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Publications Search Results
May 23, 2013
The Search found
61
of
10952
documents sorted by
Date
with the following criteria:
Subject/Keyword:
Financial crises
Results:
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1.
Title:
Macro-prudential Policy in a Fisherian Model of Financial Innovation
Author/Editor:
Bianchi, Javier ; Boz, Emine ; Mendoza, Enrique G.
Series:
Working Paper No. 12/181
Published:
July 01, 2012
Subject(s):
Economic models
|
Financial crisis
|
Macroprudential policy
Author's Keyword(s):
Financial crises
|
financial innovation
|
macro-prudential regulation
|
Bayesian learning
2.
Title:
Crises, Labor Market Policy, and Unemployment
Author/Editor:
Bernal-Verdugo, Lorenzo E. ; Furceri, Davide ; Guillaume, Dominique M.
Series:
Working Paper No. 12/65
Published:
March 01, 2012
Subject(s):
Cross country analysis
|
Financial crisis
|
Labor market policy
|
Unemployment
Author's Keyword(s):
Labor market
|
flexibility
|
unemployment
|
reforms
|
financial crises
3.
Title:
Labor Market Flexibility and Unemployment: New Empirical Evidence of Static and Dynamic Effects
Author/Editor:
Bernal-Verdugo, Lorenzo E. ; Furceri, Davide ; Guillaume, Dominique M.
Series:
Working Paper No. 12/64
Published:
March 01, 2012
Subject(s):
Cross country analysis
|
Labor markets
|
OECD
|
Unemployment
Author's Keyword(s):
Labor market
|
flexibility
|
unemployment
|
reforms
|
financial crises
4.
Title:
An Assessment of Malaysian Monetary Policy during the Global Financial Crisis of 2008-09
Author/Editor:
Alp, Harun ; Elekdag, Selim ; Lall, Subir
Series:
Working Paper No. 12/35
Published:
January 01, 2012
Subject(s):
Economic models
|
Exchange rate depreciation
|
Exchange rate regimes
|
Financial crisis
|
Flexible exchange rates
|
Global Financial Crisis 2008-2009
|
Interest rate reductions
|
Monetary policy
|
Malaysia
Author's Keyword(s):
Financial accelerator
|
Bayesian estimation
|
DSGE model
|
financial crises
|
sudden stops
|
monetary policy
|
Malaysia
|
emerging markets.
5.
Title:
Did Korean Monetary Policy Help Soften the Impact of the Global Financial Crisis of 2008–09?
Author/Editor:
Alp, Harun ; Elekdag, Selim ; Lall, Subir
Series:
Working Paper No. 12/5
Published:
January 01, 2012
Subject(s):
Economic growth
|
Economic indicators
|
Economic models
|
Economic recession
|
Exchange rate regimes
|
Financial crisis
|
Fiscal policy
|
Flexible exchange rate policy
|
Global Financial Crisis 2008-2009
|
Inflation targeting
|
Korea, Republic of
|
Monetary policy
|
Monetary transmission mechanism
Author's Keyword(s):
Financial accelerator
|
Bayesian estimation
|
DSGE model
|
financial crises
|
sudden stops
|
monetary policy
|
Korea
|
emerging economies
|
emerging markets.
6.
Title:
The New Economics of Capital Controls Imposed for Prudential Reasons*
Author/Editor:
Korinek, Anton
Series:
Working Paper No. 11/298
Published:
December 01, 2011
Subject(s):
Asset prices
|
Capital controls
|
Economic models
|
Exchange rate depreciation
|
Financial crisis
|
Price adjustments
Author's Keyword(s):
financial crises
|
balance sheet effects
|
pecuniary externalities
|
capital controls
7.
Title:
Rapid Credit Growth: Boon or Boom-Bust?
