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Bütün Kütüphaneler
Elektronik Kaynaklar
Hepsi
Başkent Üniversitesi Kütüphanesi
Anadolu OSB Meslek Yüksekokulu
Atasev Özel Koleksiyon
Erdoğan Tercan Koleksiyonu
Güzel Sanatlar ve Tasarım Arşivi
Kazan Meslek Yüksekokulu
Hukuk Koleksiyonu
Ord.Prof.Dr. Enver Ziya Karal Tarih Uygulama Ars.Mrk.
Özel Koleksiyon Serdar Özersin
Tez Koleksiyonu
Tüm Alanlar
Başlık
Yazar
Konu
ISBN
ISSN
13
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Yazar: International Monetary Fund. Monetary and Capital Markets Dept.
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Konu: Electronic books.
Yazar
Dahil
Hariç
ProQuest (Firm)
(33)
Laurens, Bernard.
(3)
Roger, Scott.
(3)
Adelegan, Olatundun Janet.
(2)
Arnone, Marco.
(2)
Hesse, Heiko.
(2)
Segalotto, Jean-François.
(2)
Sun, Tao, 1970-
(2)
Adler, Gustavo, 1974-
(1)
Aitken, James.
(1)
Allain, Laurence.
(1)
Anderson, Harald.
(1)
Berger, Helge.
(1)
Bolt, Wilko.
(1)
Capuano, Christian, 1975-
(1)
Carvajal, Ana.
(1)
Chailloux, Alexandre.
(1)
Durré, Alain.
(1)
Elliott, Jennifer A., 1962-
(1)
Freedman, Charles.
(1)
García, Carlos (García Brun)
(1)
González-Hermosillo, Brenda.
(1)
Habermeier, Karl Friedrich.
(1)
Hartelius, Kristian.
(1)
Heenan, Geoffrey.
(1)
Impavido, Gregorio.
(1)
International Monetary Fund. European Dept.
(1)
International Monetary Fund. Middle East and Central Asia Dept.
(1)
Kashiwase, Kenichiro.
(1)
Kazarian, Elias G., 1957-
(1)
Kodres, Laura E.
(1)
Kokenyne, Annamaria.
(1)
Lu, Yinqiu.
(1)
Lybek, Tonny.
(1)
Maechler, Andrea M.
(1)
Mansilla, Mario.
(1)
Neftci, Salih N.
(1)
Nitsch, Volker.
(1)
Ong, Li Lian.
(1)
Oulidi, Nada.
(1)
Padilla, Pablo.
(1)
Papaioannou, Michael G.
(1)
Peter, Marcel.
(1)
Radzewicz-Bak, Bozena.
(1)
Restrepo, Jorge.
(1)
Saadi-Sedik, Tahsin.
(1)
Segoviano, Miguel A.
(1)
Singh, Manmohan, 1964-
(1)
Tieman, Alexander F.
(1)
Tower, Ian.
(1)
Trebesch, Christoph.
(1)
Vandenbussche, Jérôme.
(1)
Veyrune, Romain.
(1)
Wezel, Torsten.
(1)
Zhang, Xiaojing.
(1)
Zhongguo she hui ke xue yuan.
(1)
Ötker, İnci.
(1)
Čihák, Martin.
(1)
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English
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2009
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2006
(9)
2012
(4)
2008
(2)
2007
(1)
Konu
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Monetary policy.
(6)
Inflation (Finance)
(4)
Global Financial Crisis, 2008-2009.
(3)
Anti-inflationary policies.
(2)
Banks and banking -- State supervision -- Spain.
(2)
Banks and banking, Central.
(2)
Insurance -- State supervision -- Spain.
(2)
Liquidity (Economics) -- Econometric models.
(2)
Securities -- State supervision -- Spain.
(2)
Bank capital.
(1)
Bank investments.
(1)
Bank loans.
(1)
Banks and banking -- Australia.
(1)
Banks and banking -- Europe.
(1)
Banks and banking -- State supervision -- Uruguay.
(1)
Banks and banking -- United States.
(1)
Banks and banking, Central -- Law and legislation -- Developing countries.
(1)
Banks and banking, Central -- Law and legislation -- OECD countries.
(1)
Banks and banking, Central -- Management -- Econometric models.
(1)
Banks and banking, Cooperative.
(1)
Banks and banking, Foreign.
(1)
Bond market -- Africa, Sub-Saharan -- Econometric models.
