IMF Publications by Author
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Ivo Krznar:
2022
Title: The Global Bank Stress Test
Series: Departmental Paper No 2022/009
Date: April 6, 2022
Subject: Financial institutions Financial sector policy and analysis
2019
Title: Internal Trade in Canada: Case for Liberalization
Series: Working Paper No. 2019/158
Date: July 22, 2019
Subject: Employment International trade Labor Trade agreements Trade balance Trade barriers Trade liberalization
2018
Title: Investment in Brazil: From Crisis to Recovery
Series: Working Paper No. 2018/006
Date: January 12, 2018
Subject: Financial institutions Financial services Gross fixed investment International trade Labor Labor costs National accounts Real interest rates Stocks Terms of trade
2017
Title: Towards Macroprudential Stress Testing:Incorporating Macro-Feedback Effects
Series: Working Paper No. 2017/149
Date: June 30, 2017
Subject: Banking Capital adequacy requirements Countercyclical capital buffers Credit Financial regulation and supervision Financial sector policy and analysis Income Money National accounts Personal income Stress testing
Title: Financial and Business Cycles in Brazil
Series: Working Paper No. 2017/012
Date: January 24, 2017
Subject: Brazil Business cycles Credit expansion Econometric models Financial risk Parameter estimation Private sector Procyclicality of financial system Public sector
2014
Title: With Great Power Comes Great Responsibility : Macroprudential Tools at Work in Canada
Series: Working Paper No. 14/83
Date: May 12, 2014
Subject: Canada
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
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