IMF Publications by Author
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Sheheryar Malik:
2024
Title: Managing Foreign Exchange Rate Risk: Capacity Development for Public Debt Managers in Emerging Market and Low-Income Countries
Series: Working Paper No. 2024/167
Date: August 2, 2024
Subject: Asset and liability management Currencies Debt management Exchange rate risk External debt Financial regulation and supervision Foreign currency debt Government debt management Money Public financial management (PFM)
2021
Title: What Is Driving the Rise in Advanced Economy Bond Yields?
Series: Global Financial Stability Notes No 2021/003
Date: June 29, 2021
Subject: Bond yields Economic sectors Financial crises Financial institutions Financial sector policy and analysis Financial sector stability Financial services Inflation National accounts Prices Return on investment Yield curve
2019
Title: Breaking the Bank? A Probabilistic Assessment of Euro Area Bank Profitability
Series: Working Paper No. 2019/254
Date: November 22, 2019
Subject: Bank soundness Banking Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial services Loan loss provisions National accounts Nonperforming loans Personal income Yield curve
2018
Title: The Term Structure of Growth-at-Risk
Series: Working Paper No. 2018/180
Date: August 2, 2018
Subject: Credit Credit booms Financial sector policy and analysis Financial sector risk Growth-at-risk assessment Macrofinancial linkages Money
Title: A Comprehensive Multi-Sector Tool for Analysis of Systemic Risk and Interconnectedness (SyRIN)
Series: Working Paper No. 2018/014
Date: January 24, 2018
Subject: Commercial banks Financial institutions Financial sector policy and analysis Hedge funds Insurance companies Mutual funds Systemic risk
2017
Title: Assessing Loss of Market Access: Conceptual and Operational Issues
Series: Working Paper No. 2017/246
Date: November 15, 2017
Subject: Bonds Credit ratings Debt sustainability External debt Financial institutions Financial services Money Public debt Yield curve
Title: Interconnectedness of Global Systemically-Important Banks and Insurers
Series: Working Paper No. 2017/210
Date: September 29, 2017
Subject: Banking Financial crises Financial institutions Global systemically important banks Global systemically important insurers Insurance companies Stocks
Title: On Swing Pricing and Systemic Risk Mitigation
Series: Working Paper No. 2017/159
Date: July 18, 2017
Subject: Asset and liability management Asset management Financial regulation and supervision Financial sector policy and analysis Liquidity management Liquidity risk Revenue administration Risk mitigation in revenue administration Systemic risk