Yingbin Xiao

International Monetary Fund (IMF)

700 19th Street, N.W.

Washington, DC 20431

United States

SCHOLARLY PAPERS

10

DOWNLOADS
Rank 37,531

SSRN RANKINGS

Top 37,531

in Total Papers Downloads

1,168

SSRN CITATIONS
Rank 22,135

SSRN RANKINGS

Top 22,135

in Total Papers Citations

1

CROSSREF CITATIONS

32

Scholarly Papers (10)

1.

Measuring and Analyzing Sovereign Risk with Contingent Claims

IMF Working Paper No. 05/155
Number of pages: 50 Posted: 03 Mar 2006
International Monetary Fund (IMF) - International Capital Markets Department, International Monetary Fund (IMF), International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 370 (80,364)
Citation 1

Abstract:

Loading...

Sovereign risk, contingent claims, debt sustainability, risk management

2.

French Banks Amid the Global Financial Crisis

IMF Working Paper No. 09/201
Number of pages: 23 Posted: 13 Oct 2009
Yingbin Xiao
International Monetary Fund (IMF)
Downloads 222 (138,719)

Abstract:

Loading...

Asset management, Bank restructuring, Bank soundness, Bank supervision, Banking sector, Business cycles, Corporate sector, Credit risk, Financial crisis, Financial instruments, France, Liquidity management, Profits, Risk management

3.

Financial and Risk Analysis of Swiss Banks and Insurance Companies

Number of pages: 13 Posted: 27 Sep 2011
Yingbin Xiao
International Monetary Fund (IMF)
Downloads 176 (171,968)

Abstract:

Loading...

systemic risk, too big to fail, large and complex financial institutions

4.

The Contingent Claims Approach to Corporate Vulnerability Analysis: Estimating Default Risk and Economy-Wide Risk Transfer

IMF Working Paper No. 04/121
Number of pages: 44 Posted: 15 Feb 2006
Michael Gapen, Cheng Hoon Lim and Yingbin Xiao
International Monetary Fund (IMF) - International Capital Markets Department, International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 97 (272,695)

Abstract:

Loading...

Contingent claims approach, Corporate sector vulnerability, Credit risk

5.

Financial Stability in an Evolving Regulatory and Supervisory Landscape

IMF Working Paper No. 13/47
Number of pages: 19 Posted: 07 Mar 2013
Yingbin Xiao
International Monetary Fund (IMF)
Downloads 70 (332,117)

Abstract:

Loading...

Bank regulations, Bank supervision, Banks, Commercial banks, Danish banks, Denmark, Financial stability, Loans, SIFI, bail-in, covered bonds, crisis resolution, deposit insurance, macroprudential and microprudential policies, regulation and supervision, risk-weighted assets, systemic risk

6.

Belgium’s Public Debt: Profile, Dynamics, and Vulnerabilities

Number of pages: 11 Posted: 27 Sep 2011
Yingbin Xiao
International Monetary Fund (IMF)
Downloads 67 (340,000)

Abstract:

Loading...

sovereign debt crisis, investor base, debt profile

7.

Adequacy of Bond Supply and Cost of Pension Benefits: A Financial Economics Perspective

SOA Research Projects in Pension, 2009
Number of pages: 49 Posted: 15 Aug 2009
Y. Julia Xiao and Yingbin Xiao
affiliation not provided to SSRN and International Monetary Fund (IMF)
Downloads 45 (409,052)

Abstract:

Loading...

Pension cost, Financial economics, Demand and supply, Long-term bonds, Asset allocation, Pension funds

8.

Credit Developments in France and Systemic Linkages of the French Financial Sector

Number of pages: 19 Posted: 21 Sep 2011
Yingbin Xiao
International Monetary Fund (IMF)
Downloads 43 (416,444)

Abstract:

Loading...

credit crunch, systemic risk, large and complex financial institutions

9.

Financing and Risks of French Firms

Number of pages: 20 Posted: 13 Aug 2009
Yingbin Xiao
International Monetary Fund (IMF)
Downloads 40 (427,924)

Abstract:

Loading...

financing, corporate, credit risk, French firms

10.

What do Bond Holdings Reveal About International Funds' Preferences?

Emerging Markets Review, Vol. 8, No. 3, 2007
Number of pages: 29 Posted: 10 Sep 2008 Last Revised: 20 Jul 2009
Yingbin Xiao
International Monetary Fund (IMF)
Downloads 38 (436,224)

Abstract:

Loading...

Bond Funds, Portfolio Holdings, Emerging Markets, Asset Allocation