Global Financial Stability Report

Global Financial Stability Report, April 2013: Old Risks, New Challenges

April 17, 2013

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Global Financial Stability Report, April 2013: Old Risks, New Challenges, (USA: International Monetary Fund, 2013) accessed November 23, 2024

Summary

The Global Financial Stability Report examines current risks facing the global financial system and policy actions that may mitigate these. It analyzes the key challenges facing financial and nonfinancial firms as they continue to repair their balance sheets. Chapter 2 takes a closer look at whether sovereign credit default swaps markets are good indicators of sovereign credit risk. Chapter 3 examines unconventional monetary policy in some depth, including the policies pursued by the Federal Reserve, the Bank of England, the Bank of Japan, the European Central Bank, and the U.S. Federal Reserve.

Subject: Banking, Credit, Credit default swap, Emerging and frontier financial markets, Financial institutions, Financial markets, Financial statements, Money, Public financial management (PFM), Securities, Sovereign bonds

Keywords: Asia and Pacific, Asset, Bank, Bank credit, Caribbean, Central bank, Central bank intervention, Credit, Credit default swap, Credit risk, Eastern Europe, Emerging and frontier financial markets, Europe, Financial statements, GFSR, Global, IMF staff estimate, Market, Market liquidity, Monetary policy, SCDS market, Securities, Sovereign bond, Sovereign bonds, Sovereign credit default swap, Western Europe

Publication Details

  • Pages:

    160

  • Volume:

    ---

  • DOI:

    ---

  • Issue:

    ---

  • Series:

    Global Financial Stability Report No. 2013/001

  • Stock No:

    GFSREA2013001

  • ISBN:

    9781475589580

  • ISSN:

    1729-701X

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