Has the monetary transmission process in the euro area changed-Evidence based on VAR estimates

1 april, 2009 in Risico management door onze redactie

Has the monetary transmission process in the euro area changed-Evidence based on VAR estimates
Empirical evidence on whether the euro area monetary transmission process has changed is, at best, mixed. We… Lees verder

In search of monetary stability-the evolution of monetary policy

1 april, 2009 in Risico management door onze redactie

In search of monetary stability-the evolution of monetary policy
The mid-1980s began a period that might, in retrospect, be seen as the golden age of monetary policy. Worldwide inflation rates, which… Lees verder

Credit availability and prudent lending standards

26 maart, 2009 in Risico management door onze redactie

Credit availability and prudent lending standards
As you are well aware, the Federal Reserve has taken significant steps to improve financial market conditions, and has worked with the Treasury and other… Lees verder

Monetary policy and pass-through to interest rates

26 maart, 2009 in Risico management door onze redactie

Monetary policy and pass-through to interest rates
The Central Bank of Chile’s monetary policy operates largely through its effects on the cost of lending, as it influences the cost of bank… Lees verder

Bubbles and macro prudential supervision

26 maart, 2009 in Risico management door onze redactie

Bubbles and macro prudential supervision
Looking at the future of financial regulation is specially challenging in the current juncture. Right in the midst of the crisis, we cannot be sure that… Lees verder

Seven lessons from the last three years

26 februari, 2009 in Risico management door onze redactie

Seven lessons from the last three years
The immediate challenge is to limit the depth and duration of the recession and bring the economy back onto a sustainable path with low… Lees verder

Pricing of risks in the financial sector

23 januari, 2009 in Risico management door onze redactie

Pricing of risks in the financial sector
The current juncture presents us with a particularly important moment to conduct a deep analysis of the pricing of risk – and the mis-pricing… Lees verder

Deflator-Brug tussen reële simulaties en risiconeutrale waardering

21 januari, 2009 in Risico management door onze redactie

Deflator-Brug tussen reële simulaties en risiconeutrale waardering
Een deel van de balans van banken en verzekeraars bestaat uit producten met optionaliteiten, waarvan de huidige waarde kan worden bepaald met behulp van… Lees verder

Analyse portefeuille rente-instrumenten en rentehedging programma

21 januari, 2009 in Risico management door onze redactie

Analyse portefeuille rente-instrumenten en rentehedging programma
In deze case wordt uiteen gezet op welke wijze renterisico effectief kan worden beheerst door de aanwending van rente-instrumenten. Een fictief vastgoed bedrijf koopt periodiek… Lees verder

Principles for sound stress testing practices and supervision

6 januari, 2009 in Risico management door onze redactie

Principles for sound stress testing practices and supervision
The depth and duration of the financial crisis has led many banks and supervisory authorities to question whether stress testing practices were sufficient… Lees verder

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