IMF Staff Discussion Notes by Date

 
 
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November 2011
 
Title: Institutional Models for Macroprudential Policy
Author/Editor: Nier, Erlend ; Jácome, Luis ; Osinski, Jacek ; Madrid, Pamela
Series: Staff Discussion Notes No. 11/18
Date: November 01, 2011
Subject(s): Macroprudential Policy | Financial risk | Monetary policy | Risk management | Central bank role
October 2011
 
Title: Internationalization of Emerging Market Currencies--A Balance Between Risks and Rewards
Author/Editor: Ahmed, Faisal ; Wang, Shengzu ; Mateos y Lago, Isabelle ; Maziad, Samar ; Segal, Stephanie ; Farahmand, Pascal ; Das, Udaibir
Series: Staff Discussion Notes No. 11/17
Date: October 19, 2011
Subject(s): Currencies | Emerging markets | International monetary system | Financial stability
 
Title: Financial Deepening and International Monetary Stability
Author/Editor: Shengzu Wang ; Chris Marsh ; Rishi Goyal ; Narayanan Raman ; Swarnali Ahmed
Series: Staff Discussion Notes No. 11/16
Date: October 19, 2011
Subject(s): International monetary system | Emerging markets | Capital flows | Capital markets | Financial stability
August 2011
 
Title: What Happens to Social Spending in IMF-Supported Programs?
Author/Editor: Nozaki, Masahiro ; Clements, Benedict ; Gupta, Sanjeev
Series: Staff Discussion Notes No. 11/15
Notes: Link to data for this title, (zip file, size is 557 KB)
Date: August 31, 2011
Subject(s): Fund-supported adjustment programs | Low-income developing countries | Government expenditures | Education | Health care
 
Title: The Effectiveness of Capital Controls and Prudential Policies in Managing Large Inflows
Author/Editor: Karl Friedrich Habermeier ; Annamaria Kokenyne ; Chikako Baba
Series: Staff Discussion Notes No. 11/14
Date: August 05, 2011
Subject(s): Emerging markets | Exchange rate appreciation | Credit expansion | Capital controls | Macroprudential Policy | Capital inflows | Cross country analysis | Risk management
July 2011
 
Title: Monetary Policy and Bank Risk-Taking
Author/Editor: Giovanni Dell'Ariccia ; Gianni De Nicoló ; Luc Laeven ; Fabian Valencia
Series: Staff Position Note No. 2010/9
Date: July 29, 2011
Subject(s): Bank credit | Credit risk
June 2011
 
Title: Raising the Consumption Tax in Japan: Why, When, How?
Author/Editor: Kang, Kenneth ; Keen, Michael ; Pradhan, Mahmood ; Mooij, Ruud A.
Series: Staff Discussion Notes No. 11/13
Date: June 16, 2011
Subject(s): Value added tax | Japan | Tax revenues | Consumption taxes | Tax increases | Revenue measures
May 2011
 
Title: The Too-Important-to-Fail Conundrum: Impossible to Ignore and Difficult to Resolve
Author/Editor: Ötker, Inci ; Narain, Aditya ; Ilyina, Anna ; Surti, Jay
Series: Staff Discussion Notes No. 11/12
Date: May 27, 2011
Subject(s): Financial institutions | Financial systems | International financial system | Banking sector | Nonbank financial sector | Moral hazard | Financial stability | Risk management
 
Title: Tax Biases to Debt Finance: Assessing the Problem, Finding Solutions
Author/Editor: Mooij, Ruud A.
Series: Staff Discussion Notes No. 11/11
Date: May 03, 2011
Subject(s): Tax systems | Debt | Corporate sector | Tax policy
April 2011
 
Title: A Fiscal Indicator for Assessing First and Second Pillar Pension Reforms
Author/Editor: Soto, Mauricio ; Eich, Frank ; Clements, Benedict
Series: Staff Discussion Notes No. 11/9
Date: April 12, 2011
Subject(s): Economic indicators | Fiscal policy | Pensions | Government expenditures | Pension reforms | Public finance
 
Title: Inequality and Unsustainable Growth : Two Sides of the Same Coin?
Author/Editor: Mr. Jonathan David Ostry ; Mr. Andrew Berg
Series: Staff Discussion Notes No. 11/8
Date: April 08, 2011
Subject(s): Economic growth | Developed countries | Income distribution | Emerging markets | Cross country analysis | Poverty reduction
 
Title: Managing Abundance to Avoid a Bust in Latin America
Author/Editor: Martin David Kaufman ; Steven Phillips ; Rodrigo O. Valdes ; Nicolas Eyzaguirre
Series: Staff Discussion Notes No. 11/7
Notes: Full text also available in Spanish
Date: April 07, 2011
Subject(s): Latin America | Capital inflows
 
Title: Managing Capital Inflows : What Tools to Use?
Author/Editor: Jonathan David Ostry ; Atish R. Ghosh ; Karl Friedrich Habermeier ; Luc Laeven ; Marcos Chamon ; Mahvash Qureshi ; Annamaria Kokenyne
Series: Staff Discussion Notes No. 11/6
Date: April 05, 2011
Subject(s): Capital inflows
March 2011
 
Title: Crisis Management and Resolution: Early Lessons from the Financial Crisis
Author/Editor: Pazarbasioglu, Ceyla ; Laeven, Luc ; Nedelescu, Oana ; Claessens, Stijn ; Valencia, Fabian ; Dobler, Marc ; Seal, Katharine
Series: Staff Discussion Notes No. 11/5
Date: March 09, 2011
Subject(s): Moral hazard | Burden sharing | Financial stability | Bank resolution | Banks | Economic conditions | Financial institutions | Nonbank financial sector | Risk management
 
Title: Subsidiaries or Branches : Does One Size Fit All?
Author/Editor: Jonathan Fiechter ; Inci Ötker ; Anna Ilyina ; Michael Hsu ; Andre Santos ; Jay Surti
Series: Staff Discussion Notes No. 11/4
Date: March 01, 2011
Subject(s): Financial stability | Bank regulations | Banks | Cross-border banking
 
Title: (Why) Should Current Account Balances Be Reduced?
Author/Editor: Milesi-Ferretti, Gian-Maria ; Blanchard, Olivier
Series: Staff Discussion Notes No. 11/3
Date: March 01, 2011
Subject(s): Current account | Exchange rates | Export growth | Spillovers
 
Title: Policies for Macrofinancial Stability: Options to Deal with Real Estate Booms
Author/Editor: Dell'Ariccia, Giovanni ; Rabanal, Pau ; Crowe, Christopher ; Igan, Deniz
Series: Staff Discussion Notes No. 11/2
Date: March 01, 2011
Subject(s): Bank supervision | Banking sector | Credit expansion | Economic models | Financial stability | Housing prices | Property taxes | Real estate prices
January 2011
 
Title: Contingent Capital: Economic Rationale and Design Features
Author/Editor: Pazarbasioglu, Ceyla ; Zhou, Jian-Ping ; Le Leslé, Vanessa ; Moore, Michael
Series: Staff Discussion Notes No. 11/1
Date: January 25, 2011
Subject(s): Moral hazard | Banks | Bonds | Financial institutions | Financial instruments | Risk management
 

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