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Publications Search Results
May 25, 2013
The Search found
686
of
10959
documents sorted by
Date
with the following criteria:
Subject/Keyword:
Risk
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1.
Title:
Belgium: Financial System Stability Assessment
Series:
Country Report No. 13/124
Published:
May 17, 2013
Subject(s):
Financial system stability assessment
|
Financial sector
|
Banks
|
Insurance
|
Stress testing
|
Risk management
|
Bank supervision
|
Basel Core Principles
|
Insurance supervision
|
Corporate sector
|
Anti-money laundering
|
Combating the financing of terrorism
|
Reports on the Observance of Standards and Codes
|
Belgium
2.
Title:
"Near-Coincident" Indicators of Systemic Stress
Author/Editor:
Arsov, Ivailo ; Canetti, Elie ; Kodres, Laura ; Mitra, Srobona
Series:
Working Paper No. 13/115
Published:
May 17, 2013
Subject(s):
International financial system
|
Financial institutions
|
Financial risk
|
Risk management
3.
Title:
Creating a Safer Financial System: Will the Volcker, Vickers, and Liikanen Structural Measures Help?
Author/Editor:
Vinãls, José ; Pazarbasioglu, Ceyla ; Surti, Jay ; Narain, Aditya ; Erbenova, Michaela ; Chow, Julian
Series:
Staff Discussion Notes No. 13/4
Published:
May 14, 2013
Subject(s):
Banking sector
|
Bank resolution
|
Bank supervision
|
Bank reforms
|
Risk management
|
International financial system
4.
Title:
Survey of Reserve Managers: Lessons from the Crisis
Author/Editor:
Morahan, Aideen ; Mulder, Christian
Series:
Working Paper No. 13/99
Published:
May 08, 2013
Subject(s):
Central banks
|
Reserves
|
Risk management
|
Asset management
5.
Title:
Staff Guidance Note for Public Debt Sustainability Analysis in Market-Access Countries
Series:
Policy Papers
Published:
May 06, 2013
Subject(s):
Debt sustainability analysis | Public debt | Debt burden | Fiscal risk | Debt management | Developed countries | Emerging markets
6.
Title:
International Evidence on Government Support and Risk Taking in the Banking Sector
Author/Editor:
Marques, LuÃs ; Correa, Ricardo ; Sapriza, Horacio
Series:
Working Paper No. 13/94
Published:
May 02, 2013
Subject(s):
Banking sector
|
Bank supervision
|
Bank regulations
|
Risk management
7.
Title:
The Bahamas: Financial Sector Stability Assessment
Series:
Country Report No. 13/101
Published:
April 11, 2013
Subject(s):
Financial sector
|
Banks
|
Bank supervision
|
Basel Core Principles
|
Financial safety nets
|
Deposit insurance
|
Risk management
|
Insurance
|
Capital markets
|
Pension funds
|
Payment systems
|
Financial system stability assessment
|
Bahamas, The
8.
Title:
How Effective are Macroprudential Policies in China?
Author/Editor:
Wang, Bin ; Sun, Tao
Series:
Working Paper No. 13/75
Published:
March 27, 2013
Subject(s):
Macroprudential Policy
|
China
|
Financial risk
|
Banking sector
9.
Title:
European Union: Financial Sector Stability Assessment
Series:
Country Report No. 13/75
Published:
March 15, 2013
Subject(s):
Financial system stability assessment
|
European Union
|
Financial sector
|
Banks
|
Financial institutions
|
Bank supervision
|
Bank resolution
|
Deposit insurance
|
Monetary policy
|
Insurance supervision
|
Risk management
|
European Economic and Monetary Union
|
Europe
10.
Title:
A Framework for Macroprudential Bank Solvency Stress Testing: Application to S-25 and Other G-20 Country FSAPs
Author/Editor:
Jobst, Andreas A. ; Ong, Li ; Schmieder, Christian
Series:
Working Paper No. 13/68
Published:
March 13, 2013
Subject(s):
Banking sector
|
Stress testing
|
Financial systems
|
Group of Twenty
|
Economic models
|
Risk management
|
Financial Sector Assessment Program
11.
