Index
(* indicates Decision and Resolution as amended)
Decision No. | Page | ||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
A | Accounting by members for transactions with the Fund | 170-3 | 3 | ||||||||
Accounts: | |||||||||||
Administrative accounts, balances held not in excess of 0.1 percent of quota, exclusion from Fund’s holdings of member’s currency | 7060-(82/23) | 418 | |||||||||
Borrowed Resources Suspense Accounts. | 6844-(81/75) | 343 | |||||||||
6845-(81/75) | 343 | ||||||||||
Framework Administered Account for technical assistance activities | 10942-(95/33) | 59 | |||||||||
General Account; see General Resources Account, below | |||||||||||
General Resources Account: | |||||||||||
Adjustment of currency holdings of members | 5590-(77/163) | 271 | |||||||||
Exchange rate for Fund computations | 5590-(77/163) | 271 | |||||||||
Level of Fund SDR holdings, maintenance | 6275-(79/158) G/S | 212 | |||||||||
7626-(84/23) S | 217 | ||||||||||
7941-(85/50) S | 217 | ||||||||||
8265-(86/70) S | 217 | ||||||||||
8574-(87/64) S | 218 | ||||||||||
10278-(93/19) S | 218 | ||||||||||
Purchase of SDRs for payment of charge | 5702-(78/39) * G/S | 233 | |||||||||
Reimbursement for expenses of carrying out business of supplementary financing facility Subsidy Account | 6683-(80/185) G/TR * | 438 | |||||||||
Reimbursement for expenses of conducting business of Trust Fund.. | 5069-(76/72) | 421 | |||||||||
Sales of SDRs for payment of quota increases by members under Seventh General Review of Quotas | 6663-(80/160) S | 224 | |||||||||
Special Contingent Account, see Special Contingent Account | |||||||||||
Special Disbursement Account, transfer of resources to ESAF Trust and retransfer to Special Disbursement Account | 8760-(87/176) * | 298 | |||||||||
Special Disbursement Account, transfers to supplementary financing facility Subsidy Account | 6683-(80/185) G/TR * | 438 | |||||||||
6704-(80/185) TR | 436 | ||||||||||
Investment | 7990-(85/81) | 273 | |||||||||
8029-(85/105) | 274 | ||||||||||
Structural adjustment facility; see Structural adjustment facility | |||||||||||
Special Drawing Rights Department, payment of net charges and assessments | 7116-(82/68) S | 413 | |||||||||
Subsidy Accounts: | |||||||||||
Supplementary financing facility: | |||||||||||
Disbursement of additional subsidy amounts for period ending June 30, 1986 | 8523-(87/25) SBS | 447 | |||||||||
Instrument | 6683-(80/185) G/TR * | 438 | |||||||||
Investment of currencies | 6854-(81/78) * SBS | 444 | |||||||||
Means of payments | 8185-(86/9) SBS/S | 445 | |||||||||
Subsidy payments, July 1, 1983–June 30, 1984 | 7754-(84/108) SBS | 445 | |||||||||
Subsidy payments, July 1, 1984–June 30, 1985 | 8037-(85/110) SBS | 446 | |||||||||
Subsidy payments, July 1, 1985–June 30, 1986 | 8492-(87/1) SBS | 446 | |||||||||
Subsidy payments, July 1, 1986–June 30, 1987 | 8674-(87/117) SBS | 448 | |||||||||
Subsidy payments, July 1, 1987–June 30, 1988 | 8941-(88/122) SBS | 448 | |||||||||
Subsidy payments, July 1, 1988–June 30, 1989 | 9222-(89/97) SBS | 449 | |||||||||
Suspension of transfers and retransfer of surplus to Special Disbursement Account | 7989-(85/81) SBS | 445 | |||||||||
Transfer of funds from Special Disbursement Account following termination of Trust Fund | 6704-(80/185) TR | 273,436 | |||||||||
Accrued charges and income; see Overdue obligations to Fund, purchase from Fund | |||||||||||
Adjustment process, international, review | 5392-(77/63) * | 10-11 | |||||||||
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 SDRs | 8318-(86/104) S | 391 | |||||||||
Andean Reserve Fund, prescription as holder of special drawing rights | 6486-(80/77) S | 391 | |||||||||
Arab Monetary Fund, prescription as holder of special drawing rights | 6609-(80/126) S | 391 | |||||||||
Arrears to the Fund, see Overdue Obligations to Fund | |||||||||||
Articles of Agreement* | |||||||||||
Amendment, Second | B/G Res. 29-8 | 457 | |||||||||
B/G Res. 29-10 | 466 | ||||||||||
Article 1, purposes of the Fund | 287-3 | 63 | |||||||||
433-(55/42) | 349 | ||||||||||
1034-(60/27) | 354 | ||||||||||
4377-(74/114) * | 105 | ||||||||||
5069-(76/72) | 422 | ||||||||||
Article II, Section 2, membership | 6266-(79/156) | 4 | |||||||||
Article III, Section 2, adjustment of quotas | 408-2 | 3 | |||||||||
Article III, Section 2(a), general review of quotas | B/G Res. 31-2 | 475 | |||||||||
B/G Res. 34-2 | 478 | ||||||||||
B/G Res. 38-1 | 489 | ||||||||||
B/G Res. 43-1 | 498 | ||||||||||
B/G Res. 44-1 | 502 | ||||||||||
B/G Res. 44-5 | 505 | ||||||||||
B/G Res. 45-1 | 508 | ||||||||||
B/G Res. 45-2 | 509 | ||||||||||
B/G Res. 48-3 | 523 | ||||||||||
Article IV: | |||||||||||
Consultations | 5392-(77/63) * | 9-13 | |||||||||
6026-(79/13) * | 13 | ||||||||||
6056-(79/38) | 93 | ||||||||||
6790-(81/43) | 369 | ||||||||||
7427-(83/83) | 18 | ||||||||||
10168-(92/127) | 16 | ||||||||||
Consultations, bicyclic procedure Termination, see Termination of Bicyclic procedures below | |||||||||||
Exchange arrangements | 5392-(77/63) | 9 | |||||||||
5712-(78/41) | 7 | ||||||||||
Termination of Bicyclic Consultation procedure | 10362-(93/67) | 17 | |||||||||
Article IV, Section 3, surveillance over exchange rate policies | 5392-(77/63) * | 9-13 | |||||||||
