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1. |
Title:
Cyprus: Financial Sector Assessment Program - Financial System Stability Assessment
Series: Country Report No. 09/308
Published: November 3, 2009
Subject(s): Bank supervision | Banking sector | Credit risk | Crisis prevention | Deposit insurance | Economic indicators | Financial crisis | Financial Sector Assessment Program | Financial system stability assessment | Insurance supervision | Risk management | Securities regulations | Cyprus
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2. |
Title:
Credit Derivatives: Systemic Risks and Policy Options?
Author/Editor: Kiff, John ; Elliott, Jennifer A. ; Kazarian, Elias G. ; Scarlata, Jodi G. ; Spackman, Carolyne
Series: Working Paper No. 09/254
Published: November 1, 2009
Subject(s): Asset management | Credit risk | Financial instruments | Financial stability | Fiscal policy | Securities markets | Securities regulations | Transparency
Author's keyword(s):
Financial Derivatives
| Financial Stability
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3. |
Title:
Monetary and Macroprudential Policy Rules in a Model with House Price Booms
Author/Editor: Kannan, Prakash ; Rabanal, Pau ; Scott, Alasdair
Series: Working Paper No. 09/251
Published: November 1, 2009
Subject(s): Asset prices | Capital markets | Central banks | Credit controls | Credit demand | Credit risk | Economic models | External shocks | Household credit | Housing prices | Monetary policy | Price increases
Author's keyword(s):
house prices
| monetary policy
| macroprudential
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4. |
Title:
New Zealand Bank Vulnerabilities in International Perspective
Author/Editor: Brooks, Ray ; Cubero, Rodrigo
Series: Working Paper No. 09/224
Published: October 1, 2009
Subject(s): Banking sector | Banks | Corporate sector | Credit risk | Cross country analysis | Financial assets | Financial crisis | Financial soundness indicators | Household credit | Housing prices | New Zealand | Private sector | Risk management
Author's keyword(s):
New Zealand
| bank funding
| bank asset quality
| stress tests
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5. |
Title:
Australian Bank and Corporate Sector Vulnerabilities--An International Perspective
Author/Editor: Takáts, Elöd ; Tumbarello, Patrizia
Series: Working Paper No. 09/223
Published: October 1, 2009
Subject(s): Australia | Banking sector | Banks | Corporate sector | Credit risk | Cross country analysis | Financial assets | Financial soundness indicators | Loans | Private sector | Risk management
Author's keyword(s):
Australia
| contingent claim analysis
| bank asset quality
| stress tests
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6. |
Title:
Access to Market Financing for IDA-eligible Countries—the Role of External Debt and IMF-Supported Programs
Author/Editor: Thomas, Alun H.
Series: Working Paper No. 09/217
Published: October 1, 2009
Subject(s): Access to capital markets | Bond markets | Bonds | Credit risk | Debt service ratios | Demand | Economic models | External debt | External financing | Fund facilities | HIPC Initiative | Political economy | Supply
Author's keyword(s):
market access
| external debt
| decision point
| enhanced HIPC Initiative
| IMF-supported program
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7. |
Title:
Malta: 2009 Article IV Consultation - Staff Report; Supplement; Public InformationNotice on the Executive Board Discussion; and Statement by the Executive Director for Malta
Series: Country Report No. 09/287
Published: September 14, 2009
Subject(s): Article IV consultation reports | Banking sector | Credit risk | Economic growth | Economic indicators | Economic recession | Fiscal consolidation | Fiscal policy | Fiscal reforms | Inflation | Privatization | Public information | Real estate prices | Staff Reports | Malta
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8. |
Title:
Isle of Man: Financial Sector Assessment Program Update - Technical Note - Stress Testing: Banking and Insurance
Series: Country Report No. 09/279
Published: September 14, 2009
Subject(s): Banking sector | Banks | Credit risk | External shocks | Financial risk | Financial Sector Assessment Program | Insurance | Liquidity | Isle of Man
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9. |
Title:
South Africa: Selected Issues
Series: Country Report No. 09/276
Published: September 10, 2009
Subject(s): Banking sector | Capital flows | Consumption | Credit risk | Demand | Economic models | External shocks | Financial risk | Fiscal policy | Interest rates | Investment | Selected issues | South Africa
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10. |
Title:
Chile: 2009 Article IV Consultation - Staff Report; Staff Statement and Supplement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Chile
Series: Country Report No. 09/271
Published: September 9, 2009
Subject(s): Article IV consultation reports | Banking sector | Central bank role | Credit risk | Economic growth | Economic indicators | External shocks | Financial crisis | Fiscal policy | Fiscal reforms | Monetary policy | Public information | Risk management | Staff Reports | Chile
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11. |
Title:
The Effectiveness of Central Bank Interventions During the First Phase of the Subprime Crisis
Author/Editor: Frank, Nathaniel ; Hesse, Heiko
Series: Working Paper No. 09/206
Published: September 1, 2009
