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You searched for subject:(financial stability). Showing records 1 – 30 of 153 total matches.

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Universitat Pompeu Fabra

1. De Jesus, Miguel Karlo. Essays on mutual funds and their impact on financial stability.

Degree: Departament d'Economia i Empresa, 2018, Universitat Pompeu Fabra

 Esta tesis consta de dos capítulos que estudian algunos de los aspectos de estabilidad financiera que afectan a los fondos de inversión. El primer capítulo… (more)

Subjects/Keywords: Financial stability; 33

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APA (6th Edition):

De Jesus, M. K. (2018). Essays on mutual funds and their impact on financial stability. (Thesis). Universitat Pompeu Fabra. Retrieved from http://hdl.handle.net/10803/461539

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

De Jesus, Miguel Karlo. “Essays on mutual funds and their impact on financial stability.” 2018. Thesis, Universitat Pompeu Fabra. Accessed July 22, 2019. http://hdl.handle.net/10803/461539.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

De Jesus, Miguel Karlo. “Essays on mutual funds and their impact on financial stability.” 2018. Web. 22 Jul 2019.

Vancouver:

De Jesus MK. Essays on mutual funds and their impact on financial stability. [Internet] [Thesis]. Universitat Pompeu Fabra; 2018. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/10803/461539.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

De Jesus MK. Essays on mutual funds and their impact on financial stability. [Thesis]. Universitat Pompeu Fabra; 2018. Available from: http://hdl.handle.net/10803/461539

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Cornell University

2. Das, Sonali. Essays On Banking And Financial Stability .

Degree: 2012, Cornell University

Financial crises have occurred repeatedly throughout history in both high and middle-to-low income countries. This dissertation studies how the interactions of financial market participants affect… (more)

Subjects/Keywords: asset sales; banking; financial stability

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APA (6th Edition):

Das, S. (2012). Essays On Banking And Financial Stability . (Thesis). Cornell University. Retrieved from http://hdl.handle.net/1813/31161

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Das, Sonali. “Essays On Banking And Financial Stability .” 2012. Thesis, Cornell University. Accessed July 22, 2019. http://hdl.handle.net/1813/31161.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Das, Sonali. “Essays On Banking And Financial Stability .” 2012. Web. 22 Jul 2019.

Vancouver:

Das S. Essays On Banking And Financial Stability . [Internet] [Thesis]. Cornell University; 2012. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/1813/31161.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Das S. Essays On Banking And Financial Stability . [Thesis]. Cornell University; 2012. Available from: http://hdl.handle.net/1813/31161

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of the Western Cape

3. Munyengwa, Tebogo. Monetary policy transmission mechanism in Botswana: how does the Central Bank policy rate affect the economy? .

Degree: 2012, University of the Western Cape

 The transmission mechanism of monetary policy has generated a substantial amount of interest in economic research in many countries, with most studies focusing on how… (more)

Subjects/Keywords: Monetary policy; Inflation; Botswana; Financial stability

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APA (6th Edition):

Munyengwa, T. (2012). Monetary policy transmission mechanism in Botswana: how does the Central Bank policy rate affect the economy? . (Thesis). University of the Western Cape. Retrieved from http://hdl.handle.net/11394/4587

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Munyengwa, Tebogo. “Monetary policy transmission mechanism in Botswana: how does the Central Bank policy rate affect the economy? .” 2012. Thesis, University of the Western Cape. Accessed July 22, 2019. http://hdl.handle.net/11394/4587.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Munyengwa, Tebogo. “Monetary policy transmission mechanism in Botswana: how does the Central Bank policy rate affect the economy? .” 2012. Web. 22 Jul 2019.

Vancouver:

Munyengwa T. Monetary policy transmission mechanism in Botswana: how does the Central Bank policy rate affect the economy? . [Internet] [Thesis]. University of the Western Cape; 2012. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/11394/4587.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Munyengwa T. Monetary policy transmission mechanism in Botswana: how does the Central Bank policy rate affect the economy? . [Thesis]. University of the Western Cape; 2012. Available from: http://hdl.handle.net/11394/4587

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Uppsala University

4. Hamstra, Roy. Does Competition in Banking explains Systemic Banking Crises?.

Degree: Business Studies, 2016, Uppsala University

  This paper examines the relation between competition in the banking sector and the financial stability on country level. Compared to previous research, it takes… (more)

Subjects/Keywords: financial stability; bank competition; systemic banking crisis

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APA (6th Edition):

Hamstra, R. (2016). Does Competition in Banking explains Systemic Banking Crises?. (Thesis). Uppsala University. Retrieved from http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-277249

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Hamstra, Roy. “Does Competition in Banking explains Systemic Banking Crises?.” 2016. Thesis, Uppsala University. Accessed July 22, 2019. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-277249.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Hamstra, Roy. “Does Competition in Banking explains Systemic Banking Crises?.” 2016. Web. 22 Jul 2019.

Vancouver:

Hamstra R. Does Competition in Banking explains Systemic Banking Crises?. [Internet] [Thesis]. Uppsala University; 2016. [cited 2019 Jul 22]. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-277249.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Hamstra R. Does Competition in Banking explains Systemic Banking Crises?. [Thesis]. Uppsala University; 2016. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-277249

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of California – Santa Cruz

5. Fischer, Eric. Essays on Monetary Policy, Global Financial Flows and Financial Stability.

Degree: Economics, 2016, University of California – Santa Cruz

 This dissertation analyzes issues in monetary policy, global financial flows and financial stability. Chapters 2 and 3 are empirical and explore the effects of monetary… (more)

Subjects/Keywords: Economics; Financial Stability; Global Financial Flows; International Finance; Monetary Policy

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APA (6th Edition):

Fischer, E. (2016). Essays on Monetary Policy, Global Financial Flows and Financial Stability. (Thesis). University of California – Santa Cruz. Retrieved from http://www.escholarship.org/uc/item/5jx1t94j

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Fischer, Eric. “Essays on Monetary Policy, Global Financial Flows and Financial Stability.” 2016. Thesis, University of California – Santa Cruz. Accessed July 22, 2019. http://www.escholarship.org/uc/item/5jx1t94j.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Fischer, Eric. “Essays on Monetary Policy, Global Financial Flows and Financial Stability.” 2016. Web. 22 Jul 2019.

