Back Matter

Back Matter

Author(s):
International Monetary Fund
Published Date:
June 1994
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    Agreement for the Establishment of the Joint Vienna Institute

    As approved by the Executive Board of the International Monetary Fund on January 21, 1994 (Decision No. 10575-(94/4), January 21, 1994)

    Agreement for the Establishment of the Joint Vienna Institute

    THE PARTIES SIGNATORY HERETO,

    Recognizing the importance of assisting Central and Eastern European countries and countries formerly republics of the U.S.S.R. in their transition to market-based economies;

    Noting that the training of officials from these countries is one important component of such assistance;

    Having Regard to the common interests of the Parties in establishing a training institute in Vienna, Austria, for this purpose; and

    Responding to the invitation of the Republic of Austria to locate such an institute in Vienna;

    Have Agreed as follows:

    Article I: Establishment and Status

    1. There is hereby established the Joint Vienna Institute (the “Institute”) as an international organization with full juridical personality.

    2. The Institute shall operate in accordance with this Agreement.

    Article II: Purpose and Activities

    1. The purpose of the Institute shall be to provide training to support and supplement the national efforts of the countries of Central and Eastern Europe, the countries formerly republics of the U.S.S.R., and other countries, in their transition from centrally planned economies to market-based economies.

    2. To this end, the Institute shall offer courses of instruction of the highest standard and of direct relevance to the purpose of paragraph 1 above, including courses in the areas of administration and economic and financial management. The Institute shall provide training primarily to public officials, and to other persons, with due regard to the role of the private sector. The Institute will also assist training institutes by providing training and other support.

    Article III: Powers

    The Institute shall have the capacity:

    (a) to contract;

    (b) to acquire and dispose of immovable and movable property;

    (c) to institute and respond to legal proceedings; and

    (d) to take such other action as may be necessary or useful for its purpose and activities.

    Article IV: Headquarters

    1. The headquarters of the Institute shall be located in Vienna, Austria, under such terms and conditions as agreed between the Institute and the Republic of Austria.

    2. The Institute may establish facilities in other locations as required to support its activities.

    Article V: Organization and Management

    1. Structure of the Institute

    The Institute shall have an Executive Board, an Advisory Committee, a Director, and staff.

    2. Executive Board

    (a) The Executive Board (the “Board”) shall be responsible for the conduct of the business of the Institute.

    (b) Each of the Parties shall appoint one Member to the Board and one Alternate Member to act for the Member when he is unable to serve.

    (c) The Board shall elect a Chairman and a Vice-Chairman from among its Members.

    (d) The Board shall meet at least once a year. Meetings of the Board shall be called by the Chairman as required or when requested by at least two Members of the Board.

    (e) A majority of Members of the Board shall constitute a quorum for any meeting of the Board.

    (f) Decisions of the Board shall be taken by a majority of votes cast, provided that:

    • (i) the following decisions shall be subject to the approval of all Members voting: decisions under Article V, paragraph 2(g)(i), Article V, paragraph 2(g)(iii), Article V, paragraph 2(g)(vi) and Article XVI; and

    • (ii) the following decisions shall be subject to the approval of four-fifths of all Members voting: decisions approving the work program under Article V, paragraph 2(g)(ii) and decisions approving the annual budget under Article V, paragraph 2(g)(iv).

    (g) The Board shall:

    • (i) adopt by-laws for the governance of the Institute in accordance with this Agreement, including by-laws for the implementation of the provisions of Article IX, paragraphs 3 and 4;

    • (ii) determine the Institute’s policies and approve its work program;

    • (iii) select the Director and external auditor of the Institute;

    • (iv) approve the Institute’s annual budget, audited financial statements and reports;

    • (v) appoint members of the Advisory Committee; and

    • (vi) approve agreements to be concluded under Article VIII.

    3. Director and Staff

    (a) The Director shall be chief of the operating staff of the Institute and shall, under the direction of the Board:

    • (i) conduct the ordinary business of the Institute;

    • (ii) represent the Institute in its dealings with third parties; and

    • (iii) do and perform all other acts necessary to further the purpose of the Institute.

    (b) The Director shall serve for a term of two years, subject to renewal.

    (c) The Director shall be responsible entirely to the Board, and to no other authority, for operating and managing the Institute in accordance with this Agreement, the by-laws and other decisions of the Board.

    (d) Subject to the general control of the Board, the Director shall be responsible for the organization, appointment and dismissal of the staff of the Institute. In appointing the staff, the Director shall secure the highest standards of efficiency and of technical competence.

    4. Advisory Committee

    The Advisory Committee shall consist of members appointed by the Board, including representatives of countries referred to in Article II, paragraph 1, to advise it on the Institute’s general training policies and programs.

    Article VI: Associate Members

    1. The Board may appoint major contributors to the Institute as Associate Members for such periods of time as it shall determine.

    2. The Board may invite Associate Members to participate in its meetings for particular agenda items. Associate Members shall have no right to vote.

    3. The Institute shall provide Associate Members with copies of its work program, annual budget, and of its annual report referred to in Article IX, paragraph 4.

    Article VII: Cooperative Relationships

    The Institute may establish cooperative relationships with any public or private entity, including other training and teaching institutions.

    Article VIII: Privileges and Immunities

    1. The Institute, the Members of the Board and their alternates, members of the Advisory Committee, the Director, staff and experts shall enjoy such privileges and immunities as agreed between the Institute and the Republic of Austria.

    2. The Institute may conclude agreements with other countries in order to secure appropriate privileges and immunities.

    Article IX: Finances and Reports

    1. The resources of the Institute shall include the following:

    • (a) voluntary contributions by each Party;

    • (b) contributions by the Republic of Austria;

    • (c) contributions from other sources; and

    • (d) income accruing from such contributions and other income.

    2. The fiscal year of the Institute shall be the calendar year.

    3. Each year, the Director shall prepare and submit to the Board, for its approval, the annual work program and budget.

    4. Each year, the Director shall prepare and submit to the Board, for its approval, an annual report containing an audited statement of the Institute’s accounts and a summary of the activities of the Institute. Such audit shall be conducted by an independent external auditor selected by the Board.

    Article X: Liability

    1. No Party or Associate Member shall be required to provide financial support to the Institute beyond such contributions as it has pledged.

    2. The Parties shall not be responsible, individually or collectively, for any debts, liabilities, or other obligations of the Institute; a statement to this effect shall be included in each of the agreements concluded by the Institute under Article VIII.

    Article XI: Amendments

    This Agreement may be amended only with the agreement of all Parties.

    Article XII: Coming into Force and Depositary

    1. This Agreement shall be open for signature by the following organizations: The Bank for International Settlements, the European Bank for Reconstruction and Development, the International Bank for Reconstruction and Development, the International Monetary Fund, and the Organisation for Economic Co-operation and Development.

    2. This Agreement shall come into force upon signature by four of the above-named organizations and shall remain open for signature by such organizations for a period of one year from the date of its coming into force.

    3. The Federal Minister for Foreign Affairs of the Republic of Austria shall be the Depositary of this Agreement.

    Article XIII: Settlement of Disputes

    Any dispute arising between the Institute and any Party or between any Parties under this Agreement shall be settled by negotiation or other agreed means of settlement.

    Article XIV: Withdrawal

    1. Any of the Parties may withdraw from this Agreement by written notification to the Depositary. Such withdrawal shall become effective three months after receipt of such notification by the Depositary.

    2. Withdrawal from this Agreement by a Party shall not limit, reduce or otherwise affect its pledged contribution for the fiscal year in which it withdraws.

    Article XV: Termination

    1. The duration of this Agreement shall be five years from the date of its coming into force unless the Parties unanimously decide to extend the duration of this Agreement by one or more successive periods of twelve months. At the expiration of this initial term of five years or any extension thereof, the Parties shall forthwith wind up the Institute by written notification to the Depositary. Any assets of the Institute remaining after payment of its legal obligations shall be disposed of in accordance with a decision of the Board.

    2. Notwithstanding paragraph 1, the Parties, acting unanimously, may terminate this Agreement at any time and wind up the Institute by written notification to the Depositary. Any assets of the Institute remaining after payment of its legal obligations shall be disposed of in accordance with a decision of the Board.

    3. The provisions of this Agreement shall survive its termination to the extent necessary to permit an orderly disposal of assets and settlement of accounts.

    Article XVI: Accession

    This Agreement shall be open for signature by such international organizations as may be decided by the Board.

    In Witness Whereof, the undersigned, being duly authorized, have signed this Agreement on the dates indicated below.

    For the Bank for International Settlements:

    For the European Bank for Reconstruction and Development:

    For the International Bank for Reconstruction and Development:

    For the International Monetary Fund:

    For the Organisation for Economic Co-operation and Development:

    Index

    (* indicates Decision and Resolution as amended)

