IMF Publications by Subject
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Financial sector policy and analysis:
1999
Title: Orderly and Effective Insolvency Procedures
Series: Books
Date: August 2, 1999
Notes: French version is not available to order--web version only.
Subject: Bank liquidation Collateral Corporate insolvency Financial crises Financial institutions Financial sector policy and analysis Solvency
Title: Public Debt Management and Bailouts
Series: Working Paper No. 1999/103
Date: July 1, 1999
Subject: Bonds Budget planning and preparation Financial institutions Financial sector policy and analysis Government debt management Moral hazard Public debt Public financial management (PFM)
Title: Global Moral Hazard, Capital Account Liberalization and the “Overlending Syndrome”
Series: Working Paper No. 1999/100
Date: July 1, 1999
Subject: Balance of payments Banking Capital account liberalization Commercial banks Deposit insurance Deposit rates Financial crises Financial institutions Financial sector policy and analysis Financial services Moral hazard
Title: United Kingdom: Selected Issues
Series: Country Report No. 1999/044
Date: May 14, 1999
Subject: Banking Central bank autonomy Central banks Financial sector policy and analysis Financial services Financial stability assessment Inflation Inflation targeting Monetary policy Prices
Title: Deposit Insurance: A Survey of Actual and Best Practices
Series: Working Paper No. 1999/054
Date: April 1, 1999
Subject: Bank deposits Banking Commercial banks Deposit insurance Financial crises Financial institutions Financial sector policy and analysis Financial services Lender of last resort Moral hazard
Title: A Model of the Lender of Last Resort
Series: Working Paper No. 1999/039
Date: March 1, 1999
Subject: Banking Central banks Commercial banks Distressed institutions Financial crises Financial institutions Financial sector policy and analysis Lender of last resort Moral hazard Open market operations
Title: Enemy of None But a Common Friend of All? An International Perspectiveon the Lender-Of-Last-Resort Function
Series: Working Paper No. 1999/010
Date: January 1, 1999
Subject: Asset and liability management Banking Crisis management Financial crises Financial sector policy and analysis Lender of last resort Liquidity Moral hazard
1998
Title: Developing Countries and the Globalization of Financial Markets
Series: Working Paper No. 1998/105
Date: July 1, 1998
Subject: Banking Commercial banks Emerging and frontier financial markets Financial institutions Financial markets Financial sector policy and analysis Financial sector stability Loans Stock markets
Title: Central Bank Vulnerability and the Credibility of Commitments: A Value-at-Risk Approach to Currency Crises
Series: Working Paper No. 1998/065
Date: May 1, 1998
Subject: Bank solvency Banking Currencies Econometric analysis Economic sectors Financial sector Financial sector policy and analysis Money Solvency Vector autoregression
1997
Title: Transparency and Ambiguity in Central Bank Safety Net Operations
Series: Working Paper No. 1997/138
Date: October 1, 1997
Subject: Banking Banking safety nets Commercial banks Deposit insurance Distressed institutions Financial crises Financial institutions Financial sector policy and analysis Moral hazard