Market response to policy initiatives during the global financial crisis Y Aït-Sahalia, J Andritzky, A Jobst, S Nowak, N Tamirisa Journal of International Economics 87 (1), 162-177, 2012 | 379 | 2012 |
The economics of Islamic finance and securitization AA Jobst International Monetary Fund (IMF), 2007 | 347 | 2007 |
Negative interest rate policy (NIRP): implications for monetary transmission and bank profitability in the euro area A Jobst, H Lin International Monetary Fund, 2016 | 284 | 2016 |
A strategy for resolving Europe's problem loans MS Aiyar, MW Bergthaler, JM Garrido, MA Ilyina, A Jobst, MKH Kang, ... International Monetary Fund, 2015 | 260 | 2015 |
Islamic bond issuance: what sovereign debt managers need to know A Jobst, P Kunzel, P Mills, A Sy International Journal of Islamic and Middle Eastern Finance and Management 1 …, 2008 | 237 | 2008 |
Back to Basics-What Is Securitization? A Jobst International Monetary Fund (IMF), 2008 | 175 | 2008 |
Trends and challenges in Islamic finance H Hesse, A Jobst, J Solé WORLD ECONOMICS, 2008 | 148 | 2008 |
Systemic contingent claims analysis: Estimating market-implied systemic risk MAA Jobst, MDF Gray International Monetary Fund, 2013 | 144 | 2013 |
Measuring China’ s Economic Performance AA Jobst, HX Wu World Economics 9 (2), 13-44, 2008 | 134 | 2008 |
Operational Risk: The Sting is Still in the Tail But the Poison Dependson the Dose A Jobst International Monetary Fund, 2007 | 110 | 2007 |
Collateralised Loan Obligations (CLOs)-a primer AA Jobst Available at SSRN 370640, 2002 | 105 | 2002 |
Macroeconomic fundamentals, price discovery, and volatility dynamics in emerging bond markets S Nowak, J Andritzky, A Jobst, N Tamirisa Journal of Banking & Finance 35 (10), 2584-2597, 2011 | 104 | 2011 |
Modelling systemic financial sector and sovereign risk DF Gray, AA Jobst sveriges riksbank economic review, 2, 2011 | 93 | 2011 |
Measuring systemic risk-adjusted liquidity (SRL)—A model approach AA Jobst Journal of Banking & Finance 45, 270-287, 2014 | 92 | 2014 |
Derivatives in Islamic finance AA Jobst Islamic Economic Studies 15 (1), 2007 | 88 | 2007 |
It's all in the data–consistent operational risk measurement and regulation AA Jobst Journal of Financial Regulation and compliance 15 (4), 423-449, 2007 | 80 | 2007 |
ASEAN‐5 bond market development: Where does it stand? Where is it going? J Felman, S Gray, M Goswami, AA Jobst, M Pradhan, S Peiris, ... Asian‐Pacific Economic Literature 28 (1), 60-75, 2014 | 79 | 2014 |
New directions in financial sector and sovereign risk management DF Gray, AA Jobst Journal of Investment Management (JOIM), First Quarter, 2010 | 72 | 2010 |
Asset securitisation as a risk management and funding tool: What small firms need to know AA Jobst Managerial Finance 32 (9), 731-760, 2006 | 72 | 2006 |
A primer on structured finance AA Jobst Journal of Derivatives & Hedge Funds 13, 199-213, 2007 | 71 | 2007 |