IMF Publications by Subject
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Asset and liability management:
2018
Title: Belize's 2016-17 Sovereign Debt Restructuring - Third Time Lucky?
Series: Working Paper No. 2018/121
Date: May 22, 2018
Subject: Asset and liability management Bonds Debt restructuring Financial institutions Fiscal consolidation Fiscal policy Public debt Sovereign debt restructuring
Title: Scarcity Effects of Quantitative Easing on Market Liquidity: Evidence from the Japanese Government Bond Market
Series: Working Paper No. 2018/096
Date: May 9, 2018
Subject: Asset and liability management Banking Bonds Financial institutions Financial markets Liquidity Monetary policy Securities markets Sovereign bonds Unconventional monetary policies
Title: Instruments, Investor Base, and Recent Developments in the Malaysian Government Bond Market
Series: Working Paper No. 2018/095
Date: April 26, 2018
Subject: Asset and liability management Banking Bonds Financial institutions Financial markets Foreign exchange International liquidity Securities markets Sovereign bonds
Title: IMF Financial Operations 2018
Series: Books
Date: April 18, 2018
Subject: Asset and liability management Credit Currencies Debt relief Money National accounts Personal income Poverty Poverty reduction strategy
Title: Interest-Growth Differentials and Debt Limits in Advanced Economies
Series: Working Paper No. 2018/082
Date: April 6, 2018
Subject: Asset and liability management Debt default Debt limits Debt sustainability Econometric analysis External debt Public debt Vector autoregression
Title: A Primer on Managing Sovereign Debt-Portfolio Risks
Series: Working Paper No. 2018/074
Date: April 6, 2018
Subject: Asset and liability management Bonds Credit risk Debt management Financial institutions Financial regulation and supervision Government debt management Public debt Public financial management (PFM)
Title: Boosting Fiscal Space: The Roles of GDP-Linked Debt and Longer Maturities
Series: Departmental Paper No. 2018/004
Date: March 14, 2018
Subject: Asset and liability management Debt default Debt limits Debt service External debt Fiscal policy Fiscal space Fiscal stance
Title: Macroprudential Stress Tests: A Reduced-Form Approach to Quantifying Systemic Risk Losses
Series: Working Paper No. 2018/049
Date: March 9, 2018
Subject: Asset and liability management Asset valuation Banking Countercyclical capital buffers Financial contagion Financial regulation and supervision Financial sector policy and analysis Stress testing Systemic risk
Title: Monetary Policy and Models of Currency Demand
Series: Working Paper No. 2018/028
Date: February 16, 2018
Subject: Asset and liability management Banking Central bank policy rate Commercial banks Currencies Financial institutions Financial services Liquidity Liquidity forecasting Money
Title: Kuwait: Selected Issues
Series: Country Report No. 2018/022
Date: January 26, 2018
Subject: Asset and liability management Capital spending Current spending Expenditure Fiscal consolidation Fiscal policy Liquidity