The Value Of Medicare | | Managed Care Plans and Their Prescription Drug Benefits, by Anne E. Hall (Federal Reserve Board FEDS series 2007-19) | Abstract Full text |
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| | | Managed Floating and Intermediate Exchange Rate Systems: The Singapore Experience, by Khor Hoe Ee, Edward Robinson and Jason Lee (Monetary Authority of Singapore Staff Papers No. 37) | Abstract Full text |
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Delegated Portfolio | | Management , by Paulo Coutinho and Benjamin Miranda Tabak (Central Bank of Brazil Working Papers 060) | Abstract Full text |
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| Sensitivity analysis of volatility: a new tool for risk | | management , by Simone Manganelli (European Central Bank Working papers No.194) | Full text |
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| The costs and benefits of moral suasion: Evidence from the rescue of long-term capital | | management , by Craig Furfine (Bank for International Settlements Working papers 103) | Abstract Full text |
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| Credit Derivatives and Risk | | Management , by Michael S. Gibson (Federal Reserve Board FEDS series 2007-47) | Abstract
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| Recent Innovations in Treasury Cash | | Management , by Kenneth D. Garbade, John C. Partlan, and Paul J. Santoro (New York Fed Current issues ci10-11) | Abstract Full text |
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| Governing the Financial or Bank Holding Company: How Legal Infrastructure Can Facilitate Consolidated Risk | | Management , by Thomas C. Baxter, Jr. (New York Fed Current issues ci09-03) | Abstract Full text |
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| Buybacks in Treasury Cash and Debt | | Management , by Kenneth D. Garbade and Matthew Rutherford (New York Fed Staff reports 304) | Abstract Full text |
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| The Costs and Benefits of Moral Suasion: Evidence from the Rescue of Long-Term Capital | | Management , by Craig Furfine (Chicago Fed Working papers WP-2002-11) | Abstract Full text |
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| Monetary Policy in Brazil: Remarks on the Inflation Targeting Regime, Public Debt | | Management and Open Market Operations, by Luiz Fernando Figueiredo, Pedro Fachada and Sérgio Goldenstein (Central Bank of Brazil Working Papers 037) | Abstract Full text |
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| An Integrated Model for Liquidity | | Management and Short-Term Asset Allocation in Commercial Banks, by Wenersamy Ramos de Alcântara (Central Bank of Brazil Working Papers 168) | Abstract
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| The use of loan loss provisions for capital management, earnings | | management and signalling by Australian banks, by Asokan Anandarajan – Iftekhar Hasan – Cornelia McCarthy (Bank of Finland Discussion Papers 2006/23) | Abstract Full text |
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| Optimal Reserve | | Management and Sovereign Debt, by Alfaro, Kanczuk (San Francisco Fed Working Papers 2007-29) | Full text |
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| International Reserves | | Management and the Current Account, by Joshua Aizenman (Central Bank of Chile Working Papers 449) | Abstract Full text |
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| China's asset | | management corporations, by Guonan Ma and Ben S C Fung (Bank for International Settlements Working papers 115) | Abstract Full text |
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| The Intraday Liquidity | | Management Game, by Bech, Morten Linnemann; Garratt, Rod (Danmarks Nationalbank Working papers WP02/2002) | Abstract Full text |
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| Price-Level Targeting and Risk | | Management in a Low-Inflation Economy, by Roberto Billi (Kansas City Fed Working Papers 08-09) | Abstract Full text |
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| Risk | | Management in Action. Robust monetary policy rules under structured uncertainty., by Paul Levine, Peter McAdam (European Central Bank Working papers 870) | Full text |
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| Earnings and capital | | management in alternative loan loss provision regulatory regimes, by Daniel Pérez, Vicente Salas and Jesús Saurina (Bank of Spain Working Papers 0614) | Abstract Full text |
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| Liquidity Risk | | Management in Banks. International Best Practices and Cases, by Miguel Delfiner, Claudia Lippi and Cristina Pailhé (Central Bank of Argentina Working Papers 2006/10T) | Full text |
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| The Challenges of Risk | | Management in Diversified Financial Companies, by Christine M. Cumming and Beverly J. Hirtle (New York Fed Economic policy review 0103cumm) | Abstract Full text |
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| Understanding Risk | | Management in Emerging Retail Payments, by Michele Braun, James McAndrews, William Roberds,and Richard Sullivan (New York Fed Economic policy review 0809brau) | Abstract Full text |
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| Understanding Risk | | Management in Emerging Retail Payments, by Michele Braun, James McAndrews, William Roberds, and Richard Sullivan (New York Fed Economic policy review 0711brau) | Abstract Full text |
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| Monetary | | Management in Mainland China in the Face of Large Capital Inflows, by Dong He, Carmen Chu, Chang Shu and Amy Wong (Hong Kong Monetary Authority Working Papers RM2005-07) | Full text |
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| An "Art", not a "Science"? Central Bank | | Management in Portugal under the Gold Standard, 1854-1891, by Jaime Reis (Bank of Portugal Working papers 2002-06) | Abstract Full text |
