Risk Management and Stable Financial Structures for LDC Inc

Risk Management and Stable Financial Structures for LDC Inc
Title Risk Management and Stable Financial Structures for LDC Inc PDF eBook
Author Andrew Sheng
Publisher World Bank Publications
Pages 26
Release 1993
Genre Economic development projects
ISBN

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National risk management and stable financial structures are essential to the long- term economic growth of developing countries. The 1980s taught many nations the heavy cost of the financial distress associated with poor national and sectoral risk management.

Financial Sector Policy for Developing Countries

Financial Sector Policy for Developing Countries
Title Financial Sector Policy for Developing Countries PDF eBook
Author Gerard Caprio
Publisher World Bank Publications
Pages 272
Release 2002
Genre Business & Economics
ISBN 9780821351765

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This book collects ten complementary essays on different aspects of financial sector policy for developing and transitional economies. The essays, by leading theoreticians and practitioners, draw on the history and experience of financial sector policy reforms to derive lessons for the future. The collection is carefully chosen to cover the major contemporary issues, including both crisis avoidance and institution-building. The increasing importance of non-bank finance and of international linkages (including dollarization) for small economies are given special attention.

Istanbul Programme of Action for the LDCs (2011–2020)

Istanbul Programme of Action for the LDCs (2011–2020)
Title Istanbul Programme of Action for the LDCs (2011–2020) PDF eBook
Author LDC IV Monitor
Publisher Commonwealth Secretariat
Pages 503
Release 2014-10-17
Genre Business & Economics
ISBN 1849291209

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Ambitious in nature, the Istanbul Programme of Action (IPoA) for the Least Developed Countries (LDCs) adopted by the Fourth United Nations Conference on the LDCs (UN LDC IV) in 2011, sets out a development path for LDCs for the coming decade. Successful implementation of the IPoA requires identification of delivery tools for specific targets, provision of necessary financial and non-financial resources, and a strengthened monitoring mechanism. LDC IV Monitor, an independent partnership of eight interested organisations, aims to add value by enhancing transparency, accountability and efficiency of the official monitoring and review mechanism of the IPoA. LDC IV Monitor’s first set of two reports, produced outside of the official intergovernmental process, provide credible, evidence-based and policy-oriented assessment of the delivery status of the promises contained in the IPoA. The Synthesis Report, derived from the critical analyses of the state of play concerning the IPoA, presents the broad messages and key recommendations. The volume on Analytical Perspectives addresses a wide spectrum of issues including articulation of a composite IPoA index, building of productive capacity, trade in goods and services, delivery of the Millennium Development Goals (MDGs), flows of different forms of development finance, and consequences of climate change. The publications seek to contribute towards crafting national and international policies to support graduation of the LDCs through structural transformation of their economies.

Global Financial Stability Report, April 2013

Global Financial Stability Report, April 2013
Title Global Financial Stability Report, April 2013 PDF eBook
Author International Monetary Fund. Monetary and Capital Markets Department
Publisher International Monetary Fund
Pages 160
Release 2013-04-17
Genre Business & Economics
ISBN 1475589581

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The Global Financial Stability Report examines current risks facing the global financial system and policy actions that may mitigate these. It analyzes the key challenges facing financial and nonfinancial firms as they continue to repair their balance sheets. Chapter 2 takes a closer look at whether sovereign credit default swaps markets are good indicators of sovereign credit risk. Chapter 3 examines unconventional monetary policy in some depth, including the policies pursued by the Federal Reserve, the Bank of England, the Bank of Japan, the European Central Bank, and the U.S. Federal Reserve.

Energy and Power Risk Management

Energy and Power Risk Management
Title Energy and Power Risk Management PDF eBook
Author Alexander Eydeland
Publisher John Wiley & Sons
Pages 506
Release 2003-02-03
Genre Business & Economics
ISBN 0471455873

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Praise for Energy and Power Risk Management "Energy and Power Risk Management identifies and addresses the key issues in the development of the turbulent energy industry and the challenges it poses to market players. An insightful and far-reaching book written by two renowned professionals." -Helyette Geman, Professor of Finance University Paris Dauphine and ESSEC "The most up-to-date and comprehensive book on managing energy price risk in the natural gas and power markets. An absolute imperative for energy traders and energy risk management professionals." -Vincent Kaminski, Managing Director Citadel Investment Group LLC "Eydeland and Wolyniec's work does an excellent job of outlining the methods needed to measure and manage risk in the volatile energy market." -Gerald G. Fleming, Vice President, Head of East Power Trading, TXU Energy Trading "This book combines academic rigor with real-world practicality. It is a must-read for anyone in energy risk management or asset valuation." -Ron Erd, Senior Vice President American Electric Power

Sunumlar

Sunumlar
Title Sunumlar PDF eBook
Author
Publisher
Pages 380
Release 1997
Genre Earth Sciences
ISBN

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Institutional Investors and Capital Market Development

Institutional Investors and Capital Market Development
Title Institutional Investors and Capital Market Development PDF eBook
Author Bernhard Fischer
Publisher
Pages 62
Release 1995
Genre
ISBN

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