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Chapter 2: Assessing the Systemic Implications of Financial Linkages

Chapter 2: Assessing the Systemic Implications of Financial Linkages »

Source: Global Financial Stability Report, April 2009 : Responding to the Financial Crisis and Measuring Systemic Risks

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 27 May 2009

ISBN: 9781616352080

Keywords: Global Financial Stability Report, banks, bank, markets, risk, equity

Summary The rise in the complexity and globalization of financial services has contributed to stronger interconnections or linkages. While more extensive linkages contribute to econo...

Chapter 4. Banking Sector: Low Rates, Low Profits?

Chapter 4. Banking Sector: Low Rates, Low Profits? »

Source: Global Financial Stability Report, April 2020 : Markets in the Time of COVID-19

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 14 April 2020

ISBN: 9781513529196

Keywords: Financial crisis, Health, Banking, Financial stability, Global Financial Stability Report, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, coronavirus, covid-19

Chapter 4 at a Glance Over the past decade, very low interest rates have been associated with compressed bank net interest margins in several advan...

Chapter 5 Banks’ Dollar Funding

Chapter 5 Banks’ Dollar Funding »

Source: Global Financial Stability Report, October 2019 : Lower for Longer

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 October 2019

ISBN: 9781498324021

Keywords: global financial stability, us dollar funding fragility, emerging markets

A Source of Financial Vulnerability In the run-up to the global financial crisis, lending in US dollars by global banks headquartered outside the United States (globa...

Chapter 5. Climate Change: Physical Risk and Equity Prices

Chapter 5. Climate Change: Physical Risk and Equity Prices »

Source: Global Financial Stability Report, April 2020 : Markets in the Time of COVID-19

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 14 April 2020

ISBN: 9781513529196

Keywords: Financial crisis, Health, Banking, Financial stability, Global Financial Stability Report, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, coronavirus, covid-19

Chapter 5 at a Glance The impact of large climatic disasters on equity prices has been modest in the past....

Chapter 3: Detecting Systemic Risk

Chapter 3: Detecting Systemic Risk »

Source: Global Financial Stability Report, April 2009 : Responding to the Financial Crisis and Measuring Systemic Risks

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 27 May 2009

ISBN: 9781616352080

Keywords: Global Financial Stability Report, banks, bank, markets, risk, equity

Summary The current crisis demonstrates the need for tools to detect systemic risks. Given that there are many facets and causes of such risks, this chapter presents a range of measu...

CHAPTER 2. DO MARKET RISK MANAGEMENT TECHNIQUES AMPLIFY SYSTEMIC RISKS?

CHAPTER 2. DO MARKET RISK MANAGEMENT TECHNIQUES AMPLIFY SYSTEMIC RISKS? »

Source: Global Financial Stability Report, October 2007 : Financial Market Turbulence Causes, Consequences, and Policies

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 October 2007

ISBN: 9781589066762

Keywords: capital inflows, hedge funds, hedge, risk management, financial stability

From 2002 to early 2007, the decline in volatility in the global economy and financial markets was reflected in lower measures of market risk, which encouraged firms to increase their risk-taking, thereby en...

CHAPTER 1. Economic Uncertainty, Sovereign Risk, and Financial Fragilities

CHAPTER 1. Economic Uncertainty, Sovereign Risk, and Financial Fragilities »

Source: Global Financial Stability Report, October 2010 : Sovereigns, Funding, and Systemic Liquidity

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 October 2010

ISBN: 9781589069480

Keywords: Global Financial Stability Report, banking, bond, credit rating, financial stability, credit ratings

A. What Is the Outlook for Global Financial Stability? Despite the ongoing economic recovery, the global financial system remains in a period of significant uncertain...

Chapter 4 Emerging and Frontier Markets

Chapter 4 Emerging and Frontier Markets »

Source: Global Financial Stability Report, October 2019 : Lower for Longer

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 October 2019

ISBN: 9781498324021

Keywords: global financial stability, us dollar funding fragility, emerging markets

Mind the Debt External financing conditions for emerging markets were broadly favorable in 2019, despite the gloomier outlook for trade and global growth. Equity flow...

Chapter 3. Emerging and Frontier Markets: Managing Volatile Portfolio Flows

Chapter 3. Emerging and Frontier Markets: Managing Volatile Portfolio Flows »

Source: Global Financial Stability Report, April 2020 : Markets in the Time of COVID-19

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 14 April 2020

ISBN: 9781513529196

Keywords: Financial crisis, Health, Banking, Financial stability, Global Financial Stability Report, Global Financial Stability Risks, International financial stability, Macroprudential policies and financial stability, coronavirus, covid-19

Chapter 3 at a Glance The COVID-19 pandemic led to an unprecedented sharp reversal of portfolio flows, highlighting the challenges of managing such...

Chapter 2 Global Corporate Vulnerabilities

Chapter 2 Global Corporate Vulnerabilities »

Source: Global Financial Stability Report, October 2019 : Lower for Longer

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 October 2019

ISBN: 9781498324021

Keywords: global financial stability, us dollar funding fragility, emerging markets

Riskier Business Easy financial conditions have extended the corporate credit cycle, with further financial risk-taking by firms and continued buildup of debt. Corpor...