1854 documents matched the search for G18 in JEL-codes.
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Modeling the Risk in Agreement with the Solvency II Regulations and Possible Implications on the Romanian Insurance MarketAbstract:In the process of capital adequacy, an insurance or re-insurance company is faced with the problem of shaping the risks to which all its entire activity is exposed to. Solvency II Directive 2009/138/EC brings under regulation the evaluation of the technical reserves and the capital requirements allowing the insurance and re-insurance companies to determine the respective sizes using a standard formula of modeling the risks or through the development and implementation of an internal model. In this work, a synthesis of the Solvency II regulations is proposed of modeling risks, and also an analysis on the way in which the respective regulations could influence the activity of insurance companies operating in Romania, Butaci Casian,
in Ovidius University Annals, Economic Sciences Series
(2013)
Setting Standards Is Just the First Step: Maintaining Them IS The Hard Part, C.A.E. Goodhart,
from University of Birmingham - International Financial Group
(1997)
Keywords: GOVERNMENT POLICY
A Review of Financial Regulations to Avoid the Nationalisation of Losses in the Banking System, Sorana Vătavu, Marilen Pirtea and Sorin Vătavu,
in Annals of the University of Petrosani, Economics
(2011)
Keywords: profit privatization, losses nationalization, financial crisis, liberalization, recapitalization, financial regulations
Fairness through regulation? Reflections on a cosmopolitan approach to global finance, Marta Božina Beroš and Marin Beroš,
in The Journal of Philosophical Economics
(2013)
Keywords: global financial system, financial governance, cosmopolitanism, financial regulation
Séminaire monétaire international: Infrastructures de marché et stabilité financière, F. Hervo,
in Bulletin de la Banque de France
(2010)
Keywords: Stabilité financière, produits dérivés, marchés financiers de gré à gré, infrastructures de marché, chambres de compensation, risque systémique, monnaie de banque centrale.
Макроэкономическая политика валютных войн: методы исследования. Macroeconomic policy of currency war: methods of investigation, Бекарева С.В. and Мельтенисова Е.Н.,
in Мир экономики и управления // Вестник НГУ. Cерия: Cоциально-экономические науки
(2015)
Keywords: монетарная политика, валютная война, реальный эффективный валютный курс, monetary policy, currency war, real effective exchange rate.
Currency Options in Function of Currency Risk Hedging and Speculating, Miljana Barjaktarović, Dusica Karic and Radoje Zecevic,
in Economic Analysis
(2011)
If Drug Treatment Works So Well, Why Are So Many Drug Users in Prison?, Harold Pollack, Peter Reuter and Eric L. Sevigny,
from National Bureau of Economic Research, Inc
(2011)
Customs Control Mechanism in the System of Ensuring the State Financial Security, Oleksandr Petruk and Yurii Kostyshyn,
in Oblik i finansi
(2020)
Keywords: customs control mechanism, methodical methods of customs control, financial security, internal threats, external threats
Quality of Information Disclosed in Annual Reports of Listed Companies in the Czech Republic, David Čevela,
in European Financial and Accounting Journal
(2016)
Keywords: Disclosure quality, Periodic disclosure, Prague Stock Exchange
The Fiscal Pressure in Romania in the Context of Economic Crisis, Daniela Penu, Diana Apostol and Cristina Balaceanu,
in Knowledge Horizons - Economics
(2013)
Keywords: Value added tax, excise duties, personal income, corporate income, social contributions
Price Volatility and Futures Margins, Gikas Hardouvelis and Dongcheol Kim,
from C.E.P.R. Discussion Papers
(1995)
Keywords: Futures Exchanges; Jump Volatility; Margin Requirements; Metal Futures; Poisson Process
The Asymmetric Relation Between Margin Requirements and Stock Market Volatility Across Bull and Bear Markets, Gikas Hardouvelis, Andreas Pericli and Panayiotis Theodossiou,
from C.E.P.R. Discussion Papers
(1997)
Keywords: asymmetry; Credit; EGARCH model; Federal Reserve; Margin Requirements; Stock Prices; Volatility