Vancouver:

Fischer E. Essays on Monetary Policy, Global Financial Flows and Financial Stability. [Internet] [Thesis]. University of California – Santa Cruz; 2016. [cited 2019 Jul 22]. Available from: http://www.escholarship.org/uc/item/5jx1t94j.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Fischer E. Essays on Monetary Policy, Global Financial Flows and Financial Stability. [Thesis]. University of California – Santa Cruz; 2016. Available from: http://www.escholarship.org/uc/item/5jx1t94j

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Oxford

6. Martínez Sepulveda, Juan Francisco. Essays in financial stability under financial frictions.

Degree: PhD, 2012, University of Oxford

 This thesis is a collection of essays where I explore and extend the study of the role of financial frictions for the determination of asset… (more)

Subjects/Keywords: 332; Financial economics; financial stability; general equilibrium; liquidity; emerging markets

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APA (6th Edition):

Martínez Sepulveda, J. F. (2012). Essays in financial stability under financial frictions. (Doctoral Dissertation). University of Oxford. Retrieved from http://ora.ox.ac.uk/objects/uuid:4e2a5663-c0a5-43dc-8fe7-f6fa05048e76 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.580929

Chicago Manual of Style (16th Edition):

Martínez Sepulveda, Juan Francisco. “Essays in financial stability under financial frictions.” 2012. Doctoral Dissertation, University of Oxford. Accessed July 22, 2019. http://ora.ox.ac.uk/objects/uuid:4e2a5663-c0a5-43dc-8fe7-f6fa05048e76 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.580929.

MLA Handbook (7th Edition):

Martínez Sepulveda, Juan Francisco. “Essays in financial stability under financial frictions.” 2012. Web. 22 Jul 2019.

Vancouver:

Martínez Sepulveda JF. Essays in financial stability under financial frictions. [Internet] [Doctoral dissertation]. University of Oxford; 2012. [cited 2019 Jul 22]. Available from: http://ora.ox.ac.uk/objects/uuid:4e2a5663-c0a5-43dc-8fe7-f6fa05048e76 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.580929.

Council of Science Editors:

Martínez Sepulveda JF. Essays in financial stability under financial frictions. [Doctoral Dissertation]. University of Oxford; 2012. Available from: http://ora.ox.ac.uk/objects/uuid:4e2a5663-c0a5-43dc-8fe7-f6fa05048e76 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.580929


University of Toronto

7. Baker, Cassandra. An Evaluation of the Role of the WTO in Promoting Global Financial Stability.

Degree: 2014, University of Toronto

Global financial stability is arguably the most important goal in the regulation of international finance. The fulfillment of that goal pushes domestic regulators in two… (more)

Subjects/Keywords: Financial Regulation; GATS; Global Financial Stability; Systemic Risk; WTO; 0398

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APA (6th Edition):

Baker, C. (2014). An Evaluation of the Role of the WTO in Promoting Global Financial Stability. (Masters Thesis). University of Toronto. Retrieved from http://hdl.handle.net/1807/67941

Chicago Manual of Style (16th Edition):

Baker, Cassandra. “An Evaluation of the Role of the WTO in Promoting Global Financial Stability.” 2014. Masters Thesis, University of Toronto. Accessed July 22, 2019. http://hdl.handle.net/1807/67941.

MLA Handbook (7th Edition):

Baker, Cassandra. “An Evaluation of the Role of the WTO in Promoting Global Financial Stability.” 2014. Web. 22 Jul 2019.

Vancouver:

Baker C. An Evaluation of the Role of the WTO in Promoting Global Financial Stability. [Internet] [Masters thesis]. University of Toronto; 2014. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/1807/67941.

Council of Science Editors:

Baker C. An Evaluation of the Role of the WTO in Promoting Global Financial Stability. [Masters Thesis]. University of Toronto; 2014. Available from: http://hdl.handle.net/1807/67941


UCLA

8. Hu, Kun. Banking, Financial Markets and the Implications of Financial Frictions on Firm Innovation and Growth.

Degree: Economics, 2019, UCLA

 My thesis consists of three chapters on banking, financial markets, financial frictions and their implications on firm innovation and growth. Chapter 1: Much of the… (more)

Subjects/Keywords: Economics; Finance; Banking; Financial Frictions; Financial Stability; Firm Dynamics; Growth; Innovation

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APA (6th Edition):

Hu, K. (2019). Banking, Financial Markets and the Implications of Financial Frictions on Firm Innovation and Growth. (Thesis). UCLA. Retrieved from http://www.escholarship.org/uc/item/6jj0z1dc

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Hu, Kun. “Banking, Financial Markets and the Implications of Financial Frictions on Firm Innovation and Growth.” 2019. Thesis, UCLA. Accessed July 22, 2019. http://www.escholarship.org/uc/item/6jj0z1dc.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Hu, Kun. “Banking, Financial Markets and the Implications of Financial Frictions on Firm Innovation and Growth.” 2019. Web. 22 Jul 2019.

Vancouver:

Hu K. Banking, Financial Markets and the Implications of Financial Frictions on Firm Innovation and Growth. [Internet] [Thesis]. UCLA; 2019. [cited 2019 Jul 22]. Available from: http://www.escholarship.org/uc/item/6jj0z1dc.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Hu K. Banking, Financial Markets and the Implications of Financial Frictions on Firm Innovation and Growth. [Thesis]. UCLA; 2019. Available from: http://www.escholarship.org/uc/item/6jj0z1dc

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

9. Koffi, Navoki Romain. Essor des banques étrangères dans les pays émergents : implications en matière de développement et de stabilité du systeme financier : Foreign banks expansion in emerging countries : implications for financial development and financial stability.