    Decision No.Page
    AAccounting by members for transactions with the Fund170-33
    Accounts:
    Administrative accounts, balances held not in excess of 0.1 percent of quota, exclusion from Fund’s holdings of member’s currency7060-(82/23)396
    Borrowed Resources Suspense Accounts6844-(81/75)322
    6845-(81/75)323
    General Account; see General Resources Account, below
    General Resources Account:
    Adjustment of currency holdings of members5590-(77/163)250
    Exchange rate for Fund computations5590-(77/163)250
    Level of Fund SDR holdings, maintenance6275-(79/158) G/S196
    7626-(84/23) S201
    7941-(85/50) S201
    8265-(86/70) S201
    8574-(87/64) S201
    10278-(93/19) S202
    Purchase of SDRs for payment of charge5702-(78/39) * G/S216
    Reimbursement for expenses of carrying out business of supplementary financing facility Subsidy Account6683-(80/185) G/TR421
    Reimbursement for expenses of conducting business of Trust Fund5069-(76/72)406
    Sales of SDRs for payment of quota increases by members under Seventh General Review of Quotas6663-(80/160) S207
    Special Contingent Account, see Special Contingent Account
    Special Disbursement Account, transfer of resources to ESAF Trust and retransfer to Special Disbursement Account8760-(87/176)277
    Special Disbursement Account, transfers to supplementary financing facility Subsidy Account6683-(80/185) G/TR417
    6704-(80/185) TR415
    Investment7990-(85/81)252
    8029-(85/105)253
    Structural adjustment facility; see Structural adjustment facility
    Special Drawing Rights Department, payment of net charges and assessments7116-(82/68)S391
    Subsidy Accounts:
    Supplementary financing facility:
    Disbursement of additional subsidy amounts for period ending June 30, 19868523-(87/25) SBS425
    Instrument6683-(80/185) G/TR416
    Investment of currencies6854-(81/78) * SBS422
    Means of payments8185-(86/9) SBS/S423
    Subsidy payments, July 1, 1983–June 30, 19847754-(84/108) SBS423
    Subsidy payments, July 1, 1984–June 30, 19858037-(85/110) SBS424
    Subsidy payments, July 1, 1985–June 30, 19868492-(87/1) SBS424
    Subsidy payments, July 1, 1986–June 30, 19878674-(87/117) SBS426
    Subsidy payments, July 1, 1987–June 30, 19888941-(88/122) SBS426
    Subsidy payments, July 1, 1988–June 30, 19899222-(89/97) SBS427
    Suspension of transfers and retransfer of surplus to Special Disbursement Account7989-(85/81) SBS423
    Transfer of funds from Special Disbursement Account following termination of Trust Fund6704-(80/185) TR415
    Accrued charges and income; see Overdue obligations to Fund, purchase from Fund
    Adjustment process, international, review5392-(77/63)8
    Administered accounts; see Article V, Section 2(b), administration of deposits provided by members
    Administrative accounts; see Accounts
    African Development Bank and African Development Fund, prescription as holders of SDRs8318-(86/104) S369
    Andean Reserve Fund, prescription as holder of special drawing rights6486-(80/77) S369
    Arab Monetary Fund, prescription as holder of special drawing rights6609-(80/126) S369
    Arrears to the Fund, see Overdue Obligations to Fund
    Articles of Agreement *
    Amendment, SecondB/G Res. 29-8436
    B/G Res. 29-10450
    Article 1, purposes of the Fund287-355
    433-(55/42)328
    1034-(60/27)333
    4377-(74/114) *97
    5069-(76/72)400
    Article II, Section 2, membership6266-(79/156)4
    Article III, Section 2, adjustment of quotas408-23
    Article III, Section 2(a), general review of quotasB/G Res. 31-2454
    B/G Res. 34-2457
    B/G Res. 38-1468
    B/G Res. 43-1477
    B/G Res. 44-1479
    B/G Res. 44-5482
    B/G Res. 45-1486
    B/G Res. 45-2488
    B/G Res. 48-3501
    Article IV:
    Consultations5392-(77/63)8-13
    6026-(79/13)13
    6056-(79/38)85
    6790-(81/43)348
    7427-(83/83)16-17
    10168-(92/127)17
    Consultations, bicyclic procedure Termination, see Termination of Bicyclic procedures below
    Exchange arrangements5392-(77/63)8
    5712-(78/41)7
    Termination of Bicyclic Consultation procedure10362-(93/67)16
    Article IV, Section 3, surveillance over exchange rate policies5392-(77/63) *8-9
    6026-(79/13) *13
    Article V, Section 11289-(62/1) *291
    Article V, Section 3, application of Fund policies to purchases of currency borrowed by Fund1289-(62/1)*288
    Article V, Section 3(a), “consistent with the provisions of this Agreement,” meaning287-355
    Article V, Section 3(b)(ii), “represents” that a member has a need to make purchases284-456
    Chairman’s Summing-up
    EBM/87/17645
    Article V, Section 3(b)(iii), waiver4377-(74/114) *98
    5508-(77/127)191
    6783-(81/40)*184
    Article V, Section 3(d):8955-(88/126)*129
    Sale of members’ currencies for repurchases5704-(78/39)209
    Selection of currencies in purchases6273-(79/158) G/S194
    6274-(79/158)195
    6352-(79/183)197
    6774-(81/35)202
    Article V, Section 3(f), transfers of SDRs6275-(79/158) G/S196
    Article V, Section 5, limitation on use of Fund’s resources284-3205
    286-1205
    7842-(84/165)94
    Article V, Section 6, sale of SDRs by the Fund6663-(80/160) S207
    Article V, Section 6(b), transfers of SDRs by the Fund6274-(79/158)194
    6774-(81/35)202
    Article V, Section 7, repurchases1289-(62/1) *288
    5703-(78/39) *213
    5704-(78/39)208
    5809-(78/88) *214
    6172-(79/101)209
    Article VI, capital transfers1238-(61/43)55
    Article VII, replenishment of Fund’s holdings of currencies5508-(77/127)186
    5509-(77/127)312
    6783-(81/40)181
    Article VII, Section 1, borrowing by Fund1289-(62/1) *284
    8897-(88/93)309
    6783-(81/40)*181
    Article VIII:
    Bilateralism433-(55/42)328
    Consultations5712-(78/41)12
    Retention quotas201-(53/29)329
    Article VIII and Article XIV1034-(60/27)332
    Article VIII, Sections 2, 3, and 4, acceptance of obligations1034-(60/27)333
    Article VIII, Section 2(a):
    Payments restrictions144-(52/51)327
    3153-(70/95)335
    Article VIII, Section 2(b), unenforceability of exchange contracts446-4325
    Article VIII, Section 3, multiple currency practices237-2337-44
    649-(57/33)345
    6790-(81/43)346
    Article VIII, Section 7B/G Res. 34-3507
    Article IX, Section 7, privilege for communications534-3354
    Article XII, Section 3(b)(i) and 3(f)2-1356
    Article XII, Section 3(c):
    Additional appointed Executive Directors574-2 *356
    Determination of member’s entitlement to appoint Executive Director7060-(82/23)397
    “The preceding two years,” meaning597-4357
    Article XIV:
    Articles VIII and XIV1034-(60/27)332
    Bilateralism433-(55/42)328
    Consultations5392-(77/63)8
    Retention quotas201-(53/29)329
    Article XIV, Section 11034-(60/27)333
    Article XIV, Section 2:
    Multiple currency practices237-2342
    Payments restrictions144-(52/51)327
    3153-(70/95)334
    Transitional arrangements446-4326
    Article XIV, Section 3117-1360
    Article XVII, Section 3, other holders of special drawing rights6467-(80/71) S366
    6484-(80/77) S368
    6486-(80/77) S369
    7629-(84125)300
    8642-(87/101)S/TR370
    8759-(87/176)ESAF*34
    8937-(88/118)ESAF371
    Article XVIII, allocation of special drawing rightsB/G Res. 24-12503
    B/G Res. 34-3512-13
    Article XVIII, Section 2(d), allocations of special drawing rights to new participants5956-(78/180) S373
    6368-(79/191) S373
    Article XIX, Section 2(c):
    Acceptance and use of special drawing rights by prescribed holders6467-(80/71) S366
    Operations and transactions in special drawing rights between participants6000-(79/1) S *374
    6001-(79/1) S *375
    6053-(79/34) S *377
    6054-(79/34) S *379
    6336-(79/178) S381
    6337-(79/ 178) S382
    6437-(80/37) S383
    Article XIX, Section 5, designation of participants to provide currency6209-(79/124) S385
    Article XIX, Section 5(a)(i), designation plans6273-(79/158) GS193
    Article XIX, Section 6(b), abrogation of rules for reconstitution6832-(81/65) S389
    Article XIX, Section 7(a), calculation of exchange rates1289-(62/1) *290-91
    6001-(79/1) S376
    6053-(79/34) S *377
    6054-(79/34) S *379
    6336-(79/178) S381
    7041-(82/8) G/S390
    Article XX, Section 1, interest paid on holdings of special drawing rights6467-(80/71) S366
    Article XX, Section 5, application against unpaid charges of special drawing rights acquired by participants after payment date7116-(82/68) S391
    Article XXIIB/G Res. 34-3507
    Article XXIII, Section 1, suspension of operations and transactions in special drawing rights6467-(80/71) S368
    Article XXVI, Section 2(a), ineligibility to use Fund resources343-(54/47)393
    Article XXVI, Section 31289-(62/1) *292
    Article XXVII1289-(62/1) *292
    270-(53/95) *85
    Article XXVII, Section 1(a)(i), suspension of transactions covered by stand-by arrangements270-(53/95) *85
    Article XXIX(a), list of interpretations underXXXV
    Article XXX(c):
    Exclusion of purchases and holdings under buffer stock facility5591-(77/163)394
    Exclusion of purchases and holdings under compensatory and contingency financing facility8955-(88/126) *394
    Exclusion of purchases and holdings under policy on enlarged access6783-(81/40) *185
    Exclusion of purchases and holdings under extended facility6830-(81/65)395
    Exclusion of purchases and holdings under supplementary financing facility5508-(77/127)395
    Exclusion of purchases under oil facility5371-(77/51)395
    Exclusion relating to purchases in credit tranches6830-(81/65)395
    Exclusion of purchases and holdings under Systemic Transformation Facility10348-(93/61) STF180,397
    Article XXX(f), freely usable currencies5719-(78/46)398
    Article XXXI, Section 1408-23
    Schedule B, repurchases5703-(78/39) *213
    5704-(78/39)209
    6008-(79/3)320
    Schedule B, paragraph 7(b), use of amounts in excess of capital value available from gold sales for benefit of developing countries5069-(76/72)399
    Schedule F, rules for designation6209-(79/124) S386
    Schedule G, rules for reconstitution, abrogation6832-(81/65) S389
    Schedule J1289-(62/1) *292
    Schedule K1289-(62/1) *292
    Asian Development Bank, prescription as holder of special drawing rights7229-(82/136) S369
    Assessments, payment in SDR Department; see Accounts, Special Drawing Rights Department, payment of net charges and assessments
    Attribution of reductions in Fund’s holdings of currency6831-(81/65) *214
    6774-(81-35)204
    Review7704-(84/78)215
    Audit:
    Enhanced structural adjustment facility trust (ESAF Trust)8759-(87/176) ESAF36
    Supplementary financing facility Subsidy Account6683-(80/185) G/TR421
    Trust Fund5069-(76/72)405
    Augmentation; see Purchase transactions, Augmentation
    BBalance of payments position:
    Assessment for assistance from Trust Fund5069-(76/72)402
    Assessment for purposes of designation plans, operational budgets, and early repurchases6273-(79/158) G/S193