The Use of Borrower-based Measures within Macroprudential Policy: Evidence from the European Economic Area, Lukáš Fiala and Petr Teply,
in European Financial and Accounting Journal
(2021)
Keywords: Household debt, Macroprudential policy, Borrower-based instrument
Contracting in the Shadows of a Corrupt Court, Vai-Lam Mui,
from Southern California - Department of Economics
(1995)
Keywords: LAW;CORRUPTION
Markets for CCPs and Regulation: Considering Unintended Consequences, Serge Wibaut and D Sykes Wilford,
in Journal of Financial Transformation
(2012)
Keywords: Central Clearing counter parties; CCPs; credence goods; regulation of derivatives; OTC Derivatives; Exchange Traded Derivatives; Dodd-Frank; Systemic Risk
What’s Went Wrong With Mesdaq Market?, Wan Mansor Mahmood and Sharifah Nurhidayu Syed Tazhili,
from University Library of Munich, Germany
(2008)
Keywords: MESDAQ market, technology based firms, high growth companies
Impact of Earnings Variability and Regulatory Measures on Income Smoothening in Islamic Banks — Evidence from an Emerging Market, Amina Malik, Babar Zaheer Butt, Shahab Ud Din and Haroon Aziz,
in Public Finance Quarterly
(2020)
Keywords: Income smoothing, earnings variability, regulations, capital adequacy ratio
Asymetric Effect of Oil Price Shocks on Exchange Rate Volatility and Domestic Investment in Nigeria, Hodo Riman, Emmanuel S. Akpan and Amenawo I Offiong,
from University Library of Munich, Germany
(2013)
Keywords: Impulse response function; variance decomposition analysis; vector autoregression; oil price shock; domestic investment; government expenditure; exchange rate.
La exigencia de capitales mínimos por riesgo de tasa de interés - Nota técnica, Miguel Delfiner and Angel Del Canto,
from University Library of Munich, Germany
(2008)
Keywords: capital requirement for interest rate risk
La exigencia de capitales mínimos por riesgo de mercado - Nota técnica, Miguel Delfiner and Angel del Canto,
from University Library of Munich, Germany
(2009)
Keywords: value at risk; market risk capital requirement
New Directions in Financial Services Regulation, Roger B. Porter, Robert R. Glauber and Thomas J. Healey,
from The MIT Press
(2011)
Keywords: finance, financial crisis, regulation
METHODS OF FUNDS ANALYSIS IN THE SALAJ COUNTY, Bechis Liviu,
in Annals of Faculty of Economics
(2012)
Keywords: resource allocation, income, expenses, results
THE ENVIRONMENT OF REGIONAL DEVELOPMENT FINANCIAL ANALYSIS, Bechis Liviu and Andrei Moscviciov,
in Annals of Faculty of Economics
(2012)
Keywords: regionalism, development, regionalization
NATIONAL PUBLIC FINANCES. CONNECTIONS, Morar Ioan Dan,
in Annals of Faculty of Economics
(2015)
Keywords: Public finances, general policy, economic performance, budgetary policies
TAXATION IN FRONT OF AUDITING PUBLIC INTEREST ENTITIES, Morar Ioan Dan,
in Annals of Faculty of Economics
(2015)
Keywords: Taxation, auditing public, compatibility, legislation financial, performance
TAXATION. ECONOMIC ISSUES AND APPROACHES, Ioan Dan Morar and Anca Mitu,
in Annals of Faculty of Economics
(2016)
Keywords: Public finance, performance, influenced, the following variables
Microfinance & Strategy of Financial Inclusion in India, Avnesh Gupta,
from University Library of Munich, Germany
(2012)
Keywords: Microfinance, Financial Inclusion, Self Help Groups, Institutional Credit
ADOPTING THE EURO CURRENCY, Ilie Şimon,
in Annals of Spiru Haret University, Economic Series
(2011)
Keywords: recession; convergence criteria; Euro adoption; Romania
Crypto-currency: Implication for Regulatory Governance, Andy Cheng,
from International Institute of Social and Economic Sciences
(2018)
Keywords: Crypto-currency; Distributed Ledger Technology; Blockchain Governance
Az új bázeli tőkeszabályozás és a belső minősítésen alapuló megközelítés, Agnes Szabo-Morvai,
in Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences)
(2003)
The amendment to the capital accord to incorporate market risk, Maximilian Hall,
in BNL Quarterly Review
(1996)
Keywords: Banking Regulation, Banking law, Capital