Degree: Docteur es, Sciences économiques, 2014, Nice

La libéralisation financière a été marquée dans de nombreux pays émergents par l’implantation massive de banques étrangères. A ce jour, les banques étrangères occupent une… (more)

Subjects/Keywords: Libéralisation financière; Banques étrangères; Développement financier; Financial liberalization; Financial development,; Financial stability

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APA (6th Edition):

Koffi, N. R. (2014). Essor des banques étrangères dans les pays émergents : implications en matière de développement et de stabilité du systeme financier : Foreign banks expansion in emerging countries : implications for financial development and financial stability. (Doctoral Dissertation). Nice. Retrieved from http://www.theses.fr/2014NICE0038

Chicago Manual of Style (16th Edition):

Koffi, Navoki Romain. “Essor des banques étrangères dans les pays émergents : implications en matière de développement et de stabilité du systeme financier : Foreign banks expansion in emerging countries : implications for financial development and financial stability.” 2014. Doctoral Dissertation, Nice. Accessed July 22, 2019. http://www.theses.fr/2014NICE0038.

MLA Handbook (7th Edition):

Koffi, Navoki Romain. “Essor des banques étrangères dans les pays émergents : implications en matière de développement et de stabilité du systeme financier : Foreign banks expansion in emerging countries : implications for financial development and financial stability.” 2014. Web. 22 Jul 2019.

Vancouver:

Koffi NR. Essor des banques étrangères dans les pays émergents : implications en matière de développement et de stabilité du systeme financier : Foreign banks expansion in emerging countries : implications for financial development and financial stability. [Internet] [Doctoral dissertation]. Nice; 2014. [cited 2019 Jul 22]. Available from: http://www.theses.fr/2014NICE0038.

Council of Science Editors:

Koffi NR. Essor des banques étrangères dans les pays émergents : implications en matière de développement et de stabilité du systeme financier : Foreign banks expansion in emerging countries : implications for financial development and financial stability. [Doctoral Dissertation]. Nice; 2014. Available from: http://www.theses.fr/2014NICE0038


University of Helsinki

10. Eerola, Kari. Hedge funds’ risks and implications to financialstability.

Degree: Department of Political Science; Helsingfors universitet, Allmän statslära, Institutionen för, 2008, University of Helsinki

The current financial crisis has raised considerable debate about the risk management practices of banks and other financial institutions. In particular, there have been concerns… (more)

Subjects/Keywords: hedge fund; risk management; financial stability; value-at-risk; hedge fund; risk management; financial stability; value-at-risk

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APA (6th Edition):

Eerola, K. (2008). Hedge funds’ risks and implications to financialstability. (Masters Thesis). University of Helsinki. Retrieved from http://hdl.handle.net/10138/11155

Chicago Manual of Style (16th Edition):

Eerola, Kari. “Hedge funds’ risks and implications to financialstability.” 2008. Masters Thesis, University of Helsinki. Accessed July 22, 2019. http://hdl.handle.net/10138/11155.

MLA Handbook (7th Edition):

Eerola, Kari. “Hedge funds’ risks and implications to financialstability.” 2008. Web. 22 Jul 2019.

Vancouver:

Eerola K. Hedge funds’ risks and implications to financialstability. [Internet] [Masters thesis]. University of Helsinki; 2008. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/10138/11155.

Council of Science Editors:

Eerola K. Hedge funds’ risks and implications to financialstability. [Masters Thesis]. University of Helsinki; 2008. Available from: http://hdl.handle.net/10138/11155


University of Leicester

11. Sedghi Khorasgani, Hossein. Essays on financial stability in EMEAP countries.

Degree: PhD, 2011, University of Leicester

 This thesis analyses financial stability in eight members of the Executives’ Meeting of East Asia-Pacific Central Banks (EMEAP) economies. One of the factors that may… (more)

Subjects/Keywords: 332.1; DSGE model exchange rate debt financial stability financial system structure stress-test

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APA (6th Edition):

Sedghi Khorasgani, H. (2011). Essays on financial stability in EMEAP countries. (Doctoral Dissertation). University of Leicester. Retrieved from http://hdl.handle.net/2381/10069

Chicago Manual of Style (16th Edition):

Sedghi Khorasgani, Hossein. “Essays on financial stability in EMEAP countries.” 2011. Doctoral Dissertation, University of Leicester. Accessed July 22, 2019. http://hdl.handle.net/2381/10069.

MLA Handbook (7th Edition):

Sedghi Khorasgani, Hossein. “Essays on financial stability in EMEAP countries.” 2011. Web. 22 Jul 2019.

Vancouver:

Sedghi Khorasgani H. Essays on financial stability in EMEAP countries. [Internet] [Doctoral dissertation]. University of Leicester; 2011. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/2381/10069.

Council of Science Editors:

Sedghi Khorasgani H. Essays on financial stability in EMEAP countries. [Doctoral Dissertation]. University of Leicester; 2011. Available from: http://hdl.handle.net/2381/10069

12. Santos, Toni Ricardo Eugenio dos. Testes de estresse em sistemas financeiros: uma aplicação ao Brasil.

Degree: Mestrado, Teoria Econômica, 2008, University of São Paulo

Esta dissertação revê as metodologias de teste de estresse em sistemas financeiros e descreve uma análise de cenário e um teste de estresse aplicado ao… (more)

Subjects/Keywords: Banco Central; Banking; Credit risk; Econometria; Finanças; Financial stability; Financial system; Offsite supervision; Stress tests

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APA (6th Edition):

Santos, T. R. E. d. (2008). Testes de estresse em sistemas financeiros: uma aplicação ao Brasil. (Masters Thesis). University of São Paulo. Retrieved from http://www.teses.usp.br/teses/disponiveis/12/12138/tde-30062008-144144/ ;

Chicago Manual of Style (16th Edition):

Santos, Toni Ricardo Eugenio dos. “Testes de estresse em sistemas financeiros: uma aplicação ao Brasil.” 2008. Masters Thesis, University of São Paulo. Accessed July 22, 2019. http://www.teses.usp.br/teses/disponiveis/12/12138/tde-30062008-144144/ ;.

MLA Handbook (7th Edition):

Santos, Toni Ricardo Eugenio dos. “Testes de estresse em sistemas financeiros: uma aplicação ao Brasil.” 2008. Web. 22 Jul 2019.

Vancouver:

Santos TREd. Testes de estresse em sistemas financeiros: uma aplicação ao Brasil. [Internet] [Masters thesis]. University of São Paulo; 2008. [cited 2019 Jul 22]. Available from: http://www.teses.usp.br/teses/disponiveis/12/12138/tde-30062008-144144/ ;.