6026-(79/13) * | 13 | ||||||||||
Article V, Section 1 | 1289-(62/1) * | 312 | |||||||||
Article V, Section 3, application of Fund policies to purchases of currency borrowed by Fund | 1289-(62/1)* | 309 | |||||||||
Article V, Section 3(a), “consistent with the provisions of this Agreement,” meaning | 287-3 | 63 | |||||||||
Article V, Section 3(b)(ii), “represents” that a member has a need to make purchases | 284-4 | 64 | |||||||||
Chairman’s Summing-up EBM/87/176 | 46 | ||||||||||
Article V, Section 3(b)(iii), waiver | 4377-(74/114) * | 107 | |||||||||
5508-(77/127) | 207 | ||||||||||
6783-(81/40)* | 194 | ||||||||||
8955-(88/126)* | 138 | ||||||||||
Article V, Section 3(d): | |||||||||||
Sale of members’ currencies for repurchases | 5704-(78/39) | 226 | |||||||||
Selection of currencies in purchases | 6273-(79/158) G/S | 209 | |||||||||
6274-(79/158) | 210 | ||||||||||
6352-(79/183) | 213 | ||||||||||
6774-(81/35) | 218 | ||||||||||
Article V, Section 3(f), transfers of SDRs | 6275-(79/158) G/S | 212 | |||||||||
Article V, Section 5, limitation on use of Fund’s resources | 284-3 | 222 | |||||||||
286-1 | 222 | ||||||||||
7842-(84/165) | 102 | ||||||||||
Article V, Section 6, sale of SDRs by the Fund | 6663-(80/160) S | 224 | |||||||||
Article V, Section 6(b), transfers of SDRs by the Fund | 6274-(79/158) | 210 | |||||||||
6774-(81/35) | 218 | ||||||||||
Article V, Section 7, repurchases | 1289-(62/1) * | 309 | |||||||||
5703-(78/39) * | 229 | ||||||||||
5704-(78/39) | 225 | ||||||||||
5809-(78/88) * | 231 | ||||||||||
6172-(79/101) | 226 | ||||||||||
Article VI, capital transfers | 1238-(61/43) | 63 | |||||||||
Article VII, replenishment of Fund’s holdings of currencies | 5508-(77/127) | 203 | |||||||||
5509-(77/127) | 333 | ||||||||||
6783-(81/40) * | 191 | ||||||||||
Article VII, Section 1, borrowing by Fund | 1289-(62/1) * | 305 | |||||||||
8897-(88/93) | 330 | ||||||||||
6783-(81/40) * | 191 | ||||||||||
Article VIII: | |||||||||||
Bilateralism | 433-(55/42) | 349 | |||||||||
Consultations | 5712-(78/41) | 8 | |||||||||
Retention quotas | 201-(53/29) | 351 | |||||||||
Article VIII and Article XIV | 1034-(60/27) | 354 | |||||||||
Article VIII, Sections 2, 3, and 4, acceptance of obligations | 1034-(60/27) | 354 | |||||||||
Article VIII, Section 2(a): Payments restrictions | 144-(52/51) | 348 | |||||||||
3153-(70/95) | 356 | ||||||||||
Article VIII, Section 2(b), unenforceability of exchange contracts | 446-4 | 346 | |||||||||
Article VIII, Section 3, multiple currency practices | 237-2 | 363 | |||||||||
649-(57/33) | 366 | ||||||||||
6790-(81/43) | 367 | ||||||||||
Article VIII, Section 7 | B/G Res. 34-3 | 531 | |||||||||
Article IX, Section 7, privilege for communications | 534-3 | 376 | |||||||||
Article XII, Section 3(b)(i) and 3(f) | 2-1 | 378 | |||||||||
Article XII, Section 3(c): | |||||||||||
Additional appointed Executive Directors | 574-2 * | 378 | |||||||||
Determination of member’s entitlement to appoint Executive Director | 7060-(82/23) | 419 | |||||||||
“The preceding two years,” meaning | 597-4 | 379 | |||||||||
Article XIV: | |||||||||||
Articles VIII and XIV | 1034-(60/27) | 354 | |||||||||
Bilateralism | 433-(55/42) | 349 | |||||||||
Consultations | 5392-(77/63) | 12 | |||||||||
Retention quotas | 201-(53/29) | 351 | |||||||||
Article XIV, Section 1 | 1034-(60/27) | 355 | |||||||||
Article XIV, Section 2: | |||||||||||
Multiple currency practices | 237-2 | 363 | |||||||||
Payments restrictions | 144-(52/51) | 348 | |||||||||
3153-(70/95) | 356 | ||||||||||
Transtitional arragements | 446-4 | 347 | |||||||||
Article XIV, Section 3 | 117-1 | 382 | |||||||||
Article XVII, Section 3, other holders of special drawing rights | 6467-(80/71) S | 388 | |||||||||
6484-(80/77) S | 390 | ||||||||||
6486-(80/77) S | 391 | ||||||||||
7629-(84125) | 322 | ||||||||||
8642-(87/101)S/TR | 392 | ||||||||||
8759-(87/176)ESAF* | 35 | ||||||||||
8937-(88/118)ESAF | 393 | ||||||||||
Article XVIII, allocation of special drawing rights | B/G Res. 24-12 | 527 | |||||||||
B/G Res. 34-3 | 529 | ||||||||||
Article XVIII, Section 2(d), allocations of special drawing rights to new participants | 5956-(78/180) S | 395 | |||||||||
6368-(79/191) S | 395 | ||||||||||
Article XIX, Section 2(c): | |||||||||||
Acceptance and use of special drawing rights by prescribed holders | 6467-(80/71) S | 388 | |||||||||
Operations and transactions in special drawing rights between participants | 6000-(79/1) S * | 396 | |||||||||
6001-(79/1) S * | 397 | ||||||||||
6053-(79/34) S * | 399 | ||||||||||
6054-(79/34) S * | 401 | ||||||||||
6336-(79/178) S | 403 | ||||||||||
6337-(79/ 178) S | 404 | ||||||||||
6437-(80/37) S | 405 | ||||||||||
Article XIX, Section 5, designation of participants to provide currency | 6209-(79/124) S | 407 | |||||||||
Article XIX, Section 5(a)(i), designation plans | 6273-(79/158) GS | 209 | |||||||||
Article XIX, Section 6(b), abrogation of rules for reconstitution | 6832-(81/65) S | 411 | |||||||||
Article XIX, Section 7(a), calculation of exchange rates | 1289-(62/1) * | 312 | |||||||||
6001 -(79/1) S | 397 | ||||||||||
6053-(79/34) S * | 399 | ||||||||||
6054-(79/34) S * | 401 | ||||||||||
6336-(79/178) S | 403 | ||||||||||