The amendment to the capital accord to incorporate market risk, Maximilian Hall,
in Banca Nazionale del Lavoro Quarterly Review
(1996)
Keywords: Banking Regulation, Banking law, Capital
Time for Stability in Derivatives Markets – a New Look at Central Counterparty Clearing for Securities Markets, Thorsten Koeppl,
in C.D. Howe Institute Commentary
(2011)
Keywords: Financial Services, derivatives, securities markets, central counterparty clearing
Financial Markets: Government Regulation vs Self-regulation in Russia in 2014, Natalia Polezhaeva,
from Gaidar Institute for Economic Policy
(2015)
Keywords: Russian economy; financial markets, regulation
Self-Regulated Organizations – the Evolution of the Law (2007–2011), Natalia Polezhaeva and Elena Apevalova,
from Gaidar Institute for Economic Policy
(2012)
Keywords: Russian economy; self-regulated organizations
Pengaruh Krisis Ekonomi Amerika Serikat Terhadap Bursa Saham Dan Perdagangan Indonesia, Mita Nezky,
in Bulletin of Monetary Economics and Banking
(2013)
Keywords: US Crisis, stock market, trade, SVAR
Unifying government bond markets in East Asia, Robert McCauley,
in BIS Quarterly Review
(2003)
Analytical Support for the Continuity Management of Enterprises under Conditions of Uncertainty, Vasyl Rudnytskyi and Olena Yurchenko,
in Oblik i finansi
(2024)
Keywords: management, business continuity, analytical support, comprehensive approach, financial capacity potential, enterprise value assessment
The Impact of US Crisis on Trade and Stock Market in Indonesia, Mita Nezky,
in Bulletin of Monetary Economics and Banking
(2013)
Keywords: US Crisis, stock market, trade, SVAR
Structural Liquidity as the Indicator of Interest Rate Policy, Georgy Gambarov,
in Applied Econometrics
(2007)
Keywords: refinancing; structural liquidity; interbank market; target policy
Methods of Evaluating the Liquidity Level for the Banking Sector, Georgy Gambarov and Evgeny Rumyantsev,
in Applied Econometrics
(2009)
Keywords: Refinancing; structural liquidity; loro account; Kalman filter; interbank market; target policy
Foreign Direct Investment, Institutional Quality, Economic Freedom and Entrepreneurship in Emerging Markets, Hernan Herrera Echeverry, Jerry Haar and Juan Benavides Estévez-Bretón§,
from Universidad EAFIT
(2013)
Keywords: Foreign Direct Investment, Institutional Quality, Economic Freedom, Entrepreneurship
Valuation in the Public and Private Sectors: Tax, Risk, Debt Capacity, and the Cost of Capital, Michel Habib, Richard Brealey and Ian Cooper,
from C.E.P.R. Discussion Papers
(2018)
Keywords: Public sector; Private sector; Cost of capital; Valuation; Tax; Risk; Debt capacity
Pricing corporate bonds and constructing credit curves in a developing country: The case of the Taiwan bond fund crisis, Shyan Yuan Lee, Wan-Jiun Paul Chiou and Yi-Fang Chung,
in International Review of Economics & Finance
(2017)
Keywords: Emerging bond market; Credit curve; Spot rate curve; Forward rate curve; Survival probability curve;
Reserva de cabotaje marítimo de carga y libre competencia: el caso chileno, Claudio Agostini, Ignacio Briones and Benjamín Mordoj,
in Estudios Públicos
(2022)
Keywords: maritime cabotage, liberalization, market competition, legal and policy recommendations, reserva de cabotaje marítimo, libre competencia, recomendación normativa
If Drug Treatment Works So Well, Why Are So Many Drug Users in Prison?, Harold Pollack, Peter Reuter and Eric Sevigny,
from National Bureau of Economic Research, Inc
(2010)
Measuring Regulatory Complexity, Jean-Edouard Colliard and Co-Pierre Georg,
from C.E.P.R. Discussion Papers
(2020)
Keywords: Financial regulation; Capital regulation; Regulatory complexity; Basel accords
Fiscal Decentralization and the Challenge of Hard Budget Constraints, Jonathan A. Rodden and Gunnar Eskeland,
from The MIT Press
(2003)
Keywords: decentralization, hard budget constraints, soft budget constraints
The Short-Term Effect of the Paycheck Protection Program on Unemployment, Santiago Barraza, Martín Rossi and Timothy J. Yeager,
from Universidad de San Andres, Departamento de Economia
(2020)
Keywords: Banks; Financial system; COVID-19; Labor Market.