    Discrimination for balance of payments reasons955-(59/45)331
    Deposit by Managing Director of currencies held in supplementary financing facility Subsidy Account6854-(81/78) SBS422
    Prescription as holder of special drawing rights6484-(80/77) S368
    Trust Fund deposits denominated in SDRs5973-(78/189) TR409
    Bank of Central African States, prescription as holder of special drawing rights7064-(82/26) S369
    Belgium, National Bank of, Borrowing agreement with Fund; see Borrowing by the Fund
    Bicyclic consultation procedures; see Consultation with members
    Bilateralism433-(55/42)328
    Borrowed Resources Suspense Accounts; see Borrowing by the Fund, below
    Borrowing by the Fund
    Borrowed Resources Suspense Accounts6844-(81/75)322
    6845-(81/75)322
    Borrowed resources, use to finance purchases under arrangements providing enlarged access to Fund’s resources6783-(81/40)396
    General Arrangements to Borrow:1289-(62/1) *284
    Associated borrowing arrangements7403-(83/73)302
    “Outstanding borrowing and unused credit lines,” clause in respect of GAB in guidelines for Fund borrowing9862-(91/156) *323
    Renewal,10176-(92/129)295
    Saudi Arabia, association agreement7403-(83/73)302
    Renewal8897-(88/93)309
    10235-(92/149)311
    Transferability of claims7629-(84/25)300
    Transferability of claims; see Transferability of claims
    Use of credit arrangements for nonparticipants1289-(62/1) *293
    Guidelines9862-(91/156)323
    Supplementary financing facility:
    Authorization to make calls6006-(79/3)319
    Interest payment procedure6163-(79/96)320
    Meaning of “net creditor position in the Fund”6008-(79/3)320
    Replenishment of holdings of currencies5509-(77/127)312
    Subsidy Account6683-(80/185) G/TR416
    Buffer stock financing facility2772-(69/47) *167
    Access limit and review2772-(69/47) *167
    Elimination of floating10186-(92/132)168
    Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase”5591-(77/163)394
    International Natural Rubber Agreement, 19797246-(82/147)174
    International Natural Rubber Agreement, 19879403-(90/53)176
    International Sugar Agreement, 19775597-(77/171)172
    International Tin Agreements:
    Fourth3179-(70/102)168
    Fifth5127-(76/91)169
    Sixth7247-(82/147)170
    3351-(71/51)169
    Repurchases5703-(78/39) *212
    Sixth International Tin Agreement7247-(82/147)170
    1977 International Sugar Agreement5597-(77/171)172
    International Natural Rubber Agreement, 19797246-(82/147)174
    Burden sharing8348-(86/122) *221
    Managing Director’s Remarks227
    Extended burden sharing; see Extended burden sharing
    Implementation for FY 19898861-(88/67)229
    for FY 19909135-(89/46)233
    for FY 199410340-(93/54) *239
    for FY 199510706-(94/52)246
    10660-(94/38)243
    Net income target:
    for FY 19898861-(88/67)229
    for FY 199410704-(94/42)245
    for FY 199510705-(94/42)245
    Principles of “burden sharing”8861-(88/67)229
    Rate of charge:
    for FY 19898861-(88/67)229
    Retroactive reduction of rate of charge10705-(94/52)245
    Special Contingent Account, amounts placed
    for FY 19878619-(87/90)227
    for FY 19888780-(88/12)228
    for FY 19898861-(88/67)229
    for FY 19909135-(89/46)233
    9471-(90/98)236
    By-Laws, Section 20 audits; see Audits
    By-Laws, Section 22, Compulsory Withdrawal: see Section 22
    CCapital transfers:
    Controls by members541-(56/39)283
    B/G Res. 29-10447
    Restrictions237-2340
    Use of Fund’s resources for1238-(61/143)55
    B/G Res. IM-6433
    Central Bank of West African States, prescription as holder of special drawing rights6908-(81/101) S369
    “Changing circumstances,” adaptation of multiple currency practices237-2343
    Charges:
    Accounting for charges from members with overdue obligations8433-(86/175)217
    Accrued charges8433-(86/175)217
    Balances held in Fund’s administrative accounts not in excess of 0.1 percent of quota not to be considered part of Fund’s holdings of member’s currency for calculation7060-(82/23)396
    Extended Fund facility4377-(74/114) *99
    10464-(93/130)111
    Future changes4239-(74/67)216
    Interest on Trust Fund loans; see Interest
    Media of payment5702-(78/39) * G/S216
    Oil facility Subsidy Account; see Accounts, Subsidy Accounts
    Overdue obligations to Fund, special charges8165-(85/189) G/TR217
    Overdue obligations to Fund, accrued income8433-(86/175)217
    Payment by nonparticipant in Special Drawing Rights Department5702-(78/39) G/S216
    Payment of net charges and assessments in Special Drawing Rights Department, procedure when participants fail to hold adequate SDRs or to acquire them from other participants or Fund7116-(82/68)S392
    Rate, as of Feb. 1, 19888780-(88/12)228
    Rate, determination of, burden sharing8348-(86/122) *222
    Rate on use of ordinary resources for FY 199410391-(93/86)242
    Setoff in connection with retroactive reduction8271-(86/74)220
    Special charges on overdue obligations to Fund8165-(85/189) G/TR *217
    Elimination after six months or more8165-(85/189) G/TR *219
    Trust Fund loans10352-(93/49) G/TR219
    Setoff against charges due for second quarter of FY 19878442-(86/178)221
    Stand-by arrangements10464-(93/130) *107
    Supplementary financing facility5508-(77/127)191
    Supplementary financing facility Subsidy Account; see Accounts, Subsidy Accounts
    Committee on Reform of the International Monetary System and Related IssuesB/G Comp. Res.435
    Final report and terminationB/G Res. 29-7436
    Support of extended Fund facility4377-(74/114)*97
    Voluntary Declaration on Trade and Other Current Account Measures4254-(74/75)348
    Commodities see also Buffer stock financing facility; Compensatory financing …):
    Reclassification where subject to multiple currency practices237-2342
    Communications, privilege for534-3354
    Compensatory and contingency financing facility, establishment8955-(88/126) *128
    Compensatory financing of export fluctuations8955-(88/126) *132
    External contingency financing8955-(88/126) *137
    Chairman’s Summing up
    EBM/88/105156
    Compensatory financing of fluctuation in the cost of cereal imports8955-(88/126) *140
    Compensatory financing of fluctuations in8955-(88/126) *146
    Transitional and other provisions8955-(88/126)153
    Conditionality; see Use of Fund’s resources, Conditionality
    “Consistent with the provision of this Agreement,” meaning in Article V, Section 3287-355
    Consultation with members:
    Before accepting obligations of Article VIII, Sections 2, 3, and 41034-60/27)333
    Bicyclic procedures and simplified interim procedures
    Termination10362-(93/67)16
    Bilateral arrangements433-(55/42)328
    Changes in members’ exchange arrangements, notification to Fund5712-(78/41)7
    Commodity field, attention to policies2772-(69/47) *167
    Conduct by Managing Director in interval between Article IV consultations5392-(77/63)13
    6026-(79/13)14
    Consultations under Article IV5392-(77/63)12
    6026-(79/13)14
    6056-(79/38)87
    6790-(81/43)348
    Cycles - Review10168-(92/127)16
    Discussions on use of Fund’s resources102-(52/11)56
    During period of extended arrangement10464-(93/130) *106
    During period of stand-by arrangement10464-(93/130) *107
    Exchange measures needing approval under Article VIII1034-(60/27)332-33
    Members’ policies in present circumstances4134-(74/4)336
    Multiple currency practices237-2339
    Periodic discussions under Article VIII1034-(60/27)332-34
    Resumption of purchases under extended arrangements10464-(93/130) *110
    Resumption of purchases under stand-by arrangements270-(53/95) *84
    10464-(93/130) *106
    Retention quotas201-(53/29)329
    Special consultations5392-(77/63)12
    Whether measure is exchange restriction1034-(60/27)333
    Consultations with European Monetary Cooperation Fund on calculation of representative rate for European Currency Unit7041-(82/8) G/S390
    Consultations with prescribed holders of special drawing rights6467-(80/71)S367
    Contingency mechanism; see Compensatory and contingency financing facility
    Convertibility:
    Acceptance of obligations of Article VIII, Sections 2, 3, and 41034-(60/27)333
    Approval of exchange restrictions1034-(60/27)333
    Bilateralism433-(55/42)328
    Consultation with Fund1034-(60/27)334
    Discrimination955-(59/45)331
    Multiple currency practices; see Multiple currency practices
    Retention quotas201-(53/29)329
    Credit tranches; see Tranche policies
    Creditworthiness, factor in determining use of Fund’s resources102-(52/11)57
    Currencies (see also Borrowing by the Fund; Convertibility; Holdings of the Fund; Investment):
    Arrangements for use in operations and transactions of FundB/G Res. 31-2455-56
    Composition of special drawing right6631-(80/145) G/S361
    Freely usable currencies5719-(78/46)398
    Guidelines for use in operational budgets6772-(81/35) G/S198
    10279-(93/19)199
    Guidelines for use in operations and transactions of General Resources Account6273-(79/158)G/S193
    6274-(79/158)194
    6774-(81/35)202
    10279-(93/19)199
    Payment of subscriptions6266-(79/156)4
    B/G Res. 31-2455
    B/G Res. 34-2462
    B/G Res. 38-1473
    Rates for computations and maintenance of value5590-(77/163)250
    Replenishment in connection with supplementary financing facility5509-(77/127)312
    6774-(81/35)202
    Sale by agreement with member with outstanding purchases6274-(79/158)194
    6352-(79/183)196
    Selection for payment of charges5702-(78/39) * G/S216
    Specified by the Fund, use in repurchases5703-(78/39) *213
    5809-(78/88)214
    Subscribed to the Fund, owenership170-33
    DDebt management policies; see External debt management policies
    Debt and debt service reduction operations, early repurchase expectations9331-(89/167)*118
    Debt and debt service reduction, Modalities of Fund supportActing
    Chairman’s Summing-up EBM/94/1124
    Avoidance of linking prepayments to commercial banks with early repurchasesChairman’s Summing-up EBM/91/48123-24
    Debt strategy, Fund involvement inChairman’s Summing up EBM/89/61113
    Declaration of noncooperation or censureEBM/89/10066
    EBM/89/10166
    Deferred income; see Overdue obligations to Fund, Deferred income
    Designation; see Special drawing rights
    Development Committee; see Joint Ministerial Committee
    Discriminatory practices imposed for balance of payments reasons (see also Exchange restrictions)955-(59/45)331
    Drawings; see Purchase transactions; Use of Fund’s resources
    EEast African Development Bank, prescription as holder of special drawing rights7582-(83/174)S369
    Eastern Caribbean Central Bank, prescription as holder of special drawing rights7707-(84/79)S369
    Emergency assistance, natural disastersChairman’s Remarks EBM/82/16126
    Enemy-occupied, former, members, introduction of multiple currency practices237-2342
