Publications Search Results

July 25, 2016
 

The Search found 902 of 15249 documents sorted by Date with the following criteria:
Subject/Keyword: Risk

 
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1. Title: El Salvador : 2016 Article IV Consultation- Press Release; Staff Report; and Statement by the Executive Director for El Salvador
  Series: IMF Staff Country Reports
  Published: July 01, 2016
  Subject(s): Article IV consultation reports | Economic growth | Fiscal risk | Fiscal policy | Government expenditures | Wages | Banking sector | Economic indicators | Balance of payments statistics | Debt sustainability analysis | Staff Reports | Press releases | El Salvador
 
 
2. Title: The Withdrawal of Correspondent Banking Relationships : A Case for Policy Action
  Author/Editor: Michaela Erbenova ; Yan Liu ; Nadim Kyriakos-Saad ; Aledjandro Lopez Mejia ; Jose Giancarlo Gasha ; Emmanuel Mathias ; Mohamed Norat ; Francisca Fernando ; Yasmin Almeida
  Series: Staff Discussion Notes
  Published: June 30, 2016
  Subject(s): Cross-border banking | International banks | Payment systems | Anti-money laundering | Combating the financing of terrorism | Bank supervision | Bank regulations | Risk management
 
 
3. Title: Montenegro : Financial Sector Assessment Program-Banking Sector Stress Testing-Technical Note
  Series: IMF Staff Country Reports
  Published: June 28, 2016
  Subject(s): Financial Sector Assessment Program | Stress testing | Banking sector | Liquidity | Financial assets | Loans | Credit risk | Montenegro
 
 
4. Title: United Kingdom : Financial Sector Assessment Program-Bank Resolution and Crisis Management-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Banks | Financial crisis | Bank resolution | Deposit insurance | International cooperation | Crisis prevention | Risk management | United Kingdom
 
 
5. Title: United Kingdom : Financial Sector Assessment Program-Supervision and Systemic Risk Management of Financial Market Infrastructures-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Securities markets | Payment systems | Securities regulations | Capital markets | Risk management | International cooperation | United Kingdom
 
 
6. Title: United Kingdom : Financial Sector Assessment Program-Insurance Sector-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Insurance | Insurance supervision | Insurance regulations | Stress testing | Risk management | United Kingdom
 
 
7. Title: United Kingdom : Financial Sector Assessment Program-Review of the Bank of England’s Liquidity Provision Framework-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Central banks | Liquidity | Insurance | Monetary policy | Financial stability | Risk management | United Kingdom
 
 
8. Title: United Kingdom : Financial Sector Assessment Program-Macroprudential Institutional Framework-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Macroprudential Policy | Financial institutions | Nonbank financial sector | Monetary policy | Bank supervision | Financial stability | Risk management | United Kingdom
 
 
9. Title: United Kingdom : Financial Sector Assessment Program-Fund Management and Equity Trading Platforms: Regulation, Supervision, and Systemic Risk Monitoring-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Investment | Asset management | Stock markets | Securities regulations | Liquidity | Risk management | Transparency | United Kingdom
 
 
10. Title: United Kingdom : Financial Sector Assessment Program-Stress Testing the Banking Sector-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Stress testing | Banking sector | Credit risk | Liquidity | External shocks | Economic models | United Kingdom
 
 
11. Title: United Kingdom : Financial Sector Assessment Program-Systemic Risk and Interconnectedness Analysis-Technical Note
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial Sector Assessment Program | Financial systems | Banking sector | Insurance | Financial risk | Economic integration | United Kingdom
 
 
12. Title: United Kingdom : Financial Sector Assessment Program-Financial System Stability Assessment
  Series: IMF Staff Country Reports
  Published: June 17, 2016
  Subject(s): Financial system stability assessment | Financial sector | Financial risk | Spillovers | Macroprudential Policy | Banks | Liquidity | Stress testing | Risk management | Financial safety nets | Economic indicators | Basel Core Principles | Reports on the Observance of Standards and Codes | United Kingdom
 
 
13. Title: Colombia : Arrangement Under the Flexible Credit Line and Cancellation of Current Arrangement- Press Release; and Staff Report
  Series: IMF Staff Country Reports
  Published: June 15, 2016
  Subject(s): Flexible Credit Line | Economic conditions | Economic growth | Fiscal risk | Current account deficits | Extended arrangement cancellations | Extended arrangement requests | Economic indicators | Balance of payments statistics | Staff Reports | Press releases | Colombia
 
 
14. Title: Foreign Bank Subsidiaries’ Default Risk during the Global Crisis : What Factors Help Insulate Affiliates from their Parents?
  Author/Editor: Deniz Anginer ; Eugenio Cerutti ; Maria Soledad Martinez Peria
  Series: IMF Working Papers
  Published: June 08, 2016
  Subject(s): Foreign banks | Default | Financial risk | Cross-border banking | Bank regulations | Developing countries | Global Financial Crisis 2008-2009
 
 
15. Title: Strengthening the Framework for Post Program Monitoring
  Series: Policy Papers
  Published: June 07, 2016
  Subject(s): Post program monitoring | Members | Credit risk | General Resources Account | Poverty Reduction and Growth Trust | Risk management | Fund policies
 
16. Title: Algeria : Selected Issues
  Series: IMF Staff Country Reports
  Published: May 18, 2016
  Subject(s): Banking sector | Oil prices | Credit risk | Financial stability | Fiscal reforms | Subsidies | Economic models | Selected Issues Papers | Algeria
 
 
17. Title: Paraguay : Selected Issues
  Series: IMF Staff Country Reports
  Published: May 11, 2016
  Subject(s): Fiscal reforms | Fiscal policy | Credit expansion | Credit risk | Banking sector | Selected Issues Papers | Paraguay
 
 
18. Title: Analyzing and Managing Fiscal Risks - Best Practices
  Series: Policy Papers
  Published: May 04, 2016
  Subject(s): Fiscal risk | Risk management | Public debt | Bonds | Financial instruments | Stress testing | Fiscal policy | Fiscal analysis
 
 
19. Title: Global Financial Stability Report, April 2016 : Potent Policies for a Successful Normalization
  Series: Global Financial Stability Report
  Published: April 11, 2016
  Subject(s): Financial stability | Global Financial Stability Report | Global Financial Stability Reports | Global Financial Stability Risks | International financial stability | Macroprudential policies and financial stability
 
 
20. Title: Mitigating the Deadly Embrace in Financial Cycles : Countercyclical Buffers and Loan-to-Value Limits
  Author/Editor: Jaromir Benes ; Douglas Laxton ; Joannes Mongardini
  Series: IMF Working Papers
  Published: April 08, 2016
  Subject(s): Business cycles | Credit demand | Credit booms | Household credit | Housing prices | Mortgages | Systemic risk | Macroprudential Policy | Risk management
 
 

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