Publications Search Results

March 31, 2015
 

The Search found 817 of 14228 documents sorted by Date with the following criteria:
Subject/Keyword: Risk

 
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1. Title: Indonesia: Selected Issues
  Series: Country Report No. 15/75
  Published: March 19, 2015
  Subject(s): Commodity markets | Corporate sector | Banking sector | Liquidity | Fiscal risk | Fiscal policy | Debt sustainability | Risk management | Selected Issues Papers | Indonesia
 
 
2. Title: Finland: Fiscal Transparency Evaluation
  Series: Country Report No. 15/60
  Published: March 11, 2015
  Subject(s): Fiscal transparency | Fiscal risk | Risk management | Budgeting | Budgets | Economic forecasting | Reports on the Observance of Standards and Codes | Finland
 
 
3. Title: Romania: Fiscal Transparency Evaluation
  Series: Country Report No. 15/67
  Published: March 11, 2015
  Subject(s): Fiscal transparency | Fiscal risk | Risk management | Budgeting | Budgets | Economic forecasting | Reports on the Observance of Standards and Codes | Romania
 
 
4. Title: South Africa: Financial Sector Assessment Program-Stress Testing the Financial System-Technical Note
  Series: Country Report No. 15/54
  Published: March 03, 2015
  Subject(s): Financial Sector Assessment Program | Banking sector | Insurance | Liquidity | Financial risk | Stress testing | South Africa
 
 
5. Title: South Africa: Financial Sector Assessment Program-Financial Safety Net, Bank Resolution, and Crisis Management Framework-Technical Note
  Series: Country Report No. 15/53
  Published: March 03, 2015
  Subject(s): Financial Sector Assessment Program | Financial sector | Financial safety nets | Financial risk | Bank resolution | Bank supervision | Intervention | Deposit insurance | Crisis prevention | Risk management | South Africa
 
 
6. Title: Malaysia: Selected Issues Paper
  Series: Country Report No. 15/59
  Published: March 03, 2015
  Subject(s): Energy sector | Economic growth | Oil prices | Natural gas | Fiscal risk | Debt sustainability | Fiscal reforms | Subsidies | Risk management | Cross country analysis | Economic models | Selected Issues Papers | Malaysia
 
 
7. Title: Interconnectedness, Systemic Crises and Recessions
  Author/Editor: Marco A Espinosa-Vega ; Steven Russell
  Series: Working Paper No. 15/46
  Published: February 27, 2015
  Subject(s): Interconnectedness | Banks | Financial crises | Economic recession | Systemic risk assessment | Equilibrium. Econometric models
 
 
8. Title: Central and Commercial Bank Balance Sheet Risk Before, During, and After the Global Financial Crisis
  Author/Editor: Joseph Crowley
  Series: Working Paper No. 15/47
  Published: February 27, 2015
  Subject(s): Central banks | Commercial banks | Financial assets | Financial risk | Balance sheets | Global Financial Crisis 2008-2009
 
 
9. Title: Mozambique: Fiscal Transparency Evaluation
  Series: Country Report No. 15/32
  Published: February 05, 2015
  Subject(s): Fiscal transparency | Fiscal risk | Budgets | Budgeting | Economic forecasting | Reports on the Observance of Standards and Codes | Mozambique
 
 
10. 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
  Published: January 22, 2015
  Subject(s): Corporate finance | Latin America | Corporate debt | Bonds | International capital markets | Bond issues | Financial risk | Balance sheets
 
 
11. Title: Revisiting the Concept of Dollarization: The Global Financial Crisis and Dollarization in Low-Income Countries
  Author/Editor: Nkunde Mwase ; Francis Y. Kumah
  Series: Working Paper No. 15/12
  Published: January 22, 2015
  Subject(s): Dollarization | Low-income developing countries | Global Financial Crisis 2008-2009 | Exchange rate appreciation | Sovereign risk | Econometric models
 
 
12. Title: Republic of Korea: Financial Sector Assessment Program-Crisis Preparedness and Crisis Management Framework-Technical Note
  Series: Country Report No. 15/5
  Published: January 09, 2015
  Subject(s): Financial Sector Assessment Program | Financial sector | Financial risk | Crisis prevention | Bank supervision | Bank resolution | Financial safety nets | Deposit insurance | Risk management | Korea, Republic of
 
 
13. Title: Georgia: Financial Sector Assessment Program-Stress Testing the Banking Sector-Technical Note
  Series: Country Report No. 15/7
  Published: January 08, 2015
  Subject(s): Financial Sector Assessment Program | Banking sector | Liquidity | Credit risk | Stress testing | Economic models | Statistical annexes | Georgia
 
 
14. Title: Market Signals and the Cost of Credit Risk Protection: An Analysis of CDS Settlement Auctions
  Author/Editor: L. Zanforlin ; Nobuyuki Kanazawa
  Series: Working Paper No. 14/239
  Published: December 24, 2014
  Subject(s): Credit default swap | Financial markets | Credit risk | Bonds | Auctions
 
 
15. Title: Centrality-based Capital Allocations
  Author/Editor: Adrian Alter ; Ben Craig ; Peter Raupach
  Series: Working Paper No. 14/237
  Published: December 24, 2014
  Subject(s): Banking systems | Interconnectedness | Capital requirements | Credit risk | Systemic risk | Financial contagion | Econometric models
 
 
16. Title: A Simple Macroprudential Liquidity Buffer
  Author/Editor: Daniel C. Hardy ; Philipp Hochreiter
  Series: Working Paper No. 14/235
  Published: December 22, 2014
  Subject(s): Banking sector | Liquidity | Bank financing | Systemic risk | Banking crisis | Macroprudential policies and financial stability | Crisis management
 
 
17. Title: From Banking to Sovereign Stress - Implications For Public Debt
  Series: Policy Papers
  Published: December 22, 2014
  Subject(s): Banking sector | Sovereign debt | Public debt | Fiscal risk | Fiscal policy | Debt sustainability | Risk management
 
18. Title: Corporate Vulnerabilities in India and Banks' Loan Performance
  Author/Editor: Peter Lindner ; Sung Eun Jung
  Series: Working Paper No. 14/232
  Published: December 19, 2014
  Subject(s): Corporate sector | India | External shocks | Banking sector | Loans | Credit risk
 
 
19. Title: Denmark: Crisis Management, Bank Resolution, and Financial Sector Safety Nets - Technical Note
  Series: Country Report No. 14/351
  Published: December 18, 2014
  Subject(s): Financial Sector Assessment Program | Banking sector | Bank supervision | Bank resolution | Financial safety nets | Risk management | Denmark
 
 
20. Title: Denmark: Stress Testing the Banking, Insurance, and Pension Sectors - Technical Note
  Series: Country Report No. 14/348
  Published: December 18, 2014
  Subject(s): Financial Sector Assessment Program | Stress testing | Banking sector | Liquidity | Insurance | Pensions | Risk management | Denmark
 
 

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