
Central Bank Ratings
A New Methodology for Global Excellence
Indranarain Ramlall(Autor*in)
Palgrave Macmillan (Verlag)
2. Auflage
Erschienen am 3. Juli 2023
Buch
Softcover
XIII, 132 Seiten
978-3-030-98715-2 (ISBN)
Beschreibung
Indranarain Ramlall
is
Associate Professor at the University of Mauritius. Prior to joining the University, he was Credit Corporate Officer at the State Bank of India (Mauritius), and then Fund Manager at Anglo-Mauritius Financial Services Limited. Dr. Ramlall previously worked within the Financial Markets Division and the Financial Stability Unit at the Bank of Mauritius (The Central Bank of Mauritius). At this time, he also served as a member of the Joint Working Group Committee on Debt Management and the Sub-Committee on Treasury Bill Allocation. His research interests include financial stability, central banking, risk management, economics and finance in Mauritius, investment analysis, quantitative techniques and econometric modelling, and the economics of climate change and Green Finance.
Rezensionen / Stimmen
"Since the global financial crisis began, central banks have taken a wide range of non-conventional policies in an effort to subdue the effects of economic recessions. Concurrently, the on-going credibility and stability of these banks has been increasingly under the spotlight. This timely and welcome research-based book proposes a new framework for the evaluation of central banks via ratings scores. It will help to fill an important gap in our knowledge by contributing to the debate on the question of central banking quality and how to assess it. As such, it is likely to be required reading for both practitioners and researchers of this topic." (Professor Chris Brooks, Henley Business School, University of Reading, UK)Weitere Details
Auflage
Second Edition 2022
Sprache
Englisch
Verlagsort
Cham
Schweiz
Verlagsgruppe
Springer International Publishing
Zielgruppe
Für Beruf und Forschung
Editions-Typ
Überarbeitete Ausgabe
Illustrationen
15 farbige Abbildungen, 1 s/w Abbildung
XIII, 132 p. 16 illus., 15 illus. in color.
Maße
Höhe: 210 mm
Breite: 148 mm
Dicke: 9 mm
Gewicht
202 gr
ISBN-13
978-3-030-98715-2 (9783030987152)
DOI
10.1007/978-3-030-98713-8
Schweitzer Klassifikation
Weitere Ausgaben
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Buch
07/2022
2. Auflage
Palgrave Macmillan
128,39 €
Versand in 7-9 Tagen
Person
Indranarain Ramlall is Associate Professor at the University of Mauritius. Prior to joining the University, he was Credit Corporate Officer at the State Bank of India (Mauritius), and then Fund Manager at Anglo-Mauritius Financial Services Limited. Dr. Ramlall previously worked within the Financial Markets Division and the Financial Stability Unit at the Bank of Mauritius (The Central Bank of Mauritius). At this time, he also served as a member of the Joint Working Group Committee on Debt Management and the Sub-Committee on Treasury Bill Allocation. His research interests include financial stability, central banking, risk management, economics and finance in Mauritius, investment analysis, quantitative techniques and econometric modelling, and the economics of climate change and Green Finance.
Inhalt
Chapter 1.Introduction.- Chapter 2.An Overview of Central Banking in the World.- Chapter 3.Some Stylized Facts about Central Banks.- Chapter 4.Ratings Methodology for central banks worldwide.- Chapter 5.Second and Third Division Rated Central Banks.- Chapter 6.Results and Discussions.- Chapter 7.Backtesting.- Chapter 8.Conculusion.