IMF Publications by Author
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Santos, O Andre:
2019
Title: A Capital Market Union for Europe
Series: Staff Discussion Notes No. 19/07
Date: September 10, 2019
Notes: Background Note
Subject: Bilateral payments arrangements Capital flows Capital markets Economic conditions Economic integration Europe Financial crises Financial infrastructure Financial integration Macroprudential policies and financial stability Monetary unions
Title: Can Contingent Convertibles Help Private Asset Managers Fund Their Acquisition of Non-Performing Loans from Portuguese Banks?
Series: Working Paper No. 19/99
Date: May 7, 2019
Subject: Bank capital Credit Financial crises Financial soundness indicators Interest rates
2016
Title: The Impact of Oil Prices on the Banking System in the GCC
Series: Working Paper No. 16/161
Date: August 5, 2016
Subject: Bank capital Banking sector Cooperation Council for the Arab States of the Gulf Econometric models Non-performing loans Oil prices Panel analysis Vector autoregression
2015
Title: Integrated Ownership and Control in the GCC Corporate Sector
Series: Working Paper No. 15/184
Date: August 3, 2015
Subject: Bahrain Cooperation Council for the Arab States of the Gulf Corporate debt Corporate governance Corporate sector Kuwait Oman Qatar Saudi Arabia Stocks United Arab Emirates
2013
Title: Evaluating the Net Benefits of Macroprudential Policy : A Cookbook
Series: Working Paper No. 13/167
Date: July 17, 2013
Subject: Central banks and their policies Financial crises Financial crisis Financial risk Financial sector Macroprudential Policy Risk management
2012
Title: Assessing the Cost of Financial Regulation
Series: Working Paper No. 12/233
Date: September 26, 2012
Title: Estimating the Costs of Financial Regulation
Series: Staff Discussion Notes No. 12/11
Date: September 11, 2012
Subject: Bank reforms Bank supervision Banks Capital markets Financial institutions
2011
Title: Subsidiaries or Branches : Does One Size Fit All?
Series: Staff Discussion Notes No. 11/04
Date: March 3, 2011
Subject: Bank regulations Banks Cross-border banking Financial stability
2010
Title: Public Debt Sustainability and Management in a Compound Option Framework
Series: Working Paper No. 10/2
Date: January 1, 2010
Subject: Asset management Australia Credit risk Debt management Debt sustainability Economic models Group of Twenty Public debt Public sector Risk management
2009
Title: Policies to Address Banking Sector Weakness : Evolution of Financial Markets and Institutional Indicators
Series: Staff Position Note No. 2009/24
Date: October 7, 2009
Subject: Banking sector
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