Subject(s): Bank credit | Banking sector | Central bank policy | Central banks | Credit risk | Economic models | Financial crisis | Liquidity management | Loans | Monetary policy | Risk management
Author's keyword(s):
Interbank markets
| Financial Crisis
| Markov-Switching
| GARCH
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12. |
Title:
French Banks Amid the Global Financial Crisis
Author/Editor: Xiao, Yingbin
Series: Working Paper No. 09/201
Published: September 1, 2009
Subject(s): Asset management | Bank restructuring | Bank soundness | Bank supervision | Banking sector | Business cycles | Corporate sector | Credit risk | Financial crisis | Financial instruments | France | Liquidity management | Profits | Risk management
Author's keyword(s):
French banks
| financial crisis
| recapitalization
| debt guarantee
| government support
| refinancing
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13. |
Title:
The Need for Special Resolution Regimes for Financial Institutions—The Case of theEuropean Union
Author/Editor: Cihák, Martin ; Nier, Erlend
Series: Working Paper No. 09/200
Published: September 1, 2009
Subject(s): Bank resolution | Bank supervision | Bankruptcy | Banks | Credit risk | European Union | Financial institutions | Financial risk | Financial sector | Financial stability | Nonbank financial sector | Risk management
Author's keyword(s):
Financial Institutions
| Resolution Regime
| European Union
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14. |
Title:
Modernizing Bank Regulation in Support of Financial Deepening: The Case of Uruguay
Author/Editor: Adler, Gustavo ; Mansilla, Mario ; Wezel, Torsten
Series: Working Paper No. 09/199
Published: September 1, 2009
Subject(s): Bank reforms | Bank regulations | Bank supervision | Banking sector | Basel Core Principles | Business cycles | Credit expansion | Credit risk | Financial crisis | Financial soundness indicators | Liquidity management | Loans | Risk management | Uruguay
Author's keyword(s):
Credit growth
| credit risk
| loan classification
| loan provisioning
| bank liquidity
| regulatory reform
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15. |
Title:
Russian Federation: 2009 Article IV Consultation - Staff Report; Staff Statement; Public Information Notice on the Executive Board Discussion
Series: Country Report No. 09/246
Published: August 7, 2009
Subject(s): Article IV consultation reports | Banks | Credit risk | Economic indicators | Exchange rate policy | Financial crisis | Financial sector | Fiscal policy | Interest rate policy | Monetary policy | Political economy | Public information | Staff Reports | Russian Federation
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16. |
Title:
Greece: Selected Issues
Series: Country Report No. 09/245
Published: August 6, 2009
Subject(s): Bank supervision | Banking sector | Credit risk | Cross country analysis | Deposit insurance | Economic growth | Financial safety nets | Fiscal policy | Fiscal reforms | International cooperation | Public debt | Public finance | Selected issues | Greece
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17. |
Title:
Greece: 2009 Article IV Consultation - Staff Report; Staff Supplement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Greece
Series: Country Report No. 09/244
Published: August 6, 2009
Subject(s): Article IV consultation reports | Bank supervision | Banking sector | Credit risk | Economic indicators | Financial crisis | Fiscal policy | Fiscal reforms | Labor market reforms | Monetary policy | Political economy | Public debt | Public information | Staff Reports | Greece
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18. |
Title:
Credit Growth in Sub-Saharan Africa - Sources, Risks, and Policy Responses
Author/Editor: Iossifov, Plamen ; Khamis, May Y.
Series: Working Paper No. 09/180
Published: August 1, 2009
Subject(s): Bank credit | Bank supervision | Banking sector | Credit demand | Credit expansion | Credit risk | Cross country analysis | Economic models | Financial crisis | Fiscal policy | Household credit | Private sector | Sub-Saharan Africa | Time series
Author's keyword(s):
credit growth
| financial deepening
| Sub-Saharan Africa
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19. |
Title:
Spillovers of the U.S. Subprime Financial Turmoil to Mainland China and Hong Kong SAR: Evidence from Stock Markets
Author/Editor: Sun, Tao ; Zhang, Xiaojing
Series: Working Paper No. 09/166
Published: August 1, 2009
Subject(s): Asset prices | Capital markets | China, People's Republic of | Credit risk | Economic integration | Economic models | External shocks | Financial crisis | Financial sector | Hong Kong Special Administrative Region of China | Spillovers | Stock markets | Stock prices | United States
Author's keyword(s):
subprime crisis; spillovers; GARCH
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20. |
Title:
Panacea, Curse, or Nonevent? Unconventional Monetary Policy in the United Kingdom
Author/Editor: Meier, André
Series: Working Paper No. 09/163
Published: August 1, 2009
Subject(s): Asset management | Bonds | Capital markets | Central bank policy | Credit controls | Credit risk | Cross country analysis | Financial risk | Inflation | Interest rate policy | Liquidity management | Monetary policy | Risk management | United Kingdom
Author's keyword(s):
Unconventional monetary policy; liquidity trap; zero bound; quantitative easing
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