IMF Publications by Author
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Adrian, Tobias:
2020
Title: "Low for Long" and Risk-Taking
Series: Departmental Paper No. 2020/015
Date: November 24, 2020
Title: Monetary and Macroprudential Policy with Endogenous Risk
Series: Working Paper No. 2020/236
Date: November 13, 2020
Title: Monetary and Macroprudential Policy with Endogenous Risk
Series: Working Paper No. 2020/236
Date: November 13, 2020
Title: A Quantitative Model for the Integrated Policy Framework
Series: Working Paper No. 20/122
Date: July 7, 2020
Subject: Exchange markets Exchange premiums Exchange rate policy Purchasing power Supply and demand
Title: The Non-U.S. Bank Demand for U.S. Dollar Assets
Series: Working Paper No. 20/101
Date: June 19, 2020
Subject: Exchange rate policy Financial crises Interest rate differential Interest rate increases Interest rate parity
Title: Stress Testing at the IMF
Series: Departmental Paper No. 20/04
Date: February 5, 2020
Subject: Financial crises Financial institutions Financial systems Macro-financial analysis Macroprudential policies and financial stability
2019
Title: A Monitoring Framework for Global Financial Stability
Series: Staff Discussion Notes No. 19/06
Date: August 26, 2019
Subject: Financial crises Financial institutions Financial markets Financial stability Macroprudential policies and financial stability Macroprudential Policy Real sector
Title: The Rise of Digital Money
Series: FinTech Notes No. 2019/001
Date: July 15, 2019
Subject: Banking Central Bank digital currencies Currencies International reserves
2018
Title: The Term Structure of Growth-at-Risk
Series: Working Paper No. 18/180
Date: August 2, 2018
Subject: Capital market volatility Credit booms Credit risk Developed countries Econometric models Economic conditions Economic growth Emerging markets Financial crises Financial risk Financial stability General equilibrium models Gross domestic product Real sector Regression analysis
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