IMF Publications by Subject
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Bonds:
2008
Title: Strategic Considerations for First-Time Sovereign Bond Issuers
Series: Working Paper No. 2008/261
Date: November 1, 2008
Subject: Bonds Government debt management International bonds International capital markets Sovereign bonds
Title: Islamic Bond Issuance: What Sovereign Debt Managers Need to Know
Series: Policy Discussion Paper No. 2008/003
Date: July 1, 2008
Subject: Bonds Capital markets Islamic banking Islamic finance Securities
Title: Reserve Requirements, the Maturity Structure of Debt, and Bank Runs
Series: Working Paper No. 2008/108
Date: April 1, 2008
Subject: Banking Bonds Capital controls Real interest rates Reserve requirements
Title: Haiti: Financial System Stability Assessment, including a Report on the Observance of Standards and Codes on Banking Supervision
Series: Country Report No. 2008/112
Date: March 27, 2008
Subject: Banking Bonds Credit Credit bureaus Financial institutions Financial markets Financial statements Loans Money Public financial management (PFM)
2007
Title: Financial Globalization and Monetary Policy
Series: Working Paper No. 2007/279
Date: December 19, 2007
Subject: Bonds Exchange rates Price stabilization Securities markets Stocks
Title: Solving for Country Portfolios in Open Economy Macro Models
Series: Working Paper No. 2007/284
Date: December 1, 2007
Subject: Asset allocation Bonds General equilibrium models Securities markets Stocks
Title: Country Portfolio Dynamics
Series: Working Paper No. 2007/283
Date: December 1, 2007
Subject: Bonds Consumption Currencies General equilibrium models
Title: Local Currency Debt Markets in the West African Economic and Monetary Union
Series: Working Paper No. 2007/256
Date: November 1, 2007
Subject: Bonds Government securities Securities Securities markets Treasury bills and bonds
Title: Sukuk vs. Eurobonds: Is There a Difference in Value-at-Risk?
Series: Working Paper No. 2007/237
Date: October 1, 2007
Subject: Bonds Interbank rates International bonds Securities Vector autoregression
Title: The Determinants of Corporate Risk in Emerging Markets: An Option-Adjusted Spread Analysis
Series: Working Paper No. 2007/228
Date: September 1, 2007
Subject: Bonds Corporate bonds Currencies Stocks Yield curve