| 000 | 02945nam a2200445Ii 4500 | ||
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| 001 | 9781787568372 | ||
| 003 | UtOrBLW | ||
| 005 | 20210303084858.0 | ||
| 006 | m o d | ||
| 007 | cr un||||||||| | ||
| 008 | 181217t20182019enka ob 001 0 eng d | ||
| 020 | _a9781787568372 (e-book) | ||
| 040 |
_aUtOrBLW _beng _erda _cUtOrBLW |
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| 050 | 4 |
_aHG173 _b.R36 2018 |
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| 072 | 7 |
_aKFF _2bicssc |
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| 072 | 7 |
_aBUS027000 _2bisacsh |
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| 080 | _a332 | ||
| 082 | 0 | 4 |
_a332 _223 |
| 100 | 1 |
_aRamlall, Indranarain, _eauthor. |
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| 245 | 1 | 4 |
_aThe corporate, real estate, household, government and non-bank financial sectors under financial stability / _cby Indranarain Ramlall (University of Mauritius, Mauritius). |
| 264 | 1 | _bEmerald Publishing Limited, | |
| 300 |
_a1 online resource (xxi, 211 pages) : _billustrations ; _ccm. |
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| 490 | 0 |
_aThe theory and practice of financial stability ; _vvolume 3 |
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| 504 | _aIncludes bibliographical references and index. | ||
| 505 | 0 | _aPrelims -- Household sector -- Corporate sector -- Real estate sector -- Government sector -- Non-bank financial sector -- References -- Index. | |
| 520 | _aSound financial stability assessments necessitate intensive analysis of different sectors, namely, the household sector, the corporate sector, the real estate sector, the government sector, and the non-bank financial sector. This volume provides a complete analysis and risk assessment of each of these sectors which make up the subtle and intricate fabric which contribute to financial stability. The book considers:micro-prudential and macro-prudential regulations and how they constitute core ingredients to ensure a sound and smooth functioning financial system; the role of household debt as a coveted economic indicator of the building up of financial instability pressures; the relation of the real estate sector to the prevalence of financial crises through asset price bubbles; the role of the corporate sector in financial stability risk analysis. In particular, the balance sheets of the corporate sector are widely examined to uncover feasible risks to financial stability; the role of the government sector, with particular emphasis being laid on public debt management. This book will prove valuable to central bankers, economists, and policy-makers who are involved in the field of financial stability, as well as researchers studying the field. | ||
| 588 | 0 | _aPrint version record | |
| 650 | 0 | _aFinance. | |
| 650 | 0 | _aReal estate business. | |
| 650 | 0 | _aCommercial credit. | |
| 650 | 0 | _aConsumer credit. | |
| 650 | 7 |
_aBusiness & Economics _xFinance _xGeneral. _2bisacsh |
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| 650 | 7 |
_aFinance. _2bicssc |
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| 776 | _z9781787568389 | ||
| 856 | 4 | 0 | _uhttps://www.emerald.com/insight/publication/doi/10.1108/9781787568372 |
| 999 |
_c29896 _d29896 |
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