Council of Science Editors:

Santos TREd. Testes de estresse em sistemas financeiros: uma aplicação ao Brasil. [Masters Thesis]. University of São Paulo; 2008. Available from: http://www.teses.usp.br/teses/disponiveis/12/12138/tde-30062008-144144/ ;


NSYSU

13. Tseng, He-Ming. On the Study for Taiwan's Financial Composite Indicators and Counter- Cyclical Capital Buffer.

Degree: Master, Finance, 2013, NSYSU

 Since the Asian financial crisis, Taiwan have gone through several major financial crisis, the loss suffered by the crisis and social costs are enormous, so… (more)

Subjects/Keywords: Financial Stress Index; Noise-to-Signal ratio; Countercyclical Capital Buffer; Financial Stability; Macroprudential

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APA (6th Edition):

Tseng, H. (2013). On the Study for Taiwan's Financial Composite Indicators and Counter- Cyclical Capital Buffer. (Thesis). NSYSU. Retrieved from http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0527113-120801

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Tseng, He-Ming. “On the Study for Taiwan's Financial Composite Indicators and Counter- Cyclical Capital Buffer.” 2013. Thesis, NSYSU. Accessed July 22, 2019. http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0527113-120801.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Tseng, He-Ming. “On the Study for Taiwan's Financial Composite Indicators and Counter- Cyclical Capital Buffer.” 2013. Web. 22 Jul 2019.

Vancouver:

Tseng H. On the Study for Taiwan's Financial Composite Indicators and Counter- Cyclical Capital Buffer. [Internet] [Thesis]. NSYSU; 2013. [cited 2019 Jul 22]. Available from: http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0527113-120801.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Tseng H. On the Study for Taiwan's Financial Composite Indicators and Counter- Cyclical Capital Buffer. [Thesis]. NSYSU; 2013. Available from: http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0527113-120801

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Johannes Gutenberg Universität Mainz

14. Abbassi, Puriya. The interrelationship between monetary policy and the interbank money market during the financial crisis.

Degree: 2011, Johannes Gutenberg Universität Mainz

Die vorliegende Dissertation besteht aus sechs Kapiteln und trägt zur Forschung in den Bereichen der Finanzmarktpolitik und der Geldpolitik bei. Das zweite Kapitel zeigt die… (more)

Subjects/Keywords: Finanzkrise, Geldpolitik, Finanzstabilität, Liquidität; Financial Crisis, Monetary Policy, Financial Stability, Liquidity; Social sciences

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APA (6th Edition):

Abbassi, P. (2011). The interrelationship between monetary policy and the interbank money market during the financial crisis. (Doctoral Dissertation). Johannes Gutenberg Universität Mainz. Retrieved from http://ubm.opus.hbz-nrw.de/volltexte/2011/2901/

Chicago Manual of Style (16th Edition):

Abbassi, Puriya. “The interrelationship between monetary policy and the interbank money market during the financial crisis.” 2011. Doctoral Dissertation, Johannes Gutenberg Universität Mainz. Accessed July 22, 2019. http://ubm.opus.hbz-nrw.de/volltexte/2011/2901/.

MLA Handbook (7th Edition):

Abbassi, Puriya. “The interrelationship between monetary policy and the interbank money market during the financial crisis.” 2011. Web. 22 Jul 2019.

Vancouver:

Abbassi P. The interrelationship between monetary policy and the interbank money market during the financial crisis. [Internet] [Doctoral dissertation]. Johannes Gutenberg Universität Mainz; 2011. [cited 2019 Jul 22]. Available from: http://ubm.opus.hbz-nrw.de/volltexte/2011/2901/.

Council of Science Editors:

Abbassi P. The interrelationship between monetary policy and the interbank money market during the financial crisis. [Doctoral Dissertation]. Johannes Gutenberg Universität Mainz; 2011. Available from: http://ubm.opus.hbz-nrw.de/volltexte/2011/2901/


University of California – Riverside

15. Browning, Julianna. Accounting for the Relationship of the Financial Position of Private, Baccalaureate-level and Above Institutions to Tuition Discount Rates.

Degree: Education, 2011, University of California – Riverside

 Institutions have increased the practice of tuition discounting; that is, the strategic use of price discrimination. During the past 30 years, both the average percent… (more)

Subjects/Keywords: Higher Education Administration; Higher Education; financial position; financial stability; higher education finance; regression; tuition discounting

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Browning, J. (2011). Accounting for the Relationship of the Financial Position of Private, Baccalaureate-level and Above Institutions to Tuition Discount Rates. (Thesis). University of California – Riverside. Retrieved from http://www.escholarship.org/uc/item/4q90988v

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Browning, Julianna. “Accounting for the Relationship of the Financial Position of Private, Baccalaureate-level and Above Institutions to Tuition Discount Rates.” 2011. Thesis, University of California – Riverside. Accessed July 22, 2019. http://www.escholarship.org/uc/item/4q90988v.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Browning, Julianna. “Accounting for the Relationship of the Financial Position of Private, Baccalaureate-level and Above Institutions to Tuition Discount Rates.” 2011. Web. 22 Jul 2019.

Vancouver:

Browning J. Accounting for the Relationship of the Financial Position of Private, Baccalaureate-level and Above Institutions to Tuition Discount Rates. [Internet] [Thesis]. University of California – Riverside; 2011. [cited 2019 Jul 22]. Available from: http://www.escholarship.org/uc/item/4q90988v.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Browning J. Accounting for the Relationship of the Financial Position of Private, Baccalaureate-level and Above Institutions to Tuition Discount Rates. [Thesis]. University of California – Riverside; 2011. Available from: http://www.escholarship.org/uc/item/4q90988v

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Vytautas Magnus University

16. Krėpšta, Simonas. ES nacionalinių centrinių bankų vaidmuo, užtikrinant šalių finansų sistemų stabilumą. Galimybės ir sprendimai.

