Financial Sector Policy for Developing Countries : A Reader

The dramatic events of the late 1990s, which followed a wave of financial crises going back to the early 1980s, brought to center stage the issue of financial sector policy in developing countries. Many recent books have presented a chronology and...

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Main Authors: Caprio, Gerard, Honohan, Patrick, Vittas, Dimitri
Format: Publication
Language:English
en_US
Published: Washington, DC: World Bank 2013
Subjects:
Online Access:http://documents.worldbank.org/curated/en/2002/01/2017571/financial-sector-policy-developing-countries-reader
http://hdl.handle.net/10986/15229
id okr-10986-15229
recordtype oai_dc
spelling okr-10986-152292021-04-23T14:03:11Z Financial Sector Policy for Developing Countries : A Reader Caprio, Gerard Honohan, Patrick Vittas, Dimitri Caprio, Gerard Honohan, Patrick Vittas, Dimitri ACCOUNTING ANNUITIES AUDITING BANK INSOLVENCY BANK MANAGEMENT BANK RISK BANKING CRISES BANKING SECTOR BANKING SUPERVISION BANKRUPTCY BANKS BUDGET CONSTRAINT CAPITAL FLOWS CAPITAL MARKETS CENTRAL BANK COMMERCIAL BANKS CONTRACTUAL SAVINGS CONTRACTUAL SAVINGS INSTITUTIONS CORPORATE FINANCE CORPORATE GOVERNANCE CREDIT INSURANCE CREDIT RISK DEBT DEFICITS DEPOSIT INSURANCE DEVELOPING COUNTRIES DEVELOPING COUNTRY DEVELOPING ECONOMIES DEVELOPMENT BANKS DEVELOPMENT ECONOMICS ECONOMIC DEVELOPMENT ECONOMIC GROWTH ECONOMICS ECONOMISTS EMERGING MARKETS EXCHANGE RATE EXCHANGE RATE REGIME EXCHANGE RATES FINANCIAL ANALYSIS FINANCIAL CRISES FINANCIAL CRISIS FINANCIAL DEVELOPMENT FINANCIAL INSTITUTIONS FINANCIAL INTERMEDIARIES FINANCIAL LIBERALIZATION FINANCIAL MANAGEMENT FINANCIAL MARKETS FINANCIAL REFORM FINANCIAL REGULATION FINANCIAL SECTOR FINANCIAL SECTORS FINANCIAL STRUCTURE FINANCIAL STRUCTURES FINANCIAL SYSTEM FINANCIAL SYSTEMS FOREIGN BANKS FOREIGN EXCHANGE FUTURES GLOBALIZATION GOVERNMENT FINANCE GOVERNMENT INTERVENTION HIGH DEBT HOUSING HOUSING FINANCE ILLIQUIDITY INCOME INSIDER LENDING INSTITUTIONAL DEVELOPMENT INSTITUTIONAL FRAMEWORK INSURANCE INSURANCE COMPANIES INTEREST EXPENSE INTEREST RATES INTERNATIONAL FINANCE INTERNATIONAL FINANCIAL INSTITUTIONS INTERNATIONAL INVESTORS INVESTMENT BANKS MACRO POLICIES MACRO STABILITY MACROECONOMIC POLICY MIDDLE- INCOME COUNTRIES MIDDLE-INCOME COUNTRIES NONPERFORMING LOANS PENSION FUNDS PENSIONS POLICY RESEARCH PORTFOLIO DIVERSIFICATION PORTFOLIOS PRIVATE SECTOR PRIVATIZATION PROFITABILITY PRUDENTIAL REGULATIONS PUBLIC SECTOR REAL INTEREST REAL INTEREST RATES RETAINED EARNINGS RETIREMENT RETURN ON EQUITY RISK MANAGEMENT SAVINGS SAVINGS SCHEMES SECURITIES SECURITIES MARKETS SECURITIZATION SUBSIDIARIES SUBSIDIARY SYSTEMIC RISK TAXATION TERM FINANCE WAGES FINANCIAL SECTOR REFORM FINANCIAL POLICY FINANCIAL SYSTEMS RISK MANAGEMENT DOLLAR STANDARD COST-BENEFIT ANALYSIS RETIREMENT PLANS BANKING SYSTEMS The dramatic events of the late 1990s, which followed a wave of financial crises going back to the early 1980s, brought to center stage the issue of financial sector policy in developing countries. Many recent books have presented a chronology and interpretation of the crises, but it is little apreciated that these financial sector problems had been brewing for decades and that a small number of scholars had long been evolving an approach to undertanding the structure and dynamics of these sectors. Spearheaded by a group led by Millard Long, the World Bank began studying more than 20 years ago the problems, risks, and policy solutions surrounding private finance. This volume contains a collection of essays drawing on that accumulated experience and offering a wide perspective based on extensive real-world institutional experience. They are a useful reader on a wide range of the financial policy issues that are central in developing economies today. They reflect also the evolving approach of the Bank's financial sector team and represent the knowledge that the team has accumulated over the years. 