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A Monitoring Framework for Global Financial Stability

A Monitoring Framework for Global Financial Stability »

Source: A Monitoring Framework for Global Financial Stability

Volume/Issue: 2019/6

Series: Staff Discussion Notes

Author(s): Tobias Adrian , Dong He , Nellie Liang , and Fabio Natalucci

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 26 August 2019

ISBN: 9781498300339

Keywords: Financial stability, Macroprudential Policy, Financial crises, Real sector, Macroprudential policies and financial stability, Financial institutions, Financial markets, financial conditions, financial condition, Gar

This paper describes the conceptual framework that guides assessments of financial stability risks for multilateral surveillance, as currently presented in the Global Financial Stability Report (GFSR). The framewor...

Growth at Risk: Concept and Application in IMF Country Surveillance

Growth at Risk: Concept and Application in IMF Country Surveillance »

Source: Growth at Risk: Concept and Application in IMF Country Surveillance

Volume/Issue: 2019/36

Series: IMF Working Papers

Author(s): Ananthakrishnan Prasad , Selim Elekdag , Phakawa Jeasakul , Romain Lafarguette , Adrian Alter , Alan Xiaochen Feng , and Changchun Wang

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 21 February 2019

ISBN: 9781484397015

Keywords: Interest rates on loans, Economic growth, Economic recovery, External sector, Real interest rates, downside risk;macrofinancial linkages;financial stability;Gar;financial condition;forecast horizon;article IV consultation;quantiles

The growth-at-risk (GaR) framework links current macrofinancial conditions to the distribution of future growth. Its main strength is its ability to assess the entire distribution of future GDP growth (in contrast...

A Monitoring Framework for Global Financial Stability

A Monitoring Framework for Global Financial Stability »

Volume/Issue: 2019/6

Series: Staff Discussion Notes

Author(s): Tobias Adrian , Dong He , Nellie Liang , and Fabio Natalucci

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 26 August 2019

DOI: http://dx.doi.org/10.5089/9781498300339.006

ISBN: 9781498300339

Keywords: Financial stability, Macroprudential Policy, Financial crises, Real sector, Macroprudential policies and financial stability, Financial institutions, Financial markets, financial conditions, financial condition, Gar

This paper describes the conceptual framework that guides assessments of financial stability risks for multilateral surveillance, as currently presented in the Global Financial Stability Report (GFSR). The framewor...

Growth at Risk: Concept and Application in IMF Country Surveillance

Growth at Risk: Concept and Application in IMF Country Surveillance »

Volume/Issue: 2019/36

Series: IMF Working Papers

Author(s): Ananthakrishnan Prasad , Selim Elekdag , Phakawa Jeasakul , Romain Lafarguette , Adrian Alter , Alan Xiaochen Feng , and Changchun Wang

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 21 February 2019

DOI: http://dx.doi.org/10.5089/9781484397015.001

ISBN: 9781484397015

Keywords: Interest rates on loans, Economic growth, Economic recovery, External sector, Real interest rates, downside risk;macrofinancial linkages;financial stability;Gar;financial condition;forecast horizon;article IV consultation;quantiles

The growth-at-risk (GaR) framework links current macrofinancial conditions to the distribution of future growth. Its main strength is its ability to assess the entire distribution of future GDP growth (in contrast...