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Reconciling the Two Views

Michael Chui and Prasanna Gai

in Private Sector Involvement and International Financial Crises: An Analytical Perspective

Published in print:
2005
Published Online:
July 2005
ISBN:
9780199267750
eISBN:
9780191602504
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/0199267758.003.0005
Subject:
Economics and Finance, Financial Economics

Articulates the basics of global games. Applies the global game arguments of Morris and Shin (1998, 2000) to sovereign liquidity crises and shows how the fundamental and sunspot views of crisis can ... More


Liquidity Management and Assets-Liabilities Strategy

Hrishikes Bhattacharya

in Banking Strategy, Credit Appraisal, and Lending Decisions: A Risk–Return Framework

Published in print:
2011
Published Online:
September 2012
ISBN:
9780198074106
eISBN:
9780199080861
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780198074106.003.0002
Subject:
Economics and Finance, Financial Economics

This chapter discusses liquidity management theories such as the commercial loan theory, shiftable theory, and anticipated income theory. It assesses the reasons for most liquidity problems of banks, ... More


Systemic Risk: The Dynamics of Modern Financial Systems

Prasanna Gai

Published in print:
2013
Published Online:
May 2013
ISBN:
9780199544493
eISBN:
9780191747175
Item type:
book
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199544493.001.0001
Subject:
Economics and Finance, Financial Economics

This book opens new ground in the study of financial crises. It treats the financial system as a complex adaptive system and shows how lessons from network disciplines—such as ecology, epidemiology, ... More


Sovereign Debt Workouts

Michael Chui and Prasanna Gai

in Private Sector Involvement and International Financial Crises: An Analytical Perspective

Published in print:
2005
Published Online:
July 2005
ISBN:
9780199267750
eISBN:
9780191602504
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/0199267758.003.0009
Subject:
Economics and Finance, Financial Economics

Explains how policymakers must trade the ex-post costs of creditor coordination failure, which can help discipline sovereign debtors, against the ex-ante costs of debtor moral hazard. The threat of a ... More


Central Banks, Liquidity, and the Banking Crisis 1

Philip Turner

in Time for a Visible Hand: Lessons from the 2008 World Financial Crisis

Published in print:
2010
Published Online:
February 2010
ISBN:
9780199578801
eISBN:
9780191723285
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199578801.003.0006
Subject:
Economics and Finance, Macro- and Monetary Economics, Financial Economics

Turner examines the principles underlying central bank liquidity actions taken during the financial crisis. The toolkit of central banks has expanded dramatically. A bigger toolkit seems always ... More


How do Governments Privatize?

BERNARDO BORTOLOTTI DOMENICO SINISCALCO

in The Challenges of Privatization: An International Analysis

Published in print:
2004
Published Online:
April 2004
ISBN:
9780199249343
eISBN:
9780191600845
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/0199249342.003.0005
Subject:
Economics and Finance, Financial Economics

When designing a divestiture program, governments typically pursue different – and sometimes conflicting – objectives. The main goals are the following: revenue maximization, share ownership ... More


Calculating the Discount Rate for Closely Held Firms

Michael S. Long and Thomas A. Bryant

in Valuing the Closely Held Firm

Published in print:
2007
Published Online:
January 2008
ISBN:
9780195301465
eISBN:
9780199867288
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780195301465.003.0007
Subject:
Economics and Finance, Financial Economics

This chapter shows how to estimate the required return for a closely held firm. It begins by reviewing the required return for a public firm. It then focuses on additional adjustments required to ... More


Banking Strategy, Credit Appraisal, and Lending Decisions: A Risk–Return Framework

Hrishikes Bhattacharya

Published in print:
2011
Published Online:
September 2012
ISBN:
9780198074106
eISBN:
9780199080861
Item type:
book
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780198074106.001.0001
Subject:
Economics and Finance, Financial Economics

Banks and financial institutions are faced with two apparently conflicting phenomena — interest rate deregulation on the one hand and capital adequacy requirements and prudential norms on the other. ... More


Banking Strategy

Hrishikes Bhattacharya

in Banking Strategy, Credit Appraisal, and Lending Decisions: A Risk–Return Framework

Published in print:
2011
Published Online:
September 2012
ISBN:
9780198074106
eISBN:
9780199080861
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780198074106.003.0003
Subject:
Economics and Finance, Financial Economics

This chapter begins with a description of financial sector reforms in India and their impact on banks and financial institutions. It then discusses changes in savings and investment behaviour, and ... More


New Era of Lending: Tandon Committee and Its Aftermath

Hrishikes Bhattacharya

in Banking Strategy, Credit Appraisal, and Lending Decisions: A Risk–Return Framework

Published in print:
2011
Published Online:
September 2012
ISBN:
9780198074106
eISBN:
9780199080861
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780198074106.003.0012
Subject:
Economics and Finance, Financial Economics

This chapter focuses on the lending system proposed by the Tandon Committee in 1975, which was later perfected by the Chore Group The greatest strength of this system lay in its simplicity and ... More


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