FACULTAD DE CIENCIAS ECONÓMICAS Y EMPRESARIALES
92
Jahn, N. y Kick, T. (2012). Determinants of Banking System Stability: A Macro-
Prudential Analysis. Finance Center Münster, University of Münster.
Jorion, P. (1997). Valor en riesgo. The McGraw-Hill Companies. México: Editorial
Limusa, Grupo Noriega Editores. México, D.F.
Paustian, M., De Paoli, B. (2013). Coordinating Monetary and Macroprudential
Policies. Staff Report No. 653. Federal Reserve Bank of New York.
Schinasi, G. (2004). Defining Financial Stability. IMF Working Paper WP/04/187.
International Capital Markets Department.
SECMCA (2013). Informe del sistema bancario de la región CAPARD 2012. Consejo
Monetario Centroamericano.
Segoviano, M. y Goodhart, C. (2009). Banking Stability Measures. IMF Working
Paper WP/09/04. International Capital Markets Department.
Smets, F. (2014). Financial Stability and Monetary Policy: How Closely Interlinked.
European Central Bank. This note is a shortened version of Smets (2013).
World Economic Forum (2014). The Global Competitiveness Report 2013-2014.
Base period 2013-2014 GCI edition.