Content
2017, Volume 2016, Issue 2
2016, Volume 2016, Issue 2
- 1-55 The evolution of insurer portfolio investment strategies for long-term investing
by Helmut Gründl & Ming (Ivy) Dong & Jens Gal
2016, Volume 2016, Issue 1
- 1-36 Estimating the size and incidence of bank resolution costs for selected banks in OECD countries
by Marianna Blix Grimaldi & Jörg Hofmeister & Sebastian Schich & Daniel Snethlage - 1-47 Analytical tools for the insurance market and macro-prudential surveillance
by W. Jean Kwon & Leigh Wolfrom
2016, Volume 2015, Issue 2
- 7-27 Evaluating capital flow management measures used as macro-prudential tools
by Adrian Blundell-Wignall & Caroline Roulet - 29-61 Reducing and sharing the burden of bank failures
by Jessica Cariboni & Alessandro Fontana & Sven Langedijk & Sara Maccaferri & Andrea Pagano & Marco Petracco Giudici & Michela Rancan & Sebastian Schich - 63-90 Financial risks in the low-growth, low-interest rate environment
by Oecd
2016, Volume 2015, Issue 1
- 7-23 Finance and climate: The transition to a low-carbon and climate-resilient economy from a financial sector perspective
by Jean Boissinot & Doryane Huber & Gildas Lame - 25-47 Financial instruments for managing disaster risks related to climate change
by Leigh Wolfrom & Mamiko Yokoi-Arai - 49-84 Opportunities and limitations of public equity markets for SMEs
by Iota Kaousar Nassr & Gert Wehinger
2015, Volume 2014, Issue 2
- 7-45 Infrastructure versus other investments in the global economy and stagnation hypotheses: What do company data tell us?
by Adrian Blundell-Wignall & Caroline Roulet - 47-61 Tracing the origins of the financial crisis
by Paul Ramskogler - 63-88 Why implicit bank debt guarantees matter: Some empirical evidence
by Oliver Denk & Sebastian Schich & Boris Cournède - 89-190 Unlocking SME finance through market-based debt: Securitisation, private placements and bonds
by Iota Kaousar Nassr & Gert Wehinger
2014, Volume 2014, Issue 1
- 7-37 Improving the monitoring of the value of implicit guarantees for bank debt
by Sebastian Schich & Michiel Bijlsma & Remco Mocking - 39-67 Measurement and analysis of implicit guarantees for bank debt: OECD survey results
by Sebastian Schich & Yesim Aydin - 69-98 Policy responses to the issue of implicit bank debt guarantees: OECD survey results
by Sebastian Schich & Yesim Aydin - 99-121 Problems in the international financial system
by Adrian Blundell-Wignall & Caroline Roulet - 123-138 Financing infrastructure – International trends
by Raffaele Della Croce & Stefano Gatti - 139-162 Non-bank debt financing for SMEs: The role of securitisation, private placements and bonds
by Iota Kaousar Nassr & Gert Wehinger
2014, Volume 2013, Issue 2
- 7-28 Macro-prudential policy, bank systemic risk and capital controls
by Adrian Blundell-Wignall & Caroline Roulet - 29-42 Capital controls on inflows, the global financial crisis and economic growth: Evidence for emerging economies
by Adrian Blundell-Wignall & Caroline Roulet - 43-68 Bank business models and the Basel system: Complexity and interconnectedness
by Adrian Blundell-Wignall & Paul Atkinson & Caroline Roulet - 69-91 Bank business models and the separation issue
by Adrian Blundell-Wignall & Paul Atkinson & Caroline Roulet - 93-114 Institutional investors and ownership engagement
by Serdar Çelik & Mats Isaksson - 115-148 SMEs and the credit crunch: Current financing difficulties, policy measures and a review of literature
by Gert Wehinger
2013, Volume 2013, Issue 1
- 7-30 Bank lending puzzles: Business models and the responsiveness to policy
by Adrian Blundell-Wignall & Caroline Roulet - 31-38 Structural reform and supervision of the banking sector in France
by Édouard Fernandez-Bollo - 39-52 Long-term investment, the cost of capital and the dividend and buyback puzzle
by Adrian Blundell-Wignall & Caroline Roulet - 53-84 Equity markets, corporate governance and value creation
by Mats Isaksson & Serdar Çelik
2013, Volume 2012, Issue 2
- 7-34 Business models of banks, leverage and the distance-to-default
by Adrian Blundell-Wignall & Caroline Roulet - 35-65 Developments in the value of implicit guarantees for bank debt: The role of resolution regimes and practices
by Sebastian Schich & Byoung-Hwan Kim - 67-78 The future of the Asian economic and financial community
by Rintaro Tamaki - 79-88 Banking in a challenging environment: Business models, ethics and approaches towards risks
by Gert Wehinger
2012, Volume 2012, Issue 1
- 7-44 Deleveraging, Traditional versus Capital Markets Banking and the Urgent Need to Separate and Recapitalise G-SIFI Banks
by Adrian Blundell-Wignall & Paul Atkinson - 45-63 Implicit guarantees for bank debt: where do we stand?
