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Yield Curve and Financial Risk Premia

Implications for Monetary Policy

Jezik AngleščinaAngleščina
Knjiga Mehka
Knjiga Yield Curve and Financial Risk Premia Felix Geiger
Koda Libristo: 01658151
The determinants of yield curve dynamics have been thoroughly discussed in finance models. However,... Celoten opis
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The determinants of yield curve dynamics have been thoroughly discussed in finance models. However, little can be said about the macroeconomic factors behind the movements of short- and long-term interest rates as well as the risk compensation demanded by financial investors. By taking on a macro-finance perspective, the book s approach explicitly acknowledges the close feedback between monetary policy, the macroeconomy and financial conditions. Both theoretical and empirical models are applied in order to get a profound understanding of the interlinkages between economic activity, the conduct of monetary policy and the underlying macroeconomic factors of bond price movements. Moreover, the book identifies a broad risk-taking channel of monetary transmission which allows a reassessment of the role of financial constraints; it enables policy makers to develop new guidelines for monetary policy and for financial supervision of how to cope with evolving financial imbalances.The determinants of yield curve dynamics have been thoroughly discussed in finance models. However, little can be said about the macroeconomic factors behind the movements of short- and long-term interest rates as well as the risk compensation demanded by financial investors. By taking on a macro-finance perspective, the book s approach explicitly acknowledges the close feedback between monetary policy, the macroeconomy and financial conditions. Both theoretical and empirical models are applied in order to get a profound understanding of the interlinkages between economic activity, the conduct of monetary policy and the underlying macroeconomic factors of bond price movements. Moreover, the book identifies a broad risk-taking channel of monetary transmission which allows a reassessment of the role of financial constraints; it enables policy makers to develop new guidelines for monetary policy and for financial supervision of how to cope with evolving financial imbalances. §In recognition of his excellent thesis, the author received the Suedwestbank Award 2011. §

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O knjigi

Polni naslov Yield Curve and Financial Risk Premia
Avtor Felix Geiger
Jezik Angleščina
Vezava Knjiga - Mehka
Datum izida 2011
Število strani 260
EAN 9783642215742
ISBN 3642215742
Koda Libristo 01658151
Teža 514
Mere 234 x 156 x 24
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