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RBA Glossary definition for financial disturbance

financial disturbance – An event or incident, which causes a significant loss of confidence by depositors or investors in a financial institution or a disruption to financial markets.

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The Changing Nature of the Business Cycle

10 Oct 2005 Bulletin – October 2005
Similarly, the opening of capital markets globally might increase the potential for financial disturbances to be transmitted across borders, thereby raising synchronisation. ... In contrast to Cecchetti et al, they find that financial liberalisation is
https://www.rba.gov.au/publications/bulletin/2005/oct/2.html

Economic Outlook

5 May 2011 SMP – May 2011 PDF 174KB
https://www.rba.gov.au/publications/smp/2011/may/pdf/eco-outlook.pdf

Domestic Financial Markets and Conditions

10 May 2008 SMP – May 2008
The turbulence in capital markets continues to affect the cost and composition of financial intermediaries' funding. ... Financial difficulties at several small brokers that offered margin loans have also emerged.
https://www.rba.gov.au/publications/smp/2008/may/dom-fin-mkts.html

Semi-Annual Statement on Monetary Policy

10 Nov 1999 Bulletin – November 1999
Periodic financial market disturbances continue to disrupt a number of Latin American financial markets, where recovery in growth is much more patchy than in Asia. ... Financial assets. 1,056. 39.7. 9.1. 10.4. of which:. – Equities. 182.
https://www.rba.gov.au/publications/bulletin/1999/nov/1.html

Economic Outlook

10 Feb 2020 SMP - February 2018 PDF 979KB
https://www.rba.gov.au/publications/smp/2018/feb/pdf/06-economic-outlook.pdf

Supervision of Banks' Derivative Activities

10 Aug 1993 Bulletin – August 1993
from the perspective of the financial system resilience to market disturbances, linked markets can act as a safety valve. ... Decline in Transparency – derivatives enable financial institutions to change the nature of their exposures.
https://www.rba.gov.au/publications/bulletin/1993/aug/2.html

Statement on Monetary Policy – May 2011

5 May 2011 SMP – May 2011 PDF 2132KB
https://www.rba.gov.au/publications/smp/2011/may/pdf/0511.pdf

Economic Outlook

3 May 2012 SMP - May 2012 PDF 393KB
https://www.rba.gov.au/publications/smp/2012/may/pdf/eco-outlook.pdf

Introduction

10 Nov 2007 SMP – November 2007
In early August there was a marked reassessment of that view, which saw risk premia on many financial instruments rise significantly. ... Somewhat lower outcomes could eventuate if global economic conditions prove to be weaker than expected, which might
https://www.rba.gov.au/publications/smp/2007/nov/intro.html

The Term Structure of Commodity Risk Premiums and the Role of Hedging

17 Mar 2016 Bulletin – March 2016
Jonathan Hambur and Nick Stenner
A standard theory used to explain commodity futures prices decomposes the futures price into the expected spot price at maturity of the futures contract and a risk premium. This article investigates the term structure of commodity risk premiums. We
https://www.rba.gov.au/publications/bulletin/2016/mar/7.html