7041-(82/8) G/S | 412 | ||||||||||
Article XX, Section 1, interest paid on holdings of special drawing rights | 6467-(80/71) S | 388 | |||||||||
Article XX, Section 5, application against unpaid charges of special drawing rights acquired by participants after payment date | 7116-(82/68) S | 414 | |||||||||
Article XXII | B/G Res. 34-3 | 531 | |||||||||
Article XXIII, Section 1, suspension of operations and transactions in special drawing rights | 6467-(80/71) S | 390 | |||||||||
Article XXVI, Section 2(a), ineligibility to use Fund resources | 343-(54/47) | 415 | |||||||||
Article XXVI, Section 3 | 1289-(62/1) * | 313 | |||||||||
Article XXVII | 1289-(62/1) * | 313 | |||||||||
270-(53/95) * | 92 | ||||||||||
Article XXVII, Section 1(a)(i), suspension of transactions covered by stand-by arrangements | 270-(53/95) * | 92 | |||||||||
Article XXIX(a), list of interpretations under | xxxvi | ||||||||||
Article XXX(c): | |||||||||||
Exclusion of purchases and holdings under buffer stock facility | 5591-(77/163) | 416 | |||||||||
Exclusion of purchases and holdings under compensatory and contingency financing facility | 8955-(88/126) * | 416 | |||||||||
Exclusion of purchases and holdings under policy on enlarged access | 6783-(81/40) * | 418 | |||||||||
Exclusion of purchases and holdings under extended facility | 6830-(81/65) | 418 | |||||||||
Exclusion of purchases and holdings under supplementary financing facility | 5508-(77/127) | 207 | |||||||||
Exclusion of purchases under oil facility | 5371-(77/51) | 417 | |||||||||
Exclusion relating to purchases in credit tranches | 6830-(81/65) | 418 | |||||||||
Exclusion of purchases and holdings under Systemic Transformation Facility | 10348-(93/61) STF | 419 | |||||||||
Article XXX(f), freely usable currencies | 5719-(78/46) | 420 | |||||||||
Article XXXI, Section 1 | 408-2 | 3 | |||||||||
Schedule B, repurchases | 5703-(78/39) * | 230 | |||||||||
5704-(78/39) | 226 | ||||||||||
6008-(79/3) | 341 | ||||||||||
Schedule B, paragraph 7(b), use of amounts in excess of capital value available from gold sales for benefit of developing countries | 5069-(76/72) | 421 | |||||||||
Schedule F, rules for designation | 6209-(79/124) S | 408 | |||||||||
Schedule G, rules for reconstitution, abrogation | 6832-(81/65) S | 411 | |||||||||
Schedule J | 1289-(62/1) * | 313 | |||||||||
Schedule K | 1289-(62/1) * | 313 | |||||||||
Asian Development Bank, prescription as holder of special drawing rights | 7229-(82/136) S | 391 | |||||||||
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 currency | 6831-(81/65) * | 231 | |||||||||
6774-(81-35) | 220 | ||||||||||
Review | 7704-(84/78) | 232 | |||||||||
Audit: | |||||||||||
Enhanced structural adjustment facility trust (ESAF Trust) | 8759-(87/176) ESAF | 37 | |||||||||
Supplementary financing facility Subsidy Account | 6683-(80/185) G/TR | 443 | |||||||||
Trust Fund | 5069-(76/72) | 427 | |||||||||
Augmentation; see Purchase transactions, Augmentation | |||||||||||
B | Balance of payments position: | ||||||||||
Assessment for assistance from Trust Fund | 5069-(76/72) | 424 | |||||||||
Assessment for purposes of designation plans, operational budgets, and early repurchases | 6273-(79/158) G/S | 209 | |||||||||
Discrimination for balance of payments reasons | 955-(59/45) | 353 | |||||||||
Bank of Central African States, prescription as holder of special drawing rights | 7064-(82/26) S | 391 | |||||||||
Belgium, National Bank of, Borrowing agreement with Fund; see Borrowing by the Fund | |||||||||||
Bicyclic consultation procedures; see Consultation with members | |||||||||||
Bilateral payments arrangements, see Official clearing and payments arrangement | |||||||||||
Bilateralism | 433-(55/42) | 349 | |||||||||
Borrowed Resources Suspense Accounts; see Borrowing by the Fund, below | |||||||||||
Borrowing by the Fund | |||||||||||
Borrowed Resources Suspense Accounts | 6844-(81/75) | 343 | |||||||||
6845-(81/75) | 343 | ||||||||||
Borrowed resources, use to finance purchases under arrangements providing enlarged access to Fund’s resources | 6783-(81/40) | 191 | |||||||||
General Arrangements to Borrow: | 1289-(62/1) * | 305 | |||||||||
Associated borrowing arrangements | 7403-(83/73) | 323 | |||||||||
“Outstanding borrowing and unused credit lines,” clause in respect of GAB in guidelines for Fund borrowing | 9862-(91/156) * | 344 | |||||||||
Renewal, | 10176-(92/129) | 316 | |||||||||
Saudi Arabia, association agreement | 7403-(83/73) | 323 | |||||||||
Renewal | 8897-(88/93) | 330 | |||||||||
10235-(92/149) | 332 | ||||||||||
Transferability of claims | 7629-(84/25) | 321 | |||||||||
Transferability of claims; see Transferability of claims | |||||||||||
Use of credit arrangements for nonparticipants | 1289-(62/1) * | 314 | |||||||||
Guidelines | 9862-(91/156) | 344 | |||||||||
Supplementary financing facility: | |||||||||||
Authorization to make calls | 6006-(79/3) | 340 | |||||||||
Interest payment procedure | 6163-(79/96) | 341 | |||||||||
Meaning of “net creditor position in the Fund” | 6008-(79/3) | 341 | |||||||||
Replenishment of holdings of currencies | 5509-(77/127) | 333 | |||||||||
Subsidy Account | 6683-(80/185) G/TR | 438 | |||||||||
Buffer stock financing facility | 2772-(69/47) * | 176 | |||||||||
