Index
Indranarain Ramlall
(University of Mauritius, Mauritius)
Understanding Financial Stability
ISBN: 978-1-78756-834-1, eISBN: 978-1-78756-833-4
Publication date: 4 December 2018
This content is currently only available as a PDF
Citation
Ramlall, I. (2018), "Index", Understanding Financial Stability (The Theory and Practice of Financial Stability, Vol. 1), Emerald Publishing Limited, Leeds, pp. 137-142. https://doi.org/10.1108/978-1-78756-833-420181006
Publisher
:Emerald Publishing Limited
Copyright © 2019 Emerald Publishing Limited
INDEX
ABCP. See Asset-Backed Commercial Paper (ABCP)
Acharya, V.
, 84, 85
Adverse selection
, 88–89
AI. See Artificial intelligence (AI)
API. See Application Program Interface (API)
Application Program Interface (API)
, 77
Article IV consultations
, 38
Artificial intelligence (AI)
, 77
Asian financial crisis (1997–1998)
, 86
Asset-Backed Commercial Paper (ABCP)
, 85
Asset-backed securities, working mechanism of
, 117
Asset price bubbles
, 89–92
Azerbaijan
, 59
Balance of payments crisis
, 101
Bangladesh
, 60
Banking crises
causes of
, 94–96
costs of
, 96
Banking sector
, 56–57
Bank managers
, 4
Bank of Albania
, 21–24
Bank of Canada
, 20–21
Bank of England
, 19
The Bank of Greece
, 18
‘Bankruptcy remote’
, 119
Banque de France
, 18
Barnett, W. A.
, 105
Basel Committee on Banking Supervision (BCBS)
, 25
BCBS. See Basel Committee on Banking Supervision (BCBS)
Behavioural finance
, 101–102
Beltratti, A.
, 6
Big Data analytics
, 74
Binary metrics of financial stability
, 53
Biometrics
, 78
Bitcoins
, 75–80
1987 Black Monday
, 86
Boer, M.
, 75
Bond valuation methods
, 2
Boom/bust analysis of markets
, 91
Bordo, M.
, 97
Born, B.
, 34
Brennan, S.
, 9
Bretton Woods global system
, 97
Broz, J. L.
, 31
Business loans
, 79
Capital, defined
, 8
Capital markets
, 14
Capital structure of firms
, 2
Caprio, G.
, 31
CBOs. See Collateralised Bond Obligation (CBOs)
CDOs. See Collateralised Debt Obligations (CDOs)
CDS. See Credit default swaps (CDS)
Central Bank of Armenia
, 19
Central Bank of Bahrain
, 17
Central Bank of Germany
, 21
Central Bank of Iceland
, 19
Central Bank of Namibia
, 20
The Central Bank of Nepal
, 20
The Central Bank of Swaziland
, 17
Central Bank of the Kingdom of Denmark
, 15
Central Bank of the Republic of Austria
, 18
Central Bank of the Republic of Hungary
, 17–18
Central banks’ required reserve ratios
, 121–123
Christensson, J.
, 34
CLOs. See Collateralised Loan Obligation (CLOs)
Cloud computing
, 74
CMOs. See Collateralised Mortgage Obligations (CMOs)
Collateralised Bond Obligation (CBOs)
, 117
Collateralised Debt Obligations (CDOs)
, 117
Collateralised Loan Obligation (CLOs)
, 117
Collateralised Mortgage Obligations (CMOs)
, 117
Commercial banks
, 85
Commodities investment
, 6
Commodity markets
, 14
Continuous metrics of financial stability
, 53
Core capital
, 8
Corporate sector
, 57–58, 66
Correa, R.
, 34
Credit crunch
, 127
Credit default swaps (CDS)
, 35
Credit frictions
, 88–89
Credit provision
, 6
Crowdfunding platforms
, 79
Cryptocurrencies
, 76, 80
Cryptography
, 78
Cukierman, A.
, 36
Currency crises
, 96–100
Cyberattacks
, 75
Cyber-security
, 75
Danmarks Nationalbank
, 15
Debt crisis
, 102
Degree of short terminism
, 50
Denmark
, 60–61
Deposit insurance
, 94
Deposit margin
, 127
Derivatives markets
, 14, 27
The Deutsche Bundesbank
, 21
Diamond, D. W.
, 52
Digital-based crises
, 106
Digital payments
, 79
Discredited theory
, 4–5
Distributed ledger technology (DLT)
, 77–78
DLT. See Distributed ledger technology (DLT)
Domestic debt crises
, 102
Dot-com bubble
, 87
DSGE models. See Dynamic Stochastic General Equilibrium (DSGE) models
Dynamic Stochastic General Equilibrium (DSGE) models
, 11
‘Dysfunctional finance’
, 9
ECB. See European Central Bank (ECB)
ECF. See Extended Credit Facility (ECF)
ECH. See Electronic clearing house (ECH)
Efficient market hypothesis
, 101
Ehrmann, M.
