Decomposing Financial Risks and Vulnerabilities in Eastern Europe /
This paper assesses how various types of financial risk such as credit risk, market risk, and liquidity risk affect banking stability in the ten countries that joined the European Union most recently, and eight neighboring countries. It also examines how the quality of supervisory standards may have...
| Autor principal: | Worrell, Rupert |
|---|---|
| Altres autors: | Maechler, Andrea, Mitra, Srobona |
| Format: | Revista |
| Idioma: | English |
| Publicat: |
Washington, D.C. :
International Monetary Fund,
2007.
|
| Col·lecció: | IMF Working Papers; Working Paper ;
No. 2007/248 |
| Accés en línia: | Full text available on IMF |
Ítems similars
-
Decomposing the Inflation Dynamics in the Philippines /
per: Guo, Si
Publicat: (2019) -
Sectoral Composition of Foreign Direct Investment and External Vulnerability in Eastern Europe /
per: Kinoshita, Yuko
Publicat: (2011) -
Quantitative Assessment of the Financial Sector : An Integrated Approach /
per: Worrell, Rupert
Publicat: (2004) - Religion in Eastern Europe
-
Financial Sector Reforms and Exchange Arrangements in Eastern Europe /
per: Calvo, Guillermo
Publicat: (1993)