Access limit and review | 2772-(69/47) * | 176 | |||||||||
Elimination of floating | 10186-(92/132) | 177 | |||||||||
Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase” | 5591-(77/163) | 416 | |||||||||
International Natural Rubber Agreement, 1979 | 7246-(82/147) | 183 | |||||||||
International Natural Rubber Agreement, 1987 | 9403-(90/53) | 185 | |||||||||
International Sugar Agreement, 1977 | 5597-(77/171) | 181 | |||||||||
International Tin Agreements: | |||||||||||
Fourth | 3179-(70/102) | 177 | |||||||||
Fifth | 5127-(76/91) | 178 | |||||||||
Sixth | 7247-(82/147) | 179 | |||||||||
Repurchases | 5703-(78/39) * | 229 | |||||||||
Sixth International Tin Agreement | 7247-(82/147) | 179 | |||||||||
1977 International Sugar Agreement | 5597-(77/171) | 181 | |||||||||
International Natural Rubber Agreement, 1979 | 7246-(82/147) | 183 | |||||||||
Burden sharing | 8348-(86/122) * | 238 | |||||||||
Managing Director’s Remarks | 242 | ||||||||||
Extended burden sharing; see Extended burden sharing | |||||||||||
Implementation for FY 1989 | 8861-(88/67) | 246 | |||||||||
for FY 1990 | 9135-(89/46) | 250 | |||||||||
for FY 1994 | 10340-(93/54) * | 256 | |||||||||
for FY 1995 | 10706-(94/52) | 264 | |||||||||
10660-(94/38) | 260 | ||||||||||
for FY 1996 | 10958-(95/40) | 267 | |||||||||
Net income target: | |||||||||||
for FY 1989 | 8861-(88/67) | 247 | |||||||||
for FY 1994 | 10704-(94/42) | 262 | |||||||||
for FY 1995 | 10705-(94/42) | 262 | |||||||||
for FY 1996 | 10962-(65/41) | 270 | |||||||||
Principles of “burden sharing” | 8861-(88/67) | 246 | |||||||||
Rate of charge: | |||||||||||
for FY 1989 | 8861-(88/67) | 247 | |||||||||
Retroactive reduction of rate of charge | 10705-(94/52) | 262 | |||||||||
Special Contingent Account, amounts placed | |||||||||||
for FY 1987 | 8619-(87/90) | 244 | |||||||||
for FY 1988 | 8780-(88/12) | 245 | |||||||||
for FY 1989 | 8861-(88/67) | 247 | |||||||||
for FY 1990 | 9135-(89/46) | 250 | |||||||||
9471-(90/98) | 253 | ||||||||||
By-Laws, Section 20 audits; see Audits | |||||||||||
By-Laws, Section 22, Compulsory Withdrawal: see Section 22 | |||||||||||
C | Capital transfers: | ||||||||||
Controls by members | 541-(56/39) | 304 | |||||||||
B/G Res. 29-10 | 468 | ||||||||||
Restrictions | 237-2 | 361 | |||||||||
Use of Fund’s resources for | 1238-(61/143) | 63 | |||||||||
B/G Res. IM-6 | 454 | ||||||||||
Central Bank of West African States, prescription as holder of special drawing rights | 6908-(81/101) S | 391 | |||||||||
“Changing circumstances,” adaptation of multiple currency practices | 237-2 | 365 | |||||||||
Charges: | |||||||||||
Accounting for charges from members with overdue obligations | 8433-(86/175) | 234 | |||||||||
Accrued charges | 8433-(86/175) | 234 | |||||||||
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 calculation | 7060-(82/23) | 418 | |||||||||
Extended Fund facility | 4377-(74/114) * | 107 | |||||||||
10464-(93/130) | 120 | ||||||||||
Future changes | 4239-(74/67) | 233 | |||||||||
Interest on Trust Fund loans; see Interest | |||||||||||
Media of payment | 5702-(78/39) * G/S | 233 | |||||||||
Oil facility Subsidy Account; see Accounts, Subsidy Accounts | |||||||||||
Overdue obligations to Fund, special charges | 8165-(85/189) | ||||||||||
G/TR | 234 | ||||||||||
Overdue obligations to Fund, accrued income | 8433-(86/175) | 234 | |||||||||
Payment by nonparticipant in Special Drawing Rights Department | 5702-(78/39) G/S | 233 | |||||||||
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 Fund | 7116-(82/68)S | 413 | |||||||||
Rate, as of Feb. 1, 1988 | 8780-(88/12) | 245 | |||||||||
as of May 1, 1994 | 10705-(94/52) | 263 | |||||||||
as of November 1, 1994 | 10850-(94/107) | 263 | |||||||||
as of May 1, 1995 | 10962-(95/41) | 270 | |||||||||
Rate, determination of, burden sharing | 8348-(86/122)* | 239 | |||||||||
Rate on use of ordinary resources for FY 1994 | 10391-(93/86)* | 259 | |||||||||
Setoff in connection with retroactive reduction | 8271-(86/74) | 237 | |||||||||
Special charges on overdue obligations to Fund | 8165-(85/189) G/TR * | 234 | |||||||||
Elimination after six months or more | 8165-(85/189) G/TR * | 236 | |||||||||
Trust Fund loans | 10352-(93/49) G/TR | 236 | |||||||||
Setoff against charges due for second quarter of FY 1987 | 8442-(86/178) | 238 | |||||||||
Stand-by arrangements | 10464-(93/130) * | 115 | |||||||||
Supplementary financing facility | 5508-(77/127) | 208 | |||||||||
Supplementary financing facility Subsidy Account; see Accounts, Subsidy Accounts | |||||||||||
Committee on Reform of the International Monetary System and Related Issues | B/G Comp. Res. | 456 | |||||||||
Final report and termination | B/G Res. 29-7 | 457 | |||||||||
Support of extended Fund facility | 4377-(74/114) * | 105 | |||||||||
Voluntary Declaration on Trade and Other Current Account Measures | 4254-(74/75) | 370 | |||||||||
Commodities (see also Buffer stock financing facility; Compensatory financing…): | |||||||||||
Reclassification where subject to multiple currency practices | 237-2 | 364 | |||||||||
Communications, privilege for | 534-3 | 376 | |||||||||
Compensatory and contingency financing facility, establishment | 8955-(88/126) * | 137 | |||||||||
