Global Financial Stability Report, April 2005: Market Developments and Issues
April 5, 2005
Summary
The Global Financial Stability Report (GFSR) provides expert and up-to-date analysis of global capital flows that play a critical role in world economic growth and Financial stability. The report focuses on current conditions in global Financial markets, analyzing Financial imbalances and structural issues that could pose risks to stability and sustained market access by emerging market borrowers. Along with the IMF’s semiannual World Economic Outlook, the GFSR is a key vehicle for communicating the IMF’s multilateral surveillance. The GFSR also draws out the Financial ramifcations of economic imbalances highlighted by the WEO, making it an indispensable companion publication.
Subject: Corporate governance, Credit, Economic sectors, Emerging and frontier financial markets, Expenditure, Financial institutions, Financial markets, Hedge funds, Labor, Money, Pension spending, Pensions
Keywords: Africa, Asia and Pacific, bond, Caribbean, Corporate governance, Credit, Emerging and frontier financial markets, emerging market corporate, Europe, GFSR, Global, Hedge funds, high-yield market investor base, investment risk, investor, longevity risk, market, market development, market participant, Middle East, Pension spending, Pensions, price movement, risk profile, yield
Pages:
213
Volume:
2005
DOI:
Issue:
001
Series:
Global Financial Stability Report No. 2005/001
Stock No:
GFSREA2005001
ISBN:
9781589064188
ISSN:
1729-701X





