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Page: 1 of 4
Title:
Addressing Interconnectedness : Concepts and Prudential Tools
Author/Editor:
Nicolas Arregui ; Mohamed Norat ; Antonio Pancorbo ; Jodi G. Scarlata ; Eija Holttinen ; Fabiana Melo ; Jay Surti ; Christopher Wilson ; Rodolfo Wehrhahn ; Mamoru Yanase
lblSeries:
Working Paper No. 13/199
Subject:
Economic integration
;
Financial systems
;
Financial risk
;
Spillovers
;
Macroprudential Policy
Title:
Algeria: 2008 Article IV Consultation - Staff Report; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Algeria
lblSeries:
Country Report No. 09/108
Subject:
Article IV consultation reports
;
Current account surpluses
;
Economic growth
;
Economic indicators
;
Financial crisis
;
Financial risk
;
Fiscal policy
;
Inflation
;
Monetary policy
;
Oil prices
;
Oil sector
;
Public information
;
Staff Reports
;
Algeria
Title:
Argentina: Financial Sector Assessment Program-Financial Safety Nets- Technical Note
lblSeries:
Country Report No. 16/66
Subject:
Financial Sector Assessment Program
;
Banking sector
;
Financial risk
;
Liquidity
;
Bank resolution
;
Deposit insurance
;
Crisis prevention
;
Financial safety nets
;
Argentina
Title:
Assessing the Risks to the Japanese Government Bond (JGB) Market
Author/Editor:
Raphael W. Lam ; Kiichi Tokuoka
lblSeries:
Working Paper No. 11/292
Subject:
Banks
;
Corporate sector
;
Financial risk
;
Fiscal sustainability
;
Public debt
;
Risk management
;
Sovereign debt
Title:
Australian Banking System Resilience: What Should Be Expected Looking Forward? An International Perspective
Author/Editor:
Bologna, Pierluigi
lblSeries:
Working Paper No. 10/228
Subject:
Australia
; Bank supervision ; Banking ; Banking sector ; Financial risk ; Financial soundness indicators ; Liquidity management ; Risk management
Title:
Austria: Publication of Financial Sector Assessment Program Documentation—Technical Note on Stress Testing the Banking Sector
lblSeries:
Country Report No. 14/16
Subject:
Financial Sector Assessment Program
;
Stress testing
;
Banking sector
;
Liquidity
;
External shocks
;
Financial risk
;
Austria
Title:
Balance Sheet Network Analysis of Too-Connected-to-Fail Risk in Global and Domestic Banking Systems
Author/Editor:
Chan-Lau, Jorge A.
lblSeries:
Working Paper No. 10/107
Subject:
Bank accounting ; Banking systems ; Capital ; Credit risk ; Developed countries ; Emerging markets ; Financial institutions ; Financial risk ; Globalization ; International banking ; Risk management
Title:
Bank Capital and Uncertainty
Author/Editor:
Valencia, Fabian
lblSeries:
Working Paper No. 10/208
Subject:
Banking ; Banks ; Business cycles ; Capital ; Debt ; Economic models ; Financial crisis ; Financial risk ; Global Financial Crisis 2008-2009 ; Risk management ;
United States
Title:
Bank Ownership, Market Structure and Risk
Author/Editor:
De Nicoló, Gianni ; Loukoianova, Elena
lblSeries:
Working Paper No. 07/215
Subject:
Banks
;
Corporate sector
;
Financial risk
;
Bankruptcy
;
Industrial structure
Title:
Bank Profitability and Risk-Taking
Author/Editor:
Natalya Martynova ; Lev Ratnovski ; Razvan Vlahu
lblSeries:
Working Paper No. 15/249
Subject:
Banks
;
Profits
;
Bank capital
;
Profit margins
;
Financial risk
;
Debt
Title:
Bank Solvency and Funding Cost
Author/Editor:
Christoph Aymanns ; Carlos Caceres ; Christina Daniel ; Liliana Schumacher
lblSeries:
Working Paper No. 16/64
Subject:
Banks
;
Assets
;
Bank capitalization
;
Cost of capital
;
Financial risk
Title:
Banking Stability Measures
Author/Editor:
Segoviano Basurto, Miguel A. ; Goodhart, C. A. E.
lblSeries:
Working Paper No. 09/4
Subject:
Financial stability
;
Financial risk
;
Banking systems
;
Data analysis
;
Economic models
Title:
Banks' Precautionary Capital and Credit Crunches
Author/Editor:
Valencia, Fabian
lblSeries:
Working Paper No. 08/248
Subject:
Banking crisis
;
Bank credit
;
External shocks
;
Liquidity management
;
Financial risk
;
Economic models
Title:
Belgium : 2010 Article IV Consultation-Staff Report; Staff Supplement; and a Public Information Notice on the Executive Board Discussion.
