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IMF Working Papers by
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Title:
External Finance, Sudden Stops, and Financial Crisis : What is Different This Time?
Author/Editor:
F. Gulcin Ozkan ; D. Filiz Unsal
Series:
Working Paper No. 10/158
Date:
July 01, 2010
Subject(s):
Financial crisis
|
External financing
|
Emerging markets
|
Trade integration
|
Economic integration
|
Capital flows
|
Economic models
Title:
Global Financial Crisis, Financial Contagion, and Emerging Markets
Author/Editor:
F. Gulcin Ozkan ; D. Filiz Unsal
Series:
Working Paper No. 12/293
Date:
December 13, 2012
Subject(s):
Global Financial Crisis 2008-2009
|
Emerging markets
|
Trade integration
|
Economic integration
|
External shocks
|
Spillovers
|
Economic models
Title:
On the use of Monetary and Macroprudential Policies for Small Open Economies
Author/Editor:
F. Gulcin Ozkan ; D. Filiz Unsal
Series:
Working Paper No. 14/112
Date:
June 24, 2014
Subject(s):
Macroprudential Policy
|
Monetary policy
|
Small open economies
|
Emerging markets
|
Entrepreneurship
|
External borrowing
|
Financial stability
|
Econometric models
Title:
Tests of German Resilience
Author/Editor:
Fabian Bornhorst ; Ashoka Mody
Series:
Working Paper No. 12/239
Date:
October 02, 2012
Subject(s):
Economic growth
|
Germany
|
Exports
|
Export competitiveness
|
Labor markets
|
Economic recession
|
Economic recovery
|
Spillovers
Title:
Asia’s Stock Markets: Are There Crouching Tigers and Hidden Dragons?
Author/Editor:
Fabian Lipinsky ; Li Lian Ong
Series:
Working Paper No. 14/37
Date:
February 26, 2014
Subject(s):
Stock markets
|
Asia
|
Stock prices
|
Foreign investment
|
Securities regulations
|
Pricing policy
|
Developed countries
|
Emerging markets
|
Cross country analysis
|
Economic models
Title:
Monetary Policy, Bank Leverage, and Financial Stability
Author/Editor:
Fabian Valencia
Series:
Working Paper No. 11/244
Date:
October 01, 2011
Subject(s):
Bank rates
|
Bank supervision
|
Credit risk
|
Financial stability
|
Interest rates on loans
|
Profits
Author's Keyword(s):
Financial Stability
|
Bank Leverage
|
Monetary Policy
|
Macroprudential regulation
Title:
Aggregate Uncertainty and the Supply of Credit
Author/Editor:
Fabian Valencia
Series:
Working Paper No. 13/241
Date:
December 02, 2013
Subject(s):
External shocks
|
United States
|
Commercial banks
|
Bank credit
|
Supply
|
Business cycles
|
Monetary policy
|
Economic models
Title:
Central Bank Independence and Macro-Prudential Regulation
Author/Editor:
Fabian Valencia ; Kenichi Ueda
Series:
Working Paper No. 12/101
Date:
April 01, 2012
Subject(s):
Central bank autonomy
|
Economic models
Author's Keyword(s):
Monetary Policy
|
Macro-prudential Regulation
|
Central Bank Independence
|
Time-inconsistency
Title:
The Real Effects of Financial Sector Interventions During Crises
Author/Editor:
Fabian Valencia ; Luc Laeven
Series:
Working Paper No. 11/45
Date:
March 01, 2011
Subject(s):
Banking crisis
|
Banking sector
|
Capital
|
Credit
|
External shocks
|
Financial sector
|
Liquidity management
Author's Keyword(s):
Banking crisis
|
Government intervention
|
Stabilization policies
|
Crisis resolution
Title:
Systemic Banking Crises Database: An Update
Author/Editor:
Fabian Valencia ; Luc Laeven
Series:
Working Paper No. 12/163
Date:
June 01, 2012
Subject(s):
Bank restructuring
|
Banking crisis
|
Databases
|
Deposit insurance
|
Developed countries
|
Emerging markets
|
Financial crisis
|
Sovereign debt
Author's Keyword(s):
Banking crisis
|
financial crisis
|
bank restructuring
|
crisis resolution
|
fiscal costs
Title:
Corporate Financing Trends and Balance Sheet Risks in Latin America
Author/Editor:
Fabiano Rodrigues Bastos ; Herman Kamil ; Bennett Sutton
Series:
Working Paper No. 15/10
Date:
January 22, 2015
Subject(s):
Corporate finance
|
Latin America
|
Corporate debt
|
Bonds
|
International capital markets
|
Bond issues
|
Financial risk
|
Balance sheets
Title:
Banks, Firms, and Jobs
Author/Editor:
Fabio Berton,Sauro Mocetti,Andrea Presbitero,Matteo Richiardi
Series:
Working Paper No. 17/38
Date:
February 14, 2017
Title:
Emerging Market Sovereign Bond Spreads : Estimation and Back-testing
Author/Editor:
Fabio Comelli
Series:
Working Paper No. 12/212
Date:
August 01, 2012
Subject(s):
Bonds
|
Economic models
|
Emerging markets
|
Sovereign debt
Author's Keyword(s):
Emerging economies
|
sovereign bond yield spreads
|
in-sample forecasts.
Title:
Comparing Parametric and Non-parametric Early Warning Systems for Currency Crises in Emerging Market Economies
Author/Editor:
Fabio Comelli
Series:
Working Paper No. 13/134
Date:
May 30, 2013
Subject(s):
Currencies
|
Exchange rate depreciation
|
Foreign exchange reserves
|
External debt
|
Financial crisis
|
Emerging markets
|
Economic models
Title:
Comparing the Performance of Logit and Probit Early Warning Systems for Currency Crises in Emerging Market Economies
Author/Editor:
Fabio Comelli
Series:
Working Paper No. 14/65
Date:
April 17, 2014
Subject(s):
Exchange markets
|
Foreign exchange reserves
|
Financial crisis
|
Emerging markets
|
Time series
|
Cross country analysis
Title:
Estimation and out-of-sample Prediction of Sudden Stops : Do Regions of Emerging Markets Behave Differently from Each Other?
Author/Editor:
Fabio Comelli
Series:
Working Paper No. 15/138
Date:
June 25, 2015
Subject(s):
Capital flows
|
Cross country analysis
|
Emerging markets
|
International finance
|
Parameter estimation
|
Regional economics
|
Sensitivity analysis
|
Sudden stops
Title:
A Comprehensive Multi-Sector Tool for Analysis of Systemic Risk and Interconnectedness (SyRIN)
Author/Editor:
Fabio Cortes,Peter Lindner,Sheheryar Malik,Miguel A. Segoviano Basurto
Series:
Working Paper No. 18/14
Date:
January 24, 2018
Title:
On Bank Consolidation in a Currency Union
Author/Editor:
Fabio Di Vittorio,Delong Li,Hanlei Yun
Series:
Working Paper No. 18/92
Date:
April 24, 2018
Title:
The Impact of Economic Security on Bank Deposits and Investment
Author/Editor:
Fabricius, Michael
Series:
Working Paper No. 98/98
Date:
July 01, 1998
Subject(s):
Investment
|
Banking
Title:
Domestic, Foreign or Common Shocks?
Author/Editor:
Fabrizio, Stefania ; Lopez, J. Humberto
Series:
Working Paper No. 96/107
Date:
September 01, 1996
Subject(s):
Business cycles
|
Germany
|
Japan
|
United States
|
Economic models