All Stories

  1. Valuing guaranteed bank debt: The roles of the strength and size of the bank and the guarantor
  2. Policy responses to the issue of implicit bank debt guarantees
  3. Measurement and analysis of implicit guarantees for bank debt
  4. Subsidies for banks
  5. Implicit guarantees for bank debt
  6. Sovereign and Banking Sector Debt
  7. Guarantee Arrangements for Financial Promises
  8. Systemic Financial Crises
  9. The Design of Government Guarantees for Bank Bonds
  10. Expanded guarantees for banks
  11. Insurance companies and the financial crisis
  12. Expanded government guarantees for bank liabilities
  13. Revisiting the asset-meltdown hypothesis
  14. Challenges for financial intermediaries offering asset decumulation products
  15. Financial crisis: Deposit insurance and related financial safety net aspects
  16. Financial turbulence
  17. Challenges related to financial guarantee insurance
  18. Selected Questions Regarding Hedge Funds
  19. Indian Financial System Reform
  20. Housing Markets and Household Debt
  21. Asset Allocation Challenges for Pension Funds
  22. Diversification sectorielle : les assureurs mis au défi
  23. Stock market links when returns are extreme
  24. Predicting real activity and inflation developments based one the slope of the yield curve
  25. Assessing the stability of the relationship between yield curves and inflation
  26. Increases in Business Investment Rates in OECD Countries in the 1990s
  27. Contributions of Financial Systems to Growth in OECD Countries
  28. A Changing Financial Environment and the Implications for Monetary Policy
  29. New Issues in Public Debt Management
  30. What the Yield Curves say About Inflation
  31. The Use of Financial Market Indicators by Monetary Authorities
  32. The information content of the German term structure regarding inflation
  33. Estimating the German Term Structure
  34. Changing the Institutional Design of Central Banks
  35. National Saving-Investment Dynamics and International Capital Mobility
  36. Challenges Associated with the Expansion of Deposit Insurance Coverage During Fall 2008
  37. Alternative Specifications of the German Term Structure and Its' Information Content Regarding Inflation
  38. What the Yield Curves Say About Inflation: Does it Change Over Time?
  39. The Use of Financial Market Indicators by Monetary Authorities
  40. Panel Cointegration Analysis of the Finance-Investment Link in OECD Countries
  41. Stock market links when returns are extreme
  42. The Government as Guarantor of Last Resort: Benefits, Costs and the Case for Premium Charges
  43. The impact of sovereign guarantees on the quality of bank debt: Theory and evidence from Europe
  44. How Stable Is the Predictive Power of the Yield Curve? Evidence from Germany and the United States