    Enhanced structural adjustment facility:
    Access limits8845-(88/61)ESAF*45
    8759-(87/176) ESAF *25
    8238-(86/56)SAF*260
    Arrears to the Fund, consequencesActing Chairman’s Remarks EBM/88/1260-61
    Borrowing for loan accounts, consultation with creditors9056-(89/2)ESAF47
    Establishment8757-(87/176) SAF/ESAF274
    Extension of commitment and disbursement periods for agreement9114-(89/40)ESAF277
    Gold pledge for use of ESAF Trust resources under Right Approach10286-(93/23)ESAF280
    Legal documentationChairman’s Remarks EBM/87/17645
    Operational arrangementsChairman’s Summing up EBM/87/17139
    Review8757-(87/176) SAF/ESAF275
    9114-(89/40) SAF/ESAF275
    9487-(90/106) SAF/ESAF*275
    9808-(91/114) SAF/ESAF275
    10089-(92/94) SAF/ESAF276
    Enhanced Structural Adjustment Facility Trust: Instrument to establish8759-(87/176) ESAF*21
    Chairman’s Summing up EBM/87/17139
    Interest rate on trust loans8846-(88/61)ESAF46
    Lending, considered as a member’s official reserves by FundChairman’s Summing up EBM/87/17645-46
    Transfer and retransfer of resources to and from Special Disbursement Account8760-(87/176) *277
    Enhanced surveillance
    Midterm review, procedure10365-(93/67)51
    Chairman’s Summing Up EBM/93/1552
    Procedures for transmittal of staff reports8222-(86/45)47
    Chairman’s Summing up EBM/85/13248
    Enlarged access, policy on6783-(81/40)*181
    European Currency Unit, representative rate in terms of SDR7041-(82/8) G/S390
    European Monetary Cooperation Fund, consultation on calculation of representative rate for European Currency Unit7041-(82/8)G/S390
    “Exceptional circumstances,” meaning in Article XIV, Section 3 (Section 4 before Second Amendment)117-1360
    237-2344
    Exchange arrangements, notification5392-(77/63) *12
    5712-(78/41)7
    Exchange contracts, unenforceability446-4325
    Exchange control regulations, Fund prepared to advise whether maintained or imposed consistently with Fund Agreement446-4326
    Exchange controls on capital transfers541-(56/39)283
    Exchange rates:
    Borrowing arrangements by Fund1289-(62/1) *290
    Exchange rate policies of members, surveillance5392-(77/63)9
    Flexible exchange arrangements5712-(78/41)8
    Floating, guidelinesB/G Res. 29-10447
    Fluctuating:
    Multiple currency practices (fixed and fluctuating rates)237-2340
    Scope of transactions to be agreed with Fund237-2340
    Free markets237-2340
    Multiple currency practices arising from official action6790-(81/43)346
    Notification to Fund5392-(77/63)12
    5712-(78/41)7
    Pegs, notification to Fund of changes5712-(78/41)7
    Representative rate for European Currency Unit in terms of SDR7041-(82/8)G/S390
    Unification in multiple rate systems a basic objective of Fund649-(57/33)345
    Exchange restrictions (see also Payments restrictions):
    Approval1034-(60/27)333
    Avoidance of escalation4134-(74/4)337
    4254-(74175)348
    Bilateralism433-(55/42)328
    Capital transactions; see Capital transfers
    Consultations with Fund1034-(60/27)333
    Discrimination955-(59/45)331
    Guiding principle of whether measure is a restriction on payments and transfers for current international transactions1034-(60/27)333
    Introduction1034-(60/27)333
    Maintenance1034-(60/27)334
    Multiple currency practices237-2341
    649-(57/33)345-46
    6790-(81/43)346
    Payments arrears3153-(70/95)334
    Retention quotas201-(53/29)329
    Security reasons; see Payments restrictions
    Transitional arrangements under Article XIV, obligations under Article VIII, Sections 2, 3, and 41034-(60/27)333
    Withdrawal, representation by Fund117-1360
    Exchange systems, avoidance of use for nonbalance of payments reasons1034-(60/27)333
    Exchange taxes237-2340,344
    Notification to Fund5712-(78/41)8
    Exchange transactions; see Purchase transactions
    Exclusion of balances held in administrative accounts; see Accounts, Administrative accounts
    Exclusion of purchases and holdings under Fund policies; see Article XXX(c)
    Executive Board:
    Annual review of implementation of surveillance over members’ exchange rate policies5392-(77/63)9
    6026-(79/ 13)13
    9499-(90/11)*15
    10072-(92/85)15
    10273-(93/15)15
    Annual review of upper-maturity limit in guidelines on performance criteria with respect to foreign borrowing6230-(79/140)91
    Communication of changes in members’ exchange arrangements5712-(78/41)7
    Information on operation of buffer stocks3179-(70/102)168
    5127-(76/91)170
    5597-(77/171)174
    7246-(82/147)176
    7247-(82/147)172
    Report to Board of Governors on quota increases under General Reviews of Quotas:
    SeventhB/G Res. 34-2457
    EighthB/G Res. 38-1468
    NinthB/G Res. 43-1477
    B/G Res. 44-5482
    B/G Res. 45-1486
    B/G Res. 45-2488
    Review and change of rules for designation6209-(79/124)S387
    Review of broad developments in exchange rates5392-(77/63)12
    Review of decision on extended Fund facility4377-(74/114)*99
    5220-(76/144)99
    7558-(83/156)100
    7857-(84/175)100
    8192-(86/13)101
    8583-(87/72)101
    9189-(89/77)102
    9790-(91/106)102
    Review of functioning of international adjustment process5392-(77/63)11
    Review of guidelines for borrowing by Fund9862-(91/91)323
    Review of level of Fund’s SDR holdings6275-(79/158)G/S196
    7626-(84/23)S201
    7941-(85/50)S201
    8265-(86/70)S201
    8574-(87/64) S201
    10278-(93/19) S202
    Review of prescriptions of holders of special drawing rights6467-(80/71)S367
    Review of quota calculation methodB/G Res. 38-1468
    Executive Directors:
    Additional appointed, meaning of “the preceding two years” in Article XII, Section 3(c)597-4357
    Appointment by members having five largest quotas2-1356
    Determination of members entitled to appoint under Article XII, Section 3(c)574-2 *356
    Balances held in Fund’s administrative accounts not in excess of 0.1 percent of quota not to be considered part of Fund’s holdings of member’s currency for determination7060-(82/23)396
    Participation in meetings of Development CommitteeB/G Res. 29-9443
    Participation in meetings of Interim CommitteeB/G Res. 29-8437
    Voting power, effect of quota changes180-5357
    Export shortfalls, financing; see Compensatory and contingency financing facility
    Extended arrangements4377-(74/114)*96
    Access limits, see Guidelines on access limits below
    Amounts to be made available10181-(92/132)185
    Augmentation of rights to make purchases, elimination5706-(78/39)95
    Charge4377-(74/114)*99
    10464-(93/130) *111
    Elimination of use under Enlarged Access Policy10181-(92/132)185
    Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase”6830-(81/65)395
    Form, standard10464-(93/130) *108
    Guidelines on access limits10181-(92/132)185
    Guidelines, operational; see Performance criteria and phasing, below
    Ineligibility10464-(93/130) *111
    Publicity upon declaration7931-(85/41)358
    7999-(85/90)358
    Misreporting and noncomplying purchases, guidelines on corrective action7842-(84/165)92
    EBM/85/2694
    Noncomplying purchases; see Misreporting and noncomplying purchases
    Operational guidelines; see Performance criteria and phasing, below
    Overdue obligations to Fund, purchases from Fund7908-(85/26)58
    EBM/84/5459
    Performance criteria and phasing, operational guidelines7925-(85/38) *87
    Provision for enlarged access to Fund’s resources6783-(81/40)181
    Provision for supplementary financing5508-(77/127)186
    Repurchases; see Repurchases
    Review of decision on extended Fund facility5220-(76/144)99
    7558-(83/156)100
    7857-(84/175)100
    8192-(86/13)101
    8583-(87/72)101
    9189-(89/77)102
    9790-(91/106)102
    Suspension of right to engage in purchase transactions10464-(93/130) *111
    Utilization of supplementary financing facility for enlarged access resources; see Amendment to utilize …, above
    Extended burden sharing, implementation and modalities of new special Contingent Account9471-(90/98)236
    Extended Fund facility; see Extended arrangements
    External debt management policies6230-(79/140)90
    External contingency financing, see Compensatory and contingency financing facility
    F“First credit tranche,” Fund attitude to request for transactions84
    Floating rates; see Exchange rates
    Fluctuating exchange rates; see Exchange rates
    Freely usable currencies5719-(78/46)398
    Free markets; see Exchange rates
    Fund resources, use; see Use of Fund’s resources
    Fund’s holdings; see Holdings of the Fund
    GGeneral Agreement on Tariffs and Trade1034-(60/27)334
    4254-(74/75)350
    B/G Res. 29-10448
    General Arrangements to Borrow; see Borrowing by the Fund
    General Resources Accounts; see Accounts
    Gold:
    Modalities of gold pledge for use of ESAF Trust resources under Rights Approach10286-(93/23)280
    Repurchase obligations, discharge by payment in SDRs or currencies of other members specified by Fund5703-(78/39) *213
    5809-(78/88)214
    Sale, amounts available to Trust Fund5069-(76/72)400
    Sale for benefit of developing members, distribution of profits through Trust Fund5069-(76/72)400
    5709-(78/41) TR410
    5832-(78/95) TR410
    6540-(80/98) TR413
    Sale, transfer of profits to Trust Fund5069-(76/72)401
    Subscribed to Fund, ownership170-33
    Gross reserve position; see Reverse position, gross
    HHoldings of the Fund:
    Adjustment by Fund5590-(77/163)250
    Attribution of reductions to enlargement of member’s reserve tranche position6774-(81/35)204
    6831-(81/65) *214
    Attribution of reductions to repurchase obligations6831-(81/65) *214
    Balances held in administrative accounts not in excess of 0.1 percent of member’s quota, exclusion from Fund’s holdings of member’s currency for certain purposes7060-(82/23)396-97
    Computations and adjustment, rates5590-(77/163)250
    Exclusion of holdings resulting from credit tranche purchases6830-(81/65)395
    Exclusion under buffer stock facility5591-(77/163)394
    Exclusion under compensatory and contingency financing facility8955-(88/126) *394
    Exclusion under enlarged access policy6783-(81/40)396
    Exclusion under extended Fund facility6830-(81/65)395
    Exclusion under oil facility5371-(77/51)395
    Exclusion under supplementary financing facility5508-(77/127)395
    Exclusion under systemic transformation facility10348-(93/61)
    STF180
    Replenishment; see Article VII, replenishment of Fund’s holdings of currencies; Borrowing by the Fund
    Repurchases; see Repurchases
    IImport restrictions imposed for balance of payments reasons, GATT members1034-(60/27)334
    Income, accrued, see Overdue obligations to Fund, purchases from Fund, Accrued charges and income
    Income position, burden sharing8348-(86/122) *221
    9135-(89/46)233
    Income target, see Burden sharing, net income target
