IMF Publications by Subject
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Systemic risk:
2022
Title: Review of The Institutional View on The Liberalization and Management of Capital Flows — Background Note on Assessing Systemic Financial Stability Risks Due to FX Mismatches
Series: Policy Paper No. 2022/010
Date: March 30, 2022
Subject: Currencies Financial sector policy and analysis Financial statements Foreign exchange Monetary policy Money Political economy Public financial management (PFM) Systemic risk Systemic risk assessment
Title: Review of The Institutional View on The Liberalization and Management of Capital Flows — Background Note on Principles for the Design of Measures to Address Systemic Risks from FX Mismatches
Series: Policy Paper No. 2022/011
Date: March 30, 2022
Subject: Balance of payments Capital flow management Financial sector policy and analysis Foreign exchange Monetary policy Political economy Systemic risk
Title: BigTech in Financial Services: Regulatory Approaches and Architecture
Series: Fintech Notes No 2022/002
Date: January 24, 2022
Subject: Economic sectors Emerging technologies Financial crises Financial sector policy and analysis Financial sector stability Financial services Fintech Systemic risk Technology
2021
Title: What Can We Learn from Financial Stability Reports?
Series: Working Paper No. 2021/200
Date: July 30, 2021
Subject: Financial sector policy and analysis Financial sector stability Macroprudential policy Stress testing Systemic risk Systemic risk assessment
Title: People’s Republic of China–Hong Kong Special Administrative Region: Financial Sector Assessment Program-Technical Note-Systemic Risk Oversight and Macroprudential Policies
Series: Country Report No. 2021/117
Date: June 15, 2021
Subject: Financial institutions Financial sector policy and analysis Financial sector stability Housing prices International organization Macroprudential policy Monetary policy Mortgages Prices Systemic risk
Title: 2021 Financial Sector Assessment Program Review —Background Paper On Scope
Series: Policy Paper No. 2021/043
Date: June 1, 2021
Subject: Financial Sector Assessment Program Financial sector policy and analysis Financial sector stability Financial stability assessment Monetary policy Political economy Stress testing Systemic risk
Title: 2021 Financial Sector Assessment Program Review—Background Paper On Traction
Series: Policy Paper No. 2021/042
Date: May 28, 2021
Subject: Financial Sector Assessment Program Financial sector policy and analysis Financial sector risk Financial sector stability Monetary policy Political economy Stress testing Systemic risk
Title: 2021 Financial Sector Assessment Program Review—Background Paper On Quantitative Analysis
Series: Policy Paper No. 2021/041
Date: May 28, 2021
Subject: Financial Sector Assessment Program Financial sector policy and analysis Financial sector risk Financial stability assessment Monetary policy Political economy Stress testing Systemic risk
Title: 2021 Comprehensive Surveillance Review— Background Paper on Systemic Risk and Macroprudential Policy Advice in Article IV Consultations
Series: Policy Paper No. 2021/033
Date: May 18, 2021
Subject: Financial sector policy and analysis Financial sector stability Macroprudential policy Monetary policy Political economy Stress testing Systemic risk Systemic risk assessment
Title: Cyclical Patterns of Systemic Risk Metrics: Cross-Country Analysis
Series: Working Paper No. 2021/028
Date: February 5, 2021
Subject: Credit cycles Liquidity risk Private debt Solvency Systemic risk