IMF Publications by Subject
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Stocks:
2012
Title: How Risky Are Banks' Risk Weighted Assets? Evidence From the Financial Crisis
Series: Working Paper No. 2012/036
Date: January 1, 2012
Subject: Banking Capital adequacy requirements Financial crises Financial institutions Financial regulation and supervision Nonperforming loans Securities Stocks
Title: Bank Funding Structures and Risk: Evidence From the Global Financial Crisis
Series: Working Paper No. 2012/029
Date: January 1, 2012
Subject: Asset and liability management Banking Distressed institutions Financial crises Financial institutions Financial regulation and supervision Liquidity Liquidity requirements Stocks
2011
Title: Canada: Selected Issues Paper
Series: Country Report No. 2011/365
Date: December 22, 2011
Subject: Balance of payments Banking Financial institutions Foreign direct investment Housing Housing prices Mortgages National accounts Prices Public debt Stocks
Title: The Eurozone Crisis: How Banks and Sovereigns Came to Be Joined At the Hip
Series: Working Paper No. 2011/269
Date: November 1, 2011
Subject: Banking Economic sectors Financial crises Financial institutions Financial sector Public debt Sovereign bonds Stocks
Title: Global Financial Stability Report, September 2011: Grappling with Crisis Legacies
Series: Global Financial Stability Report No. 2011/002
Date: September 21, 2011
Subject: Asset allocation Asset and liability management Banking Credit Financial crises Financial institutions Financial sector policy and analysis Money Stocks Systemic risk
Title: Sweden: Financial Sector Assessment Program Update: Technical Note on Contingent Claims Analysis Approach to Measure Risk and Stress Test the Swedish Banking Sector
Series: Country Report No. 2011/286
Date: September 16, 2011
Subject: Banking Capital adequacy requirements Financial institutions Financial markets Financial regulation and supervision Financial sector policy and analysis Financial statements Public financial management (PFM) Stock markets Stocks Stress testing
Title: Incorporating Financial Sector Risk Into Monetary Policy Models: Application to Chile
Series: Working Paper No. 2011/228
Date: September 1, 2011
Subject: Asset and liability management Asset valuation Banking Financial institutions Financial sector policy and analysis Financial sector risk Inflation Output gap Prices Production Stocks
Title: Efficiency-Adjusted Public Capital and Growth
Series: Working Paper No. 2011/217
Date: September 1, 2011
Subject: Capital productivity Econometric analysis Estimation techniques Expenditure Financial institutions Labor Production Public investment spending Stocks
Title: Data-Rich DSGE and Dynamic Factor Models
Series: Working Paper No. 2011/216
Date: September 1, 2011
Subject: Consumption Dynamic stochastic general equilibrium models Econometric analysis Factor models Financial institutions Inflation National accounts Prices Stocks
Title: Unforeseen Events Wait Lurking: Estimating Policy Spillovers From U.S. to Foreign Asset Prices
Series: Working Paper No. 2011/183
Date: August 1, 2011
Subject: Asset prices Banking Bond yields Emerging and frontier financial markets Financial institutions Financial markets Monetary policy Prices Stocks Unconventional monetary policies