    Ineligibility; see Extended arrangements; Standby arrangements; Use of Fund’s resources
    Interest:
    Charge on loans from Trust Fund5069-(76/72)399
    Payment on Fund indebtedness under General Arrangements to Borrow1289-(62/1) *288
    Payment on Fund indebtedness under supplementary financing facility Subsidy Account6683-(80/185) * G/TR417
    Payment under supplementary financing facility5509-(77/127) Annex315
    6163-(79/96)320
    Payments by members under Trust Fund loan agreements6358-(79/188)412
    5069-(76/72)404
    Interim Committee of the Board of Governors on the International Monetary System: EstablishmentB/G Res. 29-8 *435
    Review of functioning of international adjustment process5392-(77/63)11
    Rules of procedure450-51
    International Bank for Reconstruction and Development, prescription as holder of special drawing rights6718-(81/1) S369
    International Development Association, prescription as holder of special drawing rights6718 (81/1) S369
    International Fund for Agricultural Development, prescription as holder of special drawing rights6489-(80/77) S369
    International monetary system, reformB/G Comp. Res.435
    International Natural Rubber, Sugar, and Tin Agreements; see Buffer stock financing facility
    Interpretation of Articles of AgreementXXXV
    Investment:
    Currencies held in supplementary financing facility Subsidy Account6683-(80/185) G/TR418
    6854-(81/78) SBS422
    Currency balances held in Trust Fund5069-(76/72)406
    5972-(78/189)408
    5973-(78/189) TR409
    Islamic Development Bank, prescription as holder of special drawing rights7086-(82/42) S369
    JJapan, Borrowing agreement with Fund; see Borrowing by the Fund
    Joint Ministerial Committee of the Boards of Governors of the Bank and the Fund on the Transfer of Real Resources to Developing Countries:
    EstablishmentB/G Res. 29-9 *440
    Rules of procedure444
    Secretariat function, changes in organization of work and structure452
    Joint Vienna Institute10575-(94/4)549
    MMaintenance of value, adjustment: general policies and procedures relating to arrears to FundActing Chairman’s Summing up EBM/88/1961
    Managing Director:
    Authority to establish Borrowed Resources Suspense Accounts, and to transfer and invest balances of borrowed currencies6844-(81/75)322
    6845-(81/75)322
    Authority to make calls under borrowing arrangements in connection with supplementary financing facility6006-(79/3)319
    Consultation by eligible member to request assistance from Trust Fund5069-(76/72)401
    Consultation by member before making request under supplementary financing facility5508-(77/127)186
    Consultation by member contemplating request under extended Fund facility4377-(74/114) *97
    Consultation by member to request use of Fund resources under policy on enlarged access6783-(81/40)182
    Consultation with members when notice of exchange policy change not received5712-(78/41)8
    Consultations and proposals to Executive Board concerning sales of currencies at request of members with outstanding purchases6352-(79/183)197
    Consultations with lenders on means of interest payment under borrowing agreements in connection with supplementary financing facility6163-(79/96)320
    Deposit of currencies received by supplementary financing facility Subsidy Account with Bank for International Settlements6854-(81/78)* SBS422
    Discussions with members judged sufficiently strong whose outstanding purchases are not subject to guidelines on early repurchase with view to reducing their indebtedness to the Fund6774-(81/35)204
    Discussions with members on exchange policies5392-(77/63)12
    6026-(79/13)14
    Participation in meetings of Development CommitteeB/G Res. 29-9443
    Participation in meetings of Interim CommitteeB/G Res. 29-8438
    Placement of Trust Fund investments in SDR-denominated deposits5973-(78/189) TR409
    Proposals for allocation of SDRs:
    First basic periodB/G Res. 24-12503
    Third basic periodB/G Res. 34-3505
    Fourth basic period514
    Proposals for calls under General Arrangements to Borrow1289-(62/1) *286
    Proposals for Trust Fund investments5973-(78/189) TR409
    Recommendations to Executive Board regarding approval of use of Fund resources and stand-by arrangements6056-(79/38)86
    Report to Board of Governors and to Executive Board on allocation of SDRs for fourth basic period514
    Military expenditure and role of the FundConcluding Remarks by Acting Chairman EBM/91/138351-53
    Misreporting and noncomplying purchases, guidelines on corrective action; see Extended or Stand-by arrangements
    Mix of ordinary and borrowed resources; see Enlarged access, policy on, Apportionment between ordinary and borrowed resources
    Monetary stabilization operations, use of Fund’s resources71-255
    B/G Res. IM-6433
    Multiple currency practices: Policy237-2337
    649-(57/33)345
    6790-(81/43)346
    Prior Fund approval5712-(78/41)8
    Spreads6790-(81/43)346
    N“Net creditor position in the Fund”6008-(79/3)320
    Noncomplying purchases; see Extended or Stand-by arrangements, Misreporting and noncomplying purchases
    Nordic Investment Bank, prescription as holder of special drawing rights6488-(80/77) S369
    OOil facility:
    Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase”5371-(77/51)395
    Operational budgets:
    Assessment of strength of member’s balance of payments and gross reserve position6273-(79/158) G/S193
    Sales of SDRs and use of currencies6772-(81/35) G/S198
    Overdue obligations to Fund, purchases from Fund (see also Extended or Stand-by arrangements)7908-(85/26)58
    10464-(93/130) *106,110
    Access to enhanced structural adjustment facility (ESAF)Chairman’s Closing Remarks EBM/88/1260-61
    Accrued charges and income8433-(86/175)217
    Accounting for overdue charges8433-(86/175)217
    Burden sharing; see Burden Sharing
    Complaint, period of considerationChairman’s Summing up EBM/85/17059
    EBM/90/3871-77
    Compulsory withdrawalEBM/89/100
    EBM/89/10167
    EBM/90/3873-77
    Declaration of ineligibilityEBM/89/100
    EBM/89/10165
    Declaration of noncooperation or censureEBM/89/10066
    EBM/89/101
    Deferred income8433-(86/175)217
    Letter to GovernorsEBM/89/10067-70
    EBM/89/101
    Maintenance of value adjustments, policies and proceduresChairman’s Summing up EBM/88/1961
    Procedures for dealing with membersEBM/89/10161
    Publicity upon declaration of ineligibility7999-(85/90)358
    Reporting by Fund7931-(85/41)358
    Rights accumulation programs, operational modalitiesChairman’s Summing up EBM/90/9777
    EBM/91/4280
    EBM/92/5881
    Setoff in connection with retroactive reduction of charges due by members in arrears8271-(86/74)220
    Special charges on8165-(85/189) * G/TR217
    Setoff against charges due for second quarter of FY 19878442-(86/178)221
    Strengthened cooperative strategy, time-table Chairman’s of proceduresStatement
    EBM/90/3871
    EBM/92/5881
    Overdue payments to Fund; see Overdue obligations to Fund
    PPayments arrears3153-(70/95)334
    Payments policies of members4134-(74/4)336
    Payments restrictions; (see also Exchange restrictions; Payments arrears):
    For security reasons, Fund jurisdiction144-(52/51)327
    Withdrawal or general abandonment117-1360
    “Position in the Fund,” definition6274-(79/158)195
    6772-(81/35) G/S199
    Prior notice to Fund, imposition of payments restrictions for security reasons144-(52/51)327
    Publication of reports, overdue obligations7931-(85/41)358
    Publicity on declaration of ineligibility7999-(85/90)358
    Publicity upon Suspension of Voting Rights and termination of suspension10305-(93/32)358
    Purchase transactions (see also Use of Fund’s resources):
    Augmentation of rights to purchase under stand-by and extended arrangements, elimination5706-(78/39)95
    Purchase under buffer stock financing facility2772-(69/47) *167
    3179-(70/102)168
    5127-(76/91)169
    5591-(77/163)394
    5597-(77/171)172
    7246-(82/147)174
    7247-(82/147)170
    Purchases under compensatory and contingency financing facility8955-(88/126) *128-29
    Purchases under credit tranche; see Tranche policies
    Purchases under extended arrangements5508-(77/127)186
    6783-(81/40) *181
    6830-(81/65)95
    10464-(93/130) *108
    Purchases under policy on enlarged access6783-(81/40) *181
    Purchases under stand-by arrangements5508-(77/127)186
    6783-(81/40) *181
    10464-(93/130) *103
    Purchases under supplementary financing facility5508-(77/127)186
    Resumption of purchases under extended arrangement after decision of formal ineligibility or to consider such a proposal10464-(93/130) *111
    Resumption of purchases under stand-by arrangement after decision of formal ineligibility or to consider such a proposal270-(53/95) *83
    10464-(93/130) *106
    Suspension, effect on General Arrangements to Borrow1289-(62/1) *292
    Suspension of transactions under extended arrangements10464-(93/130) *111
    Suspension of transactions under stand-by arrangements270-(53/95) *83
    10464-(93/130) *106
    QQuotas:
    Adjustment, first interval of five years408-23
    Calculation, review of methodB/G Res. 38-1468
    Change, effect on voting power of elected Executive Director180-5357
    Reviews:
    First408-23
    Sixth General ReviewB/G Res. 31-2454
    Seventh General ReviewB/G Res. 34-2457
    Sale of SDRs by Fund to members for use in quota payments6663-(80/160) S207
    Eighth General ReviewB/G Res. 38-1468
    Ninth General Review
    Report of Executive Board to Board of GovernorsB/G Res. 43-1477
    B/G Res. 44-5482
    B/G Res. 45-1486
    B/G Res. 45-2488
    Payment of increases in quotas10716-(94/52)496
    Period of consent, extension10716-(94/52)496
    Tenth General Review
    Report of Executive Board to Board of GovernorsB/G Res. 48-3501
    Special adjustment for members with very small quotasB/G Res. 44-1479
    B/G Res. 38-1470
    RRates for official communications of Fund534-3354
    Rates of exchange; see Exchange rates; Multiple currency practices
    Reconstitution; see Special drawing rights, Reconstitution
    Remuneration on net creditor positions, balances held in Fund’s administrative accounts not in excess of 0.1 percent of quota, exclusion from Fund’s holdings of member’s currency for calculation7060-(82/23)396
    Remuneration, rate, burden sharing8348-(86/122) *222
    Repayment by Fund of borrowed currency1289-(62/ 1) *288
    5509-(77/127)315-16
    Replenishment; see Article VII, replenishment of Fund’s holdings of currencies; Borrowing by the Fund
    Reporting by the Fund of overdue obligations7931-(85/41)358
    Repurchases:
    Attribution of reductions in Fund’s holdings of currencies6774-(81/35)203-204
    6831-(81/65) *214
    Currency resulting from purchase under credit tranches5703-(78/39) *212
    Currency resulting from purchase under extended arrangement10464-(93/130) *111