The Role of State Financial Regulation in Solving Key Problems of Russian Regions on the Example of the Far Eastern Federal District, Mikhail E. Kosov, Ekaterina V. Golubtsova and Ekaterina S. Novikova,
in Finansovyj žhurnal — Financial Journal
(2023)
Keywords: import substitution, state regulation, regional economics, tax incentives, preferential lending, subsidies, investments
OTC premia, Gino Cenedese, Angelo Ranaldo and Michalis Vasios,
from Bank of England
(2018)
Keywords: Interest rate swaps; financial regulation; central clearing; over-the-counter market; valuation adjustments
Re-examining the relationship between monetary policy and stock market prices in Nigeria, Yahaya Umar Isah,
from University Library of Munich, Germany
(2024)
Keywords: Monetary policy; stock market prices; Exchange rate; Money supply; ARDL
Modeling Rules of Monetary Policy of the Central Bank of the Russian Federation with the Financial Stress Index, E. Fedorova, A. Mukhin and S. Dovzhenko,
in Journal of the New Economic Association
(2016)
Keywords: monetary policy, Taylor model, the index of financial stress
Efficient restructuring in bread industry in Romania, Cezar Braicu and Andreea Saseanu,
from Osterreichish-Rumanischer Akademischer Verein
(2009)
Keywords: Efficient restructuring; bread industry
Romania's budget - anti-crisis analisys and solutions, Luise Mladen and Mariana Elena Balu,
from Osterreichish-Rumanischer Akademischer Verein
(2009)
Keywords: financial and economic crisis; Romania's budget
The Costs and Benefits of Mandatory Securities Regulation: Evidence from Market Reactions to the JOBS Act of 2012, Dhammika Dharmapala and Vikramaditya Khanna,
from CESifo
(2014)
Keywords: securities regulation, JOBS Act of 2012, emerging growth companies
Financial Inclusion, Education, and Regulation in the Philippines, Gilberto M. Llanto,
from Asian Development Bank Institute
(2015)
Keywords: financial inclusion; financial education; financial regulations; Philippines; working paper 541
Assessing the stock of regulation - A tool for regulatory stewards, Derek Gill, Mike Hensen and Killian Destremau,
from New Zealand Institute of Economic Research
(2016)
Keywords: regulation; regulatory management
La Bourse en Chine: éléments clés (Stock Markets in China: keys elements), Peng Yang,
from Laboratoire de Recherche sur l'Industrie et l'Innovation. ULCO / Research Unit on Industry and Innovation
(2004)
Keywords: Bourse, chine, cotation, marché financiers/stock market, China, quotation, financial market
More resilient, better managed, less complex: strengthening FMUs and linkages in the system, Sarah J. Dahlgren,
from Federal Reserve Bank of New York
(2014)
Keywords: central counterparties (CCPs); complexity; financial market utilities (FMUs)
Asset Price Instability and Policy Responses: The Legacy of Liberalisation, Stephen Bell and John Quiggin,
from Risk and Sustainable Management Group, University of Queensland
(2004)
Network versus portfolio structure in financial systems, Teruyoshi Kobayashi,
from Graduate School of Economics, Kobe University
(2013)
Keywords: Systemic risk, financial crisis, financial network, macro-prudential policy
Economic Position Does Not Matter: A Cost-Benefit Analysis, Keith J. Crocker and John R. Moran,
from Center for Policy Research, Maxwell School, Syracuse University
(2002)
High Frequency Traders: Angels or Devils?, Jeffrey MacIntosh,
in C.D. Howe Institute Commentary
(2013)
Keywords: Economic Growth and Innovation, Financial Services
THE BUSINESS ENVIRONMENT IN ROMANIA - CHALLENGES AND OPPORTUNITIES IN 2015, Lavinia Netoiu and Netoiu Titu,
in Annals of University of Craiova - Economic Sciences Series
(2015)
Keywords: lending, taxation, consistency, legislation
The Analysis of the Influences Coming from Different Solvency Systems on the Construction of the European Solvency System “Solvency II”, Butaci Casian,
in Ovidius University Annals, Economic Sciences Series
(2014)
Keywords: Solvency evaluation, capital requirement. solvency II
Europejska Unia Rynkow Kapitalowych a zroznicowanie systemow finansowych panstw czlonkowskich, Pawel Pisany and Wojciech Dejneka,
in Catallaxy
(2017)
Keywords: capital market; regulations; European Union
Macroeconomic Shocks and Sector Excess Returns: Evidence from the Australian Stock Market, P. Fraser and N. Groenewold,
from Tasmania - Department of Economics
(1995)
Keywords: MACROECONOMY;ECONOMIC MODELS;STOCK MARKET
The Organization of Financial Exchange Markets: Theory and Evidence, S.C. Pirrong,
from Business, Law and Economics Center, John M. Olin School of Business, Washington University
(1998)
Keywords: FINANCIAL MARKET
Analysis of Factors Affecting the Development of an Emerging Caputal Market: The Case of Gjana Stock Market, K.A. Osei,
from African Economic Research Consortium
(1998)
Keywords: FINANCIAL MARKET 62882 Nairobi, Kenya. 72p.
