The END : A New Indicator of Financial and Nonfinancial Corporate Sector Vulnerability /

This paper describes a corporate sector vulnerability indicator, the expected number of defaults (END), based on the joint occurrence of defaults among a number of firms and/or institutions. The END indicator is general enough to assess systemic risk in the corporate and financial sectors, as well a...

תיאור מלא

מידע ביבליוגרפי
מחבר ראשי: Chan-Lau, Jorge
מחברים אחרים: Gravelle, Toni
פורמט: כתב-עת
שפה:English
יצא לאור: Washington, D.C. : International Monetary Fund, 2005.
סדרה:IMF Working Papers; Working Paper ; No. 2005/231
גישה מקוונת:Full text available on IMF