Author/Editor:
Elekdag, Selim ; Wu, Yiqun
Series:
Working Paper No. 11/241
Published:
October 01, 2011
Subject(s):
Asia
|
Credit expansion
|
Monetary policy
|
Liquidity
|
Capital inflows
|
Financial crisis
|
Interest rates
|
Bank soundness
|
Corporate sector
|
International liquidity
Author's Keyword(s):
credit
|
credit booms
|
boom-bust cycles
|
financial crises
|
emerging Asia
8.
Title:
The Role of Monetary Policy in Turkey during the Global Financial Crisis
Author/Editor:
Alp, Harun ; Elekdag, Selim
Series:
Working Paper No. 11/150
Published:
June 01, 2011
Subject(s):
Central bank policy
|
Economic indicators
|
Economic recession
|
Financial crisis
|
Flexible exchange rate policy
|
Global Financial Crisis 2008-2009
|
Inflation targeting
|
Interest rate reductions
|
Monetary policy
|
Turkey
Author's Keyword(s):
financial accelerator
|
Bayesian estimation
|
DSGE models
|
financial crises
|
sudden stops
|
monetary policy
|
Turkey
|
emerging economies
|
emerging markets
9.
Title:
The Too-Important-to-Fail Conundrum: Impossible to Ignore and Difficult to Resolve
Author/Editor:
Ötker, Inci ; Narain, Aditya ; Ilyina, Anna ; Surti, Jay
Series:
Staff Discussion Notes No. 11/12
Published:
May 27, 2011
Subject(s):
Financial institutions
|
Financial systems
|
International financial system
|
Banking sector
|
Nonbank financial sector
|
Moral hazard
|
Financial stability
|
Risk management
Author's Keyword(s):
Financial crises
|
financial stability
|
too big to fail
|
too important to fail
|
moral hazard
|
resolution
|
financial regulation
|
bank capital
|
contingent capital
|
bail-in
|
supervision
10.
Title:
How Do Business and Financial Cycles Interact?
Author/Editor:
Claessens, Stijn ; Kose, M. Ayhan ; Terrones, Marco
Series:
Working Paper No. 11/88
Published:
April 01, 2011
Subject(s):
Business cycles
|
Economic models
|
Economic recession
|
Economic recovery
|
Financial sector
|
Fiscal policy
|
Monetary policy
Author's Keyword(s):
Credit crunches
|
asset busts
|
booms
|
recessions
|
recoveries
|
financial crises.
11.
Title:
A network analysis of global banking:1978-2009
Author/Editor:
Minoiu, Camelia ; Reyes, Javier A.
Series:
Working Paper No. 11/74
Published:
April 01, 2011
Subject(s):
Banking crisis
|
Capital flows
|
Cross country analysis
|
Emerging markets
|
Financial crisis
|
International banking
Author's Keyword(s):
cross-border bank lending
|
network analysis
|
interconnectedness
|
financial crises
|
systemic risk
12.
Title:
Crisis Management and Resolution: Early Lessons from the Financial Crisis
Author/Editor:
Pazarbasioglu, Ceyla ; Laeven, Luc ; Nedelescu, Oana ; Claessens, Stijn ; Valencia, Fabian ; Dobler, Marc ; Seal, Katharine
Series:
Staff Discussion Notes No. 11/5
Published:
March 09, 2011
Subject(s):
Moral hazard
|
Burden sharing
|
Financial stability
|
Bank resolution
|
Banks
|
Economic conditions
|
Financial institutions
|
Nonbank financial sector
|
Risk management
Author's Keyword(s):
Financial crises
|
crisis management
|
resolution
|
moral hazard
|
too big to fail
|
stress tests
|
asset restructuring
|
burden sharing
|
financial stability
13.
Title:
Overborrowing, Financial Crises and ‘Macro-prudential’ Policy?
Author/Editor:
Bianchi, Javier ; Mendoza, Enrique G.
Series:
Working Paper No. 11/24
Published:
February 01, 2011
Subject(s):
Borrowing
|
Business cycles
|
Credit
|
Economic models
|
Financial crisis
|
Global Financial Crisis 2008-2009
Author's Keyword(s):
Financial crises
|
amplification effects
|
business cycles
|
fire-sales
14.
