IMF Publications by Subject
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Credit risk:
1999
Title: Determinants of Ex-Ante Banking System Distress: A Macro-Micro Empirical Exploration of Some Recent Episodes
Series: Working Paper No. 1999/033
Date: March 1, 1999
Subject: Banking Commercial banks Credit risk Distressed institutions Financial institutions Financial regulation and supervision Loans Nonperforming loans
Title: World Economic Outlook and International Capital Markets Interim Assessment, 1998
Series: World Economic and Financial Surveys No. 1998/015
Date: January 29, 1999
Notes: This title ceased publication in August 2001. Both the Report and the Emerging Market Financing quarterly (published 2000-2001) have been replaced by a new quarterly, The Global Financial Stability Report. The new report was created to provide timely and comprehensive coverage of both mature and emerging financial markets as part of the IMF's stepped up tracking of financial markets.
Subject: Credit risk Emerging and frontier financial markets Exports Financial institutions Financial markets Financial regulation and supervision Hedge funds Market risk Stock markets
1996
Title: A Credit Crunch? a Case Study of Finland in the Aftermath of the Banking Crisis
Series: Working Paper No. 1996/135
Date: December 1, 1996
Notes: Also published in Staff Papers, Vol. 44, No. 3, September 1997.
Subject: Bank credit Banking Banking crises Credit Credit risk Financial crises Financial institutions Financial regulation and supervision Loans Money
1995
Title: Spain: Unemployment, Debt Management, and Interest Rate Differentials
Series: Working Paper No. 1995/107
Date: November 1, 1995
Subject: Credit risk Currencies Financial regulation and supervision Government debt management Labor Money Public debt Public financial management (PFM) Unemployment rate
1993
Title: Testing the Credibility of Belgium's Exchange Rate Policy
Series: Working Paper No. 1993/076
Date: October 1, 1993
Notes: Also published in Staff Papers, Vol. 41, No. 2, June 1994.
Subject: Credit risk Exchange rates Financial regulation and supervision Financial services Foreign exchange Inflation Interest rate corridor Long term interest rates Monetary policy Prices
1992
Title: Managing Payment System Risk During the Transition From a Centrally Planned to a Market Economy
Series: Working Paper No. 1992/095
Date: November 1, 1992
Subject: Banking Commercial banks Credit Credit risk Economic sectors Financial institutions Financial markets Financial regulation and supervision Financial sector Money Payment systems