    Currency resulting from purchase under stand-by arrangement10464-(93/130)107
    Early, guidelines5704-(78/39)208
    6172-(79/101)209
    6273-(79/158) G/S193
    Early, expectation, debt and debt service reduction operations; see Debt and debt service reduction operations, early repurchase expectations
    Guidelines for selection of currencies6274-(79/158)194
    6774-(81/35)202
    Obligations to pay gold, payment with SDRs or currencies of other members5703-(78/39) *213
    5809-(78/88)214
    Of Fund’s holdings102-(52/11)56
    Procedures5703-(78/39) *214
    Under buffer stock financing facility5703-(78/39) *212
    Sixth International Tin Agreement7247-(82/147)171
    1977 International Sugar Agreement5597-(77/171)173
    International Natural Rubber Agreement, 19797246-(82/147)176
    Under compensatory and contingency financing facility5703-(78/39) *212
    8955-(88/126)*136,145
    152
    Under decision on enlarged access6783-(81/40)184
    Under extended Fund facility4377-(74/114) *98-99
    Under supplementary financing facility5508-(77/127)190
    Reserve assets:
    Guidelines for determining amount to be paid in connection with subscriptions6266-(79/156)4
    Payment for subscriptions:
    Under Eighth General Review of QuotasB/G Res. 38-1473
    Under Ninth General Review of QuotasB/G Res. 45-2497
    Reserve position, gross, assessment for purposes of designation plans, operational budgets, and early repurchases6273-(79/158) G/S193
    Reserve tranche position:
    Attribution of reductions in Fund’s holdings of currencies to enlarge6774-(81/35)204
    6831-(81/65) *214
    Review7704-(84/78)215
    Balances held in Fund’s administrative accounts not in excess of 0.1 percent of quota not to be considered part of Fund’s holdings of member’s currency for determination7060-(82/23)396
    Reserve tranche purchases (see also Use of Fund’s resources):
    Exclusion of purchases and holdings in credit tranches6830-(81/65)395
    Exclusion of purchases and holdings under buffer stock financing facility5591-(77/163)394
    Exclusion of purchases and holdings under compensatory and contingency financing facility8955-(88/126) *394
    Exclusion of purchases and holdings under extended facility6830-(81/65)395
    Exclusion of purchases and holdings under oil facility5371-(77/51)395
    Exclusion of purchases and holdings under policy on enlarged access6783-(81/40)396
    Exclusion of purchases and holdings under supplementary financing facility5508-(77/127)395
    Exclusion of purchases and holdings under systemic transformation facility10348-(93/61) STF197, 397
    Restrictions; see Exchange restrictions; Payments restrictions
    Retention quotas201-(53/29)329
    Rights approach or Rights accumulation programs; see Overdue obligations to Fund, purchases from Fund
    Rule G-11289-(62/1) *291
    Rule I-6(4):
    Rate of charges8165-(85/189)* G/TR218
    8780-(88/12)228
    8861-(88/67)230
    9135-(89/46)233
    9471-(90/98)236
    10340-(93/54)240
    10348-(93/61) STF181
    Rule I-10:
    Rate of remuneration8348-(86/122) *222
    8861-(88/67) *230
    9471-(90/98)236
    10340-(93/54)240
    Rule O-2:
    Determination of exchange rate1289-(62/ 1)*291
    5590-(77/163)250
    6001-(79/1) S376
    6053-(79/34) S377
    6054-(79/34) S379
    6336-(79/178) S381
    7041-(82/8) G/S390
    Valuation of U.S. dollar in terms of special drawing rights6709-(80/189) S364
    Rule P-7:
    Declaration concerning use of special drawing rights in accordance with prescription on donations6437-(80/37) S384
    Declaration concerning use of special drawing rights in accordance with prescription on forward operations6337-(79/178)S382
    Declaration concerning use of special drawing rights in accordance with prescription on loans6001-(79/1) S376
    Declaration concerning use of special drawing rights in accordance with prescription on pledges6053-(79/34) S *378
    Declaration concerning use of special drawing rights in accordance with prescription on settlement of financial obligations6000-(79/1) S *375
    Declaration concerning use of special drawing rights in accordance with prescription on swap operations6336-(79/178) S382
    Declaration concerning use of special drawing rights in accordance with prescription on transfers as security for performance of financial operations6054-(79/34) S *380
    Rule P-9, record of operations in special drawing rights6000-(79/1) S *375
    6001-(79/1) S377
    6053-(79/34) S *378
    6054-(79/34) S *381
    6336-(79/178) S382
    6337-(79/178) S383
    6437-(80/37) S384
    8186-(86/9) SBS/S371
    8239-(86/56) SAF371
    Rule R-1 through R-6, rules for reconstitution, abrogation6832-(81/65)389
    Rule T-1, interest and charges in respect of SDRs8759-(87/176) * ESAF35
    SSaudi Arabia, association agreement under General Arrangements to Borrow;
    Borrowing by the Fund Transferability of claims7629-(84/25)300
    Section 22 of By-Laws, compulsory withdrawalEBM/89/100 and EBM/89/10167,70
    Special contingent account, establishment8619-(87/90)227
    Additions in FY 1988 and disposition of amounts placed in FY 1987 and FY 19888780-(88/12)228
    Special Contingent Account (SCA-2)9471-(90/98)*236
    Special Disbursement Account; see Accounts
    Special drawing rights:
    Allocation for first basic periodB/G Res. 24-12503
    Allocation for third basic periodB/G Res. 34-3505
    New participants5956-(78/180) S373
    6368-(79/191) S373
    Allocation for fourth basic period, Managing Director’s report to Board of Governors and to Executive Board514
    Change in method of valuation, effect on claims under supplementary financing facility5509-(77/127)
    Annex317
    Designation, review of rules and method of calculating amounts6209-(79/124) S385
    Holders prescribed by the Fund:
    African Development Bank and African Development Fund8318-(86/104) S369
    Andean Reserve Fund6486-(80/77) S369
    Arab Monetary Fund6609-(80/126) S369
    Asian Development Bank7229-(82/136) S369
    Bank for International Settlements6484-(80/77) S368
    Bank of Central African States7064-(82/26) S369
    Central Bank of West African States6908-(81/101) S369
    East African Development Bank7582-(83/174) S369
    Eastern Caribbean Central Bank7707-(84/79) S369
    International Bank for Reconstruction and Development6718-(81/1) S369
    International Development Association6718-(81/1) S369
    International Fund for Agricultural Development6489-(80/77) S369
    Islamic Development Bank7086-(82/42) S369
    Nordic Investment Bank6488-(80/77) S369
    Swiss National Bank, Termination of status10225-(92/147) S370
    Terms and conditions for accepting, holding, or using SDRs6467-(80/71) S366
    Level of SDR holdings in General Resources Account, maintenance; see Accounts, General Resources Account
    Loans for Trust Fund expressed in5069-(76/72)404
    Method of collecting exchange rates for calculation of value of SDR for purpose of Rule O-2(a)6709-(80/189) S364
    Payment of net charges and assessment in Special Drawing Rights Department; see Special Drawing Rights Department, payment
    Payment of subscriptions6266-(79/156)6
    Reconstitution, abrogation of rules6832-(81/65) S389
    Sale by Fund to members for use in quota payments under Seventh General Review6663-(80/160) S207
    Sale by Fund, guidelines6772-(81/35) G/S198
    7626-(84/23) S201
    7941-(85/50) S201
    8265-(86/70) S201
    8574-(87/64) S201
    10278-(93/19) S202
    SDR-denominated deposits with Bank for International Settlements5973-(78/189) TR409
    Transfers under Article V, Section 3(f)6275-(79/158) G/S196
    Transfers under Article V, Section 6(b), guidelines for selection of currencies6274-(79/158)194
    6774-(81/35)202
    Use in donations6437-(80/37) S383
    Use in financial operations under ESAF Trust or administered account8937-(88/118) ESAF/S371
    Use in forward operations6337-(79/178) S382
    Use in loans6001-(79/1) S375
    Use in operations under structural adjustment facility8239-(86/56) SAF371
    Use in payment of charges5702-(78/39)* G/S216
    Use in payment of 25 percent of quota increasesB/G Res. 31-2455
    B/G Res. 34-2462
    B/G Res. 38-1473
    B/G Res. 45-2497
    Use in payment of subsidy8186-(86/9) SBS/S370
    Use in payment of Trust Fund obligations8642-(87/101) S/TR370
    Use in pledges6053-(79/34) S*377
    Use in repurchases5703-(78/39)213
    5809-(78/88)214
    Use in settlement of financial obligations6000-(79/1) S*374
    Use in swap operations6336-(79/178) S381
    Use in transfers as security for performance of financial obligations6054-(79/34) S379
    Valuation basket, guidelines for calculation of currency amount8160-(85/186) G/S363
    Valuation basket, see also, valuation method
    Valuation for use in borrowing arrangements1289-(62/1)*291
    Valuation, interimB/G Res. 29-10448
    Valuation method6631-(80/145)G/S361
    9549-(90/146)G/S363
    Valuation of U.S. dollar pursuant to Rule O-2(a), method6709-(80/189) S364
    Special Drawing Rights Department, payment of net charges and assessment7116-(82/68) S391
    Stabilization of prices of primary products, Fund facility; see Buffer stock financing facility
    Stand-by Arrangements:
    Access limits, see Guidelines on access limits below
    Augmentation of rights to make purchases, elimination5706-(78/39)95
    Charges10464-(93/130)*107
    Conditionality, guidelines6056-(79/38)85
    Review8192-(86/13)101
    8583-(87/72)101
    9790-(91/106)102
    Elimination of use under Enlarged Access Policy10181-(92/132)185
    Exclusion of purchases for purposes of definition of “reserve tranche purchase”6830-(81/65)95,395
    Foreign borrowing, performance criteria6230-(79/140)90
    Form, standard10464-(93/130)*103
    Guidelines on access limits10181-(92/132)185
    Guidelines, operational; see Performance criteria and phasing, below
    Ineligibility270-(53/95)*84
    10464-(93/130)*106
    Publicity upon declaration of7999-(85/90)358
    7931-(85/41)358
    Misreporting and noncomplying purchases, guidelines on corrective action7842-(84/165)92
    Noncomplying purchases; see Misreporting and noncomplying purchases, above
    Operational guidelines; see Performance criteria and phasing, below
    Overdue obligations to the Fund, purchases from Fund7908-(85/26)58
    EBM/84/5459
    Payments arrears, performance criteria3153-(70/95)334-35
    Performance criteria and phasing, operational guidelines7925-(85/38)87
    Period270-(53/95)*84
    5508-(77/127)187
    6783-(81/40)182
    Policies and procedures270-(53/95)*84
    Provision for enlarged access to Fund’s resources6783-(81/40)181
    Provision for supplementary financing5508-(77/127)187
    Relationship between performance criteria and phasing of purchases, operational guidelines7925-(85/38)87
    Renewal270-(53/95)*83
    Repurchases; see Repurchases, Currency resulting from purchase under stand-by arrangement
    Suspension of right to engage in purchase transactions270-(53/95)*