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| Liquidity risk | | management in the Argentine financial system, by Miguel Delfiner, Claudia Lippi and Ángel del Canto (Central Bank of Argentina Working Papers 2007/22T) | Full text |
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| Government debt | | management in the euro area - recent theoretical developments and changes in practices, by Guido Wolswijk and Jakob de Haan (European Central Bank Occasional papers 25) | Full text |
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| Basel II and Operational Risk: Implications for risk measurement and | | management in the financial sector, by Ariane Chapelle, Yves Crama, Georges Hübner and Jean-Philippe Peters (National Bank of Belgium Working Papers 051) | Full text |
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| Basel II and the Risk | | Management of Basket Options with Time-Varying Correlations, by by Amy S. K. Wong (IJCB International Journal of Central Banking 06q4a1) | Abstract Full text |
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| A multi-factor model for the valuation and risk | | management of demand deposits, by Hans Dewachter, Marco Lyrio, Konstantijn Maes (National Bank of Belgium Working Papers 083) | Abstract Full text |
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| Sound practices for the | | management of operational risk in financial institutions, by Miguel Delfiner, Ana Mangialavori and Cristina Pailhé (Central Bank of Argentina Working Papers 2006/16T) | Full text |
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| Modelling the daily banknotes in circulation in the context of the liquidity | | management of the European Central Bank, by Alberto Cabrero (European Central Bank Working papers No.142) | Full text |
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| Modelling the daily banknotes in circulation in the context of the liquidity | | management of the European Central Bank, by Alberto Cabrero, Gonzalo Camba-Mendez, Astrid Hirsch and Fernando Nieto (Bank of Spain Working Papers 0211) | Full text |
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| The impact of corporate risk | | management on monetary policy transmission: some empirical evidence, by Ingo Fender (Bank for International Settlements Working papers 095) | Abstract Full text |
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| Foreign reserves | | management subject to a policy objective, by Joachim Coche, Matti Koivu (European Central Bank Working papers 624) | Full text |
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| International Cross-listing, Firm Performance and Top | | Management Turnover: A Test of the Bonding Hypothesis, by Ugur Lel and Darius P. Miller (Federal Reserve Board International Financial Discussion Papers 2006-877) | Abstract Full text |
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| Aggregate Demand | | Management with Multiple Equilibria, by Huberto M. Ennis (Richmond Fed Working Papers 03-04) | Abstract Full text |
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| A General Approach to Integrated Risk | | Management with Skewed, Fat-Tailed Risk, by Joshua V. Rosenberg and Til Schuermann (New York Fed Staff reports 185) | Abstract Full text |
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| Bad Luck or Bad | | Management? Emerging Banking Market Experience, by Jirí Podpiera and Laurent Weill (Czech National Bank Working papers 2007/05) | Abstract
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| The use of loan loss provisions for capital | | management, earnings management and signalling by Australian banks, by Asokan Anandarajan – Iftekhar Hasan – Cornelia McCarthy (Bank of Finland Discussion Papers 2006/23) | Abstract Full text |
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| Modelling Term-Structure Dynamics for Risk | | Management: A Practitioner's Perspective, by David Jamieson Bolder (Bank of Canada Working papers 2006-48) | Abstract Full text |
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| Delegated portfolio | | management: a survey of the theoretical literature, by Livio Stracca (European Central Bank Working papers 520) | Full text |
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| Intraday Liquidity | | Management: A Tale of Games Banks Play, by Morten L. Bech (New York Fed Economic policy review 0809bech) | Abstract Full text |
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| Intraday Liquidity | | Management: A Tale of GamesBanks Play, by Morten L. Bech (New York Fed Economic policy review 0805bech) | Abstract Full text |
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| Contingent Reserves | | Management: An Applied Framework, by Ricardo Caballero, Stavros Panageas (Central Bank of Chile Working Papers 329) | Abstract Full text |
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| Contingent Reserves | | Management: An Applied Framework, by Ricardo Caballero and Stavros Panageas (Boston Fed Working papers 05-02) | Abstract Full text |
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Market Discipline in Banking Reconsidered: The Roles of Deposit Insurance Reform, Funding | | Manager Decisions and Bond Market Liquidity, by Daniel M. Covitz, Diana Hancock, and Myron L. Kwast (Federal Reserve Board FEDS series 2002-46) | Abstract Full text |
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| Market Discipline in Banking Reconsidered: The Roles of Funding | | Manager Decisions and Deposit Insurance Reform, by Daniel M. Covitz, Diana Hancock, and Myron L. Kwast (Federal Reserve Board FEDS series 2004-53) | Abstract Full text |
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| | Managerial Behavior and Cost/Profit Efficiency in the Banking Sectors of Central and Eastern European Countries, by Stefania P. S. Rossi, Markus Schwaiger, Gerhard Winkler (Austrian National Bank Working Papers WP096) | Abstract Full text |
