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Publications Search Results
May 19, 2013
The Search found
370
of
10933
documents sorted by
Date
with the following criteria:
Subject/Keyword:
capital markets
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1.
Title:
The Impact of Debt Sustainability and the Level of Debt on Emerging Markets Spreads
Author/Editor:
Belhocine, Nazim ; Dell'Erba, Salvatore
Series:
Working Paper No. 13/93
Published:
May 01, 2013
Subject(s):
Debt sustainability
|
Public debt
|
Capital markets
|
Emerging markets
|
Economic models
2.
Title:
Summary of Informal Discussions with Central Bankers and Other Officials on Unconventional Monetary Policies
Series:
Policy Papers
Published:
April 29, 2013
Subject(s):
Monetary policy | Developed countries | Emerging markets | Central banks | Bonds | Capital markets | Capital flows | Spillovers
3.
Title:
Unconventional Monetary Policies - Recent Experiences and Prospects
Series:
Policy Papers
Published:
April 18, 2013
Subject(s):
Monetary policy | Developed countries | Central banks | Bonds | Capital markets | Financial intermediation | Spillovers
4.
Title:
Unconventional Monetary Policies - Recent Experiences and Prospects - Background Paper
Series:
Policy Papers
Published:
April 18, 2013
Subject(s):
Monetary policy | United Kingdom | United States | Japan | European Central Bank | Central banks | Bonds | Capital markets | Spillovers | Inflation | Economic growth | Background papers
5.
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
6.
Title:
European Union: Publication of Financial Sector Assessment Program Documentation—Technical Note on Cross-Border Issues, Central Counterparties, and Central Securities Depositories
Series:
Country Report No. 13/72
Published:
March 15, 2013
Subject(s):
Financial Sector Assessment Program
|
European Union
|
Depositories
|
Securities markets
|
Capital markets
|
Payment systems
|
European Economic and Monetary Union
|
Europe
7.
Title:
Malaysia: Publication of Financial Sector Assessment Program Documentation—Detailed Assessment of Implementation of IOSCO Objectives and Principles of Securities Regulation
Series:
Country Report No. 13/59
Published:
March 08, 2013
Subject(s):
Financial Sector Assessment Program
|
Securities markets
|
Capital markets
|
Securities regulations
|
Reports on the Observance of Standards and Codes
|
Malaysia
8.
Title:
Malaysia: Publication of Financial Sector Assessment Program Documentation—Detailed Assessment of Observance of the CPSS-IOSCO Principles for Financial Market Infrastructures
Series:
Country Report No. 13/58
Published:
March 08, 2013
Subject(s):
Financial Sector Assessment Program
|
Capital markets
|
Payment systems
|
Securities markets
|
Reports on the Observance of Standards and Codes
|
Malaysia
9.
Title:
Helping Developing Countries Address Public Debt Management Challenges - An IMF-World Bank Capacity Building Partnership
Series:
Policy Papers
Published:
March 05, 2013
Subject(s):
Public debt | Debt management | Developing countries | Access to capital markets | Technical assistance | Collaboration with World Bank | Fund policies
10.
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
11.
Title:
India: Financial System Stability Assessment Update
Series:
Country Report No. 13/8
Published:
January 15, 2013
Subject(s):
Financial system stability assessment
|
Commercial banks
|
Bank soundness
|
Risk management
|
Liquidity management
|
Bank resolution
|
Deposit insurance
|
Bank supervision
|
Capital markets
|
Securities regulations
|
Payment systems
|
Insurance
|
Reports on the Observance of Standards and Codes
|
India
12.
Title:
Republic of Armenia: Financial System Stability Assessment
Series:
Country Report No. 13/10
Published:
January 11, 2013
Subject(s):
Financial system stability assessment
|
Financial sector
|
Banks
|
Basel Core Principles
|
Bank supervision
|
Stress testing
|
Liquidity management
|
Bank resolution
|
Insurance supervision
|
Capital markets
|
Pensions
|
Risk management
|
Armenia
13.
Title:
Capital Requirements for Over-the-Counter Derivatives Central Counterparties
Author/Editor:
Lin, Li ; Surti, Jay
Series:
Working Paper No. 13/3
Published:
January 08, 2013
Subject(s):
International capital markets
|
Banks
|
Capital
|
Financial instruments
|
Economic models
14.
Title:
Global Bonding: Do U.S. Bond and Equity Spillovers Dominate Global Financial Markets?
Author/Editor:
Bayoumi, Tamim ; Bui, Trung
Series:
Working Paper No. 12/298
Published:
December 20, 2012
Subject(s):
Spillovers
|
United States
|
Europe
|
Japan
|
United Kingdom
|
International capital markets
|
Bond markets
|
External shocks
15.
Title:
Republic of Slovenia: Financial System Stability Assessment
Series:
Country Report No. 12/325
Published:
December 06, 2012
Subject(s):
Financial sector
|
Banks
|
Basel Core Principles
|
Bank supervision
|
Insurance supervision
|
Capital markets
|
Securities regulations
|
Stress testing
|
Risk management
|
Slovenia
16.
Title:
Systemic Risk from Global Financial Derivatives: A Network Analysis of Contagion and Its Mitigation with Super-Spreader Tax
Author/Editor:
Markose, Sheri
Series:
Working Paper No. 12/282
Published:
November 30, 2012
Subject(s):
Financial systems
|
Financial risk
|
Nonbank financial sector
|
International capital markets
|
Financial instruments
17.
Title:
FX Funding Risks and Exchange Rate Volatility–Korea’s Case
Author/Editor:
Ree, Jack ; Yoon, Kyoungsoo ; Park, Hail
Series:
Working Paper No. 12/268
Published:
November 07, 2012
Subject(s):
Foreign exchange
|
Korea, Republic of
|
Banks
|
Exchange rates
|
Exchange rate variability
|
Financial systems
|
Capital markets
|
External shocks
18.
Title:
The Role of Risk and Information for International Capital Flows: New Evidence from the SDDS
Author/Editor:
Hashimoto, Yuko ; Wacker, Konstantin
Series:
Working Paper No. 12/242
Published:
October 05, 2012
Subject(s):
Capital flows
|
Capital inflows
|
Foreign direct investment
|
International capital markets
|
Special Data Dissemination Standard
|
Economic models
19.
Title:
Estimating the Costs of Financial Regulation
Author/Editor:
Santos, Andre ; Elliott, Douglas
Series:
Staff Discussion Notes No. 12/11
Published:
September 11, 2012
Subject(s):
Financial institutions
|
Capital markets
|
Banks
|
Bank reforms
|
Bank supervision
Author's Keyword(s):
Basel III
|
Systemically Important Institutions
|
Banks
|
Financial Regulation
|
Capital Requirements
|
Liquidity Requirements
20.
Title:
Brazil’s Capital Market: Current Status and Issues for Further Development
Author/Editor:
Park, Joonkyu
Series:
Working Paper No. 12/224
Published:
September 01, 2012
Subject(s):
Bond markets
|
Capital markets
|
Investment
|
Stock markets
|
Brazil
Author's Keyword(s):
Brazil
|
capital market
|
indexation
|
long-term financing
|
BNDES
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