Compensatory financing of export fluctuations | 8955-(88/126) * | 141 | |||||||||
External contingency financing | 8955-(88/126) * | 146 | |||||||||
Chairman’s Summing up EBM/88/105 | 165 | ||||||||||
Compensatory financing of fluctuation in the cost of cereal imports | 8955-(88/126) * | 149 | |||||||||
Compensatory financing of fluctuations in the cost of oil imports | 8955-(88/126) * | 155 | |||||||||
Transitional and other provisions | 8955-(88/126) | 162 | |||||||||
Conditionality; see Use of Fund’s resources, Conditionality | |||||||||||
“Consistent with the provision of this Agreement,” meaning in Article V, Section 3 | 287-3 | 63 | |||||||||
Consultation with members: | |||||||||||
Before accepting obligations of Article VIII, Sections 2, 3, and 4 | 1034-60/27) | 355 | |||||||||
Bicyclic procedures and simplified interim procedures Termination | 10362-(93/67) | 17 | |||||||||
Bilateral arrangements | 433-(55/42) | 349 | |||||||||
Changes in members’ exchange arrangements, notification to Fund | 5712-(78/41) | 7 | |||||||||
Commodity field, attention to policies | 2772-(69/47) * | 177 | |||||||||
Conduct by Managing Director in interval between Article IV consultations | 5392-(77/63) | 13 | |||||||||
6026-(79/13) | 14 | ||||||||||
Consultations under Article IV | 5392-(77/63) | 12 | |||||||||
6026-(79/13) | 14 | ||||||||||
6056-(79/38) | 93 | ||||||||||
6790-(81/43) | 369 | ||||||||||
Cycles–Review | 10168-(92/127) | 16 | |||||||||
Discussions on use of Fund’s resources | 102 (52/11) | 65 | |||||||||
During period of extended arrangement | 10464-(93/130)* | 119 | |||||||||
During period of stand-by arrangement | 10464-(93/130)* | 115 | |||||||||
Exchange measures needing approval under Article VIII | 1034-(60/27) | 355 | |||||||||
Members’ policies in present circumstances | 4134-(74/4) | 358 | |||||||||
Multiple currency practices | 237-2 | 359 | |||||||||
Periodic discussions under Article VIII | 1034-(60/27) | 355 | |||||||||
Resumption of purchases under extended arrangements | 10464-(93/130)* | 119 | |||||||||
Resumption of purchases under stand-by arrangements | 270-(53/95) * | 92 | |||||||||
10464-(93/130)* | 115 | ||||||||||
Retention quotas | 201-(53/29) | 351 | |||||||||
Special consultations | 5392-(77/63) | 12 | |||||||||
Whether measure is exchange restriction | 1034-(60/27) | 354 | |||||||||
Consultations with European Monetary Cooperation Fund on calculation of representative rate for European Currency Unit | 7041-(82/8)G/S | 412 | |||||||||
Consultations with prescribed holders of special drawing rights | 6467-(80/71)S | 389 | |||||||||
Contingency mechanism; see Compensatory and contingency financing facility | |||||||||||
Convertibility: | |||||||||||
Acceptance of obligations of Article VIII, Sections 2, 3, and 4 | 1034-(60/27) | 354 | |||||||||
Approval of exchange restrictions | 1034-(60/27) | 355 | |||||||||
Bilateralism | 433-(55/42) | 349 | |||||||||
Consultation with Fund | 1034-(60/27) | 355 | |||||||||
Discrimination | 955-(59/45) | 353 | |||||||||
Multiple currency practices; see Multiple currency practices | |||||||||||
Retention quotas | 201-(53/29) | 351 | |||||||||
Credit tranches; see Tranche policies | |||||||||||
Creditworthiness, factor in determining use of Fund’s resources | 102-(52/11) | 65 | |||||||||
Currencies (see also Borrowing by the Fund; Convertibility; Holdings of the Fund; Investment): | |||||||||||
Arrangements for use in operations and transactions of Fund | B/G Res. 31-2 | 476 | |||||||||
Composition of special drawing right | 6631-(80/145)G/S | 383 | |||||||||
Freely usable currencies | 5719-(78/46) | 420 | |||||||||
Guidelines for use in operational budgets | 6772-(81/35) G/S | 214 | |||||||||
10279-(93/19) | 215 | ||||||||||
Guidelines for use in operations and transactions of General Resources Account | 6273-(79/158) G/S | 209 | |||||||||
6274-(79/158) | 210 | ||||||||||
6774-(81/35) | 218 | ||||||||||
10279-(93/19) | 215 | ||||||||||
10904-(95/13) | 217 | ||||||||||
Payment of subscriptions | 6266-(79/156) | 4 | |||||||||
B/G Res. 31-2 | 476 | ||||||||||
B/G Res. 34-2 | 483 | ||||||||||
B/G Res. 38-1 | 494 | ||||||||||
Rates for computations and maintenance of value | 5590-(77/163) | 271 | |||||||||
Replenishment in connection with supplementary financing facility | 5509-(77/127) | 333 | |||||||||
Sale by agreement with member with outstanding purchases | 6274-(79/158) | 210 | |||||||||
6352-(79/183) | 212 | ||||||||||
Selection for payment of charges | 5702-(78/39) * G/S | 233 | |||||||||
Specified by the Fund, use in repurchases | 5703-(78/39) * | 230 | |||||||||
5809-(78/88) | 231 | ||||||||||
Subscribed to the Fund, ownership | 170-3 | 3 | |||||||||
D | Debt management policies; see External debt management policies | ||||||||||
Debt and debt service reduction operations, early repurchase expectations | 9331-(89/167)* | 132 | |||||||||
Debt and debt service reduction, Modalities of Fund support | Acting Chairman’s Summing-up EBM/94/1 | 133 | |||||||||
Avoidance of linking prepayments to commercial banks with early repurchases | Chairman’s Summing-up EBM/91/48 | 133 | |||||||||
Debt strategy, Fund involvement in | Chairman’s Summing up EBM/89/61 | 122 | |||||||||
