Publications Search Results

November 26, 2014

The search found 738 of 12901 documents sorted by Date with the following criteria:
Subject / Keyword: risk

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1.

Title: Identifying Speculative Bubbles: A Two-Pillar Surveillance Framework
Author/Editor: Bradley Jones
Series: Working Paper No. 14/208
Published: November 19, 2014
Subject(s): Asset bubbles | Asset prices | Capital markets | Corporate debt | Bond issues | Bond yields | Risk premium | Financial sector surveillance

 

2.

Title: Limiting Taxpayer “Puts”—An Example from Central Counterparties
Author/Editor: Manmohan Singh
Series: Working Paper No. 14/203
Published: November 12, 2014
Subject(s): Nonbank financial sector | Systemically important financial institutions | Too-important-too-fail | Burden sharing | Risk management | Lender of last resort

 

3.

Title: Non-Defaultable Debt and Sovereign Risk
Author/Editor: Juan Carlos Hatchondo ; Leonardo Martinez ; Yasin Kursat Onder
Series: Working Paper No. 14/198
Published: October 28, 2014
Subject(s): Sovereign debt defaults | Sovereign risk | Debt buyback arrangements | Eurobond markets | Bond issues | Econometric models

 

4.

Title: Global Risks and Collective Action Failures: What Can the International Community Do?
Author/Editor: Inci Otker-Robe
Series: Working Paper No. 14/195
Published: October 24, 2014
Subject(s): Global Financial Stability Risks | Climatic changes | Risk management | Public goods | Resource mobilization | International cooperation

 

5.

Title: Portugal: Fiscal Transparency Evaluation
Series: Country Report No. 14/306
Published: October 6, 2014
Subject(s): Fiscal transparency | Fiscal policy | Budgets | Budgeting | Fiscal risk | Risk management | Technical Assistance | Portugal

 

6.

Title: Belize: 2014 Article IV Consultation-Staff Report; Press Release
Series: Country Report No. 14/280
Published: September 17, 2014
Subject(s): Article IV consultation reports | Economic growth | Fiscal policy | Budgets | Public debt | Public enterprises | Fiscal risk | Bank supervision | Economic indicators | Staff Reports | Press releases | Belize

 

7.

Title: Switzerland: Technical Note-Oversight, Supervision, and Risk Management of Financial Market Infrastructures
Series: Country Report No. 14/270
Published: September 3, 2014
Subject(s): Financial Sector Assessment Program | Securities markets | Payment systems | Securities regulations | Capital markets | Risk management | Switzerland

 

8.

Title: Switzerland: Technical Note-Systemic Risk and Contagion Analysis
Series: Country Report No. 14/268
Published: September 3, 2014
Subject(s): Financial Sector Assessment Program | Financial sector | Banks | Financial risk | Financial stability | Risk management | Switzerland

 

9.

Title: The Republic of Kazakhstan: Financial System Stability Assessment
Series: Country Report No. 14/258
Published: August 29, 2014
Subject(s): Financial system stability assessment | Financial sector | Financial safety nets | Liquidity management | Bank resolution | Bank supervision | Insurance supervision | Securities regulations | Capital markets | Risk management | Economic indicators | Reports on the Observance of Standards and Codes | Kazakhstan

 

10.

Title: Georgia: Request for a Stand-By Arrangement; Press Release; and Statement for the Executive Director for Georgia
Series: Country Report No. 14/250
Published: August 20, 2014
Subject(s): Stand-by arrangement requests | Fiscal policy | Budget deficits | Fiscal risk | Fiscal reforms | Monetary policy | Inflation targeting | Economic indicators | Debt sustainability analysis | Staff Reports | Letters of Intent | Press releases | Georgia

 

11.

Title: Portfolio Flows, Global Risk Aversion and Asset Prices in Emerging Markets
Author/Editor: Nasha Ananchotikul ; Longmei Zhang
Series: Working Paper No. 14/156
Published: August 19, 2014
Subject(s): Capital flows | Financial risk | Emerging markets | Asset prices | Stock prices | Bond yields | Exchange rates | Asset markets | Spillovers | Econometric models

 

12.

Title: Macro-Prudential Policies to Mitigate Financial System Vulnerabilities
Author/Editor: Stijn Claessens ; Swati R. Ghosh ; Roxana Mihet
Series: Working Paper No. 14/155
Published: August 19, 2014
Subject(s): Macroprudential policies and financial stability | Banking systems | Systemic risk | Risk management | Econometric models

 

13.

Title: The Effects of Unconventional Monetary Policies on Bank Soundness
Author/Editor: Frederic Lambert ; Kenichi Ueda
Series: Working Paper No. 14/152
Published: August 13, 2014
Subject(s): Monetary policy | Interest rate policy | United States | Euro Area | United Kingdom | Banks | Credit risk | Bank soundness | Balance sheets | Regression analysis

 

14.

Title: United Kingdom: 2014 Article IV Consultation-Staff Report; Press Release; and Statement by the Executive Director for the United Kingdom
Series: Country Report No. 14/233
Published: July 28, 2014
Subject(s): Article IV consultation reports | Economic growth | Financial sector | Banks | Housing | Financial risk | Monetary policy | Fiscal policy | Economic indicators | Debt sustainability analysis | Staff Reports | Press releases | United Kingdom

 

15.

Title: Real and Financial Vulnerabilities from Crossborder Banking Linkages
Author/Editor: Kyunghun Kim ; Srobona Mitra
Series: Working Paper No. 14/136
Published: July 25, 2014
Subject(s): Banking systems | Cross-border banking | Interconnectedness | Credit risk | External shocks | Cross country analysis

 

16.

Title: United States: Selected Issues
Series: Country Report No. 14/222
Published: July 23, 2014
Subject(s): Monetary policy | Central bank policy | Labor markets | Labor force participation | Aging | Total factor productivity | Fiscal risk | Borrowing | Selected Issues Papers | United States

 

17.

Title: First-Time International Bond Issuance—New Opportunities and Emerging Risks
Author/Editor: Anastasia Guscina ; Guilherme Pedras ; Gabriel Presciuttini
Series: Working Paper No. 14/127
Published: July 18, 2014
Subject(s): Bond issues | International bond markets | Bonds | External borrowing | External debt | Fiscal risk

 

18.

Title: Albania: First Review Under the Extended Arrangement and Request for Modification of Performance Criteria-Staff Report; and Press Release
Series: Country Report No. 14/211
Published: July 16, 2014
Subject(s): Extended arrangement reviews | Economic growth | Fiscal policy | Fiscal consolidation | Fiscal risk | Monetary policy | Economic indicators | Staff Reports | Letters of Intent | Performance criteria modifications | Albania

 

19.

Title: People’s Republic of China–Hong Kong Special Administrative Region: Financial Sector Assessment Program-Crisis Management and Bank Resolution Framework-Technical Note
Series: Country Report No. 14/209
Published: July 16, 2014
Subject(s): Financial Sector Assessment Program | Banks | Financial risk | Bank supervision | Bank resolution | Macroprudential Policy | Risk management | Hong Kong SAR

 

20.

Title: Oversight Issues in Mobile Payments
Author/Editor: Tanai Khiaonarong
Series: Working Paper No. 14/123
Published: July 15, 2014
Subject(s): Payment systems | Financial services industry | Information technology | Communications services | Safeguards system | Risk management | Low-income developing countries

 

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