Luc Laeven: 8 books

Book cover of Benefits and Costs of Bank Capital
by Jihad Dagher, Luc Laeven, Lev Ratnovski
Language: English
Release Date: March 3, 2016

This SDN takes stock of the current debate on the capital regulation of banks. The focus will be on the level of capital (other aspects such as contingent capital and the quality of capital have been covered in previous SDNs). It analyzes the pros and cons of higher capital requirements, and will conduct...
Book cover of Managing the Sovereign-Bank Nexus
by Giovanni Dell'Ariccia, Caio Ferreira, Nigel Jenkinson
Language: English
Release Date: September 7, 2018

This paper reviews empirical and theoretical work on the links between banks and their governments (the bank-sovereign nexus). How significant is this nexus? What do we know about it? To what extent is it a source of concern? What is the role of policy intervention? The paper concludes with a review of recent policy proposals.
Book cover of Managing Capital Inflows: What Tools to Use?
by Atish Mr. Ghosh, Karl Mr. Habermeier, Jonathan Mr. Ostry
Language: English
Release Date: April 5, 2011

A staff policy note on the above topic is under preparation, and the target delivery date is December 2010. The note will look at a number of issues, including: possible tensions between the prudential case for capital controls and the macroeconomic case; the role of capital controls and other prudential...
Book cover of Gestión de las afluencias de capital

Gestión de las afluencias de capital

¿Qué herramientas corresponde utilizar?

by Jonathan Mr. Ostry, Atish Mr. Ghosh, Karl Mr. Habermeier
Language: Spanish
Release Date: November 26, 2014

En la serie de Documentos de Análisis del Personal Técnico del FMI se presentan los últimos análisis e investigaciones sobre políticas elaborados por miembros del personal técnico del FMI, que se publican para recibir comentarios y fomentar el debate. Estos documentos generalmente son breves y...
Book cover of Policies for Macrofinancial Stability: How to Deal with Credit Booms
by Bas Mr. Bakker, Giovanni Mr. Dell'Ariccia, Luc Mr. Laeven
Language: English
Release Date: June 7, 2012

This note explores the costs and benefits of different policy options to reduce the risks associated with credit booms, drawing upon several country experiences and the findings from econometric analysis.
Book cover of Bank Size and Systemic Risk
by Luc Mr. Laeven, Lev Ratnovski, Hui Tong
Language: English
Release Date: May 8, 2014

The proposed SDN documents the evolution of bank size and activities over the past 20 years. It discusses whether this evolution can be explained by economies of scale or “too big to fail” subsidies. The paper then presents evidence on the extent to which bank size and market-based activities contribute...
Book cover of Crisis Management and Resolution: Early Lessons from the Financial Crisis
by Ceyla Pazarbasioglu, Luc Mr. Laeven, Oana Nedelescu
Language: English
Release Date: March 9, 2011

The paper compares the policy choices in current and past financial crises, given initial conditions and underlying causes, explains why choices varied, reviews the current state of financial and operational restructuring, and institutional reforms, and raises questions on the toolkit to be used for...
Book cover of Principles of Household Debt Restructuring
by Thomas Laryea, Luc Mr. Laeven
Language: English
Release Date: June 26, 2009

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