Degree: Master, Economics, 2008, Vytautas Magnus University

Šiame rašto darbe analizuojami Europos Sąjungos šalių narių nacionaliniai centriniai bankai ir jų vaidmuo vykdant finansinio stabilumo užtikrinimo funkciją. Šios, vienos iš pagrindinių funkcijų vykdymas,… (more)

Subjects/Keywords: Finansų sistemų stabilumas; Finansinis stabilumas; Centriniai bankai; Financial systems; Financial stability; Central banks

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APA (6th Edition):

Krėpšta, Simonas. (2008). ES nacionalinių centrinių bankų vaidmuo, užtikrinant šalių finansų sistemų stabilumą. Galimybės ir sprendimai. (Masters Thesis). Vytautas Magnus University. Retrieved from http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2008~D_20080818_144816-36525 ;

Note: this citation may be lacking information needed for this citation format:
Author name may be incomplete

Chicago Manual of Style (16th Edition):

Krėpšta, Simonas. “ES nacionalinių centrinių bankų vaidmuo, užtikrinant šalių finansų sistemų stabilumą. Galimybės ir sprendimai.” 2008. Masters Thesis, Vytautas Magnus University. Accessed July 22, 2019. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2008~D_20080818_144816-36525 ;.

Note: this citation may be lacking information needed for this citation format:
Author name may be incomplete

MLA Handbook (7th Edition):

Krėpšta, Simonas. “ES nacionalinių centrinių bankų vaidmuo, užtikrinant šalių finansų sistemų stabilumą. Galimybės ir sprendimai.” 2008. Web. 22 Jul 2019.

Note: this citation may be lacking information needed for this citation format:
Author name may be incomplete

Vancouver:

Krėpšta, Simonas. ES nacionalinių centrinių bankų vaidmuo, užtikrinant šalių finansų sistemų stabilumą. Galimybės ir sprendimai. [Internet] [Masters thesis]. Vytautas Magnus University; 2008. [cited 2019 Jul 22]. Available from: http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2008~D_20080818_144816-36525 ;.

Note: this citation may be lacking information needed for this citation format:
Author name may be incomplete

Council of Science Editors:

Krėpšta, Simonas. ES nacionalinių centrinių bankų vaidmuo, užtikrinant šalių finansų sistemų stabilumą. Galimybės ir sprendimai. [Masters Thesis]. Vytautas Magnus University; 2008. Available from: http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2008~D_20080818_144816-36525 ;

Note: this citation may be lacking information needed for this citation format:
Author name may be incomplete

17. Mazur, Laurel Celastine. The Evolution of the Federal Reserve's Mandate in Response to the Global Financial Crisis: The Case for Financial Stability.

Degree: MA, Economics, 2015, U of Denver

  This thesis looks at the evolution of the Federal Reserve’s mandate and regulatory responsibilities as a result of the Global Financial Crisis. The onset… (more)

Subjects/Keywords: Central bank independence; Central banking; Financial crisis; Financial stability; Macroprudential regulation; Economic Policy; Economics; Finance

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Mazur, L. C. (2015). The Evolution of the Federal Reserve's Mandate in Response to the Global Financial Crisis: The Case for Financial Stability. (Thesis). U of Denver. Retrieved from https://digitalcommons.du.edu/etd/413

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Mazur, Laurel Celastine. “The Evolution of the Federal Reserve's Mandate in Response to the Global Financial Crisis: The Case for Financial Stability.” 2015. Thesis, U of Denver. Accessed July 22, 2019. https://digitalcommons.du.edu/etd/413.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Mazur, Laurel Celastine. “The Evolution of the Federal Reserve's Mandate in Response to the Global Financial Crisis: The Case for Financial Stability.” 2015. Web. 22 Jul 2019.

Vancouver:

Mazur LC. The Evolution of the Federal Reserve's Mandate in Response to the Global Financial Crisis: The Case for Financial Stability. [Internet] [Thesis]. U of Denver; 2015. [cited 2019 Jul 22]. Available from: https://digitalcommons.du.edu/etd/413.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Mazur LC. The Evolution of the Federal Reserve's Mandate in Response to the Global Financial Crisis: The Case for Financial Stability. [Thesis]. U of Denver; 2015. Available from: https://digitalcommons.du.edu/etd/413

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Kansas

18. Manna, Indrani. Essays in Monetary and Macroprudential Policies.

Degree: PhD, Economics, 2017, University of Kansas

 This dissertation consists of three chapters. The first chapter - ``Modelling Weights and Dependence Parameters in Mixed Copulas using Penalized Likelihood - Various Applications'', relates… (more)

Subjects/Keywords: Economics; Copula; DSGE Models; Financial Inclusion; Financial Stability; Macroprudential Policy; Monetary Policy

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Manna, I. (2017). Essays in Monetary and Macroprudential Policies. (Doctoral Dissertation). University of Kansas. Retrieved from http://hdl.handle.net/1808/27784

Chicago Manual of Style (16th Edition):

Manna, Indrani. “Essays in Monetary and Macroprudential Policies.” 2017. Doctoral Dissertation, University of Kansas. Accessed July 22, 2019. http://hdl.handle.net/1808/27784.

MLA Handbook (7th Edition):

Manna, Indrani. “Essays in Monetary and Macroprudential Policies.” 2017. Web. 22 Jul 2019.

Vancouver:

Manna I. Essays in Monetary and Macroprudential Policies. [Internet] [Doctoral dissertation]. University of Kansas; 2017. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/1808/27784.

Council of Science Editors:

Manna I. Essays in Monetary and Macroprudential Policies. [Doctoral Dissertation]. University of Kansas; 2017. Available from: http://hdl.handle.net/1808/27784


Brunel University

19. Mirzaei, Ali. An international study of bank performance : from the perspective of sustainability and externality.

Degree: PhD, 2012, Brunel University

 The thesis assesses bank performance from two aspects: growth sustainability and the externality impact on the growth of non-financial industries. With regard to sustainability, the… (more)

Subjects/Keywords: 332.1; Bank competition; Bank profitability; Industry growth; Financial stability

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Mirzaei, A. (2012). An international study of bank performance : from the perspective of sustainability and externality. (Doctoral Dissertation). Brunel University. Retrieved from http://bura.brunel.ac.uk/handle/2438/12737 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.687631

Chicago Manual of Style (16th Edition):

Mirzaei, Ali. “An international study of bank performance : from the perspective of sustainability and externality.” 2012. Doctoral Dissertation, Brunel University. Accessed July 22, 2019. http://bura.brunel.ac.uk/handle/2438/12737 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.687631.

