Global Financial Stability Report, April 2006: Market Developments and Issues
April 17, 2006
Summary
This semi-annual publication from the IMF provides comprehensive coverage of mature and emerging financial markets and seeks to identify potential fault lines in the global financial system that could lead to crises. It is designed to deepen understanding of global capital flows, which play a critical role as an engine of world economic growth.
Subject: Banking, Credit, Credit risk, Emerging and frontier financial markets, Financial markets, Financial regulation and supervision, Government debt management, Money, Public debt, Public financial management (PFM)
Keywords: Africa, Asia and Pacific, asset, asset class, Caribbean, Credit, credit derivative, credit derivative market, Credit risk, EM country, Emerging and frontier financial markets, emerging market country, Europe, foreign currency, GFSR, Global, Government debt management, investor base, market, market liquidity, market participant, Middle East
Pages:
204
Volume:
2006
DOI:
Issue:
001
Series:
Global Financial Stability Report No. 2006/001
Stock No:
GFSREA2006001
ISBN:
9781589065048
ISSN:
1729-701X





