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the next working day after being fixed
3.1. Bank of Russia Key rate
by the Board of Directors of the Bank of Russia
3.
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09.04.2018
and Kyrgyzstan held a Joint Payment Area Working Group meeting to discuss key trends and initiatives related to the use of innovative financial technology to
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09.04.2018
requirements for market risk’ (January 2016).
The consultative document introduces the following key changes to the market risk framework vs the 2016 standard (for details,
on 3 months time average rate settled by ten key banks;
deposits settled by ten key commercial banks; — Ukraine — average weighed rate for domestic
— Ukraine
Central bank key rate A rate set by a central bank to impact interest rates in the economy. Usually, a change
to the key rate
Global Financial Crisis of 2007-2009, but has been gradually rising since
2015.
Key words: systemic risk, financial fragility, factor model, quantile regressions, China
JEL classification:
held low, showing that short-term risks of
inflation accelerating above 4% abated. Key medium-term proinflationary risks
remain in place. Among them are possible drastic changes
of the situation and risks in the financial markets by the
following key segments: money market, foreign exchange market, securities market, and derivatives mar-
ket.
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30.03.2018
provided straightforward and detailed answers to students’ questions about inflation targeting and key rate calculation, ruble exchange rate and factors affecting it, dependence of the
Central bank key rate A rate set by a central bank to impact interest rates in the economy.
Usually a change to the key rate