Global Financial Stability Report, April 2009: Responding to the Financial Crisis and Measuring Systemic Risks
May 27, 2009
Summary
The Global Financial Stability Report identifies potential fault lines in the global financial system that could lead to crisis, while providing comprehensive coverage of mature and emerging financial markets. The GFSR focuses on current conditions in global financial markets, highlighting issues that could pose risks to financial market stability and market access by emerging market borrowers.
Subject: Banking, Commercial banks, Credit, Credit default swap, Emerging and frontier financial markets, Financial institutions, Financial markets, Financial sector policy and analysis, Money, Systemic risk
Keywords: Africa, Asia and Pacific, asset, Commercial banks, Credit, credit crunch, Credit default swap, Emerging and frontier financial markets, emerging market, emerging market bond Index, Europe, financial support package, GFSR, Global, Middle East, return on assets, return on equity, surveillance role, Systemic risk
Pages:
250
Volume:
2009
DOI:
Issue:
001
Series:
Global Financial Stability Report No 2009/001
Stock No:
GFSREA2009001
ISBN:
9781616352080
ISSN:
1729-701X





