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Hoelscher, David S.

Overview
Works: 11 works in 85 publications in 2 languages and 3,115 library holdings
Genres: Case studies  Conference papers and proceedings 
Roles: Author, Editor, Other
Publication Timeline
Key
Publications about David S Hoelscher
Publications by David S Hoelscher
Most widely held works by David S Hoelscher
Globalization and systemic risk by Douglas Darrell Evanoff( file )
10 editions published in 2009 in English and held by 1,263 libraries worldwide
"The impact of globalization of financial markets is a highly debated topic, particularly in recent months when the issue of globalization and contagion of financial distress has become a focus of intense policy debate. The papers in this volume provide an up-to-date overview of the key issues in this debate. While most of the contributions were prepared after the initial outbreak of the current global turmoil and financial crisis, they identify the relative strengths of the risk diversification and risk transmission processes and examine the empirical evidence to date. The book considers the relative roles of banks, nonbank financial institutions and capital markets in both risk diversification and risk transmission. It then evaluates the current status of crisis resolution in a global context, and speculates where to go from here in terms of understanding, resolution, prevention and public policy."--Publisher description
Bank restructuring and resolution by David S Hoelscher( file )
15 editions published between 2006 and 2007 in English and held by 976 libraries worldwide
Systemic financial crises have become a common, albeit infrequent, feature of the global financial landscape. Since 1980, nearly every country has been affected by serious financial distress or systemic financial crises. Resolution of such crises requires a complex mix of macroeconomic and financial sector policies. One important element in the mix is the restructuring and resolution of problem banks. Considerable experience has been gained in this area in the past decade. This volume outlines the theoretical insights gained and the practical lessons learned. For more information on how to purchase this title, please visit http://www.palgrave.com/economics/imf/index.asp
Managing systemic banking crises by David S Hoelscher( Book )
17 editions published between 2003 and 2004 in 3 languages and held by 374 libraries worldwide
Recent financial sector crises and their resolution have raised new issues and provided additional experiences to draw on in the future. Banking sector problems in Russia, Turkey, and a few Latin American countries occurred within the context of highly dollarized economies, high levels of sovereign debt, severely limited fiscal resources, or combinations thereof. These factors have challenged the effectiveness of many of the typical tools for bank resolution. This publication focuses on the issues raised in systemic crises, not on the resolution of individual bank problems. Based on the lessons learned during the Asian crisis, it updates the IMF's work on the general principles, strategies, and techniques for managing these crises
The design and implementation of deposit insurance systems by David S Hoelscher( Book )
7 editions published in 2006 in English and held by 316 libraries worldwide
This paper describes recently established deposit insurance systems, identifying emerging trends. In line with previous IMF work on the subject, it argues against the development of "best practices" applicable to all systems. Rather, it stresses the importance of incorporating each country's individual objectives in adopting a deposit insurance system, as well as that country's characteristics, to ensure an effective system that minimizes disincentives and distortions to financial sector intermediation. The book includes a summary of the academic literature.--Publisher's description
Evolution of monetary policy instruments in Russia by Tomás J. T Baliño( file )
10 editions published in 1997 in English and held by 53 libraries worldwide
Annotation
Financial stability in dollarized economies by Anne-Marie Gulde( Book )
5 editions published in 2004 in English and Undetermined and held by 46 libraries worldwide
This paper addresses the challenges to prudential supervision in highly dollarized economies, where central banks and supervisors may be constrained in the use of standard money and financial policy tools. The study's conclusions are the basis of an ongoing policy dialogue with IMF member countries, standard-setters in the financial area, and academia. The paper is part of the policy development work conducted by the IMF's Monetary and Financial Systems Department
Banking system restructuring in Kazakhstan by David S Hoelscher( Book )
8 editions published in 1998 in English and Undetermined and held by 42 libraries worldwide
This paper reviews financial restructuring in Kazakhstan, and the condition of the financial system in the period following independence. The authorities' efforts to redress financial sector weaknesses fall into two phases: The first phase addressed the immediate crises in the banking system by slowing bank licensing, tightening prudential regulations, and dealing with large nonperforming loans. The next phase saw reforms to regulatory and institutional structures. The paper shows that, by the end of 1997, substantial reforms in the structure of the financial system had been accomplished and a major financial collapse avoided. However, the banking system had not begun to play an active role in financial intermediation
The design and implementation of deposit insurance systems by David S Hoelscher( Book )
6 editions published in 2006 in English and held by 34 libraries worldwide
This paper describes recently established deposit insurance systems, identifying emerging trends. In line with previous IMF work on the subject, it argues against the development of "best practices" applicable to all systems. Rather, it stresses the importance of incorporating each country's individual objectives in adopting a deposit insurance system, as well as that country's characteristics, to ensure an effective system that minimizes disincentives and distortions to financial sector intermediation. The book includes a summary of the academic literature
Housing finance and mortgage-backed securities in Mexico by Marco Espinosa-Vega( file )
4 editions published in 2008 in English and held by 8 libraries worldwide
This paper reviews the Mexican experience with the securitization of residential mortgages. It highlights the key legislative and institutional reforms leading to the development of primary and secondary mortgage markets and reports the main features and valuation practices of the RMBS markets. The paper identifies areas warranting close attention to improve the outlook for the Mexican RMBS market and draws some lessons from the recent U.S. subprime mortgage market problems
Microenterprise stock-taking : the Dominican Republic by Jeffrey Poyo( Book )
2 editions published in 1989 in English and held by 2 libraries worldwide
The resolution of systematic banking system crises ( Article )
1 edition published in 2006 in Undetermined and held by 1 library worldwide
 
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Languages
English (77)
Chinese (3)
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