IMF Publications by Subject
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Financial sector policy and analysis:
2022
Title: Sovereign Cocos
Series: Working Paper No. 2022/078
Date: April 29, 2022
Subject: Asset and liability management Consumption Contingent convertible capital Debt default Debt relief External debt Financial sector policy and analysis National accounts Return on investment
Title: Corporate Vulnerabilities in the Middle East, North Africa, and Pakistan in the Wake of COVID-19 Pandemic
Series: Working Paper No. 2022/071
Date: April 29, 2022
Subject: Asset and liability management Corporate sector COVID-19 Economic sectors Financial sector policy and analysis Health Liquidity Solvency Stress testing
Title: Staff Operational Guidance on The Dissemination of Capacity Development Information
Series: Policy Paper No. 2022/018
Date: April 26, 2022
Notes:
Factsheet
Subject: Agroindustries Deposit insurance Economic sectors Financial crises Financial regulation and supervision Financial Sector Assessment Program Financial sector policy and analysis Monetary policy Political economy Reputational risk Stress testing
Title: United Kingdom: Financial Sector Assessment Program-Vulnerabilities in NBFIs, Market-Based Finance, and Systemic Liquidity
Series: Country Report No. 2022/103
Date: April 8, 2022
Subject: Asset and liability management Corporate bonds Financial institutions Financial sector policy and analysis Financial statements International organization Liquidity Monetary policy Nonbank financial institutions Public financial management (PFM) Stress testing
Title: United Kingdom: Financial Sector Assessment Program-Select Issues in Systemic Risk Oversight and Macroprudential Policy
Series: Country Report No. 2022/104
Date: April 8, 2022
Subject: Countercyclical capital buffers Financial regulation and supervision Financial sector policy and analysis Financial sector risk Financial sector stability International organization Monetary policy Stress testing Systemic risk
Title: United Kingdom: Financial Sector Assessment Program-Systemic Stress, and Climate-Related Financial Risks: Implications for Balance Sheet Resilience
Series: Country Report No. 2022/102
Date: April 8, 2022
Subject: Credit Financial institutions Financial sector policy and analysis Insurance Insurance companies International organization Monetary policy Money Mortgages Stress testing
Title: United Kingdom: Financial Sector Assessment Program-Detailed Assessment of Observance of Insurance Core Principles Issued by the International Association of Insurance Supervisors
Series: Country Report No. 2022/109
Date: April 8, 2022
Subject: Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial services Insurance Insurance companies International organization Monetary policy Solvency
Title: United Kingdom: Financial Sector Assessment Program-Banking Supervision and Issues in Financial Stability
Series: Country Report No. 2022/105
Date: April 8, 2022
Subject: Credit risk Financial regulation and supervision Financial sector policy and analysis Financial services International organization Monetary policy Operational risk Stress testing
Title: United Kingdom: Financial Sector Assessment Program-Financial Stability and Managing Institutional, Technology, and Market Transitions
Series: Country Report No. 2022/107
Date: April 8, 2022
Subject: Central Bank digital currencies Financial sector policy and analysis Financial sector stability Financial services Interbank rates International organization Monetary policy Technology Virtual currencies
Title: The Global Bank Stress Test
Series: Departmental Paper No 2022/009
Date: April 6, 2022
Subject: Capital adequacy requirements Commercial banks COVID-19 Financial institutions Financial regulation and supervision Financial sector policy and analysis Health Stress testing Taxes Value-added tax