IMF Publications by Subject
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Bonds:
1999
Title: Venezuela: Statistical Appendix
Series: Country Report No. 1999/111
Date: October 7, 1999
Subject: Agricultural commodities Banking Bonds Commercial banks Commodities Economic sectors Financial institutions Oil Public sector
Title: Corporate Leverage, Bankruptcy, and Output Adjustment in Post-Crisis East Asia
Series: Working Paper No. 1999/143
Date: October 1, 1999
Subject: Asset and liability management Balance of payments Bonds Capital inflows Credit Financial institutions Liquidity Money Stocks
Title: Recapitalizing Banks with Public Funds: Selected Issues
Series: Working Paper No. 1999/139
Date: October 1, 1999
Subject: Asset and liability management Bank resolution Banking Bonds Debt restructuring Distressed assets Financial crises Financial institutions Financial sector policy and analysis Loans
Title: International Capital Markets: Developments, Prospects, and Key Policy Issues (September 1999)
Series: World Economic and Financial Surveys No. 1999/004
Date: September 24, 1999
Notes: This title ceased publication in August 2001. Both the Report and the Emerging Market Financing quarterly (published 2000-2001) have been replaced by a new quarterly, The Global Financial Stability Report. The new report was created to provide timely and comprehensive coverage of both mature and emerging financial markets as part of the IMF's stepped up tracking of financial markets.
Subject: Banking Bonds Currency markets Emerging and frontier financial markets Financial institutions Financial markets Securities markets Stock markets
Title: Firm Investment and Balance-Sheet Problems in Japan
Series: Working Paper No. 1999/111
Date: August 1, 1999
Subject: Bank credit Banking Bonds Capital adequacy requirements Credit Financial institutions Financial regulation and supervision Money Nonperforming loans
Title: Public Debt Management and Bailouts
Series: Working Paper No. 1999/103
Date: July 1, 1999
Subject: Bonds Budget planning and preparation Financial institutions Financial sector policy and analysis Government debt management Moral hazard Public debt Public financial management (PFM)
1998
Title: Capital Structures and Portfolio Composition During Banking Crisis: Lessons from Argentina 1995
Series: Working Paper No. 1998/121
Date: August 1, 1998
Subject: Banking Bonds Capital adequacy requirements Deposit insurance Financial crises Financial institutions Insurance Loans Stocks
Title: Mali: Statistical Annex
Series: Country Report No. 1998/014
Date: February 11, 1998
Subject: Agricultural commodities Asset and liability management Bonds Commodities Credit Expenditure Financial institutions Liquidity Revenue administration
Title: Brady Bonds and Default Probabilities
Series: Working Paper No. 1998/016
Date: February 1, 1998
Subject: Asset prices Bonds Collateral Financial institutions Financial services Prices Treasury bills and bonds Yield curve
1997
Title: Recovery Ratios and Survival Times for Corporate Bonds
Series: Working Paper No. 1997/084
Date: July 1, 1997
Subject: Asset and liability management Asset valuation Bonds Corporate bonds Financial institutions Return on investment Stocks Treasury bills and bonds