MLA Handbook (7th Edition):

Mirzaei, Ali. “An international study of bank performance : from the perspective of sustainability and externality.” 2012. Web. 22 Jul 2019.

Vancouver:

Mirzaei A. An international study of bank performance : from the perspective of sustainability and externality. [Internet] [Doctoral dissertation]. Brunel University; 2012. [cited 2019 Jul 22]. Available from: http://bura.brunel.ac.uk/handle/2438/12737 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.687631.

Council of Science Editors:

Mirzaei A. An international study of bank performance : from the perspective of sustainability and externality. [Doctoral Dissertation]. Brunel University; 2012. Available from: http://bura.brunel.ac.uk/handle/2438/12737 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.687631


NSYSU

20. Lin, Shin-lun. The Study of China's Monetary Policy Influence on the Financial Market.

Degree: Master, Mainland China Studies, 2008, NSYSU

 This text will discuss the financial reform and the monetary policy in China opens progress since 1979, from it understanding the China government has already… (more)

Subjects/Keywords: Price stability; The financial market; economic growth; Monetary Policy

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Lin, S. (2008). The Study of China's Monetary Policy Influence on the Financial Market. (Thesis). NSYSU. Retrieved from http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0126108-110805

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Lin, Shin-lun. “The Study of China's Monetary Policy Influence on the Financial Market.” 2008. Thesis, NSYSU. Accessed July 22, 2019. http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0126108-110805.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Lin, Shin-lun. “The Study of China's Monetary Policy Influence on the Financial Market.” 2008. Web. 22 Jul 2019.

Vancouver:

Lin S. The Study of China's Monetary Policy Influence on the Financial Market. [Internet] [Thesis]. NSYSU; 2008. [cited 2019 Jul 22]. Available from: http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0126108-110805.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Lin S. The Study of China's Monetary Policy Influence on the Financial Market. [Thesis]. NSYSU; 2008. Available from: http://etd.lib.nsysu.edu.tw/ETD-db/ETD-search/view_etd?URN=etd-0126108-110805

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Hong Kong University of Science and Technology

21. Liao, Bojing. Political and financial risks and their mitigation measures in public private partnerships.

Degree: 2012, Hong Kong University of Science and Technology

 Public Private Partnerships (PPPs) are a popular alternative for public infrastructuredelivery in many countries. Despite of many proven successes, there are a number of failure… (more)

Subjects/Keywords: Public-private sector cooperation; Financial risk management; Risk management; Political stability

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Liao, B. (2012). Political and financial risks and their mitigation measures in public private partnerships. (Thesis). Hong Kong University of Science and Technology. Retrieved from https://doi.org/10.14711/thesis-b1165739 ; http://repository.ust.hk/ir/bitstream/1783.1-8133/1/th_redirect.html

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Liao, Bojing. “Political and financial risks and their mitigation measures in public private partnerships.” 2012. Thesis, Hong Kong University of Science and Technology. Accessed July 22, 2019. https://doi.org/10.14711/thesis-b1165739 ; http://repository.ust.hk/ir/bitstream/1783.1-8133/1/th_redirect.html.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Liao, Bojing. “Political and financial risks and their mitigation measures in public private partnerships.” 2012. Web. 22 Jul 2019.

Vancouver:

Liao B. Political and financial risks and their mitigation measures in public private partnerships. [Internet] [Thesis]. Hong Kong University of Science and Technology; 2012. [cited 2019 Jul 22]. Available from: https://doi.org/10.14711/thesis-b1165739 ; http://repository.ust.hk/ir/bitstream/1783.1-8133/1/th_redirect.html.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Liao B. Political and financial risks and their mitigation measures in public private partnerships. [Thesis]. Hong Kong University of Science and Technology; 2012. Available from: https://doi.org/10.14711/thesis-b1165739 ; http://repository.ust.hk/ir/bitstream/1783.1-8133/1/th_redirect.html

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of California – Santa Cruz

22. Lee, Jongchan. Essays on Empirical Analysis of Capital Controls.

Degree: Economics, 2016, University of California – Santa Cruz

 The Global Financial Crisis (GFC) of 2008-09 focused attention on the possibility that pre-crisis capital controls had beneficial effects on post-crisis GDP performance. The GFC… (more)

Subjects/Keywords: Economics; Capital controls; Crisis severity; Economic stability; Global financial crisis

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APA (6th Edition):

Lee, J. (2016). Essays on Empirical Analysis of Capital Controls. (Thesis). University of California – Santa Cruz. Retrieved from http://www.escholarship.org/uc/item/44q945xg

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Lee, Jongchan. “Essays on Empirical Analysis of Capital Controls.” 2016. Thesis, University of California – Santa Cruz. Accessed July 22, 2019. http://www.escholarship.org/uc/item/44q945xg.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Lee, Jongchan. “Essays on Empirical Analysis of Capital Controls.” 2016. Web. 22 Jul 2019.

Vancouver:

Lee J. Essays on Empirical Analysis of Capital Controls. [Internet] [Thesis]. University of California – Santa Cruz; 2016. [cited 2019 Jul 22]. Available from: http://www.escholarship.org/uc/item/44q945xg.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Lee J. Essays on Empirical Analysis of Capital Controls. [Thesis]. University of California – Santa Cruz; 2016. Available from: http://www.escholarship.org/uc/item/44q945xg

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of California – Riverside

23. Kakar, Venoo. Essays on Monetary Policy and Inflation in the United States.

Degree: Economics, 2013, University of California – Riverside

 This dissertation contributes to two areas of Macroeconomics: (1) welfare effects of inflation and (2) monetary policy and asset prices. The first chapter focuses on… (more)

Subjects/Keywords: Economics; Economic theory; Bayesian; Counterfactuals; Financial Stability; Inflation; Monetary Policy; Redistribution

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APA (6th Edition):

Kakar, V. (2013). Essays on Monetary Policy and Inflation in the United States. (Thesis). University of California – Riverside. Retrieved from http://www.escholarship.org/uc/item/9dn3q0vs

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Kakar, Venoo. “Essays on Monetary Policy and Inflation in the United States.” 2013. Thesis, University of California – Riverside. Accessed July 22, 2019. http://www.escholarship.org/uc/item/9dn3q0vs.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Kakar, Venoo. “Essays on Monetary Policy and Inflation in the United States.” 2013. Web. 22 Jul 2019.