Declaration of noncooperation or censure | EBM/89/100 EBM/89/101 | 74 74 | |||||||||
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) | 353 | |||||||||
Drawings; see Purchase transactions; Use of Fund’s resources | |||||||||||
E | East African Development Bank, prescription as holder of special drawing rights | 7582-(83/174)S | 391 | ||||||||
Eastern Caribbean Central Bank, prescription as holder of special drawing rights | 7707-(84/79) S | 391 | |||||||||
Emergency assistance, natural disasters | Chairman’s Remarks EBM/82/16 | 135 | |||||||||
Enemy-occupied, former, members, introduction of multiple currency practices | 237-2 | 363 | |||||||||
Enhanced structural adjustment facility: | |||||||||||
Access limits | 8845-(88/61)ESAF * | 46 | |||||||||
8759-(87/176) ESAF * | 26 | ||||||||||
Arrears to the Fund, consequences | Acting Chairman’s Remarks EBM/88/12 | 68 | |||||||||
Borrowing for loan accounts, consultation with creditors | 9056-(89/2) ESAF | 48 | |||||||||
Establishment | 8757-(87/176) SAF/ESAF | 295 | |||||||||
Extension of commitment and disbursement periods for agreement | 9116-(89/40) ESAF | 298 | |||||||||
Gold pledge for use of ESAF Trust resources under Right Approach | 10286-(93/23) ESAF | 301 | |||||||||
Legal documentation | Chairman’s Remarks EBM/87/176 | 46 | |||||||||
Operational arrangements | Chairman’s Summing up EBM/87/171 | 40 | |||||||||
Review | 8757-(87/176) SAF/ESAF | 296 | |||||||||
9114-(89/40) SAF/ESAF | 296 | ||||||||||
9487-(90/106) SAF/ESAF * | 296 | ||||||||||
9808-(91/114) SAF/ESAF | 296 | ||||||||||
10089-(92/94) SAF/ESAF | 297 | ||||||||||
Enhanced Structural Adjustment Facility Trust: Instrument to establish | 8759-(87/176) ESAF * | 22 | |||||||||
Chairman’s Summing up EBM/87/171 | 40 | ||||||||||
Access limits | 8845-(88/61)ESAF * | 46 | |||||||||
Interest rate on trust loans | 8846-(88/61)ESAF | 48 | |||||||||
Lending, considered as a member’s official reserves by Fund | Chairman’s Summing up EBM/87/176 | 46 | |||||||||
Transfer and retransfer of resources to and from Special Disbursement Account | 8760-(87/176) * | 298 | |||||||||
Enhanced surveillance | |||||||||||
Midterm review, procedure | 10365-(93/67) | 52 | |||||||||
Chairman’s Summing Up EBM/93/15 | 53 | ||||||||||
Procedures for transmittal of staff reports | 8222-(86/45) | 49 | |||||||||
Chairman’s Summing up EBM/85/132 | 49 | ||||||||||
Enlarged access, policy on | 6783-(81/40)* | 191 | |||||||||
European Currency Unit, representative rate in terms of SDR | 7041-(82/8) G/S | 412 | |||||||||
European Monetary Cooperation Fund, consultation on calculation of representative rate for European Currency Unit | 7041-(82/8) G/S | 412 | |||||||||
“Exceptional circumstances,” meaning in Article XIV, Section 3 (Section 4 before Second Amendment) | 117-1 | 382 | |||||||||
237-2 | 365 | ||||||||||
Exchange arrangements, notification | 5392-(77/63) * 5712-(78/41) |
12 7 |
|||||||||
Exchange contracts, unenforceability | 446-4 | 346 | |||||||||
Exchange control regulations, Fund prepared to advise whether maintained or imposed consistently with Fund Agreement | 446-4 | 347 | |||||||||
Exchange controls on capital transfers | 541-(56/39) | 304 | |||||||||
Exchange rates: | |||||||||||
Borrowing arrangements by Fund | 1289-(62/1) * | 311 | |||||||||
Exchange rate policies of members, surveillance | 5392-(77/63) * | 9 | |||||||||
Flexible exchange arrangements | 5712-(78/41) | 8 | |||||||||
Floating, guidelines | B/G Res. 29-10 | 468 | |||||||||
Fluctuating: | |||||||||||
Multiple currency practices (fixed and fluctuating rates) | 237-2 | 361-62 | |||||||||
Scope of transactions to be agreed with Fund | 237-2 | 362 | |||||||||
Free markets | 237-2 | 362 | |||||||||
Multiple currency practices arising from official action | 6790-(81/43) | 368 | |||||||||
Notification to Fund | 5392-(77/63)* | 12 | |||||||||
5712-(78/41) | 7 | ||||||||||
Pegs, notification to Fund of changes | 5712-(78/41) | 7 | |||||||||
Representative rate for European Currency Unit in terms of SDR | 7041-(82/8)G/S | 412 | |||||||||
Unification in multiple rate systems, a basic objective of Fund | 649-(57/33) | 366 | |||||||||
Exchange restrictions (see also Payments restrictions): | |||||||||||
Approval | 1034-(60/27) | 354 | |||||||||
Avoidance of escalation | 4134-(74/4) | 358 | |||||||||
4254-(74175) | 370 | ||||||||||
Bilateralism | 433-(55/42) | 349 | |||||||||
Capital transactions; see Capital transfers | |||||||||||
Consultations with Fund | 1034-(60/27) | 355 | |||||||||
Discrimination | 955-(59/45) | 353 | |||||||||
Guiding principle of whether measure is a restriction on payments and transfers for current international transactions | 1034-(60/27) | 354 | |||||||||
Introduction | 1034-(60/27) | 355 | |||||||||
Maintenance | 1034-(60/27) | 355 | |||||||||
Multiple currency practices | 237-2 | 359 | |||||||||
649-(57/33) | 366 | ||||||||||
6790-(81/43) | 367 | ||||||||||
Payments arrears | 3153-(70/95) | 356 | |||||||||
Retention quotas | 201-(53/29) | 351 | |||||||||
Security reasons; see Payments restrictions Transitional arrangements under Article XIV, obligations under Article VIII, Sections 2, 3, and 4 | 1034-(60/27) | 355 | |||||||||
Withdrawal, representation by Fund | 117-1 | 382 | |||||||||