(1)
Bonds -- Developing countries -- Econometric models.
(1)
Capital market -- Africa, Sub-Saharan -- Econometric models.
(1)
Capital movements -- Developing countries.
(1)
China -- Economic conditions -- 2000-
(1)
Commercial products -- Economic aspects -- Developing countries.
(1)
Committees.
(1)
Competition -- Mathematical models.
(1)
Credit -- Econometric models.
(1)
Credit -- Management -- Mathematical models.
(1)
Credit -- Morocco -- Mathematical models.
(1)
Credit -- Risk assessment.
(1)
Credit control -- Morocco -- Mathematical models.
(1)
Credit ratings -- Developing countries -- Econometric models.
(1)
Crisis management -- Australia.
(1)
Debt -- Spain.
(1)
Debts, External -- Spain.
(1)
Debts, Public -- Econometric models.
(1)
Debts, Public.
(1)
Derivative securities -- South Africa.
(1)
Developing countries -- Economic conditions.
(1)
Developing countries -- Economic policy.
(1)
Economic development -- Africa, Sub-Saharan -- Econometric models.
(1)
Economic development -- Developing countries.
(1)
Economic indicators -- Spain.
(1)
Economic stabilization.
(1)
Equilibrium (Economics)
(1)
Finance -- United States.
(1)
Financial crises -- Econometric models.
(1)
Financial crises -- Spain.
(1)
Fiscal policy.
(1)
Foreign exchange rates.
(1)
Game theory.
(1)
Government securities -- Econometric models.
(1)
Inflation targeting.
(1)
Insurance.
(1)
Interest rates -- Econometric models.
(1)
Interest rates.
(1)
Liquidity (Economics)
(1)
Monetary policy -- Decision making.
(1)
Monetary policy -- Developing countries.
(1)
Monetary policy -- Econometric models.
(1)
Monetary policy -- OECD countries.
(1)
Options (Finance) -- Developing countries.
(1)
Pensions.
(1)
Prices -- Developing countries.
(1)
Revenue -- Developing countries.
(1)
Risk -- Econometric models.
(1)
Risk management -- Econometric models.
(1)
Risk management -- South Africa.
(1)
Risk management -- United States.
(1)
Risk management.
(1)
Risk.
(1)
Securities -- European Union countries.
(1)
Securities fraud.
(1)
Securities industry -- European Union countries.
(1)
Securities industry.
(1)
Stock exchanges -- China.
(1)
Time-series analysis -- Econometric models.
(1)
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Spillovers of the U.S. subprime financial turmoil to mainland China and Hong Kong SAR evidence from stock markets
13.
Spillovers of the U.S. subprime financial turmoil to mainland China and Hong Kong SAR evidence from stock markets
by
Sun, Tao, 1970-
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Counterparty risk, impact on collateral flows, and role for central counterparties
14.
Counterparty risk, impact on collateral flows, and role for central counterparties
by
Singh, Manmohan, 1964-
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Inflation targeting at 20 achievements and challenges
15.
Inflation targeting at 20 achievements and challenges
by
Roger, Scott.
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The derivatives market in South Africa lessons for Sub-Saharan African countries
16.
The derivatives market in South Africa lessons for Sub-Saharan African countries
by
Adelegan, Olatundun Janet.
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Modernizing bank regulation in support of financial deepening the case of Uruguay
17.
Modernizing bank regulation in support of financial deepening the case of Uruguay
by
Adler, Gustavo, 1974-
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Hybrid inflation targeting regimes
18.
Hybrid inflation targeting regimes
by
Roger, Scott.
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Revised system for the classification of exchange rate arrangements
19.
Revised system for the classification of exchange rate arrangements
by
Habermeier, Karl Friedrich.
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What determines bond market development in Sub-Saharan Africa?
20.
What determines bond market development in Sub-Saharan Africa?
by
Adelegan, Olatundun Janet.
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Global market conditions and systemic risk
21.
Global market conditions and systemic risk
by
González-Hermosillo, Brenda.
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Financial instruments to hedge commodity price risk for developing countries
22.
Financial instruments to hedge commodity price risk for developing countries
by
Lu, Yinqiu.
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Emerging market spread compression is it real or is it liquidity?
23.
Emerging market spread compression is it real or is it liquidity?
by
Hartelius, Kristian.
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Cooperative banks and financial stability
24.
Cooperative banks and financial stability
by
Hesse, Heiko.
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