sector Stability 31 -- Development of Financial Markets and Institutions 32 -- Prudential Regulation and Supervision: General Issues 33 -- Improved Risk Management by Financial Institutions 34 -- Capital Controls and Prudential Policies 35 -- Accounting, Auditing, and Disclosure 37 -- Financial Safety Nets and Resolution Policies 37 -- VI Prudential Regulation and Supervision of -- Cross-Border Transactions 40 -- Prudential Regulation and Supervision of Banks 40 -- Prudential Aspects of Offshore Financial Centers 46 -- Nonbank Financial Institutions 47 -- Supervisory Practices 48 -- Part III.Selected Country Experiences with Capital Account -- Liberalization and Financial Sector Stability -- VII Countries That Avoided a Financial Crisis 53 -- Austria: Integration into Regional and Global Markets 53 -- Hungary: Resilience to Contagion from the 1998 Russian Crisis 56 -- South Africa: Contagion from the 1997-98 Financial Crises 59 -- United Kingdom: The 1992 ERM Crisis 63 -- VIII Countries That Experienced a Financial Crisis 68 -- Korea: The 1997 Twin Crises 68 -- Mexico: The 1994-95 Crisis 72 -- Sweden: The Early 1990s Twin Crises 78 -- Turkey: The 1994 and 2000 Crises 81 -- Paraguay: The 1995-98 Financial Sector Crisis 85.

All Ages.

Es gibt keine Kommentare zu diesem Titel.

Benutzerkonto um einen Kommentar hinzuzufügen.
www.soul.o6u.edu.eg

E-Mail: soul@o6u.edu.eg
Address: October 6 city – Central Axis – Next to El Hosary mosque.
Tell: (+202) 38376382
Fax: (+202) 38376280



Developed and implemented by ILC EG