Vancouver:

Kakar V. Essays on Monetary Policy and Inflation in the United States. [Internet] [Thesis]. University of California – Riverside; 2013. [cited 2019 Jul 22]. Available from: http://www.escholarship.org/uc/item/9dn3q0vs.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Kakar V. Essays on Monetary Policy and Inflation in the United States. [Thesis]. University of California – Riverside; 2013. Available from: http://www.escholarship.org/uc/item/9dn3q0vs

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


KTH

24. Sebhatu, Josef. Optimal Macroprudential-Fiscal Policy and Financial Stability : The Effects on Private Debt Deleveraging in Advanced and Emerging Economies.

Degree: Industrial Economics and Management (Dept.), 2018, KTH

  What is the optimal interaction between macroprudential and fiscal policy to foster financial stability? This thesis evaluates whether policy interaction can impact private debt… (more)

Subjects/Keywords: Macroprudential Policy; Fiscal Policy; Financial Stability; Private Debt.; Mechanical Engineering; Maskinteknik

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APA (6th Edition):

Sebhatu, J. (2018). Optimal Macroprudential-Fiscal Policy and Financial Stability : The Effects on Private Debt Deleveraging in Advanced and Emerging Economies. (Thesis). KTH. Retrieved from http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-226166

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Sebhatu, Josef. “Optimal Macroprudential-Fiscal Policy and Financial Stability : The Effects on Private Debt Deleveraging in Advanced and Emerging Economies.” 2018. Thesis, KTH. Accessed July 22, 2019. http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-226166.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Sebhatu, Josef. “Optimal Macroprudential-Fiscal Policy and Financial Stability : The Effects on Private Debt Deleveraging in Advanced and Emerging Economies.” 2018. Web. 22 Jul 2019.

Vancouver:

Sebhatu J. Optimal Macroprudential-Fiscal Policy and Financial Stability : The Effects on Private Debt Deleveraging in Advanced and Emerging Economies. [Internet] [Thesis]. KTH; 2018. [cited 2019 Jul 22]. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-226166.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Sebhatu J. Optimal Macroprudential-Fiscal Policy and Financial Stability : The Effects on Private Debt Deleveraging in Advanced and Emerging Economies. [Thesis]. KTH; 2018. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-226166

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

25. Woods, Maria. Financial Stability Models of the Irish Banking Sector: Deposit Flows and Property Price Dynamics.

Degree: 2016, RIAN

 Since the global financial crisis, there has been renewed focus on the analysis of sys- temic risk. Systemic risk refers to possibility that vulnerabilities across… (more)

Subjects/Keywords: Financial Stability Models; Irish Banking Sector; Deposit Flows; Property Price Dynamics

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Woods, M. (2016). Financial Stability Models of the Irish Banking Sector: Deposit Flows and Property Price Dynamics. (Thesis). RIAN. Retrieved from http://eprints.maynoothuniversity.ie/7124/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Woods, Maria. “Financial Stability Models of the Irish Banking Sector: Deposit Flows and Property Price Dynamics.” 2016. Thesis, RIAN. Accessed July 22, 2019. http://eprints.maynoothuniversity.ie/7124/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Woods, Maria. “Financial Stability Models of the Irish Banking Sector: Deposit Flows and Property Price Dynamics.” 2016. Web. 22 Jul 2019.

Vancouver:

Woods M. Financial Stability Models of the Irish Banking Sector: Deposit Flows and Property Price Dynamics. [Internet] [Thesis]. RIAN; 2016. [cited 2019 Jul 22]. Available from: http://eprints.maynoothuniversity.ie/7124/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Woods M. Financial Stability Models of the Irish Banking Sector: Deposit Flows and Property Price Dynamics. [Thesis]. RIAN; 2016. Available from: http://eprints.maynoothuniversity.ie/7124/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Newcastle

26. Shafik, Salwa. Financial stability and liquidity: evidence from conventional and Islamic banks in the GCC region.

Degree: 2014, University of Newcastle

Professional Doctorate - Doctor of Business Adminstration (DBA)

This thesis examines the determinants of banks’ financial stability in countries of the Gulf Cooperation Council (GCC).… (more)

Subjects/Keywords: Gulf Cooperation Council (GCC); financial stability; conventional banking; Islamic banks

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APA (6th Edition):

Shafik, S. (2014). Financial stability and liquidity: evidence from conventional and Islamic banks in the GCC region. (Thesis). University of Newcastle. Retrieved from http://hdl.handle.net/1959.13/1042446

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Shafik, Salwa. “Financial stability and liquidity: evidence from conventional and Islamic banks in the GCC region.” 2014. Thesis, University of Newcastle. Accessed July 22, 2019. http://hdl.handle.net/1959.13/1042446.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Shafik, Salwa. “Financial stability and liquidity: evidence from conventional and Islamic banks in the GCC region.” 2014. Web. 22 Jul 2019.

Vancouver:

Shafik S. Financial stability and liquidity: evidence from conventional and Islamic banks in the GCC region. [Internet] [Thesis]. University of Newcastle; 2014. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/1959.13/1042446.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Shafik S. Financial stability and liquidity: evidence from conventional and Islamic banks in the GCC region. [Thesis]. University of Newcastle; 2014. Available from: http://hdl.handle.net/1959.13/1042446

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

27. Covindassamy, Genèvre. The Impact of Unconventional Monetary Policy on Financial Markets, Credit Markets and Financial Stability.

Degree: 2017, American University

In response to the 2008 financial crisis, the Federal Reserve initially responded using the federal funds rate. However, by December 2008 it had reached the… (more)

Subjects/Keywords: Credit Markets; Financial Stability; Stock Prices; Unconventional Monetary Policy

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Covindassamy, G. (2017). The Impact of Unconventional Monetary Policy on Financial Markets, Credit Markets and Financial Stability. (Doctoral Dissertation). American University. Retrieved from http://hdl.handle.net/1961/auislandora:68590

Chicago Manual of Style (16th Edition):

Covindassamy, Genèvre. “The Impact of Unconventional Monetary Policy on Financial Markets, Credit Markets and Financial Stability.” 2017. Doctoral Dissertation, American University. Accessed July 22, 2019. http://hdl.handle.net/1961/auislandora:68590.

