IMF Publications by Subject
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Asset and liability management:
2019
Title: U.S. Monetary Policy Spillovers to GCC Countries: Do Oil Prices Matter?
Series: Working Paper No. 2019/304
Date: December 27, 2019
Subject: Asset and liability management Central bank policy rate Financial sector policy and analysis Financial services Liquidity Oil prices Prices Real interest rates Spillovers
Title: Inflation and Public Debt Reversals in Advanced Economies
Series: Working Paper No. 2019/297
Date: December 27, 2019
Subject: Asset and liability management Debt reduction Deflation Financial services Inflation Long term interest rates Prices Public debt
Title: Autonomous Factor Forecast Quality: The Case of the Eurosystem
Series: Working Paper No. 2019/296
Date: December 27, 2019
Subject: Asset and liability management Banking Central bank accounting Central banks Exchange rate arrangements Financial markets Foreign exchange Liquidity Money markets Open market operations
Title: Liquidity Choice and Misallocation of Credit
Series: Working Paper No. 2019/284
Date: December 20, 2019
Subject: Asset and liability management Credit Financial institutions Financial markets Financial sector development Labor Liquidity Money Self-employment Sovereign bonds
Title: Barbados: 2019 Article IV Consultation, Second Review Under the Extended Arrangement, Request for Completion of the Financing Assurances Review, and Modification of Performance Criteria-Press Releases; Staff Report; and Statement by the Executive Director for Barbados
Series: Country Report No. 2019/370
Date: December 18, 2019
Subject: Asset and liability management Debt restructuring Environment External debt Fiscal policy Fiscal stance Natural disasters Public debt
Title: What Is Real and What Is Not in the Global FDI Network?
Series: Working Paper No. 2019/274
Date: December 11, 2019
Subject: Asset and liability management Balance of payments Business enterprises Economic sectors Financial services Foreign direct investment Offshore financial centers Revenue administration Special purpose vehicle Tax avoidance
Title: Integrating Solvency and Liquidity Stress Tests: The Use of Markov Regime-Switching Models
Series: Working Paper No. 2019/250
Date: November 15, 2019
Subject: Asset and liability management Asset liquidity Asset management Banking Financial institutions Financial regulation and supervision Liquidity Liquidity risk Sovereign bonds
Title: Macrofinancial Linkages and Growth at Risk in the Dominican Republic
Series: Working Paper No. 2019/246
Date: November 13, 2019
Subject: Asset and liability management Credit Financial sector policy and analysis Growth-at-risk assessment Liquidity Macrofinancial linkages Money
Title: France: Financial Sector Assessment Program-Technical Note-Risk Analysis of Banking and Insurance Sector
Series: Country Report No. 2019/322
Date: October 29, 2019
Subject: Asset and liability management Banking Financial institutions Financial regulation and supervision Financial sector policy and analysis Insurance Insurance companies Liquidity Liquidity requirements Liquidity risk Stress testing
Title: Liquidity Ratios as Monetary Policy Tools: Some Historical Lessons for Macroprudential Policy
Series: Working Paper No. 2019/176
Date: August 16, 2019
Subject: Asset and liability management Banking Financial institutions Financial regulation and supervision Government securities Liquidity indicators Liquidity management Liquidity requirements Monetary policy Reserve requirements Securities