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2016 Financial Stability Report

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  • Office of Financial Research

Abstract

No abstract is available for this item.

Suggested Citation

  • Office of Financial Research (ed.), 2016. "2016 Financial Stability Report," Reports, Office of Financial Research, US Department of the Treasury, number 16-02.
  • Handle: RePEc:ofr:report:16-02
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    File URL: https://www.financialresearch.gov/financial-stability-reports/files/OFR_2016_Financial-Stability-Report.pdf
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    References listed on IDEAS

    as
    1. David C. Johnson, 2015. "Private Fund Data Shed Light on Liquidity Funds," Briefs 15-05, Office of Financial Research, US Department of the Treasury.
    2. Viktoria Baklanova & Adam Copeland & Rebecca McCaughrin, 2015. "Reference Guide to U.S. Repo and Securities Lending Markets," Working Papers 15-17, Office of Financial Research, US Department of the Treasury.
    3. Mark D. Flood & Phillip Monin, 2016. "Form PF and Hedge Funds: Risk-measurement Precision for Option Portfolios," Working Papers 16-02, Office of Financial Research, US Department of the Treasury.
    4. Richard Neuberg & Paul Glasserman & Benjamin Kay & Sriram Rajan, 2016. "The Market-implied Probability of European Government Intervention in Distressed Banks," Working Papers 16-10, Office of Financial Research, US Department of the Treasury.
    5. Ted Berg, 2015. "Quicksilver Markets," Briefs 15-02, Office of Financial Research, US Department of the Treasury.
    6. Mr. Bas B. Bakker & Mr. Giovanni Dell'Ariccia & Mr. Luc Laeven & Mr. Jerome Vandenbussche & Ms. Deniz O Igan & Mr. Hui Tong, 2012. "Policies for Macrofinancial Stability: How to Deal with Credit Booms," IMF Staff Discussion Notes 2012/006, International Monetary Fund.
    7. Benjamin Munyan, 2015. "Regulatory Arbitrage in Repo Markets," Working Papers 15-22, Office of Financial Research, US Department of the Treasury.
    8. Theodore Berg, 2015. "Quicksilver Markets," World Economics, World Economics, 1 Ivory Square, Plantation Wharf, London, United Kingdom, SW11 3UE, vol. 16(2), pages 11-32, April.
    9. Flood, M. D. & Jagadish, H. V. & Raschid, L., 2016. "Big data challenges and opportunities in financial stability monitoring," Financial Stability Review, Banque de France, issue 20, pages 129-142, April.
    10. Claudio Borio & Mathias Drehmann, 2009. "Assessing the risk of banking crises - revisited," BIS Quarterly Review, Bank for International Settlements, March.
    11. Bert Loudis & Meraj Allahrakha, 2016. "Systemic Importance Data Shed Light on Global Banking Risks," Briefs 16-03, Office of Financial Research, US Department of the Treasury.
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