Title:
How Does Trade Evolve in the Aftermath of Financial Crises?
Author/Editor:
Abiad, Abdul ; Mishra, Prachi ; Topalova, Petia
Series:
Working Paper No. 11/3
Published:
January 01, 2011
Subject(s):
Bilateral trade
|
Cross country analysis
|
Economic models
|
Financial crisis
|
Imports
|
Time series
Author's Keyword(s):
trade
|
financial crises
15.
Title:
Inequality, Leverage and Crises
Author/Editor:
Kumhof, Michael ; Ranciere, Romain
Series:
Working Paper No. 10/268
Published:
November 01, 2010
Subject(s):
Borrowing
|
Consumption
|
Debt
|
Economic models
|
Financial crisis
|
Financial risk
|
Financial sector
|
Household credit
|
Income distribution
|
Private sector
|
United States
Author's Keyword(s):
Income inequality
|
consumption inequality
|
income distribution
|
distributional conflict
|
leverage
|
financial crises
|
default risk
|
global solution methods.
16.
Title:
A New Index of Currency Mismatch and Systemic Risk
Author/Editor:
Ranciere, Romain ; Tornell, Aaron ; Vamvakidis, Athanasios
Series:
Working Paper No. 10/263
Published:
November 01, 2010
Subject(s):
Banking sector
|
Cross country analysis
|
Currencies
|
Economic models
|
Emerging markets
|
Europe
|
External borrowing
|
Financial crisis
|
Fiscal risk
|
Loans
|
Sovereign debt
|
Time series
Author's Keyword(s):
Currency Mismatch
|
Emerging Economies
|
Systemic Risk
|
Financial Crises.
17.
Title:
Procyclicality in Central Bank Reserve Management: Evidence from the Crisis
Author/Editor:
Pihlman, Jukka ; van der Hoorn, Han
Series:
Working Paper No. 10/150
Published:
June 01, 2010
Author's Keyword(s):
Central banks
|
financial crises
|
financial stability
|
reserve management
|
risk management.
18.
Title:
Can You Map Global Financial Stability?
Author/Editor:
Dattels, Peter ; McCaughrin, Rebecca ; Miyajima, Ken ; Puig, Jaume
Series:
Working Paper No. 10/145
Published:
June 01, 2010
Subject(s):
Enhanced surveillance
|
Financial stability
|
Global financial stability report
|
Financial risk
|
Credit risk
Author's Keyword(s):
Early-warning indicator
|
financial crises
|
financial stability
19.
Title:
Crisis Management and Resolution for a European Banking System
Author/Editor:
Fonteyne, Wim ; Bossu, Wouter ; Cortavarria, Luis ; Giustiniani, Alessandro ; Gullo, Alessandro ; Hardy, Daniel C. L. ; Kerr, Sean
Series:
Working Paper No. 10/70
Published:
March 01, 2010
Subject(s):
Bank reforms
|
Bank resolution
|
Bank supervision
|
Banking crisis
|
Banking systems
|
Economic integration
|
European Monetary System
|
Financial crisis
|
Financial stability
|
Global Financial Crisis 2008-2009
|
Risk management
Author's Keyword(s):
Banking
|
financial stability
|
financial integration
|
financial crises
|
bank supervision
|
crisis management
|
crisis resolution
|
insolvency
|
European Union
20.
Title:
Credit Conditions and Recoveries from Recessions Associated with Financial Crises
Author/Editor:
Kannan, Prakash
Series:
Working Paper No. 10/83
Published:
March 01, 2010
Subject(s):
Bank credit
|
Banking crisis
|
Business cycles
|
Credit
|
Developed countries
|
Economic models
|
Economic recession
|
Economic recovery
|
External financing
|
Financial crisis
|
Industrial sector
|
Production growth
Author's Keyword(s):
Recoveries
|
Financial Crises
|
External Finance
Results:
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