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Risk Management of Housing Finance Institutions
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Related Documents
Publish Date
Title
Author
March 2018
Enterprise Risk Management
Federal Housing Finance Agency
2017
Nonbanks and Lending Standards in Mortgage Markets. The Spillovers from Liquidity Regulation
Pedro Getey and Michael Reherz
November 17, 2016
Non-Performing Loans in the ECCU : Determinants and Macroeconomic Impact
IMF
November 2016
Securitization and Credit Quality
David Marques-Ibanez
May 2016
Mortgage Guarantee: A Concept Paper
Vibha Batra and Kalpesh Gada
December 2015
Mortgage Risk and the Yield Curve
Aytek Malkhozov, Philippe Mueller, Andrea Vedolin and Gyuri Venter
2015
Measuring Total Mortgage Market Credit Risk
Douglas McManus
March 2013
Help to Buy: Mortgage Guaranty Scheme Outline
HM Treasury
2012
Problems with Using CDS to Infer Default Probabilities
Robert A. Jarrow
2012
Short-term Wholesale Funding and Systemic Risk: A Global CoVaR Approach
German Lopez-Espinosa
2012
Credit Ratings and Credit Risk
Jens Hilscher
2012
Danmarks Nationalbank Monetary Review 4th Quarter Part 2
Danmarks National Bank
2012
Margin requirements for non-centrally-cleared derivatives
BCBS/IOSCO
2012
Why Have Bank Interest Margins Been so High in Indonesia since the 1997/1998 Financial Crisis?
Irwan Trinugrohuo
2011
The Impact of Legislation on Credit Risk—Comparative Evidence From the United States, the United Kingdom and Germany
Christian Schmieder and Philipp Schmieder
2011
Systemic Risks in Global Banking: What Available Data Can Tell Us and What More Data are Needed?
Eugenio Cerutti, Stijn Claessens, Patrick McGuire
2011
Safeguarding Banks and Containing Property Booms: Cross-Country Evidence on Macroprudential Policies and Lessons from Hong Kong SAR
Ashvin Ahuja and Malhar Nabar
2011
Counterparty Credit Risk Management in the US Over-the-Counter (OTC) Derivatives Markets
ISDA
2010
THE DETERMINANTS OF HOUSEHOLD DEBT DEFAULT
Rodrigo Alfaro
2009
"Risk Management and Regulation," In Housing Finance Policy in Emerging Markets
W. Britt Gwinner and Michael Lea
2008
Observations on Risk Management Practices during the Recent Market Turbulence
Senior Supervisors Group
December 1999
Mortgage Market Reform in Egypt
Nathan Associates Inc.
Lowering the high interest rate cost of housing finance in Africa
Michel Fuchs
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