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1“...China has reached a stage where further financial sector reforms appear essential. As the reform process progresses and macrofinancial linkages deepen, the...”
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2“...As the financial crisis abates, governments are faced with the challenge of balancing the withdrawal of fiscal support with reestablishing sound public...”
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3by Udaibir S. Das Magdalena Polan Michael G. Papaioannou Udaibir S. Das Michael G. Papaioannou“...The recent round of debt relief has restored debt sustainability in many low-income countries (LICs). This, along with a continued search for yield and desire...”
01.11.2008
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4“...The book covers a wide range of topics of relevance to policymakers in countries that have sovereign wealth funds (SWFs) and those that receive SWF...”
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5by Guilherme Pedras Udaibir S. Das Michael G Papaioannou Guilherme Pedras Udaibir S. Das Jay Surti Faisal Ahmed“...This paper explores the relationship between the level and management of public debt and financial stability, and explains the channels through which the two...”
01.12.2010
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6by Ron Anderson Chikako Baba Mr.Heedon Kang Jon Danielsson Mr.Udaibir S Das Miguel A. Segoviano Basurto Jon Danielsson Chikako Baba Udaibir S Das Heedon Kang Miguel A. Segoviano Basurt“...Macroprudential stress testing (MaPST) is becoming firmly embedded in the post-crisis policy-frameworks of financial-sectors around the world. MaPSTs can offer...”
11.09.2018
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7by Udaibir S. Das Christian B. Mulder Yinqiu Lu Udaibir S. Das Christian B. Mulder Amadou N. R. Sy“...This paper offers a policy and operational "roadmap" to policymakers considering setting up an SWF. It should also be of interest to policymakers in countries...”
01.08.2009
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8“...This paper provides a comprehensive survey of pertinent issues on sovereign debt restructurings, based on a newly constructed database. This is the first...”
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9by Christoph Trebesch Udaibir S. Das Michael G. Papaioannou Udaibir S. Das Michael G. Papaioannou“..."Top down" spillovers of sovereign default risk can have serious consequences for the private sector in emerging markets. This paper analyzes the effects of...”
01.01.2010
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11“...Good regulatory governance in the financial system is a critical component of financial stability. Research on the topic has not been very systematic and deep...”
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12“...This paper provides empirical evidence that the quality of regulatory governance-governance practices adopted by financial system regulators and...”
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13“...This paper explores insurance as a source of financial system vulnerability. It provides a brief overview of the insurance industry and reviews the risks it...”
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14by Richard Podpiera Dmitriy Rozhkov Udaibir S. Das Richard Podpiera Dmitriy Rozhkov Plamen Yossifov“...In this paper, we develop multi-country indices of financial system stress and quality of financial policies and use them in regression analysis of the...”
01.09.2005
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15“...We analyze how bank profitability impacts financial stability from both theoretical and empirical perspectives. We first develop a theoretical model of the...”
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16“...Since the early 1990s, private risk-capital flows have taken on increased quantitative significance for developing countries. Some of the risk-capital flows to...”
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18“...Country practices towards managing financial risks on a sovereign balance sheet continue to evolve. Each crisis period, and its legacy on sovereign balance...”
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20