MLA Handbook (7th Edition):

Covindassamy, Genèvre. “The Impact of Unconventional Monetary Policy on Financial Markets, Credit Markets and Financial Stability.” 2017. Web. 22 Jul 2019.

Vancouver:

Covindassamy G. The Impact of Unconventional Monetary Policy on Financial Markets, Credit Markets and Financial Stability. [Internet] [Doctoral dissertation]. American University; 2017. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/1961/auislandora:68590.

Council of Science Editors:

Covindassamy G. The Impact of Unconventional Monetary Policy on Financial Markets, Credit Markets and Financial Stability. [Doctoral Dissertation]. American University; 2017. Available from: http://hdl.handle.net/1961/auislandora:68590


Florida International University

28. Xue, Wenjun. Financial Sector Development, Economic Growth and Stability.

Degree: PhD, Economics, 2018, Florida International University

  My dissertation investigates financial sector development, economic growth and stability through the analysis of Chinese and international evidence. My first chapter is the introduction.… (more)

Subjects/Keywords: Financial sector development; Economic growth; Stability; Econometrics; Finance

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Xue, W. (2018). Financial Sector Development, Economic Growth and Stability. (Doctoral Dissertation). Florida International University. Retrieved from https://digitalcommons.fiu.edu/etd/3715 ; 10.25148/etd.FIDC004085 ; FIDC004085

Chicago Manual of Style (16th Edition):

Xue, Wenjun. “Financial Sector Development, Economic Growth and Stability.” 2018. Doctoral Dissertation, Florida International University. Accessed July 22, 2019. https://digitalcommons.fiu.edu/etd/3715 ; 10.25148/etd.FIDC004085 ; FIDC004085.

MLA Handbook (7th Edition):

Xue, Wenjun. “Financial Sector Development, Economic Growth and Stability.” 2018. Web. 22 Jul 2019.

Vancouver:

Xue W. Financial Sector Development, Economic Growth and Stability. [Internet] [Doctoral dissertation]. Florida International University; 2018. [cited 2019 Jul 22]. Available from: https://digitalcommons.fiu.edu/etd/3715 ; 10.25148/etd.FIDC004085 ; FIDC004085.

Council of Science Editors:

Xue W. Financial Sector Development, Economic Growth and Stability. [Doctoral Dissertation]. Florida International University; 2018. Available from: https://digitalcommons.fiu.edu/etd/3715 ; 10.25148/etd.FIDC004085 ; FIDC004085

29. Ali, Mohamed. Three essays on banking policy & government intervention in the US banking sector.

Degree: PhD, 2019, Bangor University

 This thesis presents evidence on how government intervention and regulation affect financial stability, and analyses how these public actions may affect the banking industry. The… (more)

Subjects/Keywords: financial stability; banking risk; credit risk; government policy; bank balances

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Ali, M. (2019). Three essays on banking policy & government intervention in the US banking sector. (Doctoral Dissertation). Bangor University. Retrieved from https://research.bangor.ac.uk/portal/en/theses/three-essays-on-banking-policy – government-intervention-in-the-us-banking-sector(a87e5562-f5be-4dca-99c2-eeefef5e2873).html ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.774159

Chicago Manual of Style (16th Edition):

Ali, Mohamed. “Three essays on banking policy & government intervention in the US banking sector.” 2019. Doctoral Dissertation, Bangor University. Accessed July 22, 2019. https://research.bangor.ac.uk/portal/en/theses/three-essays-on-banking-policy – government-intervention-in-the-us-banking-sector(a87e5562-f5be-4dca-99c2-eeefef5e2873).html ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.774159.

MLA Handbook (7th Edition):

Ali, Mohamed. “Three essays on banking policy & government intervention in the US banking sector.” 2019. Web. 22 Jul 2019.

Vancouver:

Ali M. Three essays on banking policy & government intervention in the US banking sector. [Internet] [Doctoral dissertation]. Bangor University; 2019. [cited 2019 Jul 22]. Available from: https://research.bangor.ac.uk/portal/en/theses/three-essays-on-banking-policy – government-intervention-in-the-us-banking-sector(a87e5562-f5be-4dca-99c2-eeefef5e2873).html ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.774159.

Council of Science Editors:

Ali M. Three essays on banking policy & government intervention in the US banking sector. [Doctoral Dissertation]. Bangor University; 2019. Available from: https://research.bangor.ac.uk/portal/en/theses/three-essays-on-banking-policy – government-intervention-in-the-us-banking-sector(a87e5562-f5be-4dca-99c2-eeefef5e2873).html ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.774159


AUT University

30. Khattak, Mohay. Impact of foreign bank entry on the credit stability of host countries .

Degree: 2012, AUT University

 This study investigates lending sensitivity of foreign and domestic banks to crises and business cycles in South Asia. It also studies the credit behaviour of… (more)

Subjects/Keywords: Foreign banks; Developing Economies; Panel Data; Credit growth; Financial Stability

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Khattak, M. (2012). Impact of foreign bank entry on the credit stability of host countries . (Thesis). AUT University. Retrieved from http://hdl.handle.net/10292/3339

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Khattak, Mohay. “Impact of foreign bank entry on the credit stability of host countries .” 2012. Thesis, AUT University. Accessed July 22, 2019. http://hdl.handle.net/10292/3339.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Khattak, Mohay. “Impact of foreign bank entry on the credit stability of host countries .” 2012. Web. 22 Jul 2019.

Vancouver:

Khattak M. Impact of foreign bank entry on the credit stability of host countries . [Internet] [Thesis]. AUT University; 2012. [cited 2019 Jul 22]. Available from: http://hdl.handle.net/10292/3339.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Khattak M. Impact of foreign bank entry on the credit stability of host countries . [Thesis]. AUT University; 2012. Available from: http://hdl.handle.net/10292/3339

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

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