Title:
Bangladesh: First Review Under the Three-Year Arrangement Under the Extended Credit Facility and Request for Waiver of Nonobservance of a Performance Criterion—Staff Report, Staff Statements and Supplement; Press Release on the Executive Board Discussion; and Statement by the Executive Director for Bangladesh
Series:
Country Report No. 13/61
Published:
March 11, 2013
Subject(s):
Extended Credit Facility
|
Performance criteria waivers
|
Staff Reports
|
Press releases
|
Economic reforms
|
Economic stabilization
|
Fiscal policy
|
Debt management
|
Monetary policy
|
Exchange rate policy
|
Investment policy
|
Economic indicators
|
Risk management
|
Economic growth
|
External shocks
|
Financial soundness indicators
|
Bangladesh
12.
Title:
Rating Through-the-Cycle: What does the Concept Imply for Rating Stability and Accuracy?
Author/Editor:
Kiff, John ; Kisser, Michael ; Schumacher, Liliana
Series:
Working Paper No. 13/64
Published:
March 08, 2013
Subject(s):
Credit risk
|
Business cycles
|
Forecasting models
13.
Title:
Rules, Discretion, and Macro-Prudential Policy
Author/Editor:
Agur, Itai ; Sharma, Sunil
Series:
Working Paper No. 13/65
Published:
March 08, 2013
Subject(s):
Macroprudential Policy
|
Monetary policy
|
Political economy
|
Financial systems
|
Financial risk
14.
Title:
Malaysia: 2012 Article IV Consultation
Series:
Country Report No. 13/51
Published:
February 28, 2013
Subject(s):
Article IV consultation reports
|
Economic growth
|
External shocks
|
Capital flows
|
Fiscal risk
|
Public debt
|
Fiscal policy
|
Fiscal reforms
|
Monetary policy
|
Financial sector
|
Economic indicators
|
Public information notices
|
Staff Reports
|
Malaysia
15.
Title:
Malaysia: Financial Sector Stability Assessment
Series:
Country Report No. 13/52
Published:
February 28, 2013
Subject(s):
Financial sector
|
Banks
|
Islamic banking
|
Financial institutions
|
Bank supervision
|
Bank resolution
|
Liquidity management
|
Deposit insurance
|
Risk management
|
Anti-money laundering
|
Combating the financing of terrorism
|
Financial system stability assessment
|
Malaysia
16.
Title:
Systemic Contingent Claims Analysis – Estimating Market-Implied Systemic Risk
Author/Editor:
Jobst, Andreas A. ; Gray, Dale
Series:
Working Paper No. 13/54
Published:
February 27, 2013
Subject(s):
Financial sector
|
Financial institutions
|
Banks
|
Risk management
17.
Title:
Colombia: Financial System Stability Assessment
Series:
Country Report No. 13/50
Published:
February 22, 2013
Subject(s):
Financial system stability assessment
|
Financial sector
|
Banks
|
Bank supervision
|
Basel Core Principles
|
Stress testing
|
Liquidity management
|
Bank resolution
|
Insurance supervision
|
Capital markets
|
Pensions
|
Financial stability
|
Risk management
|
Colombia
18.
Title:
Revised Guidelines for Foreign Exchange Reserve Management
Series:
Policy Papers
Published:
February 01, 2013
Subject(s):
Foreign exchange | Reserve management policy | Transparency | Risk management | Financial stability | Executive Board decisions | Lapse of time approval
19.
Title:
Republic of Poland: Arrangement Under the Flexible Credit Line and Cancellation of the Current Arrangement—Staff Report; Staff Supplement; Press Release on the Executive Board Discussion; and Statement by the Executive Director
Series:
Country Report No. 13/21
Published:
January 24, 2013
Subject(s):
Flexible Credit Line
|
Balance of payments need
|
Fiscal risk
|
Fiscal policy
|
Monetary policy
|
Banking sector
|
Economic indicators
|
Extended arrangement cancellations
|
Staff Reports
|
Press releases
|
Poland
20.
Title:
Inflation Targeting and Country Risk: an Empirical Investigation
Author/Editor:
Fouejieu, Armand ; Roger, Scott
Series:
Working Paper No. 13/21
Published:
January 23, 2013
Subject(s):
Inflation targeting
|
Risk premium
|
Monetary policy
|
Economic models
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