2013-08-20T19:30:26Z 2013-08-20T19:30:26Z 2002 http://documents.worldbank.org/curated/en/2002/01/2017571/financial-sector-policy-developing-countries-reader 0-8213-5176-1 http://hdl.handle.net/10986/15229 English en_US CC BY 3.0 IGO http://creativecommons.org/licenses/by/3.0/igo World Bank Washington, DC: World Bank Publications & Research :: Publication Publications & Research :: Publication
repository_type Digital Repository
institution_category Foreign Institution
institution Digital Repositories
building World Bank Open Knowledge Repository
collection World Bank
language English
en_US
topic ACCOUNTING
ANNUITIES
AUDITING
BANK INSOLVENCY
BANK MANAGEMENT
BANK RISK
BANKING CRISES
BANKING SECTOR
BANKING SUPERVISION
BANKRUPTCY
BANKS
BUDGET CONSTRAINT
CAPITAL FLOWS
CAPITAL MARKETS
CENTRAL BANK
COMMERCIAL BANKS
CONTRACTUAL SAVINGS
CONTRACTUAL SAVINGS INSTITUTIONS
CORPORATE FINANCE
CORPORATE GOVERNANCE
CREDIT INSURANCE
CREDIT RISK
DEBT
DEFICITS
DEPOSIT INSURANCE
DEVELOPING COUNTRIES
DEVELOPING COUNTRY
DEVELOPING ECONOMIES
DEVELOPMENT BANKS
DEVELOPMENT ECONOMICS
ECONOMIC DEVELOPMENT
ECONOMIC GROWTH
ECONOMICS
ECONOMISTS
EMERGING MARKETS
EXCHANGE RATE
EXCHANGE RATE REGIME
EXCHANGE RATES
FINANCIAL ANALYSIS
FINANCIAL CRISES
FINANCIAL CRISIS
FINANCIAL DEVELOPMENT
FINANCIAL INSTITUTIONS
FINANCIAL INTERMEDIARIES
FINANCIAL LIBERALIZATION
FINANCIAL MANAGEMENT
FINANCIAL MARKETS
FINANCIAL REFORM
FINANCIAL REGULATION
FINANCIAL SECTOR
FINANCIAL SECTORS
FINANCIAL STRUCTURE
FINANCIAL STRUCTURES
FINANCIAL SYSTEM
FINANCIAL SYSTEMS
FOREIGN BANKS
FOREIGN EXCHANGE
FUTURES
GLOBALIZATION
GOVERNMENT FINANCE
GOVERNMENT INTERVENTION
HIGH DEBT
HOUSING
HOUSING FINANCE
ILLIQUIDITY
INCOME
INSIDER LENDING
INSTITUTIONAL DEVELOPMENT
INSTITUTIONAL FRAMEWORK
INSURANCE
INSURANCE COMPANIES
INTEREST EXPENSE
INTEREST RATES
INTERNATIONAL FINANCE
INTERNATIONAL FINANCIAL INSTITUTIONS
INTERNATIONAL INVESTORS
INVESTMENT BANKS
MACRO POLICIES
MACRO STABILITY
MACROECONOMIC POLICY
MIDDLE- INCOME COUNTRIES
MIDDLE-INCOME COUNTRIES
NONPERFORMING LOANS
PENSION FUNDS
PENSIONS
POLICY RESEARCH
PORTFOLIO DIVERSIFICATION
PORTFOLIOS
PRIVATE SECTOR
PRIVATIZATION
PROFITABILITY
PRUDENTIAL REGULATIONS
PUBLIC SECTOR
REAL INTEREST
REAL INTEREST RATES
RETAINED EARNINGS
RETIREMENT
RETURN ON EQUITY
RISK MANAGEMENT
SAVINGS
SAVINGS SCHEMES
SECURITIES
SECURITIES MARKETS
SECURITIZATION
SUBSIDIARIES
SUBSIDIARY
SYSTEMIC RISK
TAXATION
TERM FINANCE
WAGES FINANCIAL SECTOR REFORM
FINANCIAL POLICY
FINANCIAL SYSTEMS
RISK MANAGEMENT
DOLLAR STANDARD
COST-BENEFIT ANALYSIS
RETIREMENT PLANS
BANKING SYSTEMS
spellingShingle ACCOUNTING
ANNUITIES
AUDITING
BANK INSOLVENCY
BANK MANAGEMENT
BANK RISK
BANKING CRISES
BANKING SECTOR
BANKING SUPERVISION
BANKRUPTCY
BANKS
BUDGET CONSTRAINT
CAPITAL FLOWS
CAPITAL MARKETS
CENTRAL BANK
COMMERCIAL BANKS
CONTRACTUAL SAVINGS
CONTRACTUAL SAVINGS INSTITUTIONS
CORPORATE FINANCE
CORPORATE GOVERNANCE
CREDIT INSURANCE
CREDIT RISK
DEBT
DEFICITS
DEPOSIT INSURANCE
DEVELOPING COUNTRIES
DEVELOPING COUNTRY
DEVELOPING ECONOMIES
DEVELOPMENT BANKS
DEVELOPMENT ECONOMICS
ECONOMIC DEVELOPMENT
ECONOMIC GROWTH
ECONOMICS
ECONOMISTS
