IMF Publications by Subject
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Liquidity risk:
2006
Title: A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager
Series: Working Paper No. 2006/195
Date: August 1, 2006
Subject: Bonds Credit risk Exchange rate risk Liquidity risk Market risk
Title: Spain: Financial Sector Assessment Program: Detailed Assessment of the CPSS Core Principles for Systemically Important Payment Systems
Series: Country Report No. 2006/221
Date: June 14, 2006
Subject: Banking Clearing and settlement systems Credit Financial markets Financial regulation and supervision Large value payment systems Liquidity risk Money Payment systems
Title: Toward An Effective Supervision of Partially Dollarized Banking Systems
Series: Working Paper No. 2006/032
Date: January 1, 2006
Subject: Banking Credit risk Currencies Exchange rate risk Exchange rates Financial regulation and supervision Foreign exchange Liquidity risk Money
2005
Title: A Framework for the Surveillance of Derivatives Activities
Series: Working Paper No. 2005/061
Date: March 1, 2005
Subject: Banking Credit Credit risk Liquidity risk Market risk
Title: Stock Market Liquidity and the Macroeconomy: Evidence from Japan
Series: Working Paper No. 2005/006
Date: January 1, 2005
Subject: Liquidity Liquidity indicators Liquidity risk Market capitalization Stock markets
2004
Title: Managing Confidence in Emerging Market Bank Runs
Series: Working Paper No. 2004/235
Date: December 1, 2004
Subject: Asset and liability management Bank bailouts Banking Blanket guarantee Consumption Financial crises Financial regulation and supervision Liquidity Liquidity risk National accounts
Title: Some New Directions for Financial Stability?
Series: per Jacobson lecture
Date: September 30, 2004
Subject: Asset and liability management Banking Commercial banks Financial crises Financial institutions Financial regulation and supervision Financial sector policy and analysis Financial sector stability Liquidity indicators Liquidity management Liquidity risk
2000
Title: Determinants of Barter in Russia: An Empirical Analysis
Series: Working Paper No. 2000/155
Date: August 1, 2000
Subject: Arrears Asset and liability management Bank credit Currencies External debt Financial regulation and supervision Liquidity Liquidity risk Money