IMF Publications by Subject
Browse by Author
Financial sector policy and analysis:
2011
Title: Institutional Models for Macroprudential Policy
Series: Staff Discussion Notes No. 2011/018
Date: November 1, 2011
Subject: Banking Central bank organization Central banks Financial sector policy and analysis Financial sector stability Macroprudential policy Revenue administration Risk mitigation in revenue administration Systemic risk
Title: Low-Income Countries' BRIC Linkage: Are there Growth Spillovers?
Series: Working Paper No. 2011/267
Date: November 1, 2011
Subject: Balance of payments Commodity prices Econometric analysis Financial sector policy and analysis Foreign direct investment Oil prices Prices Spillovers Vector autoregression
Title: Modeling Correlated Systemic Liquidity and Solvency Risks in a Financial Environment with Incomplete Information
Series: Working Paper No. 2011/263
Date: November 1, 2011
Subject: Asset and liability management Banking Distressed institutions Financial institutions Financial regulation and supervision Financial sector policy and analysis Liquidity Liquidity risk Loans Solvency
Title: Inflation Dynamics in Asia: Causes, Changes, and Spillovers From China
Series: Working Paper No. 2011/257
Date: November 1, 2011
Subject: Commodity prices Economic theory Financial sector policy and analysis Inflation Output gap Prices Production Spillovers Supply shocks
Title: Towards Effective Macroprudential Policy Frameworks: An Assessment of Stylized Institutional Models
Series: Working Paper No. 2011/250
Date: November 1, 2011
Subject: Banking Financial regulation and supervision Financial sector policy and analysis Financial sector stability Institutional arrangements for revenue administration Macroprudential policy Revenue administration Systemic risk
Title: Risk Sharing and Financial Contagion in Asia: An Asset Price Perspective
Series: Working Paper No. 2011/242
Date: October 1, 2011
Subject: Asset prices Financial contagion Financial integration Financial markets Financial sector development Financial sector policy and analysis Prices Stock markets
Title: Macroprudential Policy: What Instruments and How to Use them? Lessons From Country Experiences
Series: Working Paper No. 2011/238
Date: October 1, 2011
Subject: Credit Currencies Exchange rate arrangements Financial crises Financial sector policy and analysis Foreign exchange Macroprudential policy Money Systemic risk
Title: Making Banks Safer: Can Volcker and Vickers Do it?
Series: Working Paper No. 2011/236
Date: October 1, 2011
Subject: Banking Commercial banks Credit Financial institutions Financial sector policy and analysis Financial services Investment banking Money Securities Shadow banking Systemic risk
Title: Global Financial Stability Report, September 2011: Grappling with Crisis Legacies
Series: Global Financial Stability Report No. 2011/002
Date: September 21, 2011
Subject: Asset allocation Asset and liability management Banking Credit Financial crises Financial institutions Financial sector policy and analysis Money Stocks Systemic risk
Title: Sweden: Financial Sector Assessment Program Update-Detailed Assessment of Observance on Insurance Core Principles
Series: Country Report No. 2011/282
Date: September 16, 2011
Subject: Corporate governance Economic sectors Financial institutions Financial sector policy and analysis Insurance Insurance companies Internal controls Revenue administration Solvency