Articoli di riviste sul tema "Macrofinancial risks"
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Milan, Marcelo. "Macrofinancial Risks and Liquidity Preference". International Journal of Political Economy 43, n. 1 (aprile 2014): 43–64. http://dx.doi.org/10.2753/ijp0891-1916430106.
Testo completoHacibedel, Burcu. "Assessing Macrofinancial Risks from Crypto Assets". IMF Working Papers 2023, n. 214 (settembre 2023): 1. http://dx.doi.org/10.5089/9798400255083.001.
Testo completoSprincean, Nicu. "Early warning indicators for macrofinancial activity in romania". Review of Economic and Business Studies 12, n. 1 (1 giugno 2019): 137–62. http://dx.doi.org/10.1515/rebs-2019-0087.
Testo completoYu, Chaoyi, e Zhice Wang. "A Study on How International Portfolio Investment Flows Affect Macrofinancial Risks and Control Channels". Discrete Dynamics in Nature and Society 2023 (2 marzo 2023): 1–24. http://dx.doi.org/10.1155/2023/1888284.
Testo completoFeng, Chengxiao, Zhubo Li e Zhen Peng. "The Impact of Banking Competition on Firm Credit Risk and Leverage". SAGE Open 11, n. 4 (ottobre 2021): 215824402110615. http://dx.doi.org/10.1177/21582440211061529.
Testo completoMerton, Robert C., Monica Billio, Mila Getmansky, Dale Gray, Andrew W. Lo e Loriana Pelizzon. "On a New Approach for Analyzing and Managing Macrofinancial Risks (corrected)". Financial Analysts Journal 69, n. 2 (marzo 2013): 22–33. http://dx.doi.org/10.2469/faj.v69.n2.5.
Testo completoAndres–Escayola, Erik, Juan Carlos Berganza, Rodolfo G. Campos e Luis Molina. "A BVAR toolkit to assess macrofinancial risks in Brazil and Mexico". Latin American Journal of Central Banking 4, n. 1 (marzo 2023): 100079. http://dx.doi.org/10.1016/j.latcb.2022.100079.
Testo completoDafermos, Yannis, e Maria Nikolaidi. "How can green differentiated capital requirements affect climate risks? A dynamic macrofinancial analysis". Journal of Financial Stability 54 (giugno 2021): 100871. http://dx.doi.org/10.1016/j.jfs.2021.100871.
Testo completoAdrian, Tobias, Federico Grinberg, Nellie Liang, Sheheryar Malik e Jie Yu. "The Term Structure of Growth-at-Risk". American Economic Journal: Macroeconomics 14, n. 3 (1 luglio 2022): 283–323. http://dx.doi.org/10.1257/mac.20180428.
Testo completoVučinić, Milena. "Fintech and Financial Stability Potential Influence of FinTech on Financial Stability, Risks and Benefits". Journal of Central Banking Theory and Practice 9, n. 2 (1 maggio 2020): 43–66. http://dx.doi.org/10.2478/jcbtp-2020-0013.
Testo completoBakır, Caner, e Mehmet Kerem Çoban. "How can a seemingly weak state in the financial services industry act strong? The role of organizational policy capacity in monetary and macroprudential policy". New Perspectives on Turkey 61 (31 ottobre 2019): 71–96. http://dx.doi.org/10.1017/npt.2019.16.
Testo completoDou, Winston W., Andrew W. Lo, Ameya Muley e Harald Uhlig. "Macroeconomic Models for Monetary Policy: A Critical Review from a Finance Perspective". Annual Review of Financial Economics 12, n. 1 (1 novembre 2020): 95–140. http://dx.doi.org/10.1146/annurev-financial-012820-025928.
Testo completoBURLAY, Tetiana, Andrii GRYTSENKO e Olena BORZENKO. "SOCIETAL CONSEQUENCES OF MODERN HYBRID WAR: KEY DIMENSIONS IN THE CONTEXT OF UKRAINE". Issue Vol 22, No 2 (2023), Vol 22, No 2 (2023) (1 giugno 2023): 158–83. http://dx.doi.org/10.35774/jee2023.02.158.
Testo completoOPARIN, Valerij, e Tetiana PAIENTKO. "Macrofinance as a new trend in finance research". Fìnansi Ukraïni 2023, n. 4 (4 agosto 2023): 92–104. http://dx.doi.org/10.33763/finukr2023.04.092.
