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- The Hamilton Project
- The Hamilton Project

... varying needs for additional annuitization through private markets since some may already have sufficient protection against outliving their resources through alternative sources such as Social Security, Medicare, and arrangements within their families. This paper proposes a strategy that "threads t ...
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Change in the rules regarding limitations for collateral in the form of

... counterparty or by a group of closely-related issuers. The Riksbank noted at that time that there was no evident optimum level for such a limit, but reached the conclusion that 25 per cent was a reasonable level. At present, however, the limitation only applies to (i) covered bonds issued by the cou ...
Regime-Switching Measure of Systemic Financial Stress
Regime-Switching Measure of Systemic Financial Stress

... Treasury yield, is a measure of short-term credit risk in the banking sector. Other studies, such as Hakkio and Keeton (2009) and Hatzius, Hooper, Mishkin, Schoenholtz, and Watson (2010), also find the information in the TED spread useful for constricting their financial stress and financial condit ...
This PDF is a selection from an out-of-print volume from... of Economic Research
This PDF is a selection from an out-of-print volume from... of Economic Research

... The results differ somewhat in the case of integration of the U.S. capital market with an open international capital market. In particular, the results depend on the degree to which the United States exerts market power and on the extremely complicated details of international tax law. At one extrem ...
The Economic Origins of Democracy Reconsidered
The Economic Origins of Democracy Reconsidered

... (2006) data were used by Houle to measure inequality. Houle’s main finding was that inequality only affects democratic consolidation, not democratization: if there is any relationship between inequality and democracy, it is U-shaped, not hump-shaped (Houle 2009: 610, 615). Neither empirical investi ...
A new architecture for public investment in Europe
A new architecture for public investment in Europe

... firms, sectors, or projects. The policy case to boost Second, the public sector public investment goes well multiplier for public investment, ie the induced impact of an increase might also invest in profitable in government investment areas where the private sector beyond a short-term, spending on ...
Financial Growth in Singapore
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Banks bailout, time-consistency and distributional effects
Banks bailout, time-consistency and distributional effects

... previously held by private financial intermediaries. The latter use the seminal contributions of Diamond and Rajan (2000) and Diamond and Rajan (2001) as the main building block ...
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The “Production” of Accounting Information Between Regulatory and

... Unlike advocates of the free market approach, supporters of the first mentioned trend (the one dealing with market failures) believe that the specific features of accounting information make it impossible to treat such data as ordinary economic assets. Therefore, in some cases, the necessary conditi ...
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Developing Infrastructure in Asia Pacific: Outlook

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HSBC in Europe

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... this literature generally finds a positive relationship between the short run adjustments of capital and asset risk. We extend this literature by adding taxes to the determinants of target leverage and portfolio risk and, to the best of our knowledge, for the first time the simultaneous equations/pa ...
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PowerPoint Presentation - Fisher College of Business

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ENDOLOGIX INC /DE/ (Form: 10-Q, Received: 07/31/2014 13:40:04)

... accordance with generally accepted accounting principles in the United States of America ("GAAP") and the rules and regulations of the U.S. Securities and Exchange Commission ("SEC"). These financial statements include the financial position, results of operations, and cash flows of the Company, inc ...
Private Equity Fund Fees
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... despite the fact that private equity holding periods are typically around five years, some advisers have caused their portfolio companies to sign monitoring agreements that obligate them to pay monitoring fees for ten years … or longer. … We see mergers, acquisitions, and IPOs triggering these agree ...
original article in English
original article in English

... For recipients in Singapore, this document is distributed by BBVA, which Singapore branch is supervised by the Monetary Authority of Singapore. For recipients in USA, research on products other than swaps, or equity securities and equity derivatives prepared by BBVA, is being distributed by BBVA Sec ...
International Accounting Standards and Value Relevance of Book
International Accounting Standards and Value Relevance of Book

... Harmonization does not finished in itself but it is way to reach toward certain laudable policy goal. The main two benefits were may get from harmonization of accounting standards, first is performance excellence achieved through low transition cost. The other is well known, discussed, and so much n ...
NBER WORKING PAPER SERIES EAST ASIA AND GLOBAL IMBALANCES:
NBER WORKING PAPER SERIES EAST ASIA AND GLOBAL IMBALANCES:

... and legal systems amenable to financial development and liberalizing the markets are implemented, “a greater share of global saving can be redirected away from the United States and toward the developing nations.” Standing in stark contrast to the saving glut thesis is the more parochial view that a ...
Austerity is not the solution! - Foundation for European Progressive
Austerity is not the solution! - Foundation for European Progressive

... With a common currency, this leaves deflation on the periphery as the only means of restoring competitive balance. But deflation itself imposes huge costs on debtor nations. It increases the value of their nominally denominated debts, making default, and an EMU breakup, more likely. Until policymake ...
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PDP-Working Paper

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The taxpayer`s basis in property is a question of fact, and
The taxpayer`s basis in property is a question of fact, and

... Financial planning professionals often help their clients position assets properly to meet the clients’ financial goals. Sometimes this means liquidating certain assets in order to reinvest in others. When a client decides whether or not to sell assets to buy others, the tax consequences must be tak ...
Predictors of Pension Finance Literacy: A Survey of Members of
Predictors of Pension Finance Literacy: A Survey of Members of

... Pension systems in Kenya were first put in place after independence in 1963. The first post independent pension fund body, the National Social Security Fund (NSSF), was established in 1965. The pension system in Kenya has been supervised by the independent Retirement Benefits Authority (RBA) since 2 ...
FL BlackRock Long Term (Aquila C) IE/XE
FL BlackRock Long Term (Aquila C) IE/XE

... F - Specialist: Where a fund invests only in a specific or limited range of industry sectors, it may carry more risk than funds that invest across a broader range or variety of sectors. These funds can be more volatile and carry higher risk due to their lack of diversification. G - Derivatives: Wher ...
A parsimonious model to forecast financial distress, based on audit
A parsimonious model to forecast financial distress, based on audit

... different2; their evaluation also depends on several subjective factors, e.g. auditors’ knowledge, thoroughness and materiality levels applied (Francis and Krishnan, 1999). In fact, discussing the forecasting relevance of qualifications and modified audit reports implies making judgments about audit ...
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Public finance

Public finance is the study of the role of the government in the economy. It is the branch of economics which assesses the government revenue and government expenditure of the public authorities and the adjustment of one or the other to achieve desirable effects and avoid undesirable ones.The purview of public finance is considered to be threefold: governmental effects on (1) efficient allocation of resources, (2) distribution of income, and (3) macroeconomic stabilization.
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