IMF Publications by Subject
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Credit risk:
2001
Title: Risk Diversification in the Credit Portfolio : An Overview of Country Practices
Series: Working Paper No. 01/200
Date: December 1, 2001
Subject: Credit risk
Title: The New Basel Capital Accord: The Devil Is in the (Calibration) Details
Series: Working Paper No. 2001/113
Date: August 1, 2001
Subject: Banking Bonds Credit Credit ratings Credit risk
Title: Stress Testing of Financial Systems: An Overview of Issues, Methodologies, and FSAP Experiences
Series: Working Paper No. 2001/088
Date: June 1, 2001
Subject: Banking Credit risk Exchange rate risk Financial regulation and supervision Financial sector policy and analysis Foreign exchange Market risk Stress testing
Title: Financial System Standards and Financial Stability: The Case of the Basel Core Principles
Series: Working Paper No. 2001/062
Date: May 1, 2001
Subject: Bank soundness Basel Core Principles Credit risk Financial regulation and supervision Financial sector policy and analysis Financial sector stability Financial standards
Title: Financial Implications of the Shrinking Supply of U.S. Treasury Securities
Series: Working Paper No. 2001/061
Date: May 1, 2001
Subject: Credit risk Financial institutions Financial markets Financial services Government securities Securities Securities markets Yield curve
Title: Modern Banking and OTC Derivatives Markets: The Transformation of Global Finance and its Implications for Systemic Risk
Series: Occasional Paper No. 2001/002
Date: January 9, 2001
Subject: Credit Credit risk Derivative markets Financial institutions Financial markets Financial regulation and supervision Money Options Over-the-counter markets
2000
Title: Measuring Integrated Market and Credit Risks in Bank Portfolios: An Application to a Set of Hypothetical Banks Operation in South Africa
Series: Working Paper No. 2000/212
Date: December 1, 2000
Subject: Banking Credit Credit risk Financial institutions Financial regulation and supervision Loans Market risk Money Mortgages
Title: The New Capital Adequacy Framework: Institutional Constraints and Incentive Structures
Series: Working Paper No. 2000/093
Date: June 1, 2000
Subject: Banking Capital adequacy requirements Commercial banks Credit ratings Credit risk Financial institutions Financial regulation and supervision Market risk Money
Title: Assessing Financial System Vulnerabilities
Series: Working Paper No. 2000/076
Date: April 1, 2000
Subject: Banking Credit risk Financial regulation and supervision Financial sector policy and analysis Financial sector risk Financial sector stability Financial statements Market risk Public financial management (PFM) Tax incentives
1999
Title: Managerial Entrenchment and the Choice of Debt Financing
Series: Working Paper No. 1999/094
Date: July 1, 1999
Subject: Credit risk Debt financing Debt renegotiation Private debt Public debt