Testo completoKolodiziev, Oleh M., e Volodymyr O. Berehovyi. "Financial Security of Banks under Martial Law: The Impact of Digital Instruments and Innovations". Business Inform 9, n. 560 (2024): 335–41. https://doi.org/10.32983/2222-4459-2024-9-335-341.
Testo completo"Approaches to Macrofinancial Surveillance in Article IV Reports". Policy Papers 17, n. 13 (28 marzo 2017). http://dx.doi.org/10.5089/9781498347037.007.
Testo completoBespalova, Olga, e Marina Rousset. "Macrofinancial Linkages and Growth at Risk in the Dominican Republic". IMF Working Papers 19, n. 246 (13 novembre 2019). http://dx.doi.org/10.5089/9781513519203.001.
Testo completoCampiglio, Emanuele, e Frederick van der Ploeg. "Macrofinancial Risks of the Transition to a Low-Carbon Economy". Review of Environmental Economics and Policy, 19 luglio 2022, 000. http://dx.doi.org/10.1086/721016.
Testo completo"A Macrofinancial Approach to Supervisory Standards Assessments". Policy Papers 2014, n. 68 (18 agosto 2014). http://dx.doi.org/10.5089/9781498342889.007.
Testo completo"The Bahamas". IMF Staff Country Reports 19, n. 202 (1 luglio 2019): 1. http://dx.doi.org/10.5089/9781498323307.002.
Testo completoBodie, Zvi, Dale F. F. Gray e Robert C. Merton. "A New Framework for Analyzing and Managing Macrofinancial Risks of an Economy". SSRN Electronic Journal, 2006. http://dx.doi.org/10.2139/ssrn.936661.
Testo completoIossifov, Plamen, e Tomas Dutra Schmidt. "Cyclical Patterns of Systemic Risk Metrics". IMF Working Papers 21, n. 28 (5 febbraio 2021). http://dx.doi.org/10.5089/9781513568652.001.
Testo completoMitchell, James, Aubrey Poon e Dan Zhu. "Constructing density forecasts from quantile regressions: Multimodality in macrofinancial dynamics". Journal of Applied Econometrics, 18 aprile 2024. http://dx.doi.org/10.1002/jae.3049.
Testo completoOura, Hiroko, e Liliana Schumacher. "Macrofinancial stress testing: Incorporating systemic risk perspectives into a stress testing framework". Journal of Risk Management in Financial Institutions, 1 dicembre 2013. http://dx.doi.org/10.69554/ggxv9675.
Testo completo"New Zealand". IMF Staff Country Reports 19, n. 303 (20 settembre 2019). http://dx.doi.org/10.5089/9781513514758.002.
Testo completoFeng, Alan, e Haishi Li. "We Are All in the Same Boat". IMF Working Papers 20, n. 13 (22 gennaio 2021). http://dx.doi.org/10.5089/9781513564586.001.
Testo completoVolz, Ulrich. "Climate-Proofing the Global Financial Safety Net". Journal of Globalization and Development, 15 settembre 2022. http://dx.doi.org/10.1515/jgd-2020-0085.
Testo completoBudnik, Katarzyna, Louis Boucherie e Jiří Panoš. "Measuring the macroprudential policy stance in the euro area with a semi‐structural model". Economic Notes 53, n. 3 (7 agosto 2024). http://dx.doi.org/10.1111/ecno.12244.
Testo completoConstant, Karine, Marion Davin, Gilles de Truchis e Benjamin Keddad. "The European Renewable Energy Sector in Calm and Turmoil Periods: The Key Role of Sovereign Risk". Energy Journal, 30 maggio 2024. http://dx.doi.org/10.1177/01956574241240293.
Testo completo"France". IMF Staff Country Reports 19, n. 321 (29 ottobre 2019). http://dx.doi.org/10.5089/9781513517759.002.
Testo completo"Guidance Note for Surveillance Under Article IV Consultations". Policy Papers 09 (20 marzo 2015). http://dx.doi.org/10.5089/9781498344845.007.
Testo completo"EXCHANGE MARKET PRESSURE INDEX AS A MACROECONOMIC RISK MEASURING INSTRUMENT". ECONOMY AND SOCIOLOGY 2020 NO. 1, n. 1 (15 luglio 2020): 10–20. http://dx.doi.org/10.36004/nier.es.2020.1-01.
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