IMF Publications by Author
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Cheng Hoon Lim:
2017
Title: Bottom-Up Default Analysis of Corporate Solvency Risk : An Application to Latin America
Series: Working Paper No. 17/133
Date: June 8, 2017
Subject: Bank capital Corporate sector
Title: Financial Stability Reports in Latin America and the Caribbean
Series: Working Paper No. 17/73
Date: March 28, 2017
Subject: Antigua and Barbuda Bahamas, The Barbados Dominica Dominican Republic Financial crises Grenada Haiti Jamaica Saint Kitts and Nevis Saint Vincent and the Grenadines Trinidad and Tobago Western Hemisphere
2015
Title: The Future of Asian Finance
Series: Books
Date: August 18, 2015
Subject: Balance of payments Banking Bonds Capital flows Emerging and frontier financial markets Financial institutions Financial integration Financial markets Securities markets Stock markets
2014
Title: Why Was Asia Resilient? Lessons from the Past and for the Future
Series: Working Paper No. 14/38
Date: February 26, 2014
Subject: Asia Australia Credit expansion Debt reduction Economic growth Financial crises Financial crisis Financial systems Fiscal policy Global Financial Crisis 2008-2009 Hong Kong Special Administrative Region of China India Indonesia Japan Korea, Republic of Macroprudential Policy Malaysia Monetary policy New Zealand Philippines Singapore Taiwan Province of China Thailand Vietnam
2013
Title: The Macroprudential Framework : Policy Responsiveness and Institutional Arrangements
Series: Working Paper No. 13/166
Date: July 17, 2013
Subject: Central bank role Central banks Central banks and their policies Credit Financial stability Macroprudential Policy Monetary policy Systemic risk
Title: Institutional Arrangements for Macroprudential Policy in Asia
Series: Working Paper No. 13/165
Date: July 17, 2013
Subject: Asia Banking Central bank role Central banks Central banks and their policies Financial stability Macroprudential Policy
2008
Title: A Risk-Based Debt Sustainability Framework : Incorporating Balance Sheets and Uncertainty
Series: Working Paper No. 08/40
Date: February 1, 2008
Subject: Balance sheets Debt sustainability Public debt Public sector Reserve management policy Risk management Sovereign risk
2005
Title: Turkey at the Crossroads : From Crisis Resolution to EU Accession
Series: Occasional Paper No. 242
Date: September 19, 2005
Subject: Economic growth Financial sector Labor markets
Title: Measuring and Analyzing Sovereign Risk with Contingent Claims
Series: Working Paper No. 05/155
Date: August 1, 2005
Subject: Debt sustainability International financial markets Risk management Sovereign risk
2004
Title: The Contingent Claims Approach to Corporate Vulnerability Analysis : Estimating Default Risk and Economy-Wide Risk Transfer
Series: Working Paper No. 04/121
Date: July 1, 2004
Subject: Brazil Credit risk Public sector Thailand