IMF Publications by Subject
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Financial sector policy and analysis:
2013
Title: Belgium: Technical Note on Stress Testing the Banking and Insurance Sectors
Series: Country Report No. 2013/137
Date: May 24, 2013
Subject: Banking Basel III Financial regulation and supervision Financial sector policy and analysis Liquidity requirements Solvency Solvency stress testing Stress testing
Title: Belgium: Technical Note on Crisis Management and Bank Resolution Framework
Series: Country Report No. 2013/135
Date: May 24, 2013
Subject: Bank resolution framework Banking Crisis management Crisis management framework Deposit insurance Financial crises Financial sector policy and analysis Financial sector stability Legal support in revenue administration Revenue administration
Title: Belgium: Technical Note on Securities Markets Regulation and Supervision
Series: Country Report No. 2013/136
Date: May 24, 2013
Subject: Arbitrage Commodities Financial sector policy and analysis Financial sector stability Financial services Labor Systemic risk Systemic risk assessment
Title: Belgium: Detailed Assessment of Observance of Insurance Core Principles
Series: Country Report No. 2013/134
Date: May 24, 2013
Subject: Financial institutions Financial sector policy and analysis Insurance Insurance companies Internal controls Legal support in revenue administration Revenue administration Solvency
Title: Competition Policy for Modern Banks
Series: Working Paper No. 2013/126
Date: May 23, 2013
Subject: Bank soundness Banking Commercial banks Competition Crisis management Financial crises Financial institutions Financial markets Financial sector policy and analysis Tax incentives
Title: Near-Coincident Indicators of Systemic Stress
Series: Working Paper No. 2013/115
Date: May 17, 2013
Subject: Banking Cyclical indicators Economic growth Financial crises Financial regulation and supervision Financial sector policy and analysis Financial services Liquidity risk Systemic risk Yield curve
Title: Belgium: Financial System Stability Assessment
Series: Country Report No. 2013/124
Date: May 17, 2013
Subject: Banking Commercial banks Financial institutions Financial sector policy and analysis Insurance Insurance companies Solvency Stress testing
Title: Creating a Safer Financial System: Will the Volcker, Vickers, and Liikanen Structural Measures Help?
Series: Staff Discussion Notes No. 2013/004
Date: May 14, 2013
Subject: Bank resolution Banking Financial crises Financial regulation and supervision Financial sector policy and analysis Macrostructural analysis Market risk Structural reforms Systemic risk
Title: Rethinking Macro Policy II: Getting Granular
Series: Staff Discussion Notes No. 2013/003
Date: April 15, 2013
Subject: Banking Financial sector policy and analysis Financial sector stability Fiscal consolidation Fiscal policy Inflation Macroprudential policy instruments Prices
Title: Market-Based Structural Top-Down Stress Tests of the Banking System
Series: Working Paper No. 2013/088
Date: April 10, 2013
Subject: Banking Capital adequacy requirements Debt default External debt Financial regulation and supervision Financial sector policy and analysis Stress testing