Tools and Techniques for Financial Stability Analysis - Indranarain Ramlall

Tools and Techniques for Financial Stability Analysis

Buch | Hardcover
152 Seiten
2018
Emerald Publishing Limited (Verlag)
978-1-78756-846-4 (ISBN)
95,95 inkl. MwSt
Tools and Techniques for Financial Stability Analysis explores all key aspects of analytical tools and challenges for sound financial stability assessments. Comprehensive coverage is given to value at risk, stress testing, graphical tools for financial stability, the financial system stress index, as well as ratios and metrics.
Combatting financial stability risks is a highly challenging task which can by no means be concentrated into a ‘one-size fits all’ approach. It is important to select the appropriate tools and techniques in order to monitor, analyse, and maintain financial stability through proactive policy measures. 


Tools and Techniques for Financial Stability Analysis explores all key aspects of analytical tools and challenges for sound financial stability assessments. Comprehensive coverage is given to value at risk, stress testing, graphical tools for financial stability, the financial system stress index, as well as ratios and metrics of financial stability assessment. Finally, a concluding chapter is devoted to understand the key challenges involved in maintaining financial stability. 



This book will prove valuable to central bankers, economists, and policy-makers who are involved in the field of financial stability, as well as researchers studying the field.

INDRANARAIN RAMLALL, PHD, is a Senior Lecturer at the University of Mauritius in the department of Economics and Statistics. He previously served as a Credit Corporate Officer at the State Bank of India, Mauritius, and then a Fund Manager at Anglo-Mauritius Financial Services Limited. Dr Indranarain Ramlall also worked within the Financial Markets Division and the Financial Stability Unit at the Central Bank of Mauritius. At this time, he also served as a member of the Joint Working Group Committee on Debt Management and the Sub-Committee on Treasury Bill Allocation. His research interests include financial stability, central banking, risk management, economics and finance in Mauritius, investment analysis, quantitative techniques and econometric modelling, and the economics of climate change and green finance. Dr I. Ramlall is also an accomplished pioneer in the field of global central bank ratings.

Chapter 1. Value-at-Risk Chapter 2. Stress Testing 
Chapter 3. Graphical Tools of Financial Stability 
Chapter 4. Financial System Stress Index 
Chapter 5. Ratios/Metrics of Financial Stability Assessment 
Chapter 6. Challenges of Financial Stability: The Road Ahead

Erscheinungsdatum
Reihe/Serie The Theory and Practice of Financial Stability
Verlagsort Bingley
Sprache englisch
Maße 152 x 229 mm
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Wirtschaft Betriebswirtschaft / Management Unternehmensführung / Management
Wirtschaft Volkswirtschaftslehre Finanzwissenschaft
ISBN-10 1-78756-846-6 / 1787568466
ISBN-13 978-1-78756-846-4 / 9781787568464
Zustand Neuware
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