, 34
Eichengreen, B.
, 97
Electronic clearing house (ECH)
, 64
Elson, A.
, 101
E-money
, 79
ETFs. See Exchange Traded Funds (ETFs)
European Central Bank (ECB)
, 15–16
European Systemic Risk Board Recommendation
, 100
Eurosystem
, 62
Exchange Traded Funds (ETFs)
, 127
Extended Credit Facility (ECF)
, 60
External debt crisis
, 102
FDI. See Foreign Direct Investment (FDI)
The Federal Reserve Bank in US
, 20
FIFIM. See Financial Intermediation Services Indirectly Measured (FIFIM)
Fijian financial system
, 21
Finance
defined
, 1–2
discredited theory in
, 4–5
features in
, 3–4
great recession
, 8
illusionary contribution of
, 9–10
insolvency risk versus illiquidity risk
, 8
misinterpreted role of
, 10–11
provision of goods and services
, 3
self-interest of bank managers
, 4
shortcomings embedded in
, 5–7
solutions to identified shortcomings
, 7–8
Financial crises
costs of
, 106–107
effects of
, 87
features of
, 87–88
management
, 105
theories of
asset price bubbles
, 89–92
balance of payments crisis
, 101
banking crises
, 92–94
behavioural finance
, 101–102
credit frictions and market freezes
, 88–89
currency crises
, 96–100
debt crisis
, 102
failures of existing theories
, 104–105
systemic liquidity crises
, 103
with trend shifting to digital currencies
, 105–106
types of
, 85–87
Financial Crisis Inquiry Commission
, 73
Financial instability
, 16, 30
Financial Intermediation Services Indirectly Measured (FIFIM)
, 50
Financial lease
, 128
Financial Policy Committee
, 19
Financial Sector Assessment Programme (FSAP)
, 36–42
Financial Soundness Indicators (FSIs)
, 38
Financial stability
analyst
, 53
defined by different institutions worldwide
Bank of Albania
, 21–24
Bank of Canada
, 20–21
Bank of England
, 19
The Bank of Greece
, 18
Banque de France
, 18
Central Bank of Armenia
, 19
Central Bank of Bahrain
, 17
Central Bank of Iceland
, 19
Central Bank of Namibia
, 20
The Central Bank of Swaziland
, 17
Central Bank of the Kingdom of Denmark
, 15
The Deutsche Bundesbank – Central Bank of Germany
, 21
European Central Bank
, 15–16
The Federal Reserve Bank in US
, 20
The Magyar Nemzeti Bank – Central Bank of the Republic of Hungary
, 17–18
National Bank of Georgia
, 16–17
Nepal Rastra Bank – The Central Bank of Nepal
, 20
The Oesterreichische Nationalbank (OeNB) – Central Bank of the Republic of Austria
, 18
Reserve Bank of Australia
, 16
Reserve Bank of Fiji
, 21
dynamic issue
, 28
predictability/resilience
, 28
risks
, 28, 55–66
Financial Stability Board (FSB)
, 42, 71–80
Financial Stability Reports (FSRs)
, 33–36
Financial system
, 27–28
metrics of
, 48–52
FinTech
, 71–81
Foreign debt crisis
, 102
Foreign Direct Investment (FDI)
, 102
Foreign exchange markets
, 14
Fratzscher, M.
, 34
Frieden, J. A.
, 31
FSAP. See Financial Sector Assessment Programme (FSAP)
FSB. See Financial Stability Board (FSB)
FSIs. See Financial Soundness Indicators (FSIs)
FSRs. see Financial Stability Reports (FSRs)
‘The Future of Finance’
, 6
Garud, K.
, 34
GFSR. See Global Financial Stability Report (GFSR)
Glass-Steagall Banking Act of
, 1933, 111
Global Financial Stability Report (GFSR)
, 43–44
Global shocks
, 101
Goodhart, C.
, 8, 106
Gorton, G.
, 84
Great depression
, 8
Great recession
, 8–9
Gujarati, D.
, 21
Haggard, S.
, 31
Haldane, A.
, 9, 27, 84
Healthy financial system
, 19
Household sector
, 58
Hughes, J. P.
, 4
IMF. See International Monetary Fund (IMF)
Inadequate economic policy
, 18
Inefficient resource allocation
, 18
Information asymmetry
, 2
Institute of International Finance
, 71
International Monetary Fund (IMF)
, 9
global financial stability report
, 43–44
International remittances
, 79
Internet of Things (IoT)
, 77
Intertemporal dimensions
, 2
IoT. See Internet of Things (IoT)
Italian Banking Association
, 63
Italy
, 61–63
Kindleberger–Minsky model
, 90
Laeven, L.