    10464-(93/130)*
    83

    106
    Utilization of supplementary financing facility for enlarged access resources; see Amendment to utilize …, above
    Strengthened cooperation strategy on overdue obligations to Fund; see Overdue obligations to Fund, purchases from Fund
    Structural adjustment facility: Amounts of assistance8240-(86/56) SAF*260-61
    Review9809-(91/114)SAF276
    10090-(92/24) SAF/ESAF276
    Income from investment and loans, availability of use8760-(87/176)277
    Interest8238-(86/56) SAF *257
    List of eligible members and amounts of assistance8240-(86/56)*260-61
    Loans under ESAF8238-(86/56)* SAF258
    Regulations for administration8238-(86/56)* SAF253
    Chairman’s Summing up
    EBM/86/56263
    Review of experience, conditionality, benchmarks, and prior actionsChairman’s Summing Up
    EBM/87/93268
    Review of operation8241-(86/56) SAF263
    8757-(87/176) SAF/ESAF274
    9114-(89/40) SAF/ESAF275
    9487-(90/106)* SAF/ESAF275
    9808-(91/114) SAF/ESAF275
    10089-(92/94) SAF/ESAF276
    Use of SDRs in Operations8239-(86/56) SAF371
    Subscriptions:
    Gold and currency, ownership by Fund170-33
    Payment of quota increasesB/G Res. 31-2455
    B/G Res. 34-2463
    B/G Res. 38-1473
    B/G Res. 45-2496-97
    Reserve Assets:
    Guidelines for determining amounts to be paid6266-(79/156)4
    Payment:
    Under Eighth General Review of QuotasB/G Res. 38-1470-71
    Under Ninth General Review of QuotasB/G Res. 45-2492,497
    Subsidy Account; see Accounts, Subsidy Accounts
    Sugar Agreement, International; see Buffer stock financing facility
    Supplementary financing facility:
    Authorization to make calls under borrowing arrangements6006-(79/)319
    Charges; see Charges
    Establishment5508-(77/127)186
    No augmentation of rights to purchase5706-(78/39)95
    Replenishment of Fund’s holdings of currencies5509-(77/127)312
    Interest payments under borrowing agreements6163-(79/96)320
    Meaning of “Net creditor position in the Fund”6008-(79/3)320
    Repurchases; see Repurchases
    Subsidy Account
    Disbursement of additional subsidy amount for period ending June 30, 19868523-(87/25) SBS425
    Disbursement of additional subsidy amount for July 1, 1985 through June 30, 19878674-(87/117) SBS426
    Additional subsidy payments for May 1, 1987 through June 30, 1987 and for July 1, 1987 through June 30, 19888941-(88/122) SBS426
    Instrument6683-(80/185) * TR416
    Investment of currencies6854-(81/78)* SBS422
    Means of payments8185-(86/9) SBS/S423
    Subsidy payments, July 1, 1984–June 30, 19858037-(85/110) SBS424
    Subsidy payments, July 1, 1985–June 30, 19868492-(87/1) SBS424
    Subsidy payments, July 1, 1986–June 30, 19878674-(87/117) SBS426
    Subsidy payments, July 1, 1987–June 30, 19888941-(88/122) SBS426
    Subsidy payments, July 1, 1988–June 30, 19899222-(89/97) SBS427
    Suspension of transfers and retransfer of surplus to Special Disbursement Account7989-(85/81) SBS423
    Subsidy payments, May 1–June 30, 1989 and July 1, 1989–June 30, 19909510-(90/122) SBS428
    Subsidy payments, May 1–June 30, 1990 and July 1, 1990–June 30, 19919788-(91/105) SBS428
    Transferability of claims; see Transferability of claims
    Surveillance over exchange rate policies5392-(77/63)*8
    9499-(90/111)*15
    Enhanced surveillance; see Enhanced surveillance
    Operational guidance; see Procedures, implementation of three-month period
    Procedures, implementation of three-month period7427-(83/83)16
    Chairman’s Remarks EBM/91/1518
    Review of procedures9499-(90/111)*15
    10273-(93/15)15
    Supplemental surveillance procedures6026-(79/13)*14
    Suspension of voting rights, publicity, see Voting rights, suspension, publicity
    Systemic transformation facility10348-(93/61) STF177
    TTechnical assistance, Fund ready to meet requests in preparation of economic programs and measures for exchange simplification649-(57/33)346
    Tin Agreements, International; see Buffer stock financing facility
    Trade, Voluntary Declaration4254-(74/75)348
    B/G Res. 29-10448
    Tranche policies:
    Application in connection with decision on enlarged access6783-(81/40)182
    Application in connection with supplementary financing facility5508-(77/127)190
    Application in connection with buffer stock financing facility10186-(92/132)168
    Application in connection with compensatory and contingency financing facility8955-(88/126)*128
    Application in connection with systemic transformation facility10348-(93/61) STF179-80
    Exclusion of credit tranche purchases for purpose of definition of “reserve tranche purchase”6830-(81/65)395
    Floating, elimination for purpose of determining level of conditionality applied to purchase10186-(92/132)168
    Fund attitude to request for transactions within “first credit tranche” and beyond84
    Transferability of claims:
    General Arrangements to Borrow1289-(62/1)*291
    7628-(84/25)299
    Saudi Arabia’s borrowing agreement7629-(84/25)300
    Transitional provisions of Article XIV117-1360
    1034-(60/27)333
    Trust Fund:
    Distribution of profits from sale of gold for benefit of developing countries5069-(76/72)400
    5709-(78/41) TR410
    5832-(78/95) TR410
    6540-(80/98) TR413
    Diversification of investments5972-(78/189)408
    5973-(78/189) TR409
    Eligible members, review of list5563-(77/150) TR408
    Final payments of profits and loans for period July 1, 1976–June 30, 19785832-(78/95) TR410
    Instrument5069-(76/72)400
    Amendment5563-(77/150) TR408
    5972-(78/189)408
    6793-(81/45)415
    Means of payment of interest6358-(79/188) TR*412
    Means of repayment by members on their indebtedness under loan agreements7142-(82/85) TR*413
    Overdue interest and special charges8165-(85/189)* G/TR218
    Elimination after six months or more10352-(93/49) G/TR*219
    Repayment terms:
    Final loan disbursement6793-(81/45)415
    Second period:
    Extension6466-(80/68) TR411
    6676-(80/168) TR412
    Extension of period for qualification6202-(79/121) TR411
    Timing of loan disbursements6201-(79/121) TR411
    Special charges on overdue interest8165-(85/189) G/TR*217
    Termination and transfer of resources to Special Disbursement Account6683-(80/185) G/TR*422
    6704-(80/185) TR414
    UUnenforceability; see Exchange contracts
    United Nations:
    Agreement with International Monetary Fund519
    Convention on the Privileges and Immunities of the Specialized Agencies526
    Application to Fund, Annex V544
    List of members which have accepted with respect to Fund545
    General Assembly Resolution entitled “Uniting for Peace,” due regard by Fund in conduct of its activitiesB/G Res. 6-8434
    United States dollars:
    Determination of value in terms of special drawing right pursuant to Rule O-2(b)6709-(80/189) S364
    Inclusion in operational budgets6772-(81/35) G/S199
    Use for payment of interest and other Fund liabilities6358-(79/188)* TR412
    Use for repayments by members on their indebtedness under Trust Fund loan agreements7142-(82/85)* TR413
    Use in payments under supplementary financing facility Subsidy Account7754-(84/108) SBS424
    Use of Fund’s resources (see also Borrowing by the Fund; Charges; Extended arrangements; Purchase transactions; Stand-by arrangements):
    Access limits, see Guidelines on access limits below
    Application of same policy for stand-by arrangements as for requests for immediate drawings270-(53/95)*83
    Authority to use resources of Fund, interpretation of Articles of Agreement71-255
    Buffer stock financing2772-(69/47)*167
    Buffer stock financing facility as applied to 1977 International Sugar Agreement5597-(77/171)172
    Buffer stock financing facility as applied to International Tin Agreements:
    Fourth3179-(70/102)168
    3351-(71/51)169
    Fifth5127-(76/91)169
    Sixth7247-(82/147)170
    Capital transfers1238-(61/43)55
    Compensatory and contingency financing facility8955-(88/126)*128
    Conditionality, guidelines6056-(79/38)85
    Review8192-(86/13)101
    8583-(87/72)101
    9189-(89/77)102
    9790-(91/106)102
    “Consistent with the provisions of this Agreement” in Article V, Section 3, meaning287-355
    Credit tranche policies; see Tranche policies Enlarged access, policy on6783-(81/40)*181
    Extended Fund facility4377-(74/114)*96
    “First credit tranche”84
    Floating of facilities, Elimination with respect to first credit tranche conditionality10186-(92/132)96,168 149
    Guidelines on access limits10181-(92/132)185
    In accordance with purposes of Fund102-(52/11)56
    Ineligibility:
    Effect on purchases under extended arrangement10464-(93/130)*111
    Effect on purchases under stand-by arrangement270-(53/95)*83
    10364-93/130)*106
    Publicity upon declaration7999-(85/90)358
    7931-(85/41)358
    Under Article V, Section 5284-3205
    Under Article XXVI, Section 2(a) (Article XV, Section 2(a) before Second Amendment)343-(54/47)393
    Interpretation of Articles of Agreement71-255
    Limit on access to Fund resources, guidelines10181-(92/132)185
    Limitation under Article V, Section 5284-3205
    286-1205
    Monetary stabilization operations71-255
    Postponement, limitation under Article V, Section 5286-1205
    “Represents” in Article V, Section 3(b)(ii), meaning of the word284-456
    Reserve tranche purchases; see Reserve tranche purchases
    Resumption of purchases under extended arrangement after decision of formal ineligibility or to consider such a request10464-(93/130)*111
    Resumption of purchases under stand-by arrangement after decision of formal ineligibility or to consider such a proposal270-(53/95)*84
    10464-(93/130)*106
    Stand-by and extended arrangements, forms, standard10464-(93/130)*103
    Suspension of exchange transactions, effect on General Arrangements to Borrow1289-(62/1)*292
    Suspension of transactions under extended arrangements10464-(93/130)*111
    Suspension of transactions under stand-by arrangements270-(53/95)*84
    10464-(93/130)*106
    Temporary assistance in financing balance of payments deficits71-255
    Tranche policies; see Tranche policies

