IMF Publications by Author
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Lu, Yinqiu:
2019
Title: Determinants of Currency Composition of Reserves: a Portfolio Theory Approach with an Application to RMB
Series: Working Paper No. 19/52
Date: March 8, 2019
Subject: Capital account convertibility Central bank aggregates Central Banks Investment policy Monetary authorities
2018
Title: Instruments, Investor Base, and Recent Developments in the Malaysian Government Bond Market
Series: Working Paper No. 18/95
Date: April 26, 2018
Subject: Asia and Pacific Central Banks Financial crises Financial institutions Financial markets International financial markets Malaysia Market interest rates
2017
Title: Exploring the Role of Foreign Investors in Russia's Local Currency Government Bond (OFZ) Market
Series: Working Paper No. 17/28
Date: February 10, 2017
Subject: Bond markets Bonds Currencies Foreign investment Russian Federation Supply and demand
2016
Title: Does Balance Sheet Strength Drive the Investment Cycle? Evidence from Pre- and Post-Crisis Cyprus
Series: Working Paper No. 16/248
Date: December 22, 2016
Subject: Balance sheets Corporate sector Cyprus Investment
2015
Title: Does Supply or Demand Drive the Credit Cycle? Evidence from Central, Eastern, and Southeastern Europe
Series: Working Paper No. 15/15
Date: January 23, 2015
Subject: Credit Credit booms Credit demand Cross country analysis Eastern Europe Latvia Lithuania Montenegro Panel analysis Poland Romania Supply and demand
2014
Title: Emerging Market Local Currency Bond Yields and Foreign Holdings in the Post-Lehman Period - a Fortune or Misfortune?
Series: Working Paper No. 14/29
Date: February 12, 2014
Subject: Brazil Czech Republic Hungary Indonesia International financial markets Korea, Republic of Malaysia Mexico Poland Slovak Republic South Africa Thailand Turkey
2013
Title: A Financial Conditions Index for Poland
Series: Working Paper No. 13/252
Date: December 19, 2013
Subject: Economic conditions Economic models Financial sector Poland
Title: Local Government Financing Platforms in China : A Fortune or Misfortune?
Series: Working Paper No. 13/243
Date: December 16, 2013
Subject: Credit Fiscal policy Sovereign risk
2012
Title: Sovereign Risk and Asset and Liability Management : Conceptual Issues
Series: Working Paper No. 12/241
Date: October 4, 2012
Subject: Accounting Asset management Debt management Debt strategy Financial risk International finance International financial markets Risk management Sovereign debt
Title: What Drives the POLONIA Spread in Poland?
Series: Working Paper No. 12/215
Date: August 1, 2012
Subject: Banking systems Central bank policy Interest rate policy Interest rates Liquidity Monetary policy Poland
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