IMF Publications by Subject
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Debt default:
2002
Title: Reviving the Case for GDP-Indexed Bonds
Series: Policy Discussion Paper No. 2002/010
Date: September 1, 2002
Subject: Bonds Debt default Emerging and frontier financial markets External debt Financial crises Financial institutions Financial markets Inflation-indexed bonds
Title: Sovereign Defaults: The Role of Volatility
Series: Working Paper No. 2002/149
Date: September 1, 2002
Subject: Debt default Exchange restrictions External debt Fiscal policy Fiscal stance Foreign exchange International trade Terms of trade
2001
Title: Crises and Liquidity: Evidence and Interpretation
Series: Working Paper No. 2001/002
Date: January 1, 2001
Subject: Asset and liability management Debt default Debt service External debt Financial crises Liquidity
2000
Title: The IMF and the Silent Revolution: Global Finance and Development in the 1980s
Series: Books
Date: September 11, 2000
Notes: This pamphlet is based on the IMF history volume published in 2001 entitled "Silent Revolution: The International Monetary Fund 1979-1989.
Subject: Debt default Exchange rate policy Exchange rates External debt Financial crises Foreign exchange Inflation Prices
1992
Title: Rules and Discretion in International Economic Policy
Series: Occasional Paper No. 1992/008
Date: June 15, 1992
Subject: Debt default Debt strategy Economic integration Exchange rate anchor Exchange rates External debt Foreign exchange Monetary policy
Title: Market Discipline
Series: Working Paper No. 1992/042
Date: June 1, 1992
Notes: Also published in Staff Papers, Vol. 40, No. 1, March 1993.
Subject: Banking Debt default Debt financing Deposit insurance External debt Financial crises Fiscal policy Public debt
1991
Title: Market-Based Fiscal Discipline in Monetary Unions: Evidence From the U.S. Municipal Bond Market
Series: Working Paper No. 1991/089
Date: September 1, 1991
Subject: Bonds Debt default External debt Financial institutions Fiscal policy Government asset and liability management Municipal bonds Public financial management (PFM)
1990
Title: The Risk Premiumon Italian Government Debt, 1976-1988
Series: Working Paper No. 1990/038
Date: April 1, 1990
Subject: Banking Bonds Debt default External debt Financial institutions National accounts Public debt Return on investment Sovereign bonds
Title: Sustainable Plans and Mutual Default
Series: Working Paper No. 1990/022
Date: March 1, 1990
Subject: Budget planning and preparation Debt default Government consumption Private debt Public debt
Title: Pricing Floating-Rate Debt and Related Interest Rate Options
Series: Working Paper No. 1990/007
Date: February 1, 1990
Subject: Bonds Debt default External debt Financial institutions Loans Options Securities