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Publications Search Results
May 24, 2013
The Search found
227
of
10959
documents sorted by
Date
with the following criteria:
Subject/Keyword:
credit risk
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1.
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
2.
Title:
Macroprudential Policies for a Resource Rich Economy The Case of Mongolia
Author/Editor:
Maino, Rodolfo ; Imam, Patrick ; Ojima, Yasuhisa
Series:
Working Paper No. 13/18
Published:
January 22, 2013
Subject(s):
Macroprudential Policy
|
Mongolia
|
Natural resources
|
Banking sector
|
Fiscal policy
|
Credit expansion
|
Credit risk
|
Monetary policy
3.
Title:
Banks’ Foreign Credit Exposures and Borrowers’ Rollover Risks Measurement, Evolution and Determinants
Author/Editor:
Cerutti, Eugenio
Series:
Working Paper No. 13/9
Published:
January 11, 2013
Subject(s):
Banking systems
|
Bank credit
|
Borrowing
|
International banks
|
Credit risk
4.
Title:
Australia: Financial System Stability Assessment
Series:
Country Report No. 12/308
Published:
November 15, 2012
Subject(s):
Financial system stability assessment
|
Financial sector
|
Banks
|
Bank supervision
|
Bank resolution
|
Credit risk
|
Risk management
|
Financial stability
|
Australia
5.
Title:
Financial Spillovers to Chile
Author/Editor:
Podpiera, Jiri
Series:
Working Paper No. 12/254
Published:
October 24, 2012
Subject(s):
Spillovers
|
Chile
|
Bond markets
|
Banking sector
|
Credit risk
|
Financial risk
6.
Title:
Japan: Financial Sector Assessment Program—Technical Note on Credit Intermediation
Series:
Country Report No. 12/262
Published:
September 07, 2012
Subject(s):
Bank credit
|
Banks
|
Credit demand
|
Credit policy
|
Credit risk
|
Financial institutions
|
Financial Sector Assessment Program
|
Private sector
|
Public enterprises
|
Japan
7.
Title:
Japan: Financial Sector Assessment Program - Technical Note on Financial System Spillovers - An Analysis of Potential Channels
Series:
Country Report No. 12/263
Published:
September 07, 2012
Subject(s):
Banking sector
|
Credit risk
|
External shocks
|
Financial risk
|
Financial Sector Assessment Program
|
Financial systems
|
Nonbank financial sector
|
Spillovers
|
Japan
8.
Title:
Austria: Selected Issues
Series:
Country Report No. 12/252
Published:
August 31, 2012
Subject(s):
Bank supervision
|
Banks
|
Credit risk
|
Selected issues
|
Austria
9.
Title:
Japan: Basel Core Principles for Effective Banking Supervision - Detailed Assessment of Compliance
Series:
Country Report No. 12/231
Published:
August 10, 2012
Subject(s):
Bank supervision
|
Banking sector
|
Basel Core Principles
|
Credit risk
|
Financial Sector Assessment Program
|
Reports on the Observance of Standards and Codes
|
Risk management
|
Japan
10.
Title:
Brazil: Detailed Assessment of Observance of Basel Core Principles for Effective Banking Supervision
Series:
Country Report No. 12/207
Published:
July 31, 2012
Subject(s):
Bank supervision
|
Banking sector
|
Basel Core Principles
|
Credit risk
|
Financial Sector Assessment Program
|
Reports on the Observance of Standards and Codes
|
Risk management
|
Brazil
11.
Title:
Czech Republic: Detailed Assessment of Observance of Basel Core Principles for Effective Banking Supervision
Series:
Country Report No. 12/172
Published:
July 17, 2012
Subject(s):
Bank supervision
|
Banking sector
|
Basel Core Principles
|
Credit risk
|
Financial Sector Assessment Program
|
Reports on the Observance of Standards and Codes
|
Risk management
|
Czech Republic
12.
Title:
Equity Returns in the Banking Sector in the Wake of the Great Recession and the European Sovereign Debt Crisis
Author/Editor:
Chan-Lau, Jorge A. ; Liu, Estelle X ; Schmittmann, Jochen M.
