IMF Publications by Author
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Juan Sole:
2022
Title: Did Insurers Become Risk-Loving During “Low-for-Long”? The Role of Returns, Ratings, and Regulation
Series: Working Paper No. 2022/202
Date: September 30, 2022
2020
Title: The Nature of Islamic Banking and Solvency Stress Testing - Conceptual Considerations
Series: Working Paper No. 2020/156
Date: August 7, 2020
Subject: Banking Credit risk Financial regulation and supervision Financial sector policy and analysis Financial services Islamic banking Islamic finance Market risk Stress testing
2016
Title: Income Polarization in the United States
Series: Working Paper No. 2016/121
Date: June 28, 2016
Subject: Consumption Disposable income Income distribution Income inequality National accounts Personal income
Title: Credit, Securitization and Monetary Policy: Watch Out for Unintended Consequences
Series: Working Paper No. 2016/076
Date: March 23, 2016
Subject: Banking Central bank policy rate Financial institutions Financial services Loans Monetary policy Monetary tightening Mortgages Securitization
2015
Title: The Macroeconomic Relevance of Credit Flows: An Exploration of U.S. Data
Series: Working Paper No. 2015/143
Date: June 30, 2015
Subject: Bank credit Business cycles Consumer credit Credit Credit cycles Economic growth Financial sector policy and analysis Money
Title: Recent U.S. Labor Force Dynamics: Reversible or not?
Series: Working Paper No. 2015/076
Date: April 2, 2015
Subject: Aging Labor Labor markets Population and demographics Unemployment
2012
Title: Operative Principles of Islamic Derivatives: Towards a Coherent Theory
Series: Working Paper No. 2012/063
Date: March 1, 2012
Subject: Currencies Financial institutions Financial regulation and supervision Financial services Futures Hedging Islamic finance Money Options
2011
Title: Systemic Risk and Optimal Regulatory Architecture
Series: Working Paper No. 2011/193
Date: August 1, 2011
Subject: Asset and liability management Asset valuation Banking Distressed institutions Financial crises Financial institutions Financial sector policy and analysis Lender of last resort Liquidity Systemic risk Tax incentives
2010
Title: Cross-Border Financial Surveillance: A Network Perspective
Series: Working Paper No. 2010/105
Date: April 1, 2010
Subject: Banking Commercial banks Credit Financial regulation and supervision Financial statements
2009
Title: Procyclicality and Fair Value Accounting
Series: Working Paper No. 2009/039
Date: March 1, 2009
Subject: Banking Business cycles Economic growth Financial institutions Financial instruments Financial statements Loans Public financial management (PFM) Securities
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