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Financial data needs for macroprudential surveillance - What are the key indicators of risks to domestic financial stability?
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Cited by:
- Biswa N. Bhattacharyay, 2009. "Towards a Macroprudential Surveillance and Remedial Policy Formulation System for Monitoring Financial Crisis," CESifo Working Paper Series 2803, CESifo.
- Barrell, Ray & Davis, E. Philip & Pomerantz, Olga, 2006.
"Costs of financial instability, household-sector balance sheets and consumption,"
Journal of Financial Stability, Elsevier, vol. 2(2), pages 194-216, June.
- Ray Barrell & Professor E. Philip Davis, 2004. "Costs of Financial Instability, Household-Sector Balance Sheets and Consumption," National Institute of Economic and Social Research (NIESR) Discussion Papers 243, National Institute of Economic and Social Research.
- Albertazzi, Ugo & Gambacorta, Leonardo, 2009.
"Bank profitability and the business cycle,"
Journal of Financial Stability, Elsevier, vol. 5(4), pages 393-409, December.
- Ugo Albertazzi & Leonardo Gambacorta, 2006. "Bank profitability and the business cycle," Temi di discussione (Economic working papers) 601, Bank of Italy, Economic Research and International Relations Area.
- Francis Selialia & Thabo Mbeleki & Kgomotso Matlapeng, 2010. "Macroprudential analysis of the financial system: the case of South Africa," IFC Bulletins chapters, in: Bank for International Settlements (ed.), The IFC's contribution to the 57th ISI Session, Durban, August 2009, volume 33, pages 110-133, Bank for International Settlements.
- Davis, E. Philip & Zhu, Haibin, 2009.
"Commercial property prices and bank performance,"
The Quarterly Review of Economics and Finance, Elsevier, vol. 49(4), pages 1341-1359, November.
- E Philip DaviS & Haibin Zhu, 2004. "Commercial property prices and bank performance," Public Policy Discussion Papers 04-19, Economics and Finance Section, School of Social Sciences, Brunel University.
- E Philip Davis & Haibin Zhu, 2004. "Commercial property prices and bank performance," Economics and Finance Discussion Papers 04-19, Economics and Finance Section, School of Social Sciences, Brunel University.
- E. Philip Davis & Haibin Zhu, 2005. "Commercial property prices and bank performance," BIS Working Papers 175, Bank for International Settlements.
- Nijathaworn, Bandid & Chaikhor, Suwatchai & Chotika-arpa, Suppakorn & Sakkankosone, Suchart, 2015. "Monetary Policy and Foreign Exchange Management: Reforming Central Bank Functions in Myanmar," ADB Economics Working Paper Series 431, Asian Development Bank.
- Christopher Kent & Patrick D'Arcy, 2001. "Cyclical prudence - credit cycles in Australia," BIS Papers chapters, in: Bank for International Settlements (ed.), Marrying the macro- and micro-prudential dimensions of financial stability, volume 1, pages 58-90, Bank for International Settlements.
- Schuetz, Sebastian Alexander, 2010.
"Structured Finance Influence on Financial Market Stability – Evaluation of Current Regulatory Developments,"
MPRA Paper
23574, University Library of Munich, Germany.
- Sebastian A. Schuetz, 2010. "Structured Finance Influence on Financial Market Stability – Evaluation of Current Regulatory Developments," Working Paper Series in Economics 178, University of Lüneburg, Institute of Economics.
- Biswa N. Bhattacharyay & Dennis Dlugosch & Benedikt Kolb & Kajal Lahiri & Irshat Mukhametov & Gernot Nerb, 2009. "Early Warning System for Economic and Financial Risks in Kazakhstan," CESifo Working Paper Series 2832, CESifo.
- Burrows, Oliver & Cumming, Fergus, 2015. "Mapping the UK financial system," Bank of England Quarterly Bulletin, Bank of England, vol. 55(2), pages 114-129.
- Mr. Gene L. Leon & Mr. Rupert D Worrell, 2001. "Price Volatility and Financial Instability," IMF Working Papers 2001/060, International Monetary Fund.
- repec:imf:imfops:192 is not listed on IDEAS
- E. Philip Davis & Dilruba Karim, 2019. "Exploring short‐ and long‐run links from bank competition to risk," European Financial Management, European Financial Management Association, vol. 25(3), pages 462-488, June.
- Forget M Kapingura, 2015. "Macroeconomic Determinants of Liquidity of the Bond Market in Africa: Case Study of South Africa," Journal of Economics and Behavioral Studies, AMH International, vol. 7(3), pages 88-103.
- Mario Quagliariello, "undated". "Banks' Performance over the Business Cycle: A Panel Analysis on Italian Intermediaries," Discussion Papers 04/17, Department of Economics, University of York.
- Paul Louis Ceriel Hilbers & Alfredo Mario Leone & Mahinder Singh Gill & Owen Evens, 2000. "Macroprudential Indicators of Financial System Soundness," IMF Occasional Papers 192, International Monetary Fund.
- Greg Haymes, 2009. "Opaqueness to transparency: the Bank of Canada's financial data strategy," IFC Bulletins chapters, in: Bank for International Settlements (ed.), Proceedings of the IFC Workshop on "Challenges to improve global comparison of securities statistics", Washington DC, March 2008, volume 29, pages 190-206, Bank for International Settlements.
- Biswa N. Bhattacharyay, 2003. "Towards a Macro-Prudential Leading Indicators Framework for Monitoring Financial Vulnerability," CESifo Working Paper Series 1015, CESifo.
- Mejra Festić, 2006. "Procyclicality of Financial and Real Sector in Transition Economies," Prague Economic Papers, Prague University of Economics and Business, vol. 2006(4), pages 315-349.
- Se Hee Lim & Noel G. Reyes, 2014. "Financial monitoring in the new ASEAN-5 countries," Chapters, in: Iwan J. Azis & Hyun S. Shin (ed.), Global Shock, Risks, and Asian Financial Reform, chapter 14, pages 554-599, Edward Elgar Publishing.
- Ebrahimi Kahou, Mahdi & Lehar, Alfred, 2017.
"Macroprudential policy: A review,"
Journal of Financial Stability, Elsevier, vol. 29(C), pages 92-105.
- Mahdi Ebrahimi Kahou & Alfred Lehar, 2015. "Macroprudential Policy: A Review," SPP Research Papers, The School of Public Policy, University of Calgary, vol. 8(34), October.
- Irving Fisher Committee, 2005. "Proceedings of the IFC Conference on "Central Bank Issues Regarding National and Financial Accounts", Basel, September 2004," IFC Bulletins, Bank for International Settlements, number 21.
- Ćehajić, Aida & Košak, Marko, 2021. "Macroprudential measures and developments in bank funding costs," International Review of Financial Analysis, Elsevier, vol. 78(C).
- E. Davis & Dilruba Karim & Iana Liadze, 2011. "Should multivariate early warning systems for banking crises pool across regions?," Review of World Economics (Weltwirtschaftliches Archiv), Springer;Institut für Weltwirtschaft (Kiel Institute for the World Economy), vol. 147(4), pages 693-716, November.
- CRISTE, Adina, 2014. "Reference Points For Financial Instability In The Euro Zone Candidates Countries," Studii Financiare (Financial Studies), Centre of Financial and Monetary Research "Victor Slavescu", vol. 18(3), pages 58-75.
- Mark Illing & Ying Liu, 2003. "An Index of Financial Stress for Canada," Staff Working Papers 03-14, Bank of Canada.