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April 20, 2014
 

The Search found 309 of 13347 documents sorted by Date with the following criteria:
Subject/Keyword: risk management

 
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1. Title: Macroprudential Policy in the GCC Countries
  Author/Editor: Zsofia Arvai ; Ananthakrishnan Prasad ; Kentaro Katayama
  Series: Staff Discussion Notes No. 14/1
  Published: March 19, 2014
  Subject(s): Macroprudential Policy | Cooperation Council for the Arab States of the Gulf | Financial sector | Financial risk | Risk management | Fiscal policy
 
 
2. Title: The Regulatory Responses to the Global Financial Crisis: Some Uncomfortable Questions
  Author/Editor: Stijn Claessens ; Laura E. Kodres
  Series: Working Paper No. 14/46
  Published: March 14, 2014
  Subject(s): Financial systems | Fiscal risk | Financial crisis | Fiscal policy | Fiscal reforms | Macroprudential Policy | Monetary policy | Risk management
 
 
3. Title: Bolivia: Fiscal Transparency Assessment
  Series: Country Report No. 14/77
  Published: March 12, 2014
  Subject(s): Fiscal transparency | Fiscal risk | Budgeting | Fiscal policy | Risk management | Bolivia
 
 
4. Title: El Salvador: Technical Note on Safety Nets and Crisis Management Arrangements
  Series: Country Report No. 14/46
  Published: February 11, 2014
  Subject(s): Financial Sector Assessment Program | Bank resolution | Bank legislation | Deposit insurance | Liquidity management | Bank supervision | Financial safety nets | Risk management | Reports on the Observance of Standards and Codes | El Salvador
 
 
5. Title: Financial Soundness Indicators and the Characteristics of Financial Cycles
  Author/Editor: Natasha Xingyuan Che ; Yoko Shinagawa
  Series: Working Paper No. 14/14
  Published: January 27, 2014
  Subject(s): Financial soundness indicators | Banks | Risk management | Business cycles | Economic models
 
 
6. Title: Austria: Publication of Financial Sector Assessment Program Documentation—Technical Note on Crisis Preparedness and Management Framework
  Series: Country Report No. 14/15
  Published: January 21, 2014
  Subject(s): Financial Sector Assessment Program | Financial stability | Macroprudential Policy | Deposit insurance | Bank resolution | Bank supervision | Liquidity management | Financial safety nets | Crisis prevention | Risk management | Austria
 
 
7. Title: Review of the Adequacy of the Fund's Precautionary Balances
  Series: Policy Papers
  Published: January 14, 2014
  Subject(s): Reserves adequacy | Fund | Financial risk | Credit risk | Risk management
 
8. Title: Italy: Technical Note on Financial Risk Management and Supervision of Cassa Di Compensazione e Garanzia S.P.A.
  Series: Country Report No. 13/351
  Published: December 06, 2013
  Subject(s): Payment systems | Bond markets | Financial institutions | Financial risk | Risk management | Bank supervision | Financial Sector Assessment Program | Italy
 
 
9. Title: Italy: Technical Note on Safety Nets, Bank Resolution, and Crisis Management Framework
  Series: Country Report No. 13/350
  Published: December 06, 2013
  Subject(s): Financial safety nets | Bank resolution | Bank supervision | Risk management | International cooperation | Financial Sector Assessment Program | Italy
 
 
10. Title: Singapore: Detailed Assessment of Observance-Assessment of Observance of the CPSS-IOSCO Principles for Financial Market Infrastructures
  Series: Country Report No. 13/345
  Published: December 05, 2013
  Subject(s): Financial Sector Assessment Program | Payment systems | Securities markets | Securities regulations | Liquidity | Reports on the Observance of Standards and Codes | Risk management | Singapore
 
 
11. Title: Bailouts and Systemic Insurance
  Author/Editor: Giovanni Dell'Ariccia ; Lev Ratnovski
  Series: Working Paper No. 13/233
  Published: November 12, 2013
  Subject(s): Banking crisis | Financial intermediation | Moral hazard | Banking systems | Risk management | Economic models
 
 
12. Title: Sovereign Wealth Funds: Aspects of Governance Structures and Investment Management
  Author/Editor: Abdullah Al-Hassan ; Michael G Papaioannou ; Martin Skancke ; Cheng Chih Sung
  Series: Working Paper No. 13/231
  Published: November 11, 2013
  Subject(s): Sovereign wealth funds | Asset management | Investment policy | Corporate governance | Transparency | Risk management
 
 
13. Title: The Curious Case of the Yen as a Safe Haven Currency: A Forensic Analysis
  Author/Editor: Dennis P. J. Botman ; Irineu E. Carvalho Filho ; Raphael W. Lam
  Series: Working Paper No. 13/228
  Published: November 06, 2013
  Subject(s): Currencies | Japan | Exchange rate appreciation | Capital flows | Monetary policy | Risk management
 
 
14. Title: Costa Rica: Fiscal Transparency Assessment
  Series: Country Report No. 13/316
  Published: October 30, 2013
  Subject(s): Fiscal transparency | Fiscal policy | Budgets | Budgeting | Fiscal risk | Risk management | Costa Rica
 
 
15. Title: Safeguards Assessments - 2013 Update
  Series: Policy Papers
  Published: October 07, 2013
  Subject(s): Safeguards assessments policy | Central banks | Governance | Risk management | Financial year
 
16. Title: Austria: Financial Sector Stability Assessment
  Series: Country Report No. 13/283
  Published: September 10, 2013
  Subject(s): Banking sector | Bank supervision | Bank resolution | Deposit insurance | Anti-money laundering | Combating the financing of terrorism | Risk management | Financial stability | Financial system stability assessment | Reports on the Observance of Standards and Codes | Austria
 
 
17. Title: Republic of Poland: Technical Note on Stress Testing the Banking Sector
  Series: Country Report No. 13/261
  Published: August 15, 2013
  Subject(s): Stress testing | Banking sector | Credit risk | Risk management | Bank supervision | Poland
 
 
18. Title: Credibility and Crisis Stress Testing
  Author/Editor: Li L. Ong ; Ceyla Pazarbasioglu
  Series: Working Paper No. 13/178
  Published: August 09, 2013
  Subject(s): Stress testing | Banking systems | Transparency | Bank supervision | Risk management
 
 
19. Title: Evaluating the Net Benefits of Macroprudential Policy: A Cookbook
  Author/Editor: Nicolas Arregui ; Jaromir Benes ; Ivo Krznar ; Srobona Mitra ; Andre Santos
  Series: Working Paper No. 13/167
  Published: July 17, 2013
  Subject(s): Macroprudential Policy | Financial sector | Financial risk | Financial crisis | Risk management
 
 
20. Title: France: Financial Sector Assessment Program—Technical Note on Crisis Management and Bank Resolution Framework
  Series: Country Report No. 13/186
  Published: July 01, 2013
  Subject(s): Bank resolution | Central bank role | Bank supervision | Deposit insurance | Risk management | Crisis prevention | International cooperation | Financial Sector Assessment Program | France
 
 

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