IMF Publications by Subject
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Financial sector risk:
2012
Title: Effects of Capital Flow Liberalization: What is the Evidence from Recent Experiences of Emerging Market Economies?
Series: Working Paper No. 2012/275
Date: November 16, 2012
Subject: Balance of payments Capital account liberalization Capital adequacy requirements Capital flows Financial regulation and supervision Financial sector policy and analysis Financial sector risk Financial services Real interest rates
2011
Title: Incorporating Financial Sector Risk Into Monetary Policy Models: Application to Chile
Series: Working Paper No. 2011/228
Date: September 1, 2011
Subject: Asset and liability management Asset valuation Banking Financial institutions Financial sector policy and analysis Financial sector risk Inflation Output gap Prices Production Stocks
2010
Title: Can You Map Global Financial Stability?
Series: Working Paper No. 2010/145
Date: June 1, 2010
Subject: Credit risk Financial crises Financial sector risk Financial sector stability Market risk
2009
Title: The Real Effects of Financial Sector Risk
Series: Working Paper No. 2009/198
Date: September 1, 2009
Subject: Bank credit Banking Credit Financial sector Financial sector risk
Title: From Bear Stearns to Anglo Irish: How Eurozone Sovereign Spreads Related to Financial Sector Vulnerability
Series: Working Paper No. 2009/108
Date: May 1, 2009
Subject: Competition Economic sectors Financial institutions Financial markets Financial sector Financial sector policy and analysis Financial sector risk Public debt Sovereign bonds
2006
Title: IEO Report on the Evaluation of the Financial Sector Assessment Program
Series: Independent Evaluation Office Reports
Date: May 2, 2006
Subject: Economic sectors Financial sector Financial Sector Assessment Program Financial sector policy and analysis Financial sector risk Financial sector stability Stress testing
2004
Title: Sovereign Debt Defaults and Financing Needs
Series: Working Paper No. 2004/053
Date: March 1, 2004
Subject: Debt default Debt service Exports External debt Financial sector policy and analysis Financial sector risk International trade Public debt
2002
Title: Systemic Risk and Financial Consolidation: Are they Related?
Series: Working Paper No. 2002/055
Date: March 1, 2002
Subject: Banking Commercial banks Financial institutions Financial sector policy and analysis Financial sector risk Loans Stocks Systemic risk
2000
Title: An Incentive Approach to Identifying Financial System Vulnerabilities
Series: Working Paper No. 2000/211
Date: December 1, 2000
Subject: Banking Deposit insurance Environment Financial sector policy and analysis Financial sector risk Legal support in revenue administration Moral hazard Revenue administration Tax incentives
Title: Assessing Financial System Vulnerabilities
Series: Working Paper No. 2000/076
Date: April 1, 2000
Subject: Banking Credit risk Financial regulation and supervision Financial sector policy and analysis Financial sector risk Financial sector stability Financial statements Market risk Public financial management (PFM) Tax incentives