by Sebastian Schich & Sofia Lindh - 65-79 Bank deleveraging, the move from bank to market-based financing, and SME financing
by Gert Wehinger - 81-112 Global imbalances and the development of capital flows among Asian countries
by Naoyuki Yoshino
2012, Volume 2011, Issue 2
- 3-3 Foreword
by Hans J. Blommestein & Ahmet Keskinler & Perla Ibarlucea Flores - 9-19 Managing Crises without Government Guarantees: How Do We Get There?
by Christine M. Cumming - 21-45 Sovereign and Banking Sector Debt: Interconnections through Guarantees
by Arturo Estrella & Sebastian Schich - 47-72 Public Guarantees on Bank Bonds: Effectiveness and Distortions
by Giuseppe Grande & Aviram Levy & Fabio Panetta & Andrea Zaghini - 73-84 The Potential Impact of Banking Crises on Public Finances: An Assessment of Selected EU Countries Using SYMBOL
by Francesca Campolongo & Massimo Marchesi & Riccardo De Lisa - 85-95 The Fault Lines in Cross-Border Banking: Lessons from the Icelandic Case
by Már Guðmundsson - 97-123 The Macro-Prudential Authority: Powers, Scope and Accountability
by Charles A.E. Goodhart - 125-154 Developing a Framework for Effective Financial Crisis Management
by Dalvinder Singh & John Raymond LaBrosse - 155-165 The Federal Agency for Financial Market Stabilisation in Germany: From Rescuing to Restructuring
by Christopher Pleister - 167-197 The EU Architecture to Avert a Sovereign Debt Crisis
by Rodrigo Olivares-Caminal - 201-224 Solving the Financial and Sovereign Debt Crisis in Europe
by Adrian Blundell-Wignall - 225-249 The Financial Industry in the New Regulatory Landscape
by Gert Wehinger - 253-262 Highlights from the OECD Sovereign Borrowing Outlook 2012
by Hans J. Blommestein & Ahmet Keskinler & Perla Ibarlucea Flores - 263-281 The Future of Debt Markets
by Hans J. Blommestein & Alison Harwood & Allison Holland - 283-285 Index of Recent Features
by Oecd
2011, Volume 2011, Issue 1
- 9-29 Fostering Long-term Investment and Economic Growth Summary of a High-Level OECD Financial Roundtable
by Gert Wehinger - 31-75 Financial Stability, Fiscal Consolidation and Long-Term Investment after the Crisis
by Franco Bassanini & Edoardo Reviglio - 77-82 Lessons from the Last Financial Crisis and the Future Role of Institutional Investors
by Lars Rohde - 83-86 Fostering Long-term Investment and Economic Growth: A Long-term Investor's View
by Olivier Mareuse - 87-96 The Contribution of the Asset Management Industry to Long-term Growth
by Gian Luigi Costanzo - 97-109 Infrastructure Needs and Pension Investments: Creating the Perfect Match
by Frederic Ottesen - 111-117 Investing in Infrastructure: Getting the Conditions Right
by Martin Stanley - 119-127 How to Foster Investments in Long-Term Assets such as Infrastructure
by Thierry Déau - 129-140 Creating a Better Business Environment for Financing Business, Innovation and Green Growth
by Richard Pelly & Helmut Krämer-Eis - 141-144 Financing Future Growth: The Need for Financial Innovations
by Zvi Bodie & Marie Brière - 145-164 Promoting Longer-Term Investment by Institutional Investors: Selected Issues and Policies
by Raffaele Della Croce & Fiona Stewart & Juan Yermo - 167-200 Global SIFIs, Derivatives and Financial Stability
by Adrian Blundell-Wignall & Paul Atkinson - 201-235 Guarantee Arrangements for Financial Promises: How Widely Should the Safety Net be Cast?
