Seminar Volumes

Financial Risks, Stability, and Globalization

By Omotunde E. G. Johnson

April 29, 2002

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Omotunde E. G. Johnson Financial Risks, Stability, and Globalization, (USA: International Monetary Fund, 2002) accessed November 21, 2024

Summary

This book covers financial sector stability issues in the following areas: risk management and governance in financial institutions; financial crises and contagion; domestic monetary and financial policies; and international cooperation. The papers were presented at the IMF’s eighth Central Banking Seminar by authors from academia, investment banks, government, and international institutions. The papers discuss such subjects as bank soundness, systemic bank restructuring, and the safety and efficiency of systemically important payment systems and their interaction with the macroeconomic environment.

Subject: Banking, Credit, Credit risk, Financial crises, Financial regulation and supervision, Financial sector, Financial Sector Assessment Program, Financial sector policy and analysis, Financial sector stability, Money

Keywords: Asia and Pacific, Bank, Caribbean, Credit, Credit risk, East Asia, Europe, Financial Sector Assessment Program, Financial sector stability, Global, Government regulator, IMF surveillance, Market, Market discipline, Market participant, Rating, Risk profile, SEM, Southeast Asia

Publication Details

  • Pages:

    570

  • Volume:

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  • DOI:

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  • Issue:

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  • Series:

    Seminar Volumes

  • Stock No:

    FRSGEA

  • ISBN:

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