Strategie d'allocation sectorielle analyse descriptive et methodologie, D. Namur and N. Sassenou,
from Caisse des Depots et Consignations - Cahiers de recherche
(1996)
Keywords: MARCHE FINANCIER
Strategie d'allocation sectorielle interpretation et utilisation et utilisation du modele, D. Namur,
from Caisse des Depots et Consignations - Cahiers de recherche
(1996)
Keywords: MARCHE FINANCIER;MODELES ECONOMIQUES
Les reformes du secteur financier au Maroc: Description et evaluation, M. Zamiti,
from Ecole des Hautes Etudes Commerciales de Montreal-
(1998)
Keywords: MAROC ; MARCHE FINANCIER
Theoretical and Methodological Considerations on the Public Offers, Claudia Catalina Sava,
in Romanian Statistical Review Supplement
(2013)
Keywords: public offer, takeover bid, fair price, sqeeze out
Model de analiza SWOT a pietei de capital din Romania, Madalina Gabriela Anghel and Zoica Nicola,
in Romanian Statistical Review Supplement
(2013)
Keywords: analysis, capital market, Bucharest Stock Exchange, factors of influence
Global supervision, financial stability and risk control: a banker’s view, D. Croff,
in BNL Quarterly Review
(1999)
Keywords: Risk assessment, Economic stabilisation
Global supervision, financial stability and risk control: a banker’s view, D. Croff,
in Banca Nazionale del Lavoro Quarterly Review
(1999)
Keywords: Risk assessment, Economic stabilisation
TAX STRATEGIES FOR U.S. FARMERS: TAX REDUCTION AND AVERTING RISK, Jeff Decker and Richard Ray,
in Accounting & Taxation
(2017)
Keywords: Tax Planning, Farming, Agriculture, U.S. Tax Laws
A COMPARISON OF CREDIT RISK MANAGEMENT IN PRIVATE AND PUBLIC BANKS IN INDIA, Isaiah Oino,
in The International Journal of Business and Finance Research
(2016)
Keywords: Capital Adequacy, Non-Performing Assets, Performance, Net Interest Margin
DETERMINANTS OF THE HOME PRICE- INCOME RELATIONSHIP: 1990-2011, Adora D. Holstein, Brian O’Roark and Min Lu,
in Global Journal of Business Research
(2013)
Keywords: housing bubble, debt, macroeconomic imbalance, monetary policy, financial deregulation
Empirical Approximation of the ES-VaR: Evidence from Emerging and Frontier Stock Markets during Turmoil / Aproximación empírica del VaR y ES-VaR: evidencia de mercados emergentes y de frontera durante períodos de turbulencia, Adrián F. Rossignolo,
in Estocástica: finanzas y riesgo
(2017)
Keywords: Expected Shortfall, Value-at-Risk, Basel Capital Requirements, Extreme Value Theory / Valor en Riesgo, Valor en Riesgo condicional, pérdida esperada, requerimientos de capital, Basilea III
SUBSAHARIAN AFRICA - THE ETERNAL STONE ON THE CHESS TABLE OF WORLD GEOPOLITICS, Aristide Cociuban,
in International Conference on Economic Sciences and Business Administration
(2017)
Keywords: Sub-Saharan Africa, sub-Saharan pivotal area, globalization, silk road, Eurasia, Sub- Saharan geopolitical pivot, negricity and pan-Africanism, Sub-Saharan Islam, terrorism
GOVERNMENT SUPPORT FOR SMALL AND MEDIUM-SIZED BUSINESS AND INNOVATIVE ACTIVITIES, Polina Kolisnichenko,
in Baltic Journal of Economic Studies
(2017)
Keywords: small and medium-sized enterprises, conditions, innovative development, government support, tax incentives, direct and indirect forms of support