by Sebastian Schich & Byoung-Hwan Kim - 237-256 The Economic Impact of Protracted Low Interest Rates on Pension Funds and Insurance Companies
by Pablo Antolin & Sebastian Schich & Juan Yermo - 259-276 Outlook for the Securitisation Market
by Hans J. Blommestein & Ahmet Keskinler & Carrick Lucas - 277-283 OECD Statistical Yearbook on African Central Government Debt: Summary and Overview
by Hans J. Blommestein & Perla Ibarlucea Flores
2011, Volume 2010, Issue 2
- 1-15 OECD Sovereign Borrowing Outlook No.3
by Hans J. Blommestein & Eylem Vayvada Derya & Perla Ibarlucea Flores - 1-34 Systemic Financial Crises: How to Fund Resolution
by Sebastian Schich & Byoung-Hwan Kim - 1-34 Sovereign Debt Challenges for Banking Systems and Bond Markets
by Gert Wehinger - 9-36 A Market Perspective on the European Sovereign Debt and Banking Crisis
by Adrian Blundell-Wignall & Patrick Slovik - 105-136 Risks in Financial Group Structures
by Stephen Lumpkin - 137-159 Challenges and Developments in the Financial Systems of the Southeast Asian Economies
by Toshiyuki Shimada & Ting Yang - 179-185 A Public Debt Management Perspective on Proposals for Restrictions on Short Selling of Sovereign Debt
by Hans J. Blommestein - 189-217 Assessing the Labour, Financial and Demographic Risks to Retirement Income from Defined-Contribution Pensions
by Pablo Antolin & Stéphanie Payet - 219-226 The Second Corporate Governance Wave in the Middle East and North Africa
by Alissa Koldertsova
2010, Volume 2010, Issue 1
- 9-33 Thinking beyond Basel III: Necessary Solutions for Capital and Liquidity
by Adrian Blundell-Wignall & Paul Atkinson - 35-66 The Design of Government Guarantees for Bank Bonds: Lessons from the Recent Financial Crisis
by Aviram Levy & Sebastian Schich - 67-84 Risks Ahead for the Financial Industry in a Changing Interest Rate Environment
by Gert Wehinger - 87-115 Assessing Default Investment Strategies in Defined Contribution Pension Plans
by Pablo Antolin & Stéphanie Payet & Juan Yermo - 117-139 Consumer Protection and Financial Innovation: A Few Basic Propositions
by Stephen Lumpkin - 143-169 Debt Markets: Policy Challenges in the Post-Crisis Landscape
by Hans J. Blommestein & Vincenzo Guzzo & Allison Holland & Yibin Mu - 171-179 A Suggested New Approach to the Measurement and Reporting of Gross Short- Term Borrowing Operations by Governments
by Hans J. Blommestein & Ove Sten Jensen & Thomas Olofsson - 181-187 Statistical Yearbook on African Central Government Debt: Overview of a New OECD Publication
by Hans J. Blommestein & Thor Saari
2010, Volume 2009, Issue 2
- 1-15 The surge in borrowing needs of OECD governments: Revised estimates for 2009 and 2010 Outlook
by Hans J. Blommestein & Arzu Gok - 1-27 The elephant in the room: The need to deal with what banks do
by Adrian Blundell-Wignall & Gert Wehinger & Patrick Slovik - 1-31 Regulatory issues related to financial innovation
by Stephen Lumpkin - 37-53 The financial industry and challenges related to post-crises exit strategies
by Gert Wehinger - 55-89 Expanded guarantees for banks: Benefits, costs and exit issues
by Sebastian Schich - 123-151 Insurance companies and the financial crisis
by Sebastian Schich - 153-179 Private pensions and the financial crisis: How to ensure adequate retirement income from DC pension plans
by Pablo Antolin - 191-206 Responding to the crisis: Changes in OECD government debt issuance procedures, portfolio management and primary dealer systems
by Hans J. Blommestein - 209-263 Current and structural developments in the financial systems of OECD enhanced engagement countries
