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Author
Aikman, David (1)Alessandri, Piergiorgio (1)Alfaro A., Rodrigo (1)Bodie, Zvi (1)Borio, Claudio (1)... View More
Subject
BANCOS CENTRALES (6)
ESTABILIDAD ECONÓMICA (4)CRISIS FINANCIERA (3)POLÍTICA MONETARIA (2)BANCO DE INGLATERRA (1)... View More
Date Issued
2010 (6)
Document Type
Artículo (5)Libro (1)
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Equity market spillovers in the Americas 

Author
Diebold, Francis X., 1959-; Yilmaz, Kamil
Date
Banco Central de Chile, 2010
Subject
MERCADO FINANCIERO; BANCOS CENTRALES
Many aspects of financial markets merit monitoring in risk management and portfolio allocation contexts, including (and perhaps especially) in contexts of interest to central banks. Much recent attention, for example, has been devoted to measuring and forecasting return volatilities and correlations, ...
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Funding liquidity risk in a quantitative model of systemic stability 

Author
Aikman, David; Alessandri, Piergiorgio; Eklund, Bruno; Gai, Prasanna; Kapadia, Sujit
Date
Banco Central de Chile, 2010
Subject
LIQUIDEZ (ECONOMÍA); ESTABILIDAD ECONÓMICA; CRISIS FINANCIERA; CRISIS ECONÓMICA 2008; BANCOS CENTRALES; BANCO DE INGLATERRA
The global financial crisis of 2007–09 has illustrated the importance of including funding liquidity feedbacks in any model of systemic risk. This paper illustrates how we have incorporated such channels into a risk assessment model for systemic institutions (RAMSI) and it outlines the Bank of England’s ...
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Financial stability, monetary policy, and Central Banking 

Author
Alfaro A., Rodrigo
Date
Banco Central de Chile, 2010
Subject
ESTABILIDAD ECONÓMICA; POLÍTICA MONETARIA; CRISIS FINANCIERA; BANCOS CENTRALES
The financial developments of the last decade have had a large impact on the range of risk diversification contracts available to investors. Based on these complex instruments, the investment possibility frontier was shifted outward and increasingly intricate networks were created. At the same time, ...
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Measuring and managing macrofinancial risk and financial stability: a new framework 

Author
Gray, Dale; Merton, Robert C.; Bodie, Zvi
Date
Banco Central de Chile, 2010
Subject
ESTABILIDAD ECONÓMICA; RIESGO FINANCIERO; BANCOS CENTRALES
The vulnerability of a national economy to volatility in the global markets for credit, currencies, commodities, and other assets has become a central concern of policymakers. The responsibility for managing these risks at the national level is often given to the central bank. However, the conventional ...
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Financial stability monetary policy and Central Banking: an overview 

Author
Alfaro A., Rodrigo; Cifuentes Santander, Rodrigo
Date
Banco Central de Chile, 2010
Subject
POLÍTICA MONETARIA; BANCOS CENTRALES; CRISIS FINANCIERA
The financial developments of the last decade had a large impact on the management of risk providing more diversified portfolios to investors. Based on these complex financial contracts investors were able to shift the investment possibilities frontier outward however that movement generated intricate ...
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Toward an operational framework for financial stability: 'fuzzy' measurement and its consequences 

Author
Borio, Claudio; Drehemann, Mathias
Date
Banco Central de Chile, 2010
Subject
ESTABILIDAD ECONÓMICA; BANCOS CENTRALES
Over the last decade or so, addressing financial instability ¿has risen to the top of national and international policy agendas. Policymakers in general and central banks in particular have been allocating increasing resources to the monitoring of potential threats to financial stability and the ...
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