EMERGING MARKETS
EXCHANGE RATE
EXCHANGE RATE REGIME
EXCHANGE RATES
FINANCIAL ANALYSIS
FINANCIAL CRISES
FINANCIAL CRISIS
FINANCIAL DEVELOPMENT
FINANCIAL INSTITUTIONS
FINANCIAL INTERMEDIARIES
FINANCIAL LIBERALIZATION
FINANCIAL MANAGEMENT
FINANCIAL MARKETS
FINANCIAL REFORM
FINANCIAL REGULATION
FINANCIAL SECTOR
FINANCIAL SECTORS
FINANCIAL STRUCTURE
FINANCIAL STRUCTURES
FINANCIAL SYSTEM
FINANCIAL SYSTEMS
FOREIGN BANKS
FOREIGN EXCHANGE
FUTURES
GLOBALIZATION
GOVERNMENT FINANCE
GOVERNMENT INTERVENTION
HIGH DEBT
HOUSING
HOUSING FINANCE
ILLIQUIDITY
INCOME
INSIDER LENDING
INSTITUTIONAL DEVELOPMENT
INSTITUTIONAL FRAMEWORK
INSURANCE
INSURANCE COMPANIES
INTEREST EXPENSE
INTEREST RATES
INTERNATIONAL FINANCE
INTERNATIONAL FINANCIAL INSTITUTIONS
INTERNATIONAL INVESTORS
INVESTMENT BANKS
MACRO POLICIES
MACRO STABILITY
MACROECONOMIC POLICY
MIDDLE- INCOME COUNTRIES
MIDDLE-INCOME COUNTRIES
NONPERFORMING LOANS
PENSION FUNDS
PENSIONS
POLICY RESEARCH
PORTFOLIO DIVERSIFICATION
PORTFOLIOS
PRIVATE SECTOR
PRIVATIZATION
PROFITABILITY
PRUDENTIAL REGULATIONS
PUBLIC SECTOR
REAL INTEREST
REAL INTEREST RATES
RETAINED EARNINGS
RETIREMENT
RETURN ON EQUITY
RISK MANAGEMENT
SAVINGS
SAVINGS SCHEMES
SECURITIES
SECURITIES MARKETS
SECURITIZATION
SUBSIDIARIES
SUBSIDIARY
SYSTEMIC RISK
TAXATION
TERM FINANCE
WAGES FINANCIAL SECTOR REFORM
FINANCIAL POLICY
FINANCIAL SYSTEMS
RISK MANAGEMENT
DOLLAR STANDARD
COST-BENEFIT ANALYSIS
RETIREMENT PLANS
BANKING SYSTEMS
Caprio, Gerard
Honohan, Patrick
Vittas, Dimitri
Financial Sector Policy for Developing Countries : A Reader
description The dramatic events of the late 1990s, which followed a wave of financial crises going back to the early 1980s, brought to center stage the issue of financial sector policy in developing countries. Many recent books have presented a chronology and interpretation of the crises, but it is little apreciated that these financial sector problems had been brewing for decades and that a small number of scholars had long been evolving an approach to undertanding the structure and dynamics of these sectors. Spearheaded by a group led by Millard Long, the World Bank began studying more than 20 years ago the problems, risks, and policy solutions surrounding private finance. This volume contains a collection of essays drawing on that accumulated experience and offering a wide perspective based on extensive real-world institutional experience. They are a useful reader on a wide range of the financial policy issues that are central in developing economies today. They reflect also the evolving approach of the Bank's financial sector team and represent the knowledge that the team has accumulated over the years.
author2 Caprio, Gerard
author_facet Caprio, Gerard
Caprio, Gerard
Honohan, Patrick
Vittas, Dimitri
format Publications & Research :: Publication
author Caprio, Gerard
Honohan, Patrick
Vittas, Dimitri
author_sort Caprio, Gerard
title Financial Sector Policy for Developing Countries : A Reader
title_short Financial Sector Policy for Developing Countries : A Reader
title_full Financial Sector Policy for Developing Countries : A Reader
title_fullStr Financial Sector Policy for Developing Countries : A Reader
title_full_unstemmed Financial Sector Policy for Developing Countries : A Reader
title_sort financial sector policy for developing countries : a reader
publisher Washington, DC: World Bank
publishDate 2013
url http://documents.worldbank.org/curated/en/2002/01/2017571/financial-sector-policy-developing-countries-reader
http://hdl.handle.net/10986/15229
_version_ 1764425316013441024