IMF Publications by Subject
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Financial sector policy and analysis:
2015
Title: Namibia: 2015 Article IV Consultation-Press Release; Staff Report; and Statement by the Executive Director for Namibia
Series: Country Report No. 2015/276
Date: October 1, 2015
Subject: Banking Central banks Credit Financial sector policy and analysis Financial sector stability Housing prices International reserves Money Prices Public debt
Title: Optimal Bank Recovery
Series: Working Paper No. 2015/217
Date: September 30, 2015
Subject: Asset valuation Bank solvency Banking Financial institutions Financial sector policy and analysis Financial sector stability Loans Stocks Systemic risk
Title: Stress Testing Corporate Balance Sheets in Emerging Economies
Series: Working Paper No. 2015/216
Date: September 30, 2015
Subject: Corporate sector Currencies Economic sectors Emerging and frontier financial markets Financial markets Financial sector policy and analysis Financial statements Money Public financial management (PFM) Stress testing
Title: Big Players Out of Synch: Spillovers Implications of US and Euro Area Shocks
Series: Working Paper No. 2015/215
Date: September 30, 2015
Subject: Bond yields Exchange rates Financial institutions Financial sector policy and analysis Financial services Foreign exchange Monetary policy Spillovers Unconventional monetary policies Yield curve
Title: The Impact of Global Liquidity on Financial Landscapes and Risks in the ASEAN-5 Countries
Series: Working Paper No. 2015/211
Date: September 29, 2015
Subject: Asset and liability management Financial institutions Financial sector policy and analysis Financial sector risk Financial sector stability International liquidity Liquidity Securities
Title: How Does Bank Competition Affect Solvency, Liquidity and Credit Risk? Evidence from the MENA Countries
Series: Working Paper No. 2015/210
Date: September 29, 2015
Subject: Bank solvency Banking Competition Credit risk Financial institutions Financial markets Financial regulation and supervision Financial sector policy and analysis Financial services Islamic banking Nonperforming loans
Title: Getting the Dog to Bark: Disclosing Fiscal Risks from the Financial Sector
Series: Working Paper No. 2015/208
Date: September 28, 2015
Subject: Banking Economic sectors Financial crises Financial sector Financial sector policy and analysis Financial sector risk Fiscal reporting Fiscal risks Public financial management (PFM)
Title: A Strategy for Resolving Europe's Problem Loans
Series: Staff Discussion Notes No. 2015/019
Date: September 24, 2015
Notes: See Also Technical Background Note
Subject: Asset and liability management Banking Debt restructuring Distressed assets Financial institutions Financial sector policy and analysis Loans Nonperforming loans Solvency
Title: Norway: Financial Sector Assessment Program-Technical Note- Macroprudential Policy
Series: Country Report No. 2015/257
Date: September 17, 2015
Subject: Banking Countercyclical capital buffers Financial regulation and supervision Financial sector policy and analysis Financial sector stability Financial stability assessment Macroprudential policy Systemic risk
Title: Norway: Financial Sector Assessment Program-Technical Note-Oversight and Supervision of Financial Market Infrastructure, and Selected Issues in the Payment System
Series: Country Report No. 2015/254
Date: September 17, 2015
Subject: Banking Financial market infrastructure Financial markets Financial regulation and supervision Financial sector policy and analysis Financial stability assessment Operational risk Payment systems PFM information systems Public financial management (PFM)