IMF Publications by Subject
Browse by Author
Systemic risk:
2009
Title: Financial Stability Frameworks and the Role of Central Banks: Lessons From the Crisis
Series: Working Paper No. 2009/070
Date: April 1, 2009
Subject: Banking Central bank mandate Central banks Financial crises Financial sector policy and analysis Financial sector stability Special resolution regime Systemic risk
Title: The Perimeter of Financial Regulation
Series: Staff Position Note No. 2009/007
Date: March 26, 2009
Subject: Asset and liability management Banking Financial institutions Financial regulation and supervision Financial sector policy and analysis Hedge funds Liquidity Liquidity risk Securities Systemic risk
Title: Banking Stability Measures
Series: Working Paper No. 2009/004
Date: January 1, 2009
Subject: Banking Business cycles Commercial banks Credit default swap Systemic risk
2008
Title: The Tasks Ahead
Series: Working Paper No. 2008/262
Date: November 1, 2008
Subject: Early warning systems Financial crises Financial sector Liquidity Systemic risk
2007
Title: Is Brazil Different? Risk, Dollarization, and Interest Rates in Emerging Markets
Series: Working Paper No. 2007/294
Date: December 1, 2007
Subject: Banking Dollarization Inflation Real interest rates Systemic risk
Title: External Linkages and Contagion Risk in Irish Banks
Series: Working Paper No. 2007/044
Date: February 1, 2007
Subject: Asset valuation Banking Commercial banks Stock markets Systemic risk
2006
Title: Economic Integration and Financial Stability: A European Perspective
Series: Working Paper No. 2006/296
Date: December 1, 2006
Subject: Banking Financial institutions Financial integration Financial markets Financial sector policy and analysis Insurance companies National accounts Personal income Stock markets Systemic risk
Title: The Lender of Last Resort in the European Single Financial Market
Series: Working Paper No. 2006/127
Date: May 1, 2006
Subject: Banking Financial sector stability Financial services Lender of last resort Systemic risk
Title: Idiosyncratic and Systemic Risk in the European Corporate Sector: A CDO Perspective
Series: Working Paper No. 2006/107
Date: April 1, 2006
Subject: CDOs Credit Currencies Stocks Systemic risk
2005
Title: The END: A New Indicator of Financial and Nonfinancial Corporate Sector Vulnerability
Series: Working Paper No. 2005/231
Date: December 1, 2005
Subject: Asset valuation Corporate sector Debt default Financial statements Systemic risk