IMF Publications by Subject
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Financial sector policy and analysis:
2002
Title: Gabon: Financial System Stability Assessment, Including Reports on the Observance of Standards and Codes on the following topics: Monetary and Financial Policy Transparency, Banking Supervision, and Insurance Regulation
Series: Country Report No. 2002/098
Date: May 8, 2002
Subject: Banking Commercial banks Financial institutions Financial sector policy and analysis Insurance Insurance companies Internal controls Revenue administration Solvency
Title: Moral Hazard: Does IMF Financing Encourage Imprudence by Borrowers and Lenders?
Series: Economic Issues No. 2002/003
Date: May 3, 2002
Subject: Emerging and frontier financial markets Financial crises Financial institutions Financial markets Financial sector policy and analysis Financial services Moral hazard Systemically important financial institutions Yield curve
Title: Financial Risks, Stability, and Globalization
Series: Seminar Volumes
Date: April 29, 2002
Subject: Banking Credit Credit risk Financial crises Financial regulation and supervision Financial sector Financial Sector Assessment Program Financial sector policy and analysis Financial sector stability Money
Title: Financial Soundness Indicators: Analytical Aspects and Country Practices
Series: Occasional Paper No. 2002/003
Date: April 8, 2002
Subject: Banking Capital adequacy requirements Credit risk Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial soundness indicators Loans Prices Real estate prices Stress testing
Title: The New Approach to Sovereign Debt Restructuring: Setting the Incentives Right
Series: Policy Discussion Paper No. 2002/004
Date: March 1, 2002
Subject: Asset and liability management Debt restructuring Debt sustainability analysis External debt Financial crises Financial sector policy and analysis Moral hazard Sovereign debt restructuring Tax incentives
Title: Systemic Risk and Financial Consolidation: Are they Related?
Series: Working Paper No. 2002/055
Date: March 1, 2002
Subject: Banking Commercial banks Financial institutions Financial sector policy and analysis Financial sector risk Loans Stocks Systemic risk
Title: Candidate Entry, Screening, and the Political Budget Cycle
Series: Working Paper No. 2002/048
Date: March 1, 2002
Subject: Budget planning and preparation Expenditure Financial sector policy and analysis Fiscal policy Moral hazard Public financial management (PFM) Revenue administration
Title: Regulatory and Supervisory Independence and Financial Stability
Series: Working Paper No. 2002/046
Date: March 1, 2002
Subject: Bank supervision Banking Central bank autonomy Central banks Economic sectors Financial regulation and supervision Financial sector Financial sector policy and analysis Financial sector stability
Title: Trust As a Means of Improving Corporate Governance and Efficiency
Series: Working Paper No. 2002/033
Date: February 1, 2002
Subject: Corporate governance Economic sectors Financial institutions Financial sector policy and analysis Insurance Labor Moral hazard Tax incentives Wages
Title: Fiscal Sustainability and Monetary Versus Fiscal Dominance: Evidence From Brazil, 1991-2000
Series: Working Paper No. 2002/005
Date: January 1, 2002
Subject: External debt Financial sector policy and analysis Financial services Fiscal consolidation Fiscal policy Interest payments Public debt Real interest rates Solvency