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Visar resultat 16 - 20 av 20 uppsatser som matchar ovanstående sökkriterier.

  1. 16. Macroprudential Policy:The Case of Brazil

    Magister-uppsats, Lunds universitet/Nationalekonomiska institutionen

    Författare :Filippos Ioannidis; [2014]
    Nyckelord :Macroprudential Policy; Systemic risk; Brazil; Capital flows; Business and Economics;

    Sammanfattning : In the wake of 2008 financial crisis there has been growing interest in issues related to macroprudential policy and the coordinated attempt to ensure financial stability as a whole. The main objective of the paper is to provide a combination of both theoretical and empirical analysis of the effectiveness of macroprudential policy, implemented in Brazilian economy in 2010. LÄS MER

  2. 17. Rice trade in a changing climate of national adaptation plans : using trade-based climate risk profiles to test the coverage

    Master-uppsats, SLU/Dept. of Urban and Rural Development

    Författare :Marco C. Schletz; [2014]
    Nyckelord :adaptation; climate change; climate risk; risk assessment; indirect impacts; trade; rice; food security;

    Sammanfattning : Adaptation strategies and policies often fail to take account of climate change impacts and their feedbacks in one country which have ‘indirect impacts’ for other countries and the global system. This thesis examines the risks posed by climate change to global rice trade and the possible impact on food security in nations dependent on rice imports. LÄS MER

  3. 18. An Application of Macroprudential Capital Requirements in Sweden

    D-uppsats, Handelshögskolan i Stockholm/Institutionen för finansiell ekonomi

    Författare :Jenny Agneta Haquinius; William Lindström; [2013]
    Nyckelord :Macroprudential; Bank Regulation; Capital Requirements; Financial Stability; Systemic Risk;

    Sammanfattning : The adverse effects of the recent financial crisis have highlighted the need to reform bank regulation. In this paper we investigate the suitability of capital requirements based on measures that account for systemic risk. LÄS MER

  4. 19. Implementation of CoVaR, A Measure for Systemic Risk

    Master-uppsats, KTH/Matematik (Inst.)

    Författare :Frida Bjarnadottir; [2012]
    Nyckelord :;

    Sammanfattning : Abstract In recent years we have witnessed how distress can spread quickly through the financial system and threaten financial stability. Hence there has been increased focus on developing systemic risk indicators that can be used by central banks and others as a monitoring tool. LÄS MER

  5. 20. Need for change in the audit market? An analysis of the measures proposed to reduce audit market concentration in the European Commission’s Green Paper on Audit Policy: Lessons from the Crisis

    Magister-uppsats, Lunds universitet/Företagsekonomiska institutionen

    Författare :Erik Sundin; Marika Hedlund; [2011]
    Nyckelord :Företagsledning; Management of enterprises; Joint Audits; Big Four; Systemic risk; Green Paper; Audit market concentration; management; Business and Economics;

    Sammanfattning : Background and problem: In October 2010 the European Commission issued a Green Paper on Audit Policy in which they set out to draw lessons of the auditors’ role in the recent financial crisis. The European Commission considers the function of the audit to be a key contributor to investor confidence and suggests a number of controversial measures with the aim of ensuring financial stability in the European financial markets. LÄS MER