IMF Publications by Subject
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Asset and liability management:
2017
Title: On Swing Pricing and Systemic Risk Mitigation
Series: Working Paper No. 2017/159
Date: July 18, 2017
Subject: Asset and liability management Asset management Financial regulation and supervision Financial sector policy and analysis Liquidity management Liquidity risk Revenue administration Risk mitigation in revenue administration Systemic risk
Title: United Arab Emirates: Selected Issues
Series: Country Report No. 2017/219
Date: July 14, 2017
Subject: Asset and liability management Banking Budget planning and preparation Expenditure Fiscal policy Liquidity Liquidity management Public financial management (PFM)
Title: Central Bank Emergency Support to Securities Markets
Series: Working Paper No. 2017/152
Date: July 10, 2017
Subject: Asset and liability management Asset liquidity Banking Financial institutions Financial markets Financial sector policy and analysis Financial sector stability Liquidity Securities Securities markets
Title: Multi-Country Report: Ensuring Financial Stability in Countries with Islamic Banking-Case Studies-Press Release; Staff Report
Series: Country Report No. 2017/145
Date: June 20, 2017
Subject: Asset and liability management Banking Deposit insurance Financial crises Financial services Islamic banking Liquidity Liquidity management
Title: Seychelles: 2017 Article IV Consultation and Sixth Review Under the Extended Arrangement-Press Release; Staff Report; and Statement by the Executive Director for Seychelles
Series: Country Report No. 2017/160
Date: June 20, 2017
Subject: Asset and liability management Climate change Debt reduction Environment Expenditure Public debt Public financial management (PFM)
Title: ABBA: An Agent-Based Model of the Banking System
Series: Working Paper No. 2017/136
Date: June 9, 2017
Subject: Asset and liability management Banking Capital adequacy requirements Commercial banks Financial institutions Financial regulation and supervision Liquidity Loans Monetary policy Reserve requirements
Title: Bottom-Up Default Analysis of Corporate Solvency Risk: An Application to Latin America
Series: Working Paper No. 2017/133
Date: June 8, 2017
Subject: Asset and liability management Banking Commercial banks Commodity prices Corporate sector Economic sectors Financial institutions Liquidity indicators Liquidity management Loans Prices
Title: Sovereign Bond Prices, Haircuts and Maturity
Series: Working Paper No. 2017/119
Date: May 22, 2017
Subject: Asset and liability management Asset prices Bonds Debt default Debt restructuring External debt Financial institutions Prices Securities
Title: Debt Limits and the Structure of Public Debt
Series: Working Paper No. 2017/117
Date: May 22, 2017
Subject: Asset and liability management Bonds Debt limits Exchange rates Financial institutions Fiscal policy Fiscal stance National accounts Public debt Return on investment
Title: New Zealand: Financial Sector Assessment Program: Technical Note-Fund Management-Regulation, Supervision, and Systemic Risk Monitoring
Series: Country Report No. 2017/117
Date: May 10, 2017
Subject: Asset and liability management Asset management Asset valuation Financial regulation and supervision Financial services Liquidity risk