IMF Publications by Subject
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Financial sector policy and analysis:
2016
Title: Russian Federation: Financial Sector Assessment Program: Technical Note-Stress Testing
Series: Country Report No. 2016/306
Date: September 22, 2016
Subject: Banking Capital adequacy requirements Correspondent banking Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial services Loans Market risk Stress testing
Title: China’s Financial Interlinkages and Implications For Inter-Agency Coordination
Series: Working Paper No. 2016/181
Date: August 26, 2016
Subject: Bank credit Banking Financial institutions Financial markets Financial sector policy and analysis Financial sector stability Financial services Nonbank financial institutions Shadow banking Stock markets Systemic risk
Title: Market Frictions, Interbank Linkages and Excessive Interconnections
Series: Working Paper No. 2016/180
Date: August 26, 2016
Subject: Asset and liability management Banking Deposit insurance Financial contagion Financial crises Financial institutions Financial markets Financial sector policy and analysis Interbank markets Liquidity Systemically important financial institutions
Title: Cyclical Behavior of Fiscal Policy among Sub-Saharan African Countries
Series: Departmental Paper No. 2016/009
Date: August 24, 2016
Subject: Financial sector policy and analysis Fiscal policy Fiscal stance Output gap Procyclical fiscal policy Procyclicality Production
Title: Profitability and Balance Sheet Repair of Italian Banks
Series: Working Paper No. 2016/175
Date: August 19, 2016
Subject: Bank soundness Banking Countercyclical capital buffers Distressed assets Financial institutions Financial regulation and supervision Financial sector policy and analysis Loans Nonperforming loans
Title: China’s Growing Influence on Asian Financial Markets
Series: Working Paper No. 2016/173
Date: August 12, 2016
Subject: Currency markets Emerging and frontier financial markets Financial markets Financial sector policy and analysis Global financial crisis of 2008-2009 Securities markets Spillovers Stock markets
Title: Negative Interest Rate Policy (NIRP): Implications for Monetary Transmission and Bank Profitability in the Euro Area
Series: Working Paper No. 2016/172
Date: August 10, 2016
Subject: Bank soundness Banking Central bank policy rate Deposit rates Financial markets Financial sector policy and analysis Financial services Monetary policy Money markets Negative interest rates
Title: Spillovers from China’s Growth Slowdown and Rebalancing to the ASEAN-5 Economies
Series: Working Paper No. 2016/170
Date: August 9, 2016
Subject: Commodities Commodity prices Consumption Exports Financial sector policy and analysis Imports International trade Prices Spillovers
Title: The Impact of Oil Prices on the Banking System in the GCC
Series: Working Paper No. 2016/161
Date: August 5, 2016
Subject: Banking Capital adequacy requirements Credit Financial cycles Financial institutions Financial regulation and supervision Financial sector policy and analysis Money Nonperforming loans Oil prices Prices
Title: Ireland: Financial System Stability Assessment
Series: Country Report No. 2016/258
Date: July 28, 2016
Subject: Bank resolution framework Banking Commercial banks Credit Financial crises Financial institutions Financial sector policy and analysis Liquidity requirements Loans Money Stress testing