by John Thompson - 267-321 Policy framework for effective and efficient financial regulation: General guidance and high-level checklist
by Oecd
2009, Volume 2009, Issue 1
- 11-28 Dealing with the crisis and thinking about the exit strategy
by Adrian Blundell-Wignall & Paul Atkinson & Se Hoon Lee - 29-60 The turmoil and the financial industry: Developments and policy responses
by Gert Wehinger - 61-87 The corporate governance lessons from the financial crisis
by Grant Kirkpatrick - 89-123 Expanded government guarantees for bank liabilities: Selected issues
by Sebastian Schich - 127-141 Private pensions and policy responses to the financial economic crisis
by Pablo Antolin & Fiona Stewart - 143-162 Retirement saving and the payout phase: How to get there and how to get the most of it
by Ignazio Visco - 163-184 Evaluating risk sharing in private pensions plans
by Hans J. Blommestein & Pascal Janssen & Niels Kortleve & Juan Yermo - 187-195 OECD sovereign borrowing outlook 2009
by Hans J. Blommestein & Arzu Gok - 197-208 New challenges in the use of governement debt issuance procedures, techniques and policies in OECD markets
by Hans J. Blommestein - 209-238 The role of stock exchanges in corporate governance
by Hans Christiansen & Alissa Koldertsova
2009, Volume 2008, Issue 2
- 1-6 Secondary market liquidity in domestic debt markets: Key policy conclusions
by Hans J. Blommestein & Alison Harwood & Philipp Anderson & Ceyla Pazarbasioglu - 1-14 Revisiting the asset-meltdown hypothesis
by Sebastian Schich - 1-19 Ageing and the payout phase of pensions, annuities and financial markets
by Pablo Antolin - 1-21 The current financial crisis: Causes and policy issues
by Adrian Blundell-Wignall & Paul Atkinson & Se Hoon Lee - 1-22 Recent trends in institutional investors statistics
by Eric Gonnard & Eun Jung Kim & Isabelle Ynesta - 1-25 Households' wealth composition across OECD countries and financial risks borne by households
by Isabelle Ynesta - 1-31 Challenges for financial intermediaries offering asset decumulation products
by Sebastian Schich - 1-39 Financial crisis: Deposit insurance and related financial safety net aspects
by Sebastian Schich - 1-40 Lessons from the financial market turmoil: Challenges ahead for the financial industry and policy makers
by Gert Wehinger - 1-42 Resolutions of weak institutions: Lessons learned from previous crises
by Stephen Lumpkin - 1-42 Pension fund governance: Challenges and potential solutions
by Fiona Stewart & Juan Yermo
2008, Volume 2008, Issue 1
- 9-28 The recent financial market turmoil, contagion risks and policy responses
by Oecd - 29-53 The subprime crisis: Size, deleveraging and some policy options
by Adrian Blundell-Wignall - 55-79 Financial turbulence: Some lessons regarding deposit insurance
by Sebastian Schich - 81-113 Challenges related to financial guarantee insurance
by Sebastian Schich - 117-132 Sovereign wealth & pension fund issues
by Adrian Blundell-Wignall & Yu-Wei Hu & Juan Yermo - 133-161 Governance and investment of sovereign and public pension reserve funds in selected OECD countries
by Juan Yermo - 163-196 Funding regulations and risk sharing
by Colin Pugh & Juan Yermo - 197-219 Evaluating the impact of risk-based funding requirements on pension funds
by Jordy Peek & Andreas Reuss & Gerhard Scheuenstuhl - 223-235 Use of derivatives for debt management and domestic debt market development: Key conclusions
by Hans J. Blommestein & Das Udaibir & Alison Harwood & Ceyla Pazarbasiogl & Anderson Silva