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Title: "Northwest of Suez: The 1956 Crisis and the IMF"
Author/Editor: Boughton, James M.
Series: Working Paper No. 00/192
Date: December 01, 2000
Subject(s): Financial crisis | Egypt | France | Israel | United Kingdom | Fund
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Title: Narrowing Vertical Fiscal Imbalances in Four European Countries
Author/Editor: Izabela Karpowicz
Series: Working Paper No. 12/91
Date: March 01, 2012
Subject(s): Current account balances | Government expenditures | Intergovernmental fiscal relations
Author's Keyword(s): Federalism | decentralization | fiscal balance | vertical fiscal imbalance | local governments.
 
Title: Natural Disasters : Mitigating Impact, Managing Risks
Author/Editor: Nicole Laframboise ; Boileau Loko
Series: Working Paper No. 12/245
Date: October 09, 2012
Subject(s): External shocks | Low-income developing countries | Emergency assistance | Risk management | Fund facilities | Fund role
 
Title: Natural Gas, Public Investment and Debt Sustainability in Mozambique
Author/Editor: Giovanni Melina ; Yi Xiong
Series: Working Paper No. 13/261
Date: December 23, 2013
Subject(s): Natural gas sector | Mozambique | Public investment | Debt sustainability | Economic models
 
Title: Natural Resources, Volatility, and Inclusive Growth : Perspectives From the Middle East and North Africa
Author/Editor: Mustapha K. Nabli ; Rabah Arezki
Series: Working Paper No. 12/111
Date: May 01, 2012
Subject(s): Commodity prices | Economic growth | Emerging markets | Human capital | Infrastructure | Natural resources | Public investment
Author's Keyword(s): Natural resources | volatility | inclusive growth | Middle East and North Africa.
 
Title: Near-Coincident Indicators of Systemic Stress
Author/Editor: Ivailo Arsov ; Elie Canetti ; Laura E. Kodres ; Srobona Mitra
Series: Working Paper No. 13/115
Date: May 17, 2013
Subject(s): International financial system | Financial institutions | Financial risk | Risk management
 
Title: Neglected Heterogeneity and Dynamics in Cross-Country Savings Regressions
Author/Editor: Ul Haque, Nadeem ; Pesaran, M. Hashem ; Sharma, Sunil
Series: Working Paper No. 99/128
Date: September 01, 1999
Subject(s): Savings | OECD | Economic models
 
Title: The New Capital Adequacy Framework - Institutional Constraints and Incentive Structures
Author/Editor: Karacadag, Cem ; Taylor, Michael
Series: Working Paper No. 00/93
Date: June 01, 2000
Subject(s): Capital | Bank regulations | Bank supervision
 
Title: The New Economy and Global Stock Return
Author/Editor: Brooks, Robin ; CatĂŁo, Luis
Series: Working Paper No. 00/216
Date: December 01, 2000
Subject(s): Stock markets | Economic models
 
Title: New Economy Stock Valuations and Investmen in the 1990s
Author/Editor: Sløk, Torsten ; Edison, Hali J.
Series: Working Paper No. 01/78
Date: May 01, 2001
Subject(s): Stock markets | Investment | Economic models
Author's Keyword(s): Real investment | New economy | stock markets
 
Title: New Evidenceon Cyclical and Structural Sources of Unemployment
Author/Editor: Jinzhu Chen ; Bharat Trehan ; Prakash Kannan ; Prakash Loungani
Series: Working Paper No. 11/106
Date: May 01, 2011
Subject(s): Economic recession | External shocks | Global Financial Crisis 2008-2009 | Stock markets | Unemployment
Author's Keyword(s): unemployment | structural unemployment | stock markets | uncertainty
 
Title: A New Framework To Estimate the Risk-Neutral Probability Density Functions Embedded in Options Prices
Author/Editor: Cheng, Kevin C.
Series: Working Paper No. 10/181
Date: August 01, 2010
Subject(s): Asset prices | Capital markets | Commodities | Commodity prices | Economic models
Author's Keyword(s): Implied risk-neutral density functions | option pricing | market expectations.
 
Title: A New Index of Currency Mismatch and Systemic Risk
Author/Editor: Ranciere, Romain ; Tornell, Aaron ; Vamvakidis, Athanasios
Series: Working Paper No. 10/263
Date: November 01, 2010
Subject(s): Banking sector | Cross country analysis | Currencies | Economic models | Emerging markets | Europe | External borrowing | Financial crisis | Fiscal risk | Loans | Sovereign debt | Time series
Author's Keyword(s): Currency Mismatch | Emerging Economies | Systemic Risk | Financial Crises.
 
Title: New Indicators for Tracking Growth in Real Time
Author/Editor: Troy Matheson
Series: Working Paper No. 11/43
Date: February 01, 2011
Subject(s): Developed countries | Economic growth | Economic indicators | Emerging markets | Forecasting models
Author's Keyword(s): Nowcasting | Short-term forecasting | Real-time data
 
Title: New Shocks and Asset Price Volatility in General Equilibrium
Author/Editor: Alessandro Rebucci ; Akito Matsumoto ; Pietro Cova ; Massimiliano Pisani
Series: Working Paper No. 11/110
Date: May 01, 2011
Subject(s): Economic models | External shocks | Productivity | Stock prices
Author's Keyword(s): New shocks | Equity Prices | Productivity | Monetary Policy | Asset Price | volatility
 
Title: New Zealand Banks’ Vulnerabilities and Capital Adequacy
Author/Editor: B. Jang ; Masahiko Kataoka
Series: Working Paper No. 13/7
Date: January 11, 2013
Subject(s): Banks | New Zealand | Capital | Stress testing
 
Title: Next Generation Balance Sheet Stress Testing
Author/Editor: Christian Schmieder ; Maher Hasan ; Claus Puhr
Series: Working Paper No. 11/83
Date: April 01, 2011
Subject(s): Bank supervision | Banks | Basel Core Principles | Credit risk | Financial risk | Risk management | Stress testing
Author's Keyword(s): Stress Testing | Solvency Risk | Credit Risk | Basel II | Basel III
 
Title: Nominal Exchange Rates and Nominal Interest Rate Differentials
Author/Editor: Nadal-De Simone, Francisco ; Razzak, Weshah
Series: Working Paper No. 99/141
Date: October 01, 1999
Subject(s): Exchange rates | Interest rate differential | Bond markets | Economic models
 
Title: Nominal Income and the Inflation-Growth Divide
Author/Editor: Chand, Sheetal K.
Series: Working Paper No. 97/147
Date: November 07, 1997
Subject(s): Inflation | Income | Group of Seven | Economic models
 
Title: Non-Performing Loans in CESEE : Determinants and Impact on Macroeconomic Performance
Author/Editor: Nir Klein
Series: Working Paper No. 13/72
Date: March 20, 2013
Subject(s): Loans | Eastern Europe | Banking sector | Credit expansion | Economic conditions | Economic models