Systemic Risks and the Macroeconomy /
This paper presents a modeling framework that delivers joint forecasts of indicators of systemic real risk and systemic financial risk, as well as stress-tests of these indicators as impulse responses to structural shocks identified by standard macroeconomic and banking theory. This framework is imp...
| Yazar: | Lucchetta, Marcella |
|---|---|
| Diğer Yazarlar: | De Nicolo, Gianni |
| Materyal Türü: | Dergi |
| Dil: | English |
| Baskı/Yayın Bilgisi: |
Washington, D.C. :
International Monetary Fund,
2010.
|
| Seri Bilgileri: | IMF Working Papers; Working Paper ;
No. 2010/029 |
| Online Erişim: | Full text available on IMF |
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