IMF Publications by Subject
Browse by Author
Financial sector policy and analysis:
2022
Title: Digitalization and Tax Compliance Spillovers: Evidence from a VAT e-Invoicing Reform in Peru
Series: Working Paper No. 2022/057
Date: March 18, 2022
Subject: Financial sector policy and analysis Positive spillovers Revenue administration Spillovers Tax policy Tax return filing compliance Tax spillovers Taxes Value-added tax
Title: Managing Financial Sector Risks from the COVID-19 Crisis in the Caucasus and Central Asia
Series: Departmental Paper No 2022/005
Date: March 10, 2022
Subject: Commercial banks Credit risk Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial sector risk Foreign exchange Nonperforming loans
Title: Macroprudential Policies to Enhance Financial Stability in the Caucasus and Central Asia
Series: Departmental Paper No 2022/006
Date: March 10, 2022
Subject: Countercyclical capital buffers Credit Credit gaps Financial regulation and supervision Financial sector policy and analysis Macroprudential policy Macroprudential policy instruments Monetary policy Money
Title: People’s Republic of China—Hong Kong Special Administrative Region: 2022 Article IV Consultation Discussions-Press Release; and Staff Report
Series: Country Report No. 2022/069
Date: March 7, 2022
Subject: Economic and financial statistics Economic growth Economic recovery External sector statistics Financial sector policy and analysis Financial sector stability Housing Housing prices International organization Monetary policy National accounts Prices
Title: The Nexus Between Public Enterprise Governance, Financial Performance, and Macroeconomic Vulnerabilities: An Application to Moldova
Series: Working Paper No. 2022/050
Date: March 4, 2022
Subject: Asset and liability management Economic sectors Financial sector policy and analysis Fiscal risks Liquidity Public enterprises Public financial management (PFM) Public sector Solvency
Title: Republic of Kazakhstan: Technical Assistance Report-Risk-Based Supervision Pillar 2 Liquidity
Series: Country Report No. 2022/064
Date: March 1, 2022
Subject: Asset and liability management Financial regulation and supervision Financial sector policy and analysis International organization Liquidity Liquidity management Liquidity requirements Liquidity risk Monetary policy Stress testing
Title: Key Trends in Implementing the Fund's Transparency Policy
Series: Policy Paper No. 2022/002
Date: February 28, 2022
Subject: Anti-money laundering and combating the financing of terrorism (AML/CFT) COVID-19 Crime Economic integration Emerging and frontier financial markets Financial markets Financial Sector Assessment Program Financial sector policy and analysis Health Monetary policy Monetary unions Political economy
Title: Policy Options for Supporting and Restructuring Firms Hit by the COVID-19 Crisis
Series: Departmental Paper No 2022/002
Date: February 23, 2022
Notes: Data File
Subject: Asset and liability management Corporate sector Crisis prevention Debt restructuring Economic sectors Financial crises Financial sector policy and analysis International organization Political economy Solvency
Title: United Kingdom: 2021 Article IV Consultation-Press Release; Staff Report; and Statement by the Executive Director for the United Kingdom
Series: Country Report No. 2022/056
Date: February 23, 2022
Subject: COVID-19 Financial Sector Assessment Program Financial sector policy and analysis Fiscal policy Health Inflation International organization Monetary policy Prices Public debt
Title: United Kingdom: Financial Sector Assessment Program-Financial System Stability Assessment
Series: Country Report No. 2022/057
Date: February 23, 2022
Subject: Financial institutions Financial Sector Assessment Program Financial sector policy and analysis Financial sector risk Financial sector stability Financial services Insurance companies International organization Monetary policy Nonbank financial institutions