<図書>
Capital account liberalization and financial sector stability
責任表示 | by a staff team led by Shogo Ishii and Karl Habermeier with Jorge iván Canales-Kriljenko ... [et al.] |
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シリーズ | Occasional paper / International Monetary Fund ; no. 211 |
データ種別 | 図書 |
出版情報 | Washington, D.C. : International Monetary Fund , 2002 |
本文言語 | 英語 |
大きさ | vii, 94 p. : ill. ; 28 cm |
目次 | Machine generated contents note: Part I.A Framework for Sequencing I Overview 3 11 Analytical Issues 5 Sources of Financial Sector Instability 5 Linkages of Financial Sector Instability with Capital Account Liberalization 6 Contagion and the Influence of Size and Openness 12 III Sequencing Capital Account Liberalization with Other Reforms 14 Sequencing: Insights from Country Experiences 14 General Principles for Sequencing 17 IV A Suggested Methodology for Sequencing 19 Applying the Methodology-An Example 21 Part II.The Prudential Framework and Capital Account Liberalization V The General Framework for Financial Sector Stability 31 Development of Financial Markets and Institutions 32 Prudential Regulation and Supervision: General Issues 33 Improved Risk Management by Financial Institutions 34 Capital Controls and Prudential Policies 35 Accounting, Auditing, and Disclosure 37 Financial Safety Nets and Resolution Policies 37 VI Prudential Regulation and Supervision of Cross-Border Transactions 40 Prudential Regulation and Supervision of Banks 40 Prudential Aspects of Offshore Financial Centers 46 Nonbank Financial Institutions 47 Supervisory Practices 48 Part III.Selected Country Experiences with Capital Account Liberalization and Financial Sector Stability VII Countries That Avoided a Financial Crisis 53 Austria: Integration into Regional and Global Markets 53 Hungary: Resilience to Contagion from the 1998 Russian Crisis 56 South Africa: Contagion from the 1997-98 Financial Crises 59 United Kingdom: The 1992 ERM Crisis 63 VIII Countries That Experienced a Financial Crisis 68 Korea: The 1997 Twin Crises 68 Mexico: The 1994-95 Crisis 72 Sweden: The Early 1990s Twin Crises 78 Turkey: The 1994 and 2000 Crises 81 Paraguay: The 1995-98 Financial Sector Crisis 85.続きを見る |
所蔵情報
状態 | 巻次 | 所蔵場所 | 請求記号 | 刷年 | 文庫名称 | 資料番号 | コメント | 予約・取寄 | 複写申込 | 自動書庫 |
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中央図 4C_138‐195 [経済 統計資料] | 3IMF/O.P./211 | 2002 |
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017222002001463 |
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書誌詳細
一般注記 | Includes bibliographical references (p. 90-92) |
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著者標目 | Ishii, Shogo Habermeier, Karl Friedrich Canales-Kriljenko, Jorge Iván International Monetary Fund |
書誌ID | 1000770714 |
ISBN | 1589060857 |
NCID | BA56599552 |
巻冊次 | ISBN:1589060857 |
登録日 | 2009.09.15 |
更新日 | 2009.09.15 |