IMF Publications by Subject
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Mutual funds:
2024
Title: A Gravity Model of Geopolitics and Financial Fragmentation
Series: Working Paper No. 2024/196
Date: September 13, 2024
Subject: Asset allocation Asset and liability management Bonds Econometric analysis Estimation techniques Financial institutions International trade Mutual funds Plurilateral trade
Title: Whose Asset Sales Matter?
Series: Working Paper No. 2024/168
Date: August 2, 2024
Subject: Asset and liability management Bonds Financial institutions Hedge funds Liquidity Mutual funds Sovereign bonds
Title: Stepping Up Venture Capital to Finance Innovation in Europe
Series: Working Paper No. 2024/146
Date: July 12, 2024
Subject: Expenditure Financial institutions Financial markets Insurance companies Labor Mutual funds Pension spending Pensions Stock markets
Title: Luxembourg: Financial Sector Assessment Program—Technical Note on Stress Testing and Systemic Risk Analysis
Series: Country Report No. 2024/185
Date: June 24, 2024
Subject: Commercial banks Financial institutions Financial sector policy and analysis Insurance companies Mutual funds Stress testing
Title: Luxembourg: Financial Sector Assessment Program—Technical Note on Investment Funds: Regulation and Supervision
Series: Country Report No. 2024/181
Date: June 24, 2024
Subject: Financial institutions Financial regulation and supervision Financial Sector Assessment Program Financial sector policy and analysis Financial sector stability Liquidity risk Mutual funds Systemic risk
Title: Luxembourg: Financial Sector Assessment Program-Financial System Stability Assessment
Series: Country Report No. 2024/157
Date: June 7, 2024
Notes:
Subject: Financial institutions Financial Sector Assessment Program Financial sector policy and analysis International organization Macroprudential policy Monetary policy Mutual funds Stress testing
Title: A Framework for Systemwide Liquidity Analysis
Series: Working Paper No. 2024/104
Date: May 17, 2024
Subject: Asset and liability management Commercial banks Financial institutions Financial regulation and supervision Liquidity Liquidity risk Mutual funds Securities
Title: Japan: Financial Sector Assessment Program-Technical Note on Systemic Risk Analysis and Stress Testing
Series: Country Report No. 2024/111
Date: May 13, 2024
Subject: Financial institutions Financial sector policy and analysis Insurance companies International organization Loans Monetary policy Mutual funds Solvency stress testing Stress testing
Title: Japan: Financial Sector Assessment Program-Technical Note on Regulation and Supervision of Investment Funds
Series: Country Report No. 2024/114
Date: May 13, 2024
Subject: Asset and liability management Asset management Business enterprises Economic sectors Financial institutions Financial sector policy and analysis Financial stability assessment Government asset management International organization Monetary policy Mutual funds Public financial management (PFM)
Title: The Impact of Derivatives Collateralization on Liquidity Risk: Evidence from the Investment Fund Sector
Series: Working Paper No. 2024/026
Date: February 9, 2024
Subject: Asset and liability management Collateral Financial institutions Financial regulation and supervision Liquidity Liquidity requirements Liquidity risk Mutual funds