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Chapter 1. Enhancing Policy Traction and Reducing Risks

Chapter 1. Enhancing Policy Traction and Reducing Risks »

Source: Global Financial Stability Report, April 2015 : Navigating Monetary Policy Challenges and Managing Risks

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 April 2015

ISBN: 9781498372930

Keywords: debt, liquidity, investors, financial stability, market

Financial Stability Overview Developments over the past six months have increased global financial stability risks. Risks have also rotated from advanced economies to...

Chapter 2. International Banking after the Crisis: Increasingly Local and Safer?

Chapter 2. International Banking after the Crisis: Increasingly Local and Safer? »

Source: Global Financial Stability Report, April 2015 : Navigating Monetary Policy Challenges and Managing Risks

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 April 2015

ISBN: 9781498372930

Keywords: debt, liquidity, investors, financial stability, market

Summary Two developments stand out among the changes in international banking since the global financial crisis. First, direct cross-border lending as a share of total banking assets...

Chapter 1. Potent Policies for a Successful Normalization

Chapter 1. Potent Policies for a Successful Normalization »

Source: Global Financial Stability Report, April 2016 : Potent Policies for a Successful Normalization

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 11 April 2016

ISBN: 9781513506777

Keywords: Financial stability, Global Financial Stability Report, Global Financial Stability Reports, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, market, emerging market, insurance, equity

Financial Stability Overview Since the last Global Financial Stability Report (GFSR) in October 2015, overall stability risks have increased (Figures 1.1 and 1.2). The outlook for fi...

Chapter 3. The Asset Management Industry and Financial Stability

Chapter 3. The Asset Management Industry and Financial Stability »

Source: Global Financial Stability Report, April 2015 : Navigating Monetary Policy Challenges and Managing Risks

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 April 2015

ISBN: 9781498372930

Keywords: debt, liquidity, investors, financial stability, market

Summary Financial intermediation through asset management firms has many benefits. It helps investors diversify their assets more easily and can provide financing to the real economy...

Chapter 2. The Growing Importance of Financial Spillovers from Emerging Market Economies

Chapter 2. The Growing Importance of Financial Spillovers from Emerging Market Economies »

Source: Global Financial Stability Report, April 2016 : Potent Policies for a Successful Normalization

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 11 April 2016

ISBN: 9781513506777

Keywords: Financial stability, Global Financial Stability Report, Global Financial Stability Reports, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, market, emerging market, insurance, equity

Summary Trade and financial integration of emerging market economies into the global economy and financial system has increased significantly over the past two decades. As a result,...

Chapter 3. The Insurance Sector—Trends and Systemic Risk Implications

Chapter 3. The Insurance Sector—Trends and Systemic Risk Implications »

Source: Global Financial Stability Report, April 2016 : Potent Policies for a Successful Normalization

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 11 April 2016

ISBN: 9781513506777

Keywords: Financial stability, Global Financial Stability Report, Global Financial Stability Reports, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, market, emerging market, insurance, equity

Summary This chapter describes major insurance sector developments over the past decade and assesses changes in the systemic importance of insurers. Insurance firms play an important...

Executive Summary

Executive Summary »

Source: Global Financial Stability Report, April 2016 : Potent Policies for a Successful Normalization

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 11 April 2016

ISBN: 9781513506777

Keywords: Financial stability, Global Financial Stability Report, Global Financial Stability Reports, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, market, emerging market, insurance, equity

Risks to global financial stability have increased since the October 2015 Global Financial Stability Report. In advanced economies, the outlook has deteriorated because of heightened uncertainty and setbacks...

Executive Summary

Executive Summary »

Source: Global Financial Stability Report, April 2015 : Navigating Monetary Policy Challenges and Managing Risks

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 April 2015

ISBN: 9781498372930

Keywords: debt, liquidity, investors, financial stability, market

Macroeconomic shocks pose new challenges for global markets A wide range of positive and negative macroeconomic and financial developments have occurred in the past six months. On a...

Global Financial Stability Report, April 2016
			: Potent Policies for a Successful Normalization

Global Financial Stability Report, April 2016 : Potent Policies for a Successful Normalization »

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 11 April 2016

DOI: http://dx.doi.org/10.5089/9781513506777.082

ISBN: 9781513506777

Keywords: Financial stability, Global Financial Stability Report, Global Financial Stability Reports, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, market, emerging market, insurance, equity

The current Global Financial Stability Report (April 2016) finds that global financial stability risks have risen since the last report in October 2015. The new report finds that the outlook has deteriorated in adv...

Global Financial Stability Report, April 2015
			: Navigating Monetary Policy Challenges and Managing Risks

Global Financial Stability Report, April 2015 : Navigating Monetary Policy Challenges and Managing Risks »

Series: Global Financial Stability Report

Author(s): International Monetary Fund. Monetary and Capital Markets Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 April 2015

DOI: http://dx.doi.org/10.5089/9781498372930.082

ISBN: 9781498372930

Keywords: debt, liquidity, investors, financial stability, market

The current report finds that, despite an improvement in economic prospects in some key advanced economies, new challenges to global financial stability have arisen. The global financial system is being buffeted by...