IMF Publications by Subject
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Financial institutions:
2024
Title: New Evidence on the US Excess Return on Foreign Portfolios
Series: Working Paper No. 2024/241
Date: November 22, 2024
Subject: Bonds Financial institutions Securities
Title: Implementing Risk-Based Solvency for Insurers—Lessons from Kenya, Mexico, and South Africa
Series: Working Paper No. 2024/240
Date: November 22, 2024
Subject: Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial statements Insurance Insurance companies Public financial management (PFM) Risk-based supervision Solvency
Title: Implementing Board-Endorsed Recommendations From The 2024 External Evaluation Of The Fund’s Independent Evaluation Office (IEO)
Series: Policy Paper No. 2024/051
Date: November 7, 2024
Subject: Financial institutions Multilateral development institutions
Title: The Federal Democratic Republic of Ethiopia: First Review Under the Extended Credit Facility Arrangement, Request for Modification of Performance Criteria, and Financing Assurances Review-Press Release; Staff Report; and Statement by the Executive Director for The Federal Democratic Republic of Ethiopia
Series: Country Report No. 2024/318
Date: November 4, 2024
Subject: Commercial banks Currency markets Exchange rates External debt Financial institutions Financial markets Foreign exchange
Title: Grenada: Technical Assistance Report-Systemic Risk Monitoring
Series: Technical Assistance Report No. 2024/091
Date: November 1, 2024
Subject: Credit bureaus Credit risk Economic sectors Financial institutions Financial markets Financial regulation and supervision Financial Sector Financial sector policy and analysis Financial sector risk Financial sector stability Financial stability assessment Insurance companies Stress testing Systemic risk Systemic risk assessment
Title: India: Technical Assistance Report-Review and Evaluation of the Reserve Bank of India’s Stress Test Model Framework
Series: Technical Assistance Report No. 2024/093
Date: November 1, 2024
Subject: Commercial banks Credit Credit risk Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial sector stability Income Market risk Money National accounts Nonbank financial institutions Nonperforming loans Stocks Stress testing
Title: Inelastic Demand Meets Optimal Supply of Risky Sovereign Bonds
Series: Working Paper No. 2024/227
Date: November 1, 2024
Subject: Asset prices Bonds Debt default Demand elasticity Economic theory External debt Financial institutions Prices Sovereign bonds
Title: 2024 Review Of The Poverty Reduction And Growth Trust Facilities And Financing — Reform Proposals
Series: Policy Paper No. 2024/047
Date: October 21, 2024
Subject: Balance of payments Balance of payments need Credit Debt sustainability External debt Financial institutions Financial markets Financial services Income International capital markets Loans Money National accounts Poverty Poverty reduction strategy Public debt SDR interest rate
Title: Ukraine: Fifth Review Under the Extended Arrangement Under the Extended Fund Facility, Requests for Waivers of Applicability of Performance Criteria, Modification of Performance Criterion, Rephasing of Access, and Financing Assurances Review-Press Release; Staff Report; and Statement by the Executive Director for Ukraine
Series: Country Report No. 2024/314
Date: October 18, 2024
Subject: Budget planning and preparation Debt sustainability Exchange rates Expenditure External debt Financial institutions Financial sector policy and analysis Financial sector stability Fiscal risks Foreign exchange Loans Public debt Public financial management (PFM) Revenue administration
Title: Republic of Türkiye: 2024 Article IV Consultation-Press Release; Staff Report; and Statement by the Executive Director for the Republic of Türkiye
Series: Country Report No. 2024/312
Date: October 11, 2024
Subject: Anti-money laundering and combating the financing of terrorism (AML/CFT) Central bank policy rate Credit Crime Financial institutions Financial sector policy and analysis Financial sector stability Financial services Fiscal policy Fiscal stance Foreign exchange Inflation Loans Money Prices Public debt