Exchange systems, avoidance of use for non-balance of payments reasons | 1034-(60/27) | 355 | |||||||||
Exchange taxes | 237-2 | 366 | |||||||||
Notification to Fund | 5712-(78/41) | 7-8 | |||||||||
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 policies | 5392-(77/63)* | 9 | |||||||||
6026-(79/ 13)* | 13 | ||||||||||
9499-(90/11)* | 15 | ||||||||||
10273-(93/15) | 16 | ||||||||||
Annual review of upper-maturity limit in guidelines on performance criteria with respect to foreign borrowing | 6230-(79/140) | 98 | |||||||||
Communication of changes in members’ exchange arrangements | 5712-(78/41) | 7 | |||||||||
Information on operation of buffer stocks | 3179-(70/102) | 178 | |||||||||
5127-(76/91) | 179 | ||||||||||
5597-(77/171) | 183 | ||||||||||
7246-(82/147) | 185 | ||||||||||
7247-(82/147) | 181 | ||||||||||
Report to Board of Governors on quota increases under General Reviews of Quotas: | |||||||||||
Seventh | B/G Res. 34-2 | 478 | |||||||||
Eighth | B/G Res. 38-1 | 489 | |||||||||
Ninth | B/G Res. 43-1 | 498 | |||||||||
B/G Res. 44-5 | 503 | ||||||||||
B/G Res. 45-1 | 507 | ||||||||||
B/G Res. 45-2 | 509 | ||||||||||
Review and change of rules for designation | 6209-(79/124)S | 407 | |||||||||
Review of broad developments in exchange rates | 5392-(77/63)* | 12 | |||||||||
Review of decision on extended Fund facility | 4377-(74/114)* | 107 | |||||||||
5220-(76/144) | 108 | ||||||||||
7558-(83/156) | 108 | ||||||||||
7857-(84/175) | 109 | ||||||||||
8192-(86/13) | 109 | ||||||||||
8583-(87/72) | 110 | ||||||||||
9189-(89/77) | 110 | ||||||||||
9790-(91/106) | 111 | ||||||||||
10723-(94/58) | 111 | ||||||||||
Review of functioning of international adjustment process | 5392-(77/63)* | 11 | |||||||||
Review of guidelines for borrowing by Fund | 9862-(91/91) | 344 | |||||||||
Review of level of Fund’s SDR holdings | 6275-(79/158) G/S | 212 | |||||||||
7626-(84/23) S | 217 | ||||||||||
7941-(85/50) S | 217 | ||||||||||
8265-(86/70) S | 218 | ||||||||||
8574-(87/64) S | 218 | ||||||||||
10278-(93/19)S | 218 | ||||||||||
Review of prescriptions of holders of special drawing rights | 6467-(80/71)S | 389 | |||||||||
Review of quota calculation method | B/G Res. 38-1 | 489 | |||||||||
Executive Directors: | |||||||||||
Additional appointed, meaning of “the preceding two years” in Article XII, Section 3(c) | 597-4 | 379 | |||||||||
Appointment by members having five largest quotas | 2-1 | 378 | |||||||||
Determination of members entitled to appoint under Article XII, Section 3(c) | 574-2 * | 378 | |||||||||
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 determination | 7060-(82/23) | 418 | |||||||||
Participation in meetings of Development Committee | B/G Res. 29-9 | 464 | |||||||||
Participation in meetings of Interim Committee | B/G Res. 29-8 | 458 | |||||||||
Voting power, effect of quota changes | 180-5 | 379 | |||||||||
Export shortfalls, financing; see Compensatory and contingency financing facility | |||||||||||
Extended arrangements | 4377-(74/114) * | 104 | |||||||||
Access limits, see Guidelines on access limits below | |||||||||||
Amounts to be made available | 10181 (92/132) | 195 | |||||||||
Augmentation of rights to make purchases, elimination | 5706-(78/39) | 104 | |||||||||
Charge | 4377-(74/114)* | 107 | |||||||||
10464-(93/130)* | 120 | ||||||||||
Elimination of use under Enlarged Access Policy | 10181-(92/132) | 195 | |||||||||
Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase” | 6830-(81/65) | 103,417 | |||||||||
Form, standard | 10464-(93/130)* | 116 | |||||||||
Guidelines on access limits | 10181-(92/132) | 195 | |||||||||
Guidelines, operational; see Performance criteria and phasing, below | 10464-(93/130)* | ||||||||||
Ineligibility | 10464-(93/130)* | 119 | |||||||||
Publicity upon declaration | 7931-(85/41) | 380 | |||||||||
7999-(85/90) | 380 | ||||||||||
Misreporting and noncomplying purchases, guidelines on corrective action | 7842-(84/165) | 101 | |||||||||
EBM/85/26 | 103 | ||||||||||
Noncomplying purchases; see Misreporting and noncomplying purchases | |||||||||||
Operational guidelines; see Performance criteria and phasing, below | |||||||||||
Overdue obligationsto Fund, purchases from Fund | 7908-(85/26) | 66 | |||||||||
EBM/84/54 | 67 | ||||||||||
Performance criteria and phasing, operational guidelines | 7925-(85/38)* | 95 | |||||||||
Provision for enlarged access to Fund’s resources | 6783-(81/40)* | 191 | |||||||||
Provision for supplementary financing | 5508-(77/127) | 203 | |||||||||
Repurchases; see Repurchases | |||||||||||
Review of decision on extended Fund facility | 5220-(76/144) | 108 | |||||||||
7558-(83/156) | 108 | ||||||||||
7857-(84/175) | 109 | ||||||||||
8192-(86/13) | 109 | ||||||||||
8583-(87/72) | 110 | ||||||||||
9189-(89/77) | 110 | ||||||||||
9790-(91/106) | 111 | ||||||||||
10723-(94/58) | 111 | ||||||||||
Suspension of right to engage in purchase transactions | 10464-(93/130)* | 119 | |||||||||
Utilization of supplementary financing facility for enlarged access resources; see Amendment to utilize…, above | |||||||||||
Extended burden sharing, implementation and modalities of new special Contingent Account | 9471-(90/98)* | 253 | |||||||||
