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1. The boundary contest that never was: Shadow banking and the relation between monetary system and financial system.

2. Information and volatility linkages between real estate, equity, bond and money markets in Australia.

4. Extroverted financialization: how US finance shapes European banking.

6. The rise of collateral-based finance under state capitalism in Russia.

7. Can Euribor be fixed?

8. Debt, bubble policy, and the role of the repo market in the Federal Reserve’s management of capitalism in crisis.

11. دور الفكر المحاسبي في تخفيف حدة الأزمة المالية العالمية على المؤسسات المالية – دراسة حالة المؤسسات المالية السودانية –.

12. جرمية الوساطة غري املشروعة يف األسواقاملالية )دراسة مقارنة(.

13. Formal institution building in financialized capitalism: the case of repo markets.

14. Voluntary Reserve Targets.

16. Bidding and Performance in Repo Auctions: Evidence from ECB Open Market Operations

17. Para ve Sermaye Piyasalarında Teorik ve Ampirik Çalışmalar

18. Voluntary Reserve Targets.

19. "Unconventional" Monetary Policy as Conventional Monetary Policy: A Perspective from the U.S. in the 1920s.

20. FINANCIAL MARKETS AND HEDGING APPROACHES.

21. Private Enterprise and the China Trade

23. Finance Chiefs Lean on Commercial Paper to Trim Costs, Prepare for Rate Cuts.

24. Shadow Banking--The Next Wave of Financial Regulation.

25. The organization of the interbank network and how ECB unconventional measures affected the e-MID overnight market.

26. Asymmetry of price returns—Analysis and perspectives from a non-extensive statistical physics point of view.

27. Results of a massive experiment on virtual currency endowments and money demand.

28. The Manipulation Potential of Libor and Euribor.

29. Monetary policy independence reconsidered: evidence from six non-euro members of the European Union.

30. The response of money market funds to the COVID-19 pandemic.

34. Can Euribor be fixed?

37. Inflation Rate and the Performance of Financial Markets in Iran

43. Bond convenience curves and funding costs

44. Liquidation value and loan pricing

45. How do banks manage liquidity? Evidence from the ECB's tiering experiment

46. The rise of collateral-based finance under state capitalism in Russia

48. Modeling Money Market Spreads: What Do We Learn about Refinancing Risk?

50. I mercati monetari negli Stati Uniti d'America.

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