Simulation-based stress testing of banks' regulatory capital | | adequacy , by Samu Peura - Esa Jokivuolle (Bank of Finland Discussion Papers 2003/04) | Abstract Full text |
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| A New Look at the Wealth | | Adequacy of Older U.S. Households, by David A. Love, Paul A. Smith, and Lucy C. McNair (Federal Reserve Board FEDS series 2008-20) | Abstract
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| The integrated impact of credit and interest rate risk on banks: an economic value and capital | | adequacy perspective, by Mathias Drehmann, Steffen Sorensen and Marco Stringa (Bank of England Working papers 339) | Abstract Full text |
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| Capital | | adequacy regulation and financial conglomerates, by Ville Mälkönen (Bank of Finland Discussion Papers 2004/10) | Abstract Full text |
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| An Analysis of Off-Site Supervision of Banks' Profitability, Risk and Capital | | Adequacy: a portfolio simulation approach applied to brazilian banks, by Theodore M. Barnhill, Marcos R. Souto and Benjamin M. Tabak (Central Bank of Brazil Working Papers 117) | Abstract Full text |
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Sticky Prices: Why Firms Hesitate to | | Adjust the Price of Their Goods, by Pinelopi Goldberg and Rebecca Hellerstein (New York Fed Current issues ci13-10) | Abstract Full text |
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| How do banks | | adjust their capital ratios? Evidence from Germany, by Christoph Memmel, Peter Raupach (Deutsche Bundesbank Banking Supervision Discussion Papers 200706) | Full text |
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| How do firms | | adjust their wage bill in Belgium? A decomposition along the intensive and extensive margins, by Catherine Fuss (National Bank of Belgium Working Papers 127) | Abstract Full text |
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| How do firms | | adjust their wage bill in Belgium? A decomposition along the intensive and extensive margins, by Catherine Fuss (European Central Bank Working papers 854) | Full text |
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| Do Firms | | Adjust Toward a Target Leverage Level?, by Zhaoxia Xu (Bank of Canada Working papers 2007-50) | Abstract Full text |
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Futures Prices as Risk- | | Adjusted Forecasts of Monetary Policy, by Piazzesi, Swanson (San Francisco Fed Working Papers 2006-23) | Full text |
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| The Construction of Continuity- | | Adjusted Monetary Aggregate Components, by Kottaras, Jeannie (Bank of Canada Working papers 2003-22) | Abstract Full text |
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| Risk- | | Adjusted Performance Measures at Bank Holding Companies with Section 20 Subsidiaries, by Victoria Geyfman (Philadelphia Fed Working Papers wp05-26) | Full text |
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| Constructing quality- | | adjusted price indices: a comparison of hedonic and discrete choice models, by Nicole Jonker (European Central Bank Working papers No.172) | Full text |
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| Estimated Variance of Seasonally | | Adjusted Series, by William P. Cleveland (Federal Reserve Board FEDS series 2002-15) | Abstract Full text |
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| Measuring growth of labour quality and the quality- | | adjusted unemployment rate in Switzerland, by Thomas Bolli and Mathias Zurlinden (Swiss National Bank Working Papers 2008-13) | Abstract
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| The "Risk- | | Adjusted" Price-Concentration Relationship in Banking, by Elijah Brewer III and William E. Jackson III (Atlanta Fed Working papers 2004-35) | Abstract Full text |
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| | Adjusting Chinese Bilateral Trade Data: How Big is China's Trade Surplus, by John W. Schindler; Dustin H. Beckett (Federal Reserve Board International Financial Discussion Papers 2005-831) | Abstract Full text |
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| | | Adjusting For The Chinese New Year: An Operational Approach, by Chang Shu and Andrew Tsang (Hong Kong Monetary Authority Working Papers RM2005-22) | Full text |
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| | | Adjusting to the euro, by Gabriel Fagan and Vítor Gaspar (European Central Bank Working papers 716) | Full text |
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| | | Adjusting to the Euro, by Gabriel Fagan, Vítor Gaspar (Bank of Portugal Working papers 2007-03) | Abstract Full text |
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