IMF Publications by Subject
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Financial sector policy and analysis:
2010
Title: Russian Federation: Financial Sector Stability Assessment Update
Series: Country Report No. 2010/096
Date: April 21, 2010
Subject: Banking Correspondent banking Credit Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial services Insurance companies Loans Market risk Money Stress testing
Title: Philippines: Financial System Stability Assessment Update
Series: Country Report No. 2010/090
Date: April 7, 2010
Subject: Banking Financial crises Financial institutions Financial Sector Assessment Program Financial sector policy and analysis Insurance Loans Mutual funds Stress testing
Title: Collateral, Netting and Systemic Risk in the OTC Derivatives Market
Series: Working Paper No. 2010/099
Date: April 1, 2010
Subject: Central counterparty clearing house Collateral Credit default swap Derivative markets Financial institutions Financial markets Financial sector policy and analysis Money Systemic risk
Title: Oman: Banking Sector Resilience
Series: Working Paper No. 2010/061
Date: March 1, 2010
Subject: Bank soundness Banking Capital adequacy requirements Commercial banks Credit Financial institutions Financial sector policy and analysis Loans Money Nonperforming loans
Title: Romania: Financial Sector Stability Assessment
Series: Country Report No. 2010/047
Date: February 26, 2010
Subject: Banking Commercial banks Crisis management Financial crises Financial institutions Financial sector policy and analysis Financial services Foreign banks Stress testing
Title: Systemic Risks and the Macroeconomy
Series: Working Paper No. 2010/029
Date: February 1, 2010
Subject: Bank credit Banking Econometric analysis Financial institutions Financial sector policy and analysis Inflation Loans Money Prices Systemic risk Vector autoregression
Title: Kenya: Staff Report for the 2009 Article IV Consultation
Series: Country Report No. 2010/026
Date: January 27, 2010
Subject: Credit Expenditure Financial crises Financial Sector Assessment Program Financial sector policy and analysis Fiscal policy Public debt
Title: Approaches to Corporate Debt Restructuring in the Wake of Financial Crises
Series: Staff Position Note No. 2010/002
Date: January 26, 2010
Subject: Asset and liability management Corporate sector Debt restructuring Debt strategy Economic sectors External debt Financial crises Financial sector policy and analysis Legal support in revenue administration Revenue administration Solvency
Title: The Spillover Effects of the Global Crisison Economic Activity in Mena Emerging Market Countries: An Analysis Using the Financial Stress Index
Series: Working Paper No. 2010/008
Date: January 1, 2010
Subject: Econometric analysis Emerging and frontier financial markets Estimation techniques Financial crises Financial markets Financial sector policy and analysis Financial soundness indicators Spillovers
2009
Title: Spillover Effects and the East African Community: Explaining the Slowdown and the Recovery
Series: Departmental Paper No. 2009/005
Date: December 15, 2009
Subject: Exports Financial sector policy and analysis Fiscal policy Fiscal stance Fiscal stimulus International trade Oil prices Prices Spillovers