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| Financial structure, | | Managerial Compensation and Monitoring, by Vittoria Cerasi and Sonja Daltung (Sveriges Riksbank Working Papers No207) | Abstract Full text |
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| Governance as a source of | | managerial discipline, by J. Franks and C. Mayer (National Bank of Belgium Working Papers 031) | Full text |
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| | | Managerial Incentives and Financial Contagion, by Sujit Chakravorti , Anna Ilyina , Subir Lall (Chicago Fed Working papers WP-2003-21) | Abstract Full text |
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| Do Bankers Sacrifice Value to Build Empires? | | Managerial Incentives, Industry Consolidation, and Financial Performance, by Joseph P. Hughes (Philadelphia Fed Working Papers wp02-02) | Full text |
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| The marketability of bank assets and | | managerial rents: implications for financial stability, by Falko Fecht, Wolf Wagner (Deutsche Bundesbank Banking Supervision Discussion Papers 200712) | Full text |
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Reaching for yield: selected issues for reserve | | managers , by Eli M Remolona, Martijn A Schrijvers (Bank for International Settlements Quarterly Review 0309g) | Full text |
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| | | Managers and efficiency in banking, by Karlo Kauko (Bank of Finland Discussion Papers 2007/11) | Abstract Full text |
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| The Careers of Top | | Managers and Firm Openness: Internal Versus External Labour Markets, by Francisco Lima, Mário Centeno (Bank of Portugal Working papers 2003-15) | Abstract Full text |
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| Portfolio choice when | | managers control returns, by Julien Egil Matsen (Central Bank of Norway Working Papers 2005/15) | Full text |
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| Imperfect predictability and mutual fund dynamics. How | | managers use predictors in changing systematic risk., by Gianni Amisano and Roberto Savona (European Central Bank Working papers 881) | Full text |
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| Institutional asset | | managers: industry trends, incentives and implications for market efficiency, by Ingo Fender (Bank for International Settlements Quarterly Review 0309h) | Full text |
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The central bank as a risk | | manager: quantifying and forecasting inflation risks, by Lutz Kilian and Simone Manganelli (European Central Bank Working papers No.226) | Full text |
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| | Managing Adverse Dependence for Portfolios of Collateral in Financial Infrastructures, by Alejandro García and Ramazan Gençay (Bank of Canada Working papers 2007-25) | Abstract Full text |
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| Choosing instruments in | | managing dollar foreign exchange reserves, by Robert N McCauley and Ben S C Fung (Bank for International Settlements Quarterly Review 0303e) | Full text |
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| How successful is the G7 in | | managing exchange rates?, by Marcel Fratzscher (European Central Bank Working papers 952) | Full text |
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| | | Managing financial crises in emerging market economies - experience with the involvement of private sector creditors, by International Relations Committee Task Force (European Central Bank Occasional papers 32) | Full text |
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| | | Managing International Portfolios with Small Capitalization Stocks, by Massimo Guidolin, and Giovanna Nicodano (St Louis Fed Working Papers 2007-030) | Full text |
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| | | Managing international reserves: how does diversification affect financial costs?, by Stichander Ramaswamy (Bank for International Settlements Quarterly Review 0806f) | Abstract
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| | | Managing Operational Risk in Payment, Clearing, and Settlement Systems, by McPhail, Kim (Bank of Canada Working papers 2003-2) | Abstract Full text |
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| Assessing and | | Managing Operational Risks at the Magyar Nemzeti Bank, by László Baki - Dr Péter Rajczy - Márta Temesvári (Magyar Nemzeti Bank Occasional papers 2004/32) | Abstract Full text |
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| | | Managing the Capital Account, by Sebastián Edwards (Central Bank of Chile Working Papers 338) | Abstract Full text |
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| Ten Years from the Financial Crisis: | | Managing the Challenges Posed by Capital Flows, by Khor Hoe Ee and Kit Wei Zheng (Monetary Authority of Singapore Staff Papers No. 48) | Abstract Full text |
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| Financial stability challenges in candidate countries | | managing the transition to deeper and more market-oriented financial systems, by the IRC expert group on financial stability challenges in candidate countries (European Central Bank Occasional papers 95) | Full text |
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| | | Managing uncertainty through robust-satisficing monetary policy, by Q. Farooq Akram, Yakov Ben-Haim and Řyvind Eitrheim (Central Bank of Norway Working Papers 2006/10) | Full text |
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The Federal Reserve's Dual | | Mandate: A Time-Varying Monetary Policy Priority Index for the United States, by René Lalonde and Nicolas Parent (Bank of Canada Working papers 2006-11) | Abstract Full text |
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Getting the Most Out of a | | Mandatory Subordinated Debt Requirement, by Rong Fan, Joseph G. Haubrich, Peter Ritchken and James B. Thomson (Cleveland Fed Working papers WP02-14) | Full text |
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