IMF Publications by Subject
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Capital adequacy requirements:
2022
Title: The Return of Expansionary Austerity: Firms’ Investment Response to Fiscal Adjustments in Emerging Markets
Series: Working Paper No. 2022/070
Date: April 8, 2022
Subject: Capital adequacy requirements Corporate investment Expenditure Financial regulation and supervision Fiscal consolidation Fiscal policy National accounts Public debt
Title: The Global Bank Stress Test
Series: Departmental Paper No 2022/009
Date: April 6, 2022
Subject: Capital adequacy requirements Commercial banks COVID-19 Financial institutions Financial regulation and supervision Financial sector policy and analysis Health Stress testing Taxes Value-added tax
Title: Republic of Kazakhstan: Technical Assistance Report-Risk-Based Supervision Pillar 2 Implementation
Series: Country Report No. 2022/065
Date: March 1, 2022
Subject: Capital adequacy requirements Commercial banks Corporate governance Economic sectors Financial institutions Financial regulation and supervision Internal controls International organization Monetary policy Operational risk Revenue administration Risk-based supervision
2021
Title: COVID-19: How Will European Banks Fare?
Series: Departmental Paper No. 2021/008
Date: March 26, 2021
Subject: Bank capital Bank risk management Capital adequacy requirements Corporate profits Countercyclical capital buffers Europe External balance assessment (EBA) External position Financial institutions Financial regulation and supervision Loans Nonperforming loans Stress testing
Title: Handle with Care: Regulatory Easing in Times of COVID-19
Series: Working Paper No. 2021/049
Date: February 26, 2021
Subject: Asset prices Capital adequacy requirements Financial sector Stock markets Stocks
2020
Title: Norway: Financial Sector Assessment Program-Technical Note-Risk Analysis and Stress Testing
Series: Country Report No. 2020/295
Date: November 10, 2020
Subject: Capital adequacy requirements Carbon tax Financial institutions Financial regulation and supervision Financial sector policy and analysis Loans Mortgages Stress testing Taxes
Title: Global Financial Stability Report, October 2020: Bridge to Recovery
Series: Global Financial Stability Report No. 2020/002
Date: October 23, 2020
Subject: Banking Bonds Capital adequacy requirements Credit Economic stability Emerging and frontier financial markets Financial institutions Financial markets Financial regulation and supervision Financial sector risk Global Financial Stability Reports Global Financial Stability Risks Loan loss provisions Macroeconomic risks Money Securities markets
Title: Republic of Korea: Financial Sector Assessment Program-Technical Note-Systemic Risk Analysis, Financial Sector Stress Testing, and an Assessment of Demographic Shift in Korea
Series: Country Report No. 2020/279
Date: September 18, 2020
Subject: Banking Capital adequacy requirements Commercial banks Financial institutions Financial sector policy and analysis Housing prices Insurance Insurance companies Loans Stress testing
Title: Republic of Korea: Financial Sector Assessment Program-Technical Note-Financial Conglomerates Supervisions
Series: Country Report No. 2020/275
Date: September 18, 2020
Subject: Asset and liability management Asset management Banking Capital adequacy requirements Corporate governance Economic sectors Financial conglomerates Financial institutions Financial regulation and supervision Financial services Insurance companies
Title: Georgia: Technical Assistance Report—Strengthening Regulation, Supervision, and Oversight of Micro Lending Institutions
Series: Country Report No. 2020/273
Date: September 3, 2020
Subject: Banking Capital adequacy requirements Commercial banks Deposit insurance Economic sectors Financial crises Financial institutions Financial regulation and supervision Loans Small and medium enterprises