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1. |
Title:
Creating a Safer Financial System: Will the Volcker, Vickers, and Liikanen Structural Measures Help?
Author/Editor: Vinãls, José ; Pazarbasioglu, Ceyla ; Surti, Jay ; Narain, Aditya ; Erbenova, Michaela ; Chow, Julian
Series: Staff Discussion Notes No. 13/4
Published: May 14, 2013
Subject(s): Banking sector | Bank resolution | Bank supervision | Bank reforms | Risk management | International financial system
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2. |
Title:
Survey of Reserve Managers: Lessons from the Crisis
Author/Editor: Morahan, Aideen ; Mulder, Christian
Series: Working Paper No. 13/99
Published: May 8, 2013
Subject(s): Central banks | Reserves | Risk management | Asset management
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3. |
Title:
International Evidence on Government Support and Risk Taking in the Banking Sector
Author/Editor: Marques, Luís ; Correa, Ricardo ; Sapriza, Horacio
Series: Working Paper No. 13/94
Published: May 2, 2013
Subject(s): Banking sector | Bank supervision | Bank regulations | Risk management
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4. |
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
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5. |
Title:
How Effective are Macroprudential Policies in China?
Author/Editor: Wang, Bin ; Sun, Tao
Series: Working Paper No. 13/75
Published: March 27, 2013
Subject(s): Macroprudential Policy | China | Financial risk | Banking sector
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6. |
Title:
European Union: Financial Sector Stability Assessment
Series: Country Report No. 13/75
Published: March 15, 2013
Subject(s): Financial system stability assessment | European Union | Financial sector | Banks | Financial institutions | Bank supervision | Bank resolution | Deposit insurance | Monetary policy | Insurance supervision | Risk management | European Economic and Monetary Union | Europe
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7. |
Title:
A Framework for Macroprudential Bank Solvency Stress Testing: Application to S-25 and Other G-20 Country FSAPs
Author/Editor: Jobst, Andreas A. ; Ong, Li ; Schmieder, Christian
Series: Working Paper No. 13/68
Published: March 13, 2013
Subject(s): Banking sector | Stress testing | Financial systems | Group of Twenty | Economic models | Risk management | Financial Sector Assessment Program
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8. |
Title:
Bangladesh: First Review Under the Three-Year Arrangement Under the Extended Credit Facility and Request for Waiver of Nonobservance of a Performance Criterion—Staff Report, Staff Statements and Supplement; Press Release on the Executive Board Discussion; and Statement by the Executive Director for Bangladesh
Series: Country Report No. 13/61
Published: March 11, 2013
Subject(s): Extended Credit Facility | Performance criteria waivers | Staff Reports | Press releases | Economic reforms | Economic stabilization | Fiscal policy | Debt management | Monetary policy | Exchange rate policy | Investment policy | Economic indicators | Risk management | Economic growth | External shocks | Financial soundness indicators | Bangladesh
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9. |
Title:
Rules, Discretion, and Macro-Prudential Policy
Author/Editor: Agur, Itai ; Sharma, Sunil
Series: Working Paper No. 13/65
Published: March 8, 2013
Subject(s): Macroprudential Policy | Monetary policy | Political economy | Financial systems | Financial risk
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10. |
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 8, 2013
Subject(s): Credit risk | Business cycles | Forecasting models
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11. |
Title:
Malaysia: Financial Sector Stability Assessment
Series: Country Report No. 13/52
Published: February 28, 2013
Subject(s): Financial sector | Banks | Islamic banking | Financial institutions | Bank supervision | Bank resolution | Liquidity management | Deposit insurance | Risk management | Anti-money laundering | Combating the financing of terrorism | Financial system stability assessment | Malaysia
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12. |
Title:
Malaysia: 2012 Article IV Consultation
Series: Country Report No. 13/51
Published: February 28, 2013
Subject(s): Article IV consultation reports | Economic growth | External shocks | Capital flows | Fiscal risk | Public debt | Fiscal policy | Fiscal reforms | Monetary policy | Financial sector | Economic indicators | Public information notices | Staff Reports | Malaysia
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13. |
Title:
Systemic Contingent Claims Analysis – Estimating Market-Implied Systemic Risk
Author/Editor: Jobst, Andreas A. ; Gray, Dale
Series: Working Paper No. 13/54
Published: February 27, 2013
Subject(s): Financial sector | Financial institutions | Banks | Risk management
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14. |
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
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15. |
Title:
Republic of Poland: Arrangement Under the Flexible Credit Line and Cancellation of the Current Arrangement—Staff Report; Staff Supplement; Press Release on the Executive Board Discussion; and Statement by the Executive Director
Series: Country Report No. 13/21
Published: January 24, 2013
Subject(s): Flexible Credit Line | Balance of payments need | Fiscal risk | Fiscal policy | Monetary policy | Banking sector | Economic indicators | Extended arrangement cancellations | Staff Reports | Press releases | Poland
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16. |
Title:
Inflation Targeting and Country Risk: an Empirical Investigation
Author/Editor: Fouejieu, Armand ; Roger, Scott
Series: Working Paper No. 13/21
Published: January 23, 2013
Subject(s): Inflation targeting | Risk premium | Monetary policy | Economic models
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17. |
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
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18. |
Title:
Liquidity and Transparency in Bank Risk Management
Author/Editor: Ratnovski, Lev
Series: Working Paper No. 13/16
Published: January 18, 2013
Subject(s): Banks | Risk management | Liquidity | Transparency | Economic models
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19. |
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
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20. |
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
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