    Waiver of condition of Article V, Section 3(b)(iii); see Waiver of condition
    Waiver of 200 percent of quota limit see also Article V, Section 3(b)(iii)2772-(69/47)*167
    VVienna Institute, see Joint Vienna Institute
    Voluntary Declaration on Trade and Other Current Account Measures4254-(74/75)348
    B/G Res. 29-10448
    Voting power, elected Executive Directors, effect of change in quota180-5357
    Voting rights, suspension, publicity10305-(93/32)358
    WWaiver of condition of Article V, Section 3(b)(iii)4377-(74/114)*98
    5508-(77/127)191
    6783-(81/40)184
    8955-(88/126)*129
    World Economic Outlook, framework for discussions of international adjustment process5392-(77/63)*12

    Index to the Annex of the Fourteenth Issue

    Decision No.Page
    AAccounts:
    Borrowed Resources Suspense Accounts7188-(82/114)A109
    Articles of Agreement
    Article V, Section 2(b), administration of deposits provided by members8895-(88/90) ESAFA41
    8933-(88/117) ESAFA48
    9030-(88/173) ESAFA57
    Article VII, replenishment of Fund’s holdings of currencies6843-(81/75)A76
    Article VII, Section 1, borrowing by Fund7677-(84/64)A110
    Article XVII, Section 3, other holders of special drawing rights8831-(88/56) ESAFA7
    8832-(88/56) ESAFA14
    8833-(88/56) ESAFA20
    BBank for International Settlements:
    Borrowing agreement with Fund6863-(81/81)*A130
    7677-(84/64)A144
    7955-(85/60)A156
    Borrowing by the Fund:
    Agreement with Bank for International Settlements6863-(81/81)*A130
    7677-(84/64)A144
    7955-(85/60)A156
    Agreement with Bank of Korea9120-(89/40) ESAFA63
    Agreement with Bank of Norway8833-(88/56) ESAFA17
    Agreement with Bank of Spain8893-(88/90) ESAFA32
    Agreement with Caisse Centrale de Coopération Economique of France8831-(88/56) ESAFA3
    Agreement with central banks and other official institutions6864-(81/81)A133
    Agreement with Export-Import Bank of Japan8832-(88/56) ESAFA8
    Agreement with Government of Canada8894-(88/90) ESAFA37
    Agreement with Japan7677-(86/64)A144
    7955-(85/60)A156
    8486-(86/205)A159
    Agreement with Monetary Authority of Singapore9016-(88/164) ESAFA54
    Agreement with National Bank of Belgium7677-(84/64)A144
    7955-(85/60)A156
    Agreement with Saudi Arabian Monetary Agency6843-(81/75)A76
    Amendment8460-(86/189)A128
    Change in conversion arrangements7188-(82/114)A109
    Supplementary Agreement7677-(84/64)A110
    Extension of commitment period8460-(86/189)A128
    Agreement with Swiss Confederation8834-(88/56) ESAFA21
    8835-(88/56)A21
    Agreements between Fund and its members, memorandum of Director of the Legal Department of the Fund6843-(81/75)A105
    Borrowed Resources Suspense Accounts7188-(82/114)A110
    Issuance of bearer notes by Fund6843-(81/75)A76
    6864-(81/81)A133
    EEnhanced structural adjustment facility
    Associated lending agreement with Saudi Fund for Development9060-(89/5) ESAFA67
    Borrowing agreements with:
    Bank of Korea9120-(89/40) ESAFA63
    Bank of Norway8833-(88/56) ESAFA17
    Bank of Spain8893-(88/90) ESAFA32
    Caisse Centrale de Coopération Economique of France8831-(88/56) ESAFA3
    Export-Import Bank of Japan8832-(88/56) ESAFA8
    Government of Canada8894-(88/90) ESAFA37
    Monetary Authority of Singapore9016-(88/164) ESAFA54
    Swiss Confederation8834-(88/56) ESAFA21
    8835-(88/56)A21
    Instruments for administered accounts:
    Austria8895-(88/90) ESAFA41
    Belgium8933-(88/117) ESAFA48
    Greece9030-(88/173) ESAFA57
    Investment with subsidy account, Bank Negara Malaysia8892-(88/90) ESAFA27
    Enlarged access, policy on
    Borrowing agreement with Bank for International Settlements6863-(81/81)A130
    7677-(84/64)A144
    7955-(85/60)A156
    Borrowing agreement with Japan7677-(84/64)A144
    7955-(85/60)A156
    8486-(86/205)A159
    Borrowing agreement with National Bank of Belgium7677-(84/64)A144
    Borrowing agreement with Saudi Arabian Monetary Agency6843-(81/75)A76
    Amendment8460-(86/189)A128
    Change in conversion arrangements7188-(82/114)A109
    Supplementary agreement7677-(84/64)A110
    Borrowing from central banks and other official institutions6864-(81/81)A133
    IInterest:
    Payment on Fund indebtedness to Bank for International Settlements6863-(81/81)*A132
    Payment on Fund indebtedness to central banks and other official institutions6864-(81/81)A135
    Payment on Fund indebtedness to Saudi Arabian Monetary Agency6843-(81/75)A80
    MManaging Director:
    Authorizations in connection with implementation of borrowing agreement with Saudi Arabian Monetary Agency6843-(81/75)A76
    RRepayment by Fund of borrowed currency6843-(81/75)A76
    6864-(81/81)A133
    SSaudi Arabian Monetary Agency, borrowing agreement with Fund6843-(81/75)A76
    Amendment8460-(86/189)A128
    Change in conversion arrangements7188-(82/114)A109
    Supplementary agreement7677-(84/64)A110
    Extension of commitment period8460-(86/189)A128
    Special drawing rights
    Valuation for use in borrowing arrangements6843-(81/75)A81
    UUnited States dollars:
    Use for payment of interest and other Fund liabilities6863-(81/81)*A130

    References are to the Articles of Agreement after the Second Amendment, which entered into force April 1, 1978. References to Articles in effect before the Second Amendment are indexed under their corresponding Articles after the Second Amendment.

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