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[working paper]

dc.contributor.authorMühlich, Laurissade
dc.contributor.authorFritz, Barbarade
dc.date.accessioned2016-10-07T09:43:28Z
dc.date.available2016-10-07T09:43:28Z
dc.date.issued2016de
dc.identifier.issn1868-7601de
dc.identifier.urihttp://www.ssoar.info/ssoar/handle/document/48298
dc.description.abstractThe global financial safety net provides backstop during times of financial crises. Its elements underwent fundamental changes since the global financial crisis. The International Monetary Fund (IMF) introduced new facilities on the global level, new regional financial arrangements (RFAs) were created, and bilateral swap agreements emerged as a new element. In this paper, we ask how these changes influence the use of the different safety net options, and what role RFAs have in the safety net today. We created a database with all the cases in which a RFA member drew on one of the elements of the global safety net. This allows us to analyze which other options the country had at hand, and to examine their use along the institutional design in terms of timeliness, volume, and policy conditionality. We find today's global financial safety net to be not a global, but a geographically and structurally scattered net. RFAs make the safety net safer only for small member countries. Just few countries can count on a bilateral swap line, their selection being subject to the discretion of the swap partner. Thus, a large number of countries fall through important knots of the safety net and have the IMF as their only option.en
dc.languageende
dc.subject.ddcWirtschaftde
dc.subject.ddcEconomicsen
dc.subject.otherRegional Financial Arrangements; Financial Safety; Bilateral Swaps; FLAR; CMIM; AMF; EFSDde
dc.titleSafety for whom? The scattered global financial safety net and the role of regional financial arrangementsde
dc.description.reviewbegutachtet (peer reviewed)de
dc.description.reviewpeer revieweden
dc.source.volume75de
dc.publisher.countryDEU
dc.publisher.cityBerlinde
dc.source.seriesKFG Working Paper Series
dc.subject.classozWirtschaftspolitikde
dc.subject.classozEconomic Policyen
dc.subject.thesozFinanzkrisede
dc.subject.thesozfinancial crisisen
dc.subject.thesozIMFde
dc.subject.thesozIMFen
dc.subject.thesozFinanzmarktde
dc.subject.thesozfinancial marketen
dc.subject.thesozKooperationde
dc.subject.thesozcooperationen
dc.subject.thesozLiquiditätde
dc.subject.thesozliquidityen
dc.subject.thesozBonitätde
dc.subject.thesozsolvencyen
dc.subject.thesozWährungde
dc.subject.thesozcurrencyen
dc.subject.thesozGeldpolitikde
dc.subject.thesozmonetary policyen
dc.subject.thesozStabilitätde
dc.subject.thesozstabilityen
dc.subject.thesozEntwicklungslandde
dc.subject.thesozdeveloping countryen
dc.subject.thesozSchwellenlandde
dc.subject.thesoznewly industrializing countriesen
dc.identifier.urnurn:nbn:de:0168-ssoar-48298-5
dc.rights.licenceDeposit Licence - Keine Weiterverbreitung, keine Bearbeitungde
dc.rights.licenceDeposit Licence - No Redistribution, No Modificationsen
internal.statusformal und inhaltlich fertig erschlossende
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dc.type.stockmonographde
dc.type.documentArbeitspapierde
dc.type.documentworking paperen
dc.source.pageinfo33de
internal.identifier.classoz1090302
internal.identifier.document3
dc.contributor.corporateeditorFreie Universität Berlin, FB Politik- und Sozialwissenschaften, Otto-Suhr-Institut für Politikwissenschaft Kolleg-Forschergruppe "The Transformative Power of Europe"
internal.identifier.corporateeditor558
internal.identifier.ddc330
dc.description.pubstatusErstveröffentlichungde
dc.description.pubstatusPrimary Publicationen
internal.identifier.licence3
internal.identifier.pubstatus5
internal.identifier.review1
internal.identifier.series808
dc.subject.classhort10500de
dc.subject.classhort20500de
dc.subject.classhort10900de
internal.pdf.validfalse
internal.pdf.wellformedfalse
internal.check.abstractlanguageharmonizerCERTAIN
internal.check.languageharmonizerCERTAIN_RETAINED


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