lblSeries:
Country Report No. 11/81
Subject:
Article IV consultation reports
;
Bank restructuring
;
Banking sector
;
Economic growth
;
Economic indicators
;
Economic recovery
;
Financial risk
;
Fiscal reforms
;
Pension reforms
;
Public debt
;
Sovereign debt
;
Staff Reports
Title:
Belgium : Selected Issues Paper
lblSeries:
Country Report No. 11/82
Subject:
Banking sector
;
Debt sustainability analysis
;
Export competitiveness
;
Financial risk
;
Fiscal consolidation
;
Public debt
;
Selected issues
;
Sovereign debt
Title:
Burundi: 2008 Article IV Consultation and Request for Three-Year Arrangement Under the Poverty Reduction and Growth Facility - Staff Report; Public Information Notice and Press Release on the Executive Board Discussion; and Statement by the Executive Director for Burundi
lblSeries:
Country Report No. 08/282
Subject:
Article IV consultations
;
Announcements
;
Debt sustainability
;
Economic indicators
;
Economic reforms
;
Exchange rate policy
;
Financial risk
;
Financial sector
;
Financial stability
;
Fiscal policy
;
Governance
;
Heavily indebted poor countries
;
Monetary policy
;
Poverty Reduction and Growth Facility
;
Public information
;
Burundi
Title:
Can You Map Global Financial Stability?
Author/Editor:
Dattels, Peter ; McCaughrin, Rebecca ; Miyajima, Ken ; Puig, Jaume
lblSeries:
Working Paper No. 10/145
Subject:
Enhanced surveillance ; Financial stability ; Global financial stability report ; Financial risk ; Credit risk
Title:
Central and Commercial Bank Balance Sheet Risk Before, During, and After the Global Financial Crisis
Author/Editor:
Joseph Crowley
lblSeries:
Working Paper No. 15/47
Subject:
Central banks
;
Commercial banks
;
Financial assets
;
Financial risk
;
Balance sheets
;
Global Financial Crisis 2008-2009
Title:
Chad: Financial Sector Stability Assessment
lblSeries:
Country Report No. 11/299
Subject:
Access to capital markets
;
Bank supervision
;
Banks
;
Central African Economic and Monetary Community
;
Debt management
;
Economic integration
;
Financial risk
;
Financial Sector Assessment Program
;
Insurance
;
Microfinance
;
Public enterprises
;
Chad
Title:
Characterizing Global Investors' Risk Appetite for Emerging Market Debt During Financial Crises
Author/Editor:
Dungey, Mardi ; Fry, Renee ; González-Hermosillo, Brenda ; Martin, Vance
lblSeries:
Working Paper No. 03/251
Subject:
Emerging markets
;
Bonds
;
Debt
;
Financial crisis
;
fINANCIAL RISK
;
Economic models
Title:
Collateral, Netting and Systemic Risk in the OTC Derivatives Market
Author/Editor:
Singh, Manmohan
lblSeries:
Working Paper No. 10/99
Subject:
Asset management ; Banks ; Capital ; Capital markets ; Credit risk ; Financial institutions ; Financial instruments ; Financial risk ; Securities regulations
Title:
Corporate Financing Trends and Balance Sheet Risks in Latin America
Author/Editor:
Fabiano Rodrigues Bastos ; Herman Kamil ; Bennett Sutton
lblSeries:
Working Paper No. 15/10
Subject:
Corporate finance
;
Latin America
;
Corporate debt
;
Bonds
;
International capital markets
;
Bond issues
;
Financial risk
;
Balance sheets
Title:
The Costs of Sovereign Default
Author/Editor:
Borensztein, Eduardo ; Panizza, Ugo
lblSeries:
Working Paper No. 08/238
Subject:
Sovereign debt
;
Public debt
;
External debt
;
Financial risk
;
Financial crisis
;
Political economy
;
International trade
;
Bankruptcy
Title:
Counterparty Risk, Impact on Collateral Flows and Role for Central Counterparties
Author/Editor:
Singh, Manmohan ; Aitken, James
lblSeries:
Working Paper No. 09/173
Subject:
Banking sector
;
Bankruptcy
;
Banks
;
Bonds
;
Capital markets
;
Financial institutions
;
Financial instruments
;
Financial risk
;
Nonbank financial sector
;
Securities markets
Title:
Cross-Border Financial Surveillance: A Network Perspective
Author/Editor:
