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Monitoring Financial Stability in Developing and Emerging Economies : Practical Guidance for Conducting Macroprudential Analysis / Dijkman, Miquel

World Bank Open Knowledge Repository (formerly "World Bank E-Library Publications") Available online

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Format:
Book
Government document
Author/Creator:
Dijkman, Miquel
Contributor:
Dijkman, Miquel
Series:
Policy research working papers.
World Bank e-Library.
Language:
English
Subjects (All):
Access to Finance.
Bankruptcy and Resolution of Financial Distress.
Banks and Banking Reform.
Debt Markets.
Emerging Markets.
Financial Crises.
Financial Institutions and Services.
Government Policy and Regulation.
Local Subjects:
Access to Finance.
Bankruptcy and Resolution of Financial Distress.
Banks and Banking Reform.
Debt Markets.
Emerging Markets.
Financial Crises.
Financial Institutions and Services.
Government Policy and Regulation.
Physical Description:
1 online resource (42 pages)
Other Title:
Monitoring Financial Stability in Developing and Emerging Economies
Place of Publication:
Washington, D.C., The World Bank, 2015
System Details:
data file
Summary:
In the aftermath of the global financial crisis, interest in systemic risk has surged among academics and policy makers. The mitigation of systemic risk is now widely accepted as the fundamental underlying concept for the design of the post-crisis regulatory agenda. Effective mitigation requires the presence of a well-developed analytical methodology for monitoring systemic risk, so that policy makers can make informed policy choices. This remains a challenging area, particularly in developing and emerging economies characterized by rapid structural changes and gaps in data availability. This working paper aims to provide policy makers in developing and emerging economies with practical tools for the analysis of systemic risk, focusing on the identification of domestic, systemically important banks; analyzing interconnectedness within the financial system; and analyzing the cyclical component of systemic risk.

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