International Monetary and Financial Issues for the 1990s: Research Papers for the Group of Twenty-fourUN, 1999 - 181 páginas |
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Página 13
... risks . Interest - rate risk is the result of banks ' exposure ( through mismatches in their assets and their liabilities ) to unexpected changes in interest rates , and liquidity risk of exposure to the inability to meet obligations as ...
... risks . Interest - rate risk is the result of banks ' exposure ( through mismatches in their assets and their liabilities ) to unexpected changes in interest rates , and liquidity risk of exposure to the inability to meet obligations as ...
Página 14
... risk is also generally greater in developing and transition econo- mies.27 Problems due to banking risks and their ... risk is thus enhanced in developing and transition economies in comparison with major OECD countries to the extent ...
... risk is also generally greater in developing and transition econo- mies.27 Problems due to banking risks and their ... risk is thus enhanced in developing and transition economies in comparison with major OECD countries to the extent ...
Página 84
... risk charac- teristics of each individual country ( Larraín , 1995 ) . Different models exist for country - risk provisioning schemes , as , for example : that of the United States , which is highly dependent on the discretion of ...
... risk charac- teristics of each individual country ( Larraín , 1995 ) . Different models exist for country - risk provisioning schemes , as , for example : that of the United States , which is highly dependent on the discretion of ...
Contenido
References | 16 |
Heterogeneity of developing countries | 35 |
KEY ISSUES FOR DEVELOPING COUNTRIES IN A POSSIBLE | 39 |
Derechos de autor | |
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Términos y frases comunes
Africa Agreement on Investment apply Asia Asian crisis assets Bank's billion borrowers capital flows capital movements cent competition contracting parties currency debt developing countries developing economies domestic draft East Asian effects equity establishment exchange rate export FDI flows financial crises financial markets financial services financial system Fondad foreign investors framework Fund GATS global growth host countries IBRD important incentives income increase Indonesia industrial inflation inflows institutions instruments interest rates International Monetary International Monetary Fund intervention issues Latin America lending liberalization limited loans macroeconomic market access measures ment moral hazard Multilateral Agreement multilateral treaty national treatment negotiations net income obligations OECD operations performance requirements portfolio possible MFI problems proposed Province of China provisions regimes regional regulations Republic of Korea reserves restrictions risk sector short-term specific stability standards supervision Taiwan Province TNCs trade transfer UNCTAD variables Washington Consensus World Bank