IMF Publications by Subject
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Sovereign risk:
2019
Title: The Bahamas : Financial Sector Assessment Program-Technical Note on Financial Stability and Stress Testing
Series: Country Report No. 19/202
Date: July 1, 2019
Subject: Bank credit Central Banks Interest rate increases Real interest rates Sovereign risk
2018
Title: Brazil : Financial Sector Assessment Program-Technical Note on Stress Testing and Systemic Risk Analysis
Series: Country Report No. 18/344
Date: November 30, 2018
Subject: Bank liquidity Banking sector Corporate sector Financial Sector Assessment Program Financial stability Household credit Sovereign risk Stress testing Systemic risk assessment
Title: Thou Shalt Not Breach: The Impact on Sovereign Spreads of Noncomplying with the EU Fiscal Rules
Series: Working Paper No. 18/87
Date: April 13, 2018
Subject: Central bank accounting Financial crises Fiscal deficits Fiscal indicators Fiscal policy Fiscal rules Sovereign risk
2017
Title: Sovereign Risk and Bank Risk-Taking
Series: Working Paper No. 17/280
Date: December 14, 2017
Subject: Bank credit Banking crises Banks Central banking and monetary issues Central Banks Deposit insurance Financial crises Financial instruments General equilibrium models Liquidity Sovereign debt Sovereign risk
Title: Government Financial Assets and Debt Sustainability
Series: Working Paper No. 17/173
Date: July 25, 2017
Subject: Borrowing Debt burden Debt sustainability Default Developed countries Developing countries Emerging markets Financial assets Public debt Sovereign risk
2016
Title: Sovereign Risk and Deposit Dynamics : Evidence from Europe
Series: Working Paper No. 16/145
Date: July 22, 2016
Subject: Bank deposits Banks Econometric models Europe Financial crisis Sovereign risk Time series
2015
Title: Contingent Liabilities from Banks : How to Track Them?
Series: Working Paper No. 15/255
Date: December 9, 2015
Subject: Banking sector Contingent liabilities Sovereign risk
Title: Revisiting the Concept of Dollarization : The Global Financial Crisis and Dollarization in Low-Income Countries
Series: Working Paper No. 15/12
Date: January 22, 2015
Subject: Dollarization Econometric models Exchange rate appreciation Financial crises Financial crisis Global Financial Crisis 2008-2009 Low-income developing countries Sovereign risk
2014
Title: Non-Defaultable Debt and Sovereign Risk
Series: Working Paper No. 14/198
Date: October 28, 2014
Subject: Bond issues Debt buyback arrangements Econometric models Eurobond markets Sovereign debt Sovereign debt defaults Sovereign risk
Title: Banks, Government Bonds, and Default : What do the Data Say?
Series: Working Paper No. 14/120
Date: July 8, 2014