IMF Publications by Subject
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Risk management:
2011
Title: Managing Sovereign Debt and Debt Markets through a Crisis - Practical Insights and Policy Lessons
Series: Policy Papers
Date: April 18, 2011
Subject: Cross country analysis Debt management Developed countries Emerging markets Financial crisis Global Financial Crisis 2008-2009 Risk management Sovereign debt
Title: Strengthening the International Monetary System - Taking Stock and Looking Ahead
Series: Policy Papers
Date: March 23, 2011
Subject: Capital flows Central banks Financial stability International cooperation International monetary system Risk management
Title: Macroprudential Policy - An Organizing Framework
Series: Policy Papers
Date: March 14, 2011
Subject: Bilateral surveillance Exchange rate policy Exchange rate regimes Financial risk Financial stability Fiscal policy Fund role International financial system Monetary policy Multilateral surveillance Risk management
Title: Managing Volatility - A Vulnerability Exercise for Low-Income Countries
Series: Policy Papers
Date: March 10, 2011
Subject: Commodity price fluctuations Economic models External shocks Fiscal risk Low-income developing countries Risk management Spillovers
Title: Assessing Reserve Adequacy
Series: Policy Papers
Date: February 14, 2011
Subject: Emerging markets External shocks Low-income developing countries Reserve management policy Reserves Reserves adequacy Risk management
Title: 2011 Triennial Surveillance Review and Review of the 2007 Decision - Concept Note
Series: Policy Papers
Date: February 14, 2011
Subject: Bilateral surveillance Financial crisis Financial sector Fund role Global Financial Crisis 2008-2009 Multilateral surveillance Risk management
2010
Title: The IMF-FSB Early Warning Exercise - Design and Methodological Toolkit
Series: Policy Papers
Date: August 26, 2010
Subject: Asset prices Capital markets Corporate sector External sector Financial risk Fiscal risk Fund role International financial system Multilateral surveillance Risk management
Title: Review of the Adequacy of the Fund’s Precautionary Balances
Series: Policy Papers
Date: August 25, 2010
Subject: Credit risk Financial risk Fund financial position Fund reserves General Resources Account Precautionary Credit Line Reserves accumulation Risk management Transparency
Title: The Safeguards Policy - Independent Panel's Advisory Report
Series: Policy Papers
Date: July 6, 2010
Subject: External auditors Fund assets Global Financial Crisis 2008-2009 Governance Risk management Safeguards assessments policy Transparency Use of Fund resources
2009
Title: Mauritius - Assessment Letter for the World Bank and African Development Bank
Series: Policy Papers
Date: October 20, 2009
Subject: African Development Bank Assessment letters Economic growth External sector Fiscal policy Mauritius Monetary policy Public debt Risk management World Bank