Policies for Macrofinancial Stability : How to Deal with Credit Booms /
This note explores the costs and benefits of different policy options to reduce the risks associated with credit booms, drawing upon several country experiences and the findings from econometric analysis.
| Egile nagusia: | Bakker, Bas |
|---|---|
| Beste egile batzuk: | Dell'Ariccia, Giovanni, Laeven, Luc, Vandenbussche, Jerome |
| Formatua: | Aldizkaria |
| Hizkuntza: | English |
| Argitaratua: |
Washington, D.C. :
International Monetary Fund,
2012.
|
| Saila: | Staff Discussion Notes; Staff Discussion Notes ;
No. 2012/006 |
| Sarrera elektronikoa: | Full text available on IMF |
Antzeko izenburuak
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Policies for Macrofinancial Stability : Options to Deal with Real Estate Booms /
nork: Dell'Ariccia, Giovanni
Argitaratua: (2011) -
Macrofinancial Linkages : Trends, Crises, and Policies /
nork: Crowe, Christopher
Argitaratua: (2010) -
Commercial Real Estate and Macrofinancial Stability During COVID-19 /
nork: Deghi, Andrea
Argitaratua: (2021) -
The Global Macrofinancial Model /
nork: Vitek, Francis
Argitaratua: (2018) -
Managing Macrofinancial Risk /
nork: Adrian, Tobias
Argitaratua: (2020)