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THE FED IS NOW OPERATING a completely unprecedented
policy regime. While there is disagreement about the appropriateness
of the extraordinary measures that constitute this
regime, few disagree that...
Credit for What? Informal Credit as a Coping Strategy of Market Women in Northern Ghana
the use of informal credit managing risks costs of risk management strategies monetary dimension
2011/8/26
This paper explores the use of informal credit as a strategy for managing risks by market women in northern Ghana. A broad concept of the costs of risk management strategies is introduced and encompas...
Are Structural VARs with Long-Run Restrictions Useful for Developing Monetary Policy Strategy in Egypt?
bank lending channel contemporaneous restrictions Egyptian economy interest rate channel long run restrictions
2011/8/21
On the basis of SVAR models of monetary policy in Egypt for the period December 1976–May 2006, our paper explores a new empirical assessment for the interest rate channel in correcting trouble in the ...
The Case for Forecast Targeting as a Monetary Policy Strategy
inflation-forecast targeting control short-term interest rates monetary policy inflation-forecast targeting
2011/8/21
At central banks around the world, including the Bank of England, Sweden's Riksbank, Norway's Norges Bank, and the Reserve Bank of New Zealand, policy is conducted on the basis of inflation-forecast t...
Strategy and Tactics of Monetary Policy in Conditions of the Global Economic Cris
monetary policy goals instruments global economic crisis industrial countries
2011/8/21
The article analyzes changes in monetary policy goals and instruments during the global economic crisis in industrial countries and Russia. The authors emphasize the need for an active exchange rate p...
If Entry Strategy and Money go Together, What is the Right Side of the Coin?
IO RBV Performance Multi-Agent Simulation
2011/7/22
Abstract: The goal of this study is to determine which strategic model, either IO or RBV, allows firms to generate the highest performance on a competitive market. Contrasting with classical studies t...
Optimal Dividend and reinsurance strategy of a Property Insurance Company under Catastrophe Risk
Optimal dividend reinsurance strategy Optimal
2010/10/21
We consider an optimal control problem of a property insurance company with proportional reinsurance strategy. The insurance business brings in catastrophe risk, such as earthquake and flood. The cata...
Market behavior and performance of different strategy evaluation schemes
Market behavior and performance strategy evaluation schemes
2010/10/18
Strategy evaluation schemes are a crucial factor in any agent-based market model, as they determine the agents' strategy preferences and consequently their behavioral pattern. This study investigates ...
An arbitrage strategy allows a financial agent to make certain profit out of nothing, i.e., out of zero initial investment. This has to be disallowed on economic basis if the market is in equilibrium ...
Sequential optimizing investing strategy with neural networks
Sequential investing strategy with neural networks
2010/10/18
In this paper we propose an investing strategy based on neural network models combined with ideas from game-theoretic probability of Shafer and Vovk. Our proposed strategy uses parameter values of a ...
A stock loan is a loan, secured by a stock, which gives the borrower the right to redeem
the stock at any time before or on the loan maturity. The way of dividends distribution has a
significant eff...