IMF Publications by Subject
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Financial sector policy and analysis:
2000
Title: Global Financial Crises: Institutions and Incentives
Series: Working Paper No. 2000/105
Date: June 1, 2000
Subject: Asset and liability management Financial crises Financial sector policy and analysis Lender of last resort Liquidity Moral hazard Sovereign debt restructuring Tax incentives
Title: Financial Institutions, Financial Contagion, and Financial Crises
Series: Working Paper No. 2000/092
Date: May 1, 2000
Subject: Asset and liability management Bank solvency Banking Financial crises Financial markets Financial sector policy and analysis Interbank markets Labor Liquidity Self-employment
Title: Bank Failures and Fiscal Austerity: Policy Presecriptions for a Developing Country
Series: Working Paper No. 2000/090
Date: May 1, 2000
Subject: Bank deposits Banking Commercial banks Distressed assets Financial institutions Financial sector policy and analysis Government debt management Labor Loans Public financial management (PFM)
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
Title: Deposit Insurance and Crisis Management
Series: Working Paper No. 2000/057
Date: March 1, 2000
Subject: Bank deposits Bank resolution Banking Commercial banks Deposit insurance Distressed institutions Financial crises Financial institutions Financial sector policy and analysis Financial services Moral hazard
Title: Two Approaches to Resolving Nonperforming Assets During Financial Crises
Series: Working Paper No. 2000/033
Date: February 1, 2000
Subject: Asset and liability management Asset management Asset management companies Banking Distressed assets Financial crises Financial institutions Financial sector policy and analysis Loans
Title: Does Deposit Insurance Increase Banking System Stability?
Series: Working Paper No. 2000/003
Date: January 1, 2000
Subject: Bank deposits Bank soundness Banking Banking crises Deposit insurance Financial crises Financial sector policy and analysis Financial services Moral hazard
1999
Title: Linkages Among Asset Markets in the United States: Tests in a Bivariate GARCH Framework
Series: Working Paper No. 1999/158
Date: November 1, 1999
Subject: Currency markets Financial markets Financial sector policy and analysis Revenue administration Securities markets Small taxpayer office Spillovers Stock markets
Title: Portfolio Diversification, Leverage, and Financial Contagion
Series: Working Paper No. 1999/136
Date: October 1, 1999
Subject: Econometric analysis Financial contagion Financial institutions Financial markets Financial sector policy and analysis National accounts Personal income Securities markets Stocks Vector autoregression
Title: Corporate Insolvency Procedures and Bank Behavior: A Study of Selected Asian Economies
Series: Working Paper No. 1999/135
Date: October 1, 1999
Subject: Banking Corporate insolvency Corruption Crime Economic growth Economic recession Financial crises Financial institutions Financial markets Financial sector policy and analysis Nonperforming loans Solvency Stock markets