Espinosa-Vega, Marco ; Sole, Juan
lblSeries:
Working Paper No. 10/105
Subject:
Bank credit ; Banking systems ;
Chile
; Credit risk ; Cross country analysis ; Economic models ; External shocks ; Financial crisis ; Financial risk ; Financial sector ; Global Financial Crisis 2008-2009 ; Risk management
Title:
Cross-country Consumption Risk Sharing, a Long-run Perspective
Author/Editor:
Qiao, Zhaogang
lblSeries:
Working Paper No. 10/64
Subject:
Consumption ; Cross country analysis ; Economic integration ; Economic models ; Emerging markets ; Financial risk ; OECD ; Time series
Title:
Decomposing Financial Risks and Vulnerabilities in Eastern Europe
Author/Editor:
Maechler, Andrea M. ; Mitra, Srobona ; Worrell, DeLisle
lblSeries:
Working Paper No. 07/248
Subject:
Financial risk
;
Europe
;
Bank soundness
;
Bank supervision
;
Economic models
Title:
Deleveraging After Lehman--Evidence from Reduced Rehypothecation
Author/Editor:
Singh, Manmohan ; Aitken, James
lblSeries:
Working Paper No. 09/42
Subject:
Financial institutions
;
United States
;
United Kingdom
;
Capital markets
;
Securities markets
;
Hedge funds
;
Financial risk
;
Bankruptcy
;
Securities regulations
Title:
The Derivatives Market in South Africa: Lessons for sub-Saharan African Countries
Author/Editor:
Adelegan, Olatundun Janet
lblSeries:
Working Paper No. 09/196
Subject:
Bond markets
;
Capital flows
;
Capital markets
;
Financial instruments
;
Financial risk
;
Investment
;
Liquidity management
;
Risk management
;
Securities markets
;
Securities regulations
;
South Africa
;
Stock markets
;
Sub-Saharan Africa
Title:
Determinants of Emerging Market Sovereign Bond Spreads: Fundamentals vs Financial Stress
Author/Editor:
Bellas, Dimitri ; Papaioannou, Michael G ; Petrova, Iva
lblSeries:
Working Paper No. 10/281
Subject:
Bonds ; Economic models ; Emerging markets ; External borrowing ; External debt ; Financial crisis ; Financial risk ; Sovereign debt
Title:
Disclosing Fiscal Risks in the Post-Crisis World
lblSeries:
Staff Position Note No. 2009/18
Subject:
Financial sector
;
External shocks
;
Financial risk
;
Financial systems
;
Fiscal sector
;
Public debt
Title:
Do Dynamic Provisions Enhance Bank Solvency and Reduce Credit Procyclicality? a Study of the Chilean Banking System
Author/Editor:
Jorge A. Chan-Lau
lblSeries:
Working Paper No. 12/124
Subject:
Banks
;
Capital
;
Financial risk
Title:
Does Financial Connectedness Predict Crises?
Author/Editor:
Camelia Minoiu ; Chanhyun Kang ; V.S. Subrahmanian ; Anamaria Berea
lblSeries:
Working Paper No. 13/267
Subject:
Global Financial Crisis 2008-2009
;
Financial crisis
;
Banking crisis
;
Financial risk
;
Economic integration
Title:
The Effects of the Financial Crisis on Public-Private Partnerships
Author/Editor:
Burger, Philippe ; Tyson, Justin ; Coelho, Maria Delgado ; Karpowicz, Izabela
lblSeries:
Working Paper No. 09/144
Subject:
Credit risk
;
Cross country analysis
;
Financial crisis
;
Financial risk
;
Fiscal policy
;
Private sector
;
Public enterprises
;
Public investment
;
Public sector
;
Risk management
Title:
Evaluating the Net Benefits of Macroprudential Policy : A Cookbook
Author/Editor:
Nicolas Arregui ; Jaromir Benes ; Ivo Krznar ; Srobona Mitra ; Andre Santos
lblSeries:
Working Paper No. 13/167
Subject:
Macroprudential Policy
;
Financial sector
;
Financial risk
;
Financial crisis
;
Risk management
Title:
Excessive Lending, Leverage, and Risk-Taking in the Presence of Bailout Expectations
Author/Editor:
Georgiou, Andréas
lblSeries:
Working Paper No. 09/233
Subject:
Banking sector
;
Borrowing
;
Economic models
;
Financial crisis
;
Financial risk
;
Fiscal policy
;
Intervention
;
Investment
;
Loans
;
Nonbank financial sector
Title:
Exchange Rate Risk Measurement and Management: Issues and Approaches for Firms
Author/Editor:
Papaioannou, Michael G.
