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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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Tüm Alanlar
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Arama Sonuçlarını Sınırlandır
Daraltılmış:
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Yazar: International Monetary Fund. Monetary and Capital Markets Dept.
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Language: English
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Yayın Yılı: 2006
Yazar
Dahil
Hariç
ProQuest (Firm)
(9)
Arnone, Marco.
(2)
Laurens, Bernard.
(2)
Segalotto, Jean-François.
(2)
Berger, Helge.
(1)
Bolt, Wilko.
(1)
Heenan, Geoffrey.
(1)
Kazarian, Elias G., 1957-
(1)
Lybek, Tonny.
(1)
Nitsch, Volker.
(1)
Padilla, Pablo.
(1)
Papaioannou, Michael G.
(1)
Peter, Marcel.
(1)
Roger, Scott.
(1)
Segoviano, Miguel A.
(1)
Tieman, Alexander F.
(1)
Vandenbussche, Jérôme.
(1)
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(9)
Monetary policy.
(2)
Anti-inflationary policies.
(1)
Bank capital.
(1)
Bank investments.
(1)
Bank loans.
(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, Central.
(1)
Committees.
(1)
Competition -- Mathematical models.
(1)
Credit -- Econometric models.
(1)
Debts, Public -- Econometric models.
(1)
Equilibrium (Economics)
(1)
Game theory.
(1)
Government securities -- Econometric models.
(1)
Inflation (Finance)
(1)
Interest rates -- Econometric models.
(1)
Liquidity (Economics) -- Econometric models.
(1)
Monetary policy -- Decision making.
(1)
Monetary policy -- Developing countries.
(1)
Monetary policy -- Econometric models.
(1)
Monetary policy -- OECD countries.
(1)
Risk -- Econometric models.
(1)
Risk.
(1)
Securities -- European Union countries.
(1)
Securities industry -- European Union countries.
(1)
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Portfolio credit risk and macroeconomic shocks applications to stress testing under data-restricted environments
1.
Portfolio credit risk and macroeconomic shocks applications to stress testing under data-restricted environments
by
Segoviano, Miguel A.
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On myopic equilibria in dynamic games with endogenous discounting
2.
On myopic equilibria in dynamic games with endogenous discounting
by
Bolt, Wilko.
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A primer for risk measurement of bonded debt from the perspective of a sovereign debt manager
3.
A primer for risk measurement of bonded debt from the perspective of a sovereign debt manager
by
Papaioannou, Michael G.
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Central bank boards around the world why does membership size differ?
4.
Central bank boards around the world why does membership size differ?
by
Berger, Helge.
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Measures of central bank autonomy empirical evidence for OECD, developing, and emerging market economies
5.
Measures of central bank autonomy empirical evidence for OECD, developing, and emerging market economies
by
Arnone, Marco.
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The measurement of central bank autonomy survey of models, indicators, and empirical evidence
6.
The measurement of central bank autonomy survey of models, indicators, and empirical evidence
by
Arnone, Marco.
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Integration of the securities market infrastructure in the European Union policy and regulatory issues
7.
Integration of the securities market infrastructure in the European Union policy and regulatory issues
by
Kazarian, Elias G., 1957-
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Implementing inflation targeting institutional arrangements, target design, and communications
8.
Implementing inflation targeting institutional arrangements, target design, and communications
by
Heenan, Geoffrey.
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Elements of optimal monetary policy committee design
9.
Elements of optimal monetary policy committee design
by
Vandenbussche, Jérôme.
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