, 85
Lending margin
, 127
Liabilities side currency risk
, 99
Liquidity risks
, 8
Local shocks
, 111
Londono, J. M.
, 34
Long-term capital management (LTCM)
, 86
LTCM. See Long-term capital management (LTCM)
Machine learning
, 77
Macroeconomic liquidity risk
, 111
Macroeconomic models
, 104–105
Madouros, V.
, 9
The Magyar Nemzeti Bank
, 17–18
Market freezes
, 88–89
Mauritius
, 10, 63–64
Mester, L. J.
, 4
Metrics of financial system
, 48–52
Mislang, N.
, 34
Monetary stability
, 44–45
Money markets
, 14
Moore’s Law
, 27
Moral hazard problem
, 94
Mortgage-backed securities
, 118
Muñoz, S.
, 35
National Bank of Georgia (NBG)
, 16–17
National Bureau of Economic Research
, 101
National Financial Inclusion Framework (NFIF)
, 65
NBG. See National Bank of Georgia (NBG)
Nepal Rastra Bank
, 20
Net interest income
, 127
NFIF. See National Financial Inclusion Framework (NFIF)
Ng, T.
, 33
Non-bank financial institutions
, 58–59
Non-credible exchange rate mechanism
, 18
Non-regulatory approach
, 9
OeNB. See Oesterreichische Nationalbank (OeNB)
Oesterreichische Nationalbank (OeNB)
, 18
Off-balance sheets
, 50
1973 Oil crisis
, 86
On-balance hike
, 50
Operating lease
, 128
Peer-to-peer (P2P) lending platforms
, 79
Personal loans
, 79
Political economy
, 31
Ponzi scheme
, 90
Primary surplus/deficit
, 127
Private equity
, 6
Prompt action
, 81
Prudential Regulation Authority
, 19
Public sector
, 57
Rapid liberalisation of financial sector
, 18
Real estate sector
, 59
Regulatory Affairs of Institute of International Finance
, 74
Regulatory capital
, 8
Reinhart, C.
, 28, 30
Repo transaction
, 127
Reserve Bank of Australia
, 16
Reserve Bank of Fiji
, 21
Resilient financial system
, 16
Robo-advisors
, 79
Rogoff, K.
, 28
Rule-based approach
, 104
Saunders, A.
, 4
Schoenmaker, D.
, 29, 34
Second-generation model of currency crises
, 99
Securitisation
, 3, 27
Sharifuddin, S. T.
, 35
Sharpe index
, 128
Single driving force
, 2
Slovenian economy
, 55–56
Slovenian household sector
, 58
Smart contracts
, 78
Smooth-functioning financial system
, 15
Solow, R.
, 104
Special purpose vehicle
, 119
Spong, K.
, 34
Stable financial system
, 15, 16
‘Stockholder controlled’ banks
, 4
Stress testing
, 80
Strock, E.
, 4
Stulz, R. M.
, 6
Supplementary capital
, 8
Svensson, L. E. O.
, 35
Sveriges Riksbank
, 35
Sweden
, 65–66
Swedish banking system
, 65
Syndicated loans
, 127
Systemic liquidity crises
, 103
Tanzania
, 64–65
Tanzania Interbank Settlement System (TISS)
, 64
Third generation of crisis models
, 99–100
Tier 1 capital
, 8
Tier 2 capital
, 8
Tintchev, K.
, 35
TISS. See Tanzania Interbank Settlement System (TISS)
‘Transfer-enhance-sell’ approach
, 119
Transmission mechanism of monetary policy
, 45
Travlos, N.
, 4
Trichet, J-C.
, 104–105
Tsomocos, D.
, 106
Turner, A.
, 6, 7, 8, 49
UK banking system change (1964–2007)
, 66–69
Underpriced risks
, 10
US subprime crisis of
, 2007, 108–113
consequences and implications of
, 113–116
Valencia, F.
, 85
Vayid, I.
, 33, 34
Vazquez, J.
, 75, 76
Weak supervision
, 18
Wilkinson, J.
, 34
Woolley, P.
, 9, 10, 11
- Prelims
- Chapter 1 Finance, Incentive Structures and the Financial System
- Chapter 2 Concept of Financial Stability Demystified
- Chapter 3 Financial Stability Reports
- Chapter 4 Country Experiences with Respect to Financial Stability
- Chapter 5 FinTech and the Financial Stability Board
- Chapter 6 Financial Crises
- Appendix 1: Working Mechanism of Asset-backed Securities
- Appendix 2: Required Reserve Ratios for Different Central Banks in the World
- Appendix 3: List of Some Important Websites and Databases
- Glossary
- References
- Index