Series:
Working Paper No. 12/174
Published:
July 01, 2012
Subject(s):
Banking sector
|
Credit risk
|
Economic recession
|
Europe
|
Financial crisis
|
Profit margins
|
Sovereign debt
Author's Keyword(s):
Banks
|
equity returns
|
financial crisis
|
sovereign risk
|
sovereign debt crisis
|
economic growth
|
regulatory capital
|
panel data econometrics.
13.
Title:
Spain: Vulnerabilities of Private Sector Balance Sheets and Risks to the Financial Sector Technical Notes
Series:
Country Report No. 12/140
Published:
June 11, 2012
Subject(s):
Corporate sector
|
Credit risk
|
Domestic debt
|
Financial risk
|
Financial sector
|
Financial Sector Assessment Program
|
Housing prices
|
Private sector
|
Spain
14.
Title:
Spain: Basel Core Principles for Effective Banking Supervision - Detailed Assessment of Compliance Report
Series:
Country Report No. 12/142
Published:
June 11, 2012
Subject(s):
Bank supervision
|
Banking sector
|
Basel Core Principles
|
Credit risk
|
Financial Sector Assessment Program
|
Reports on the Observance of Standards and Codes
|
Risk management
|
Spain
15.
Title:
Banks' Liability Structure and Mortgage Lending During the Financial Crisis
Author/Editor:
Dagher, Jihad ; Kazimov, Kazim
Series:
Working Paper No. 12/155
Published:
June 01, 2012
Subject(s):
Liquidity
|
Bank credit
|
Banking sector
|
Credit demand
|
Credit risk
|
Global Financial Crisis 2008-2009
Author's Keyword(s):
Retail funding
|
Wholesale funding
|
liquidity
|
credit supply
|
mortgages
|
matching
16.
Title:
Malta: 2012 Article IV Consultation - Staff Report; and Public Information Notice on the Executive Board Discussion
Series:
Country Report No. 12/105
Published:
May 07, 2012
Subject(s):
Article IV consultation reports
|
Banks
|
Credit risk
|
Debt management
|
Economic indicators
|
Economic recovery
|
Financial sector
|
Fiscal consolidation
|
Fiscal policy
|
Fiscal risk
|
Pension reforms
|
Public debt
|
Public information notices
|
Staff Reports
|
Malta
17.
Title:
Appraising Credit Ratings: Does the CAP Fit Better than the ROC?
Author/Editor:
Irwin, R. John ; Irwin, Timothy C.
Series:
Working Paper No. 12/122
Published:
May 01, 2012
Subject(s):
Credit
|
Credit risk
|
Economic models
|
OECD
Author's Keyword(s):
Credit ratings
|
Receiver Operating Characteristic (ROC)
|
Cumulative Accuracy Profile (CAP).
18.
Title:
Dynamic Loan Loss Provisioning: Simulations on Effectiveness and Guide to Implementation
Author/Editor:
Wezel, Torsten ; Chan-Lau, Jorge A. ; Columba, Francesco
Series:
Working Paper No. 12/110
Published:
May 01, 2012
Subject(s):
Bank soundness
|
Banks
|
Business cycles
|
Capital
|
Credit risk
|
Loans
Author's Keyword(s):
Dynamic Provisioining
|
Procyclicality
|
Macroprudential Policy
|
Latin America
19.
Title:
Israel: Detailed Assessment of Observance of Basel Core Principles for Effective Banking Supervision
Series:
Country Report No. 12/85
Published:
April 12, 2012
Subject(s):
Bank supervision
|
Banking sector
|
Basel Core Principles
|
Credit risk
|
Financial Sector Assessment Program
|
Reports on the Observance of Standards and Codes
|
Risk management
|
Israel
20.
Title:
People’s Republic of China: Detailed Assessment Report: Basel Core Principles for Effective Banking Supervision
Series:
Country Report No. 12/78
Published:
April 05, 2012
Subject(s):
Bank supervision
|
Banking sector
|
Basel Core Principles
|
Credit risk
|
Financial Sector Assessment Program
|
Reports on the Observance of Standards and Codes
|
Risk management
|
China, People's Republic of
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