Extended Fund facility; see Extended arrangements | |||||||||||
External debt management policies | 6230-(79/140) | 98 | |||||||||
External contingency financing, see Compensatory and contingency financing facility | |||||||||||
F | “First credit tranche,” Fund attitude to request for transactions | 92 | |||||||||
Floating rates; see Exchange rates | |||||||||||
Fluctuating exchange rates; see Exchange rates | |||||||||||
Freely usable currencies | 5719-(78/46) | 420 | |||||||||
Free markets; see Exchange rates | |||||||||||
Fund resources, use; see Use of Fund’s resources | |||||||||||
Fund’s holdings; see Holdings of the Fund | |||||||||||
G | General Agreement on Tariffs and Trade | 1034-(60/27) | 356 | ||||||||
4254-(74/75) | 371-72 | ||||||||||
B/G Res. 29-10 | 469 | ||||||||||
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 Approach | 10286-(93/23) | 301 | |||||||||
Repurchase obligations, discharge by payment in SDRs or currencies of other members specified by Fund | 5703-(78/39)* | 230 | |||||||||
5809-(78/88) | 231 | ||||||||||
Sale, amounts available to Trust Fund | 5069-(76/72) | 421-22 | |||||||||
Sale for benefit of developing members, distribution of profits through Trust Fund | 5069-(76/72) | 422 | |||||||||
5709-(78/41) TR | 432 | ||||||||||
5832-(78/95) TR | 432 | ||||||||||
6540-(80/98) TR | 435 | ||||||||||
Sale, transfer of profits to Trust Fund | 5069-(76/72) | 421 | |||||||||
Subscribed to Fund, ownership | 170-3 | 3 | |||||||||
Gross reserve position; see Reverse position, gross | |||||||||||
H | Holdings of the Fund: | ||||||||||
Adjustment by Fund | 5590-(77/163) | 271 | |||||||||
Attribution of reductions to enlargement of member’s reserve tranche position | 6774-(81/35) | 220 | |||||||||
6831-(81/65)* | 231 | ||||||||||
Attribution of reductions to repurchase obligations | 6831-(81/65)* | 231 | |||||||||
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 purposes | 7060-(82/23) | 418 | |||||||||
Computations and adjustment, rates | 5590-(77/163) | 271 | |||||||||
Exclusion of holdings resulting from credit tranche purchases | 6830-(81/65) | 103,104 | |||||||||
Exclusion under buffer stock facility | 5591-(77/163) | 416 | |||||||||
Exclusion under compensatory and contingency financing facility | 8955-(88/126)* | 416 | |||||||||
Exclusion under enlarged access policy | 6783-(81/40) | 418 | |||||||||
Exclusion under extended Fund facility | 6830-(81/65) | 417 | |||||||||
Exclusion under oil facility | 5371-(77/5l) | 417 | |||||||||
Exclusion under supplementary financing facility | 5508-(77/127) | 417 | |||||||||
Exclusion under systemic transformation facility | 10348-(93/61) | ||||||||||
STF | 419 | ||||||||||
Replenishment; see Article VII, replenishment of Fund’s holdings of currencies; Borrowing by the Fund | |||||||||||
Repurchases; see Repurchases | |||||||||||
I | Import restrictions imposed for balance of payments reasons, GATT members | 1034-(60/27) | 356 | ||||||||
Income, accrued, see Overdue obligations to Fund, purchases from Fund, Accrued charges and income | |||||||||||
Income, Net, see Net Income | |||||||||||
Income position, see Burden sharing | |||||||||||
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 Fund | 5069-(76/72) | 426 | |||||||||
Payment on Fund indebtedness under General Arrangements to Borrow | 1289-(62/1)* | 309 | |||||||||
Payment on Fund indebtedness under supplementary financing facility Subsidy Account | 6683-(80/185)* | ||||||||||
G/TR | 439 | ||||||||||
Payment under supplementary financing facility | 5509-(77/127) Annex | 336 | |||||||||
6163-(79/96) | 341 | ||||||||||
Payments by members under Trust Fund loan agreements | 6358-(79/188) | 434 | |||||||||
5069-(76/72) | 426 | ||||||||||
Interim Committee of the Board of Governors on the International Monetary System: Establishment | B/G Res. 29-8* | 457 | |||||||||
Review of functioning of international adjustment process | 5392-(77/63)* | 11 | |||||||||
Rules of procedure | |||||||||||
International Bank for Reconstruction and Development, prescription as holder of special drawing rights | 6718-(81/1) S | 391 | |||||||||
International Development Association, prescription as holder of special drawing rights | 6718-(81/1) S | 391 | |||||||||
International Fund for Agricultural Development, prescription as holder of special drawing rights | 6489-(80/77) S | 391 | |||||||||
International monetary system, reform | B/G Comp. Res. | 456 | |||||||||
International Natural Rubber, Sugar, and Tin Agreements; see Buffer stock financing facility | |||||||||||
Interpretation of Articles of Agreement | xxxvi | ||||||||||
Investment: | |||||||||||
Currencies held in supplementary financing facility Subsidy Account | 6683-(80/185) G/TR | 440 | |||||||||
6854-(81/78) SBS | 444 | ||||||||||
Currency balances held in Trust Fund | 5069-(76/72) | 428 | |||||||||
5972-(78/189) | 430 | ||||||||||
5973-(78/189) TR | 431 | ||||||||||
Islamic Development Bank, prescription as holder of special drawing rights | 7086-(82/42) S | 391 | |||||||||
J | Japan, 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: | |||||||||||
Establishment | B/G Res. 29-9* | 461 | |||||||||
Rules of procedure | 472 | ||||||||||
Secretariat function, changes in organization of work and structure | