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Refinancing risk
Knowledge Work on Securitization in the People's Republic of China
Refinancing Risk
How Do Financial Institutions in China Mitigate Risks in Securitization Markets? Tiantian Lyu Honors College, Pace University
Modeling Money Market Spreads: What Do We Learn About Refinancing Risk?
Interest Rate Risk # Reinvestment Risk: the Returns on Funds to Be Reinvested Will Fall Below the Cost of Funds
Market Risks and the Mtds Framework
Debt Refinancing and Equity Returns∗
Semiannual Risk Perspective Fall 2018
FI's Pillar 2 Capital Assessment Method for Systemic Risk Associated
Unlocking Renewable Energy Investment: the Role of Risk
Future of Housing Finance Reform Why the 30-Year Fixed-Rate Mortgage Is an Essential Part of Our Housing Finance System
Bailouts and Financial Fragility
The Effect of Mortgage Refinancing on Money Demand and the Monetary Aggregates
Risk Management for Sovereign Debt Financing with Sustainability Conditions
POLICY INSIGHT No. 31 FEBRUARY 2009
Refinancing Risk and Its Impact on Distressed Company Valuation
Risk Management for Sovereign Financing Within a Debt Sustainability Framework
Interest Rate Sensitivity of Debt Raised by Non-Financial Corporations in the Euro Area
Top View
The Abcs of ABS Summary
Incorporating Sovereign Risk in Rating Structured Finance Securities: Methodology and Assumptions
Risk Perception and FX Risk Mitigation in MFI Refinancing
The Allocation of Interest Rate Risk and the Financial Sector”
Liquidity Risk in Banking: Is There Herding? ∗
Refinancing Risk and Disclosure of Corporate Investment
Securitization Risk Management Guideline
Refinancing Risk and Debt Maturity Choice During a Financial Crisis
How Excessive Is Banks' Maturity Transformation?
Corporate Cash Holdings and the Refinancing Risk of Bank Debt and Non-Bank Debt
High Quality Securitisation: an Empirical Analysis of the PCS Definition
“Natural” Project Funding: Refinancing Risk Explored
Refinancing Risk and Cash Holdings*
As Presented
5 Key Credit Risk Factors to Consider When Assessing Alternative
Financial Stability Implications of Local Currency Bond Markets: an Overview of the Risks1