IMF Publications by Subject
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Systemic risk:
2016
Title: United Kingdom: Financial Sector Assessment Program-Macroprudential Institutional Framework-Technical Note
Series: Country Report No. 2016/160
Date: June 17, 2016
Subject: Banking Financial sector policy and analysis Financial sector risk Financial sector stability Financial services Macroprudential policy Systemic risk
Title: Macroprudential Policy and Financial Stability in the Arab Region
Series: Working Paper No. 2016/098
Date: May 20, 2016
Subject: Banking Credit Financial sector policy and analysis Financial sector stability Macroprudential policy Macroprudential policy instruments Money Systemic risk
Title: Global Financial Stability Report, April 2016: Potent Policies for a Successful Normalization
Series: Global Financial Stability Report No. 2016/001
Date: April 11, 2016
Subject: Banking Emerging and frontier financial markets Financial institutions Financial markets Financial sector policy and analysis Insurance Insurance companies Spillovers Systemic risk
2015
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: 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: Systemic Risk Assessment in Low Income Countries: Balancing Financial Stability and Development
Series: Working Paper No. 2015/190
Date: August 12, 2015
Subject: Credit Credit booms Economic sectors Financial crises Financial markets Financial sector development Financial sector policy and analysis Money Systemic risk
Title: Systemic Risk, Aggregate Demand, and Commodity Prices
Series: Working Paper No. 2015/165
Date: July 20, 2015
Subject: Financial sector policy and analysis Food prices International trade National accounts Output gap Prices Production Return on investment Systemic risk Trade balance
Title: United States: Financial Sector Assessment Program-Financial System Stability Assessment
Series: Country Report No. 2015/170
Date: July 7, 2015
Subject: Banking Financial crises Financial institutions Financial sector policy and analysis Insurance Insurance companies Stress testing Systemic risk
Title: United States: Financial Sector Assessment Program-Systemic Risk Oversight and Management-Technical Notes
Series: Country Report No. 2015/172
Date: July 7, 2015
Subject: Asset and liability management Financial institutions Financial sector policy and analysis Financial sector stability Liquidity PFM information systems Public financial management (PFM) Securities Systemic risk
Title: Designing Effective Macroprudential Stress Tests: Progress So Far and the Way Forward
Series: Working Paper No. 2015/146
Date: June 30, 2015
Subject: Banking Financial sector policy and analysis Financial sector stability Financial statements Macroprudential stress testing Public financial management (PFM) Stress testing Systemic risk