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Andreas (Andy) Jobst
Andreas (Andy) Jobst
International Monetary Fund (IMF)
Bestätigte E-Mail-Adresse bei jobst.info - Startseite
Titel
Zitiert von
Zitiert von
Jahr
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
3792012
The economics of Islamic finance and securitization
AA Jobst
International Monetary Fund (IMF), 2007
3472007
Negative interest rate policy (NIRP): implications for monetary transmission and bank profitability in the euro area
A Jobst, H Lin
International Monetary Fund, 2016
2842016
A strategy for resolving Europe's problem loans
MS Aiyar, MW Bergthaler, JM Garrido, MA Ilyina, A Jobst, MKH Kang, ...
International Monetary Fund, 2015
2602015
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
2372008
Back to Basics-What Is Securitization?
A Jobst
International Monetary Fund (IMF), 2008
1752008
Trends and challenges in Islamic finance
H Hesse, A Jobst, J Solé
WORLD ECONOMICS, 2008
1482008
Systemic contingent claims analysis: Estimating market-implied systemic risk
MAA Jobst, MDF Gray
International Monetary Fund, 2013
1442013
Measuring China’ s Economic Performance
AA Jobst, HX Wu
World Economics 9 (2), 13-44, 2008
1342008
Operational Risk: The Sting is Still in the Tail But the Poison Dependson the Dose
A Jobst
International Monetary Fund, 2007
1102007
Collateralised Loan Obligations (CLOs)-a primer
AA Jobst
Available at SSRN 370640, 2002
1052002
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
1042011
Modelling systemic financial sector and sovereign risk
DF Gray, AA Jobst
sveriges riksbank economic review, 2, 2011
932011
Measuring systemic risk-adjusted liquidity (SRL)—A model approach
AA Jobst
Journal of Banking & Finance 45, 270-287, 2014
922014
Derivatives in Islamic finance
AA Jobst
Islamic Economic Studies 15 (1), 2007
882007
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
802007
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
792014
New directions in financial sector and sovereign risk management
DF Gray, AA Jobst
Journal of Investment Management (JOIM), First Quarter, 2010
722010
Asset securitisation as a risk management and funding tool: What small firms need to know
AA Jobst
Managerial Finance 32 (9), 731-760, 2006
722006
A primer on structured finance
AA Jobst
Journal of Derivatives & Hedge Funds 13, 199-213, 2007
712007
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