Publications Search Results

July 03, 2015

The search found 757 of 13471 documents sorted by Date with the following criteria:
Subject / Keyword: risk

Results: 1 2 3 4 5 6 7 8 9 10 [Next] [New Search] [Sort by Author] [Sort by Title]


1.

Title: Assessing Default Risks for Chinese Firms : A Lost Cause?
Author/Editor: Daniel Law ; Shaun K. Roache
Series: Working Paper No. 15/140
Published: June 26, 2015
Subject(s): Default | China | Corporate sector | Public non-financial corporations | Credit risk

 

2.

Title: Enhancing Macroeconomic Resilience to Natural Disasters and Climate Change in the Small States of the Pacific
Author/Editor: Ezequiel Cabezon ; Leni Hunter ; Patrizia Tumbarello ; Kazuaki Washimi ; Yiqun Wu
Series: Working Paper No. 15/125
Published: June 19, 2015
Subject(s): Climatic changes | Pacific Island Countries | Small states | Cross country analysis | Risk management | Emergency assistance | Fund role

 

3.

Title: An Overview of Islamic Finance
Author/Editor: Mumtaz Hussain ; Asghar Shahmoradi ; Rima Turk
Series: Working Paper No. 15/120
Published: June 2, 2015
Subject(s): Islamic banking | Banks | Financial services industry | Financial instruments | Bonds | Risk management | Financial stability | Monetary policy | Fiscal policy

 

4.

Title: Sub-National Government’s Risk Premia: Does Fiscal Performance Matter?
Author/Editor: Sergio Sola ; Geremia Palomba
Series: Working Paper No. 15/117
Published: May 29, 2015
Subject(s): Sovereign risk | Bonds | Risk premium | Fiscal performance | Budget deficits

 

5.

Title: Assessing Fiscal Risks in Bangladesh
Author/Editor: Leandro Medina
Series: Working Paper No. 15/110
Published: May 19, 2015
Subject(s): Fiscal risk | Bangladesh | External shocks | Commodity prices | Loan guarantees | Pensions | Public debt | External borrowing | Sensitivity analysis

 

6.

Title: Morocco: Selected Issues Paper : The Sub-Saharan Expansion of Moroccan Banks: Challenges and Opportunities
Series: Country Report No. 15/106
Published: May 8, 2015
Subject(s): Banking sector | Sub-Saharan Africa | Central bank role | Bank supervision | Financial risk | Risk management | Selected Issues Papers | Morocco

 

7.

Title: Fiscal Monitor, April 2015 : Now Is the Time: Fiscal Policies for Sustainable Growth
Series: Fiscal Monitor
Published: April 15, 2015
Subject(s): Fiscal policy | Fiscal management | Fiscal analysis | Fiscal risk | Fiscal stability | Fiscal sustainability | Fiscal balance | Fiscal data | Fiscal framework | Fiscal Monitor | Fiscal projections | Fiscal stabilization

 

8.

Title: Islamic Finance : Opportunities, Challenges, and Policy Options
Author/Editor: Alfred Kammer ; Mohamed Norat ; Marco Pinon ; Ananthakrishnan Prasad ; Christopher M. Towe ; Zeine Zeidane
Series: Staff Discussion Notes No. 15/5
Published: April 6, 2015
Subject(s): Islamic banking | Bank regulations | Bank supervision | Deposit insurance | Bank resolution | Risk management | Macroprudential policies and financial stability | Monetary policy | Liquidity management | Tax policy | Infrastructure | Financial management

 

9.

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

 

10.

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

 

11.

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

 

12.

Title: Malaysia: Selected Issues Paper
Series: Country Report No. 15/59
Published: March 3, 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

 

13.

Title: South Africa: Financial Sector Assessment Program-Stress Testing the Financial System-Technical Note
Series: Country Report No. 15/54
Published: March 3, 2015
Subject(s): Financial Sector Assessment Program | Banking sector | Insurance | Liquidity | Financial risk | Stress testing | South Africa

 

14.

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 3, 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

 

15.

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

 

16.

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

 

17.

Title: Mozambique: Fiscal Transparency Evaluation
Series: Country Report No. 15/32
Published: February 5, 2015
Subject(s): Fiscal transparency | Fiscal risk | Budgets | Budgeting | Economic forecasting | Reports on the Observance of Standards and Codes | Mozambique

 

18.

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

 

19.

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

 

20.

Title: Republic of Korea: Financial Sector Assessment Program-Crisis Preparedness and Crisis Management Framework-Technical Note
Series: Country Report No. 15/5
Published: January 9, 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

 

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