PROSPECTS FOR IMPLEMENTING PARTICIPATORY BUDGETING AS AN EFFECTIVE INSTRUMENT FOR IMPLEMENTING BUDGETARY POLICY AT THE LOCAL LEVEL, Natalia Sirenko, Olga Melnyk and Nataliia Shyshpanova,
in Baltic Journal of Economic Studies
(2018)
Keywords: budgetary system, budget, budget of participation, fiscal policy
РОЛЯ НА ФИСКАЛНАТА И МАКРОПРУДЕНЦИАЛНАТА ПОЛИТИКА НА ЕВРОПЕЙСКИЯ СЪЮЗ В КРИЗИСНИЯ И ПОСТКРИЗИСНИЯ ПЕРИОД, Николай Андреев,
in Scientific Research Almanac
(2017)
Keywords: глобална финансова криза, фискална политика, макро- пруденциална политика, Европейски съюз
REFLECTIONS ON UNION EUROPEAN BANKING PROJECT, Jenica Popescu and Victoria Firescu,
in Annals of University of Craiova - Economic Sciences Series
(2014)
Keywords: centralized supervision; common banking rules; banking union; resolution mechanism; banking crisis
The new fiscal framework and the impact on Italian financial markets, Enzo Mignarri,
in BANCARIA
(2011)
Keywords: tassazione, rendite finanziarie
Investor protection and the new challenges of European regulation, Vittorio Conti,
in BANCARIA
(2013)
High frequency trading. Effects and policy issues, Nadia Linciano and Isadora Tarola,
in BANCARIA
(2013)
Pakistan 2011: Policy Measures for the Economic Challenges Ahead, Shahid Amjad Chaudhry,
in Lahore Journal of Economics
(2011)
Keywords: Economic Policy, Balance of Payments, Public Finance, Pakistan.
Exchange Rate Risk Exposure Related to Public Debt Portfolio of Pakistan: Application of Value-at-Risk Approaches, Farhan Akbar and Thierry Chauveau,
in SBP Research Bulletin
(2009)
Keywords: value-at-risk, public debt management, exchange rate risk.
La pregunta de los 100 mil millones, Andrew G. Haldane,
in Revista de Economía Institucional
(2010)
Keywords: financial crisis, systemic risk
Measuring Margin, Robert L. McDonald,
from National Bureau of Economic Research, Inc
(2013)
The financial institutions incentives when they place financial assets with credit risk to retail investors, Ramiro Losada López,
from CNMV- Spanish Securities Markets Commission - Research and Statistics Department
(2010)
Keywords: conflict of interest, retail investors, regulation
Financial Deepening and Domestic Investment in Nigeria, Frances N. Obafemi, Chukwuedo S. Oburota and Chukwunonso V. Amoke,
in International Journal of Economics and Finance
(2016)
Keywords: financial deepening, domestic investment
On the role of transparency in the ABS secondary market, Ramiro Losada López,
from CNMV- Spanish Securities Markets Commission - Research and Statistics Department
(2010)
Keywords: bond markets, transparency, financial regulation
Une banque centrale nationale au sein d’un système fédéral, C. Barontini and P. Bonzom,
in Bulletin de la Banque de France
(2006)
Keywords: Eurosystème, BCE, banques centrales nationales, politique monétaire, communication, marchés financiers.
The Statutory Audit and the Economic Governance Within the European Union, Eugen Nicolaescu,
in Knowledge Horizons - Economics
(2013)
Keywords: Economic governance, corporate governance, statutory audit, institutionalization, management, communication, transparency
Emerging Economies Crises: Lessons from the 1990’, Sebastjan Strasek, Timotej Jagric and Natasa Spes,
in Managing Global Transitions
(2007)
Keywords: financial crises, emerging markets, contagion
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