lblSeries:
Working Paper No. 06/255
Subject:
Financial risk
;
Risk management
;
Foreign exchange
;
Exchange rates
;
Industry
;
Economic models
Title:
Externalities and Macroprudential Policy
Author/Editor:
De Nicoló, Gianni ; Favara, Giovanni ; Ratnovski, Lev
lblSeries:
Staff Discussion Notes No. 12/5
Subject:
Macroprudential Policy
;
Financial systems
;
Banks
;
Capital markets
;
Financial risk
;
Financial stability
;
Risk management
Title:
Fat Tails and their (Un)happy Endings: Correlation Bias and its Implications for Systemic Risk and Prudential Regulation
Author/Editor:
Chan-Lau, Jorge A. ; International Monetary Fund
lblSeries:
Working Paper No. 11/82
Subject:
Asset management
;
Bank supervision
;
Banks
;
Corporate governance
;
Economic models
;
Financial institutions
;
Financial risk
;
Risk management
Title:
The Federal Reserve System Balance Sheet-What Happened and Why it Matters
Author/Editor:
Stella, Peter
lblSeries:
Working Paper No. 09/120
Subject:
Capital markets
;
Central bank policy
;
Central banks
;
Commercial banks
;
Credit risk
;
Financial risk
;
Financial systems
;
Liquidity management
;
Monetary policy
;
Monetary reserves
;
Risk management
;
United States
Title:
Finance and Convergence : What’s Ahead for Emerging Europe?
Author/Editor:
Philip Schellekens ; Rudolfs Bems
lblSeries:
Working Paper No. 07/244
Subject:
Capital flows
;
Current account balances
;
Emerging markets
;
Financial risk
;
Financial systems
;
International finance
Title:
Financial Innovation and Risk, The Role of Information
Author/Editor:
Piazza, Roberto
lblSeries:
Working Paper No. 10/266
Subject:
Business cycles ; Data collection ; Economic models ; Financial risk ; Information technology ; Investment ; Risk management ; Securities markets ;
United States
Title:
Financial Intermediation, Competition, and Risk: A General Equilibrium Exposition
Author/Editor:
De Nicoló, Gianni ; Lucchetta, Marcella
lblSeries:
Working Paper No. 09/105
Subject:
Banking sector
;
Banks
;
Borrowing
;
Capital
;
Competition
;
Corporate sector
;
Economic models
;
Financial intermediation
;
Financial risk
;
Investment
;
Risk management
Title:
Financial Linkages Across Korean Banks
Author/Editor:
Burcu Aydin ; Myeongsuk Kim ; Ho-Seong Moon
lblSeries:
Working Paper No. 11/201
Subject:
Financial stability
;
Banks
;
Credit risk
;
Economic models
;
Financial risk
Title:
Financial Spillovers to Chile
Author/Editor:
Jiri Podpiera
lblSeries:
Working Paper No. 12/254
Subject:
Spillovers
;
Chile
;
Bond markets
;
Banking sector
;
Credit risk
;
Financial risk
Title:
Financial Stability and Interest-Rate Policy : A Quantitative Assessment of Costs and Benefits
Author/Editor:
Andrea Pescatori ; Stefan Laseen
lblSeries:
Working Paper No. 16/73
Subject:
Interest rate policy
;
Canada
;
Household credit
;
Housing prices
;
Credit expansion
;
Financial risk
;
Monetary policy
;
Financial stability
Title:
Finland : Financial System Stability Assessment
Author/Editor:
International Monetary Fund. Monetary and Capital Markets Department
lblSeries:
Country Report No. 16/370
Subject:
Financial system stability assessment
;
Financial risk
;
Banking sector
;
Nonbank financial sector
;
Bank supervision
;
Stress testing
;
Macroprudential Policy
;
Anti-money laundering
;
Combating the financing of terrorism
;
Economic indicators
;
Financial soundness indicators
;
Finland
Title:
Finland: Financial sector Assessment Program : Technical Note-Macroprudential Policy Framework
Author/Editor:
International Monetary Fund. Monetary and Capital Markets Department
lblSeries:
Country Report No. 17/5
Subject:
Financial Sector Assessment Program
;
Macroprudential Policy
;
Housing
;
Housing prices
;
Financial sector
;
Banks
;
Credit expansion
;
Financial risk
;
Financial stability
;
Finland
Title:
FIRST: A Market-Based Approach to Evaluate Financial System Risk and Stability
Author/Editor:
Avesani, Renzo G.
lblSeries:
Working Paper No. 05/232
Subject:
Financial risk
;
Markets
;
Credit
;
Financial institutions
;
Financial stability
;
Global financial stability report
;
Financial systems
Title:
Fiscal Implications of the Global Economic and Financial Crisis
lblSeries:
Staff Position Note No. 2009/13
Subject:
Asset management
;
Developed countries
;
Economic recession
;
Emerging markets
;
Financial risk
;
Financial sector
;
Pension funds
;
Public debt
;
Public finance
;
Revenue measures
;
World Economic Outlook
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