Jarir Logo

Financial Stability and Stress Testing

Printed Book
SR 289
Inclusive of VAT
Sold as: EACH
SR17Per Month/24 months
Author:Jakubik Petr
Date of Publication: 2014
Book classification:Business & Management,English Books,
No. of pages:144 Pages
Format:Paperback

This book is printed on demand and is non-refundable after purchase

Available Formats :

Printed Book

It will be sent to your address

SR289
Incl. VAT

Choose your delivery preference

Or

About this Product

Recent episodes of financial turmoil have intensified policy discussion and research on financial stability. This book elaborates on methodologies, which can be used to measure financial sector vulnerabilities and identify potential risks. It further focuses on the link between the real and the financial sector as well as possible implications of household financial distress on the aggregate economy. It argues in favour of stress testing methodologies covering the key risks on banks balance sheets. These frameworks can also be used for emerging markets where data availability is typically limited. It is shown that due to the high volatility of credit growth in emerging economies, the static approach assuming constant balance sheet items is not very appropriate. Furthermore, the feedback effect between the financial sector and the real economy might play an important role under certain assumptions, and therefore it should be taken into account by policy makers. This effect can also emerge in the real sector itself as potential instability can be related to households distress and have an impact on the aggregate economy via additional decrease in household consumption.
Show more

Specifications

SKU9783659546983
Manufacturer Number9783659546983
year published2014
Show more

Report an issue with this product.

Customer Reviews