IMF Publications by Subject
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Systemic risk assessment:
2024
Title: Grenada: Systemic Risk Monitoring
Series: High Level Summary Technical Assistance Report No. 2024/035
Date: November 7, 2024
Subject: Credit bureaus Financial markets Financial regulation and supervision Financial sector policy and analysis Financial sector risk Financial sector stability Financial stability assessment Stress testing Systemic risk Systemic risk assessment
Title: Grenada: Technical Assistance Report-Systemic Risk Monitoring
Series: Technical Assistance Report No. 2024/091
Date: November 1, 2024
Subject: Credit bureaus Credit risk Economic sectors Financial institutions Financial markets Financial regulation and supervision Financial Sector Financial sector policy and analysis Financial sector risk Financial sector stability Financial stability assessment Insurance companies Stress testing Systemic risk Systemic risk assessment
Title: Denmark: Selected Issues
Series: Country Report No. 2024/293
Date: September 13, 2024
Subject: Covered bonds Financial institutions Financial sector policy and analysis Labor productivity Nonbank financial institutions Production Productivity Systemic risk assessment
Title: Spain: Financial Sector Assessment Program-Technical Note on Macroprudential Policy Framework and Tools
Series: Country Report No. 2024/260
Date: August 1, 2024
Subject: Financial sector policy and analysis Financial sector stability Macroprudential policy Macroprudential policy instruments Systemic risk Systemic risk assessment
2022
Title: Colombia: Financial Sector Assessment Program-Technical Note on Macroprudential Framework Policy and Tools
Series: Country Report No. 2022/157
Date: June 3, 2022
Subject: Financial regulation and supervision Financial sector policy and analysis Financial sector risk Financial sector stability International organization Liquidity requirements Macroprudential policy Monetary policy Systemic risk assessment
Title: Review of The Institutional View on The Liberalization and Management of Capital Flows — Background Note on Assessing Systemic Financial Stability Risks Due to FX Mismatches
Series: Policy Paper No. 2022/010
Date: March 30, 2022
Subject: Currencies Financial sector policy and analysis Financial statements Foreign exchange Monetary policy Money Political economy Public financial management (PFM) Systemic risk Systemic risk assessment
2021
Title: What Can We Learn from Financial Stability Reports?
Series: Working Paper No. 2021/200
Date: July 30, 2021
Subject: Financial sector policy and analysis Financial sector stability Macroprudential policy Stress testing Systemic risk Systemic risk assessment
Title: 2021 Comprehensive Surveillance Review— Modalities for Modernizing Surveillance
Series: Policy Paper No. 2021/028
Date: May 18, 2021
Subject: Climate change Corporate social responsibility Economic sectors Environment Financial Sector Assessment Program Financial sector policy and analysis Monetary policy Political economy Spillovers Systemic risk assessment
Title: 2021 Comprehensive Surveillance Review— Background Paper on Systemic Risk and Macroprudential Policy Advice in Article IV Consultations
Series: Policy Paper No. 2021/033
Date: May 18, 2021
Subject: Financial sector policy and analysis Financial sector stability Macroprudential policy Monetary policy Political economy Stress testing Systemic risk Systemic risk assessment
2020
Title: Denmark: Financial Sector Assessment Program-Technical Note-Systemic Risk Oversight and Macroprudential Policy Framework
Series: Country Report No. 2020/253
Date: August 12, 2020
Subject: Financial institutions Financial sector policy and analysis Housing prices Macroprudential policy Mortgages Prices Systemic risk Systemic risk assessment