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Advanced Search Results For "FINANCIAL policy"

1 - 10 of 80,114 results for
 "FINANCIAL policy"
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Monetary policy or macroprudential policies: What can tame the cycles?

Publication Type: Academic Journal

Source(s): Journal of Economic Surveys. Dec2022, Vol. 36 Issue 5, p1510-1538. 29p. 1 Diagram, 3 Charts.

Abstract: This survey systematizes the rapidly growing literature on the influence of monetary policy and macroprudential policy on the macroeconomy. It examines the impact of monetary policy on the financial cycle and asks how macroprudential instruments influe...

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MD&A Disclosure of Critical Accounting Policies and Financial Reporting Risk: Evidence From Restatements.

Publication Type: Academic Journal

Source(s): Journal of Accounting, Auditing & Finance; Jan2023, Vol. 38 Issue 1, p104-129, 26p, 8 Charts

Authors:

Abstract: Copyright of Journal of Accounting, Auditing & Finance is the property of Sage Publications Inc. and its content may not be copied or emailed to multiple sites or posted to a listserv without the copyright holder's express written permission. However, ...

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Financial Crises, Macroprudential Policy and the Reliability of Credit-to-GDP Gaps.

Publication Type: Academic Journal

Source(s): IMF Economic Review. Dec2022, Vol. 70 Issue 4, p625-667. 43p.

Abstract: The Basel III regulation explicitly prescribes the use of Hodrick–Prescott filters to estimate credit cycles and calibrate countercyclical capital buffers. However, the filter has been found to suffer from large ex-post revisions, raising concerns on i...

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Financial Management in Practice: Analysis of Brazilian Survey Data.

Publication Type: Academic Journal

Source(s): RAC - Revista de Administração Contemporânea. 2022, Vol. 26 Issue 6, p1-18. 18p.

Abstract: Objetivo: este artigo tem o objetivo de reproduzir no Brasil uma pesquisa — anteriormente aplicada na América do Norte e Europa — que consulta o ponto de vista de CFOs sobre custo de capital, orçamento de capital e estrutura de capital. Método: o quest...

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Climate Change and Financial Policy: A Literature Review.

Publication Type: Report

Source(s): Working Papers -- U.S. Federal Reserve Board's Finance & Economic Discussion Series. Jul2022, preceding p1-69. 72p.

Abstract: This article reviews the rapidly proliferating economic literature on climate change and financial policy. We find: (1) enduring challenges in estimating the statistical properties of a changed climate; (2) emerging evidence of financial markets pricin...

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Pecuniary externalities, bank overleverage, and macroeconomic fragility.

Publication Type: Academic Journal

Source(s): International Journal of Economic Theory. Dec2022, Vol. 18 Issue 4, p554-577. 24p.

Abstract: Pecuniary externalities in models with financial friction justify macroprudential policies for preventing excessive risk taking by economic agents. We extend the Diamond and Rajan model of banks with production factors and explore how a pecuniary exter...

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A clash of cultures: The governance and valuation effects of corporate cultural distance.

Publication Type: Academic Journal

Source(s): Journal of Business Finance & Accounting. Nov2022, Vol. 49 Issue 9/10, p1696-1735. 40p. 1 Diagram, 21 Charts.

Abstract: We find that the cultural distance between the CEO and a firm's directors increases the sensitivity of CEO turnover and compensation to performance while enhancing shareholder value. This effect is concentrated in the cultural distance between the CEO ...

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Do financial reforms always improve banks efficiency and competition? A long-term analysis of Turkey's experience.

Publication Type: Academic Journal

Source(s): Journal of Banking Regulation. Dec2022, Vol. 23 Issue 4, p458-469. 12p.

Abstract: Financial policy changes are aimed at improving banks efficiency and competition; however, their effectiveness in the context of emerging economies is far from obvious. Using Turkey as a case study, we create a unique data set and analyse the impact of...

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DO THE LOANS OF CONVENTIONAL BA, NKS CROWDING-OUT THE LOANS OF PARTICIPATION BANKS?

Publication Type: Academic Journal

Source(s): Bulletin of Accounting & Finance Reviews / Muhasebe & Finans Incelemeleri Dergisi. Oct2022, Vol. 5 Issue 2, p117-122. 6p.

Abstract: Türkiye'de katılım bankalarının 1980'lerin ortalarından beri faaliyete başlaması ile beraber ikili bir bankacılık sistemi doğmuştur. Dolayısıyla iki tip bankacılık modelinin birbiriyle uyumlu mu yoksa rakip olarak mı çalıştığı, uygulanacak finansal pol...

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混合所有制改革与城投企业债务风险.

Publication Type: Academic Journal

Source(s): Journal of Technology Economics. 2022, Vol. 41 Issue 9, p133-144. 12p.

Abstract: 本文探讨了城投企业混合所有制改革对其债务风险的影响机制,并利用2010—2020年的6890只债券样本对城投混改 成效进行检验,得到如下结论:第一,在短期内,由于政府减少了财务支持力度,城投企业在进行混合所有制改革后过度负债问 题更加严重。第二,在长期视角下,混合所有制改革提高了城投企业财务危机成本,同时企业盈利能力得到提升,因而缓解了 其过度负债问题。第三,在短期视角下,行政干预有利于混合所有制改革发挥降低城投企业债务风险的作用,但在长期视角 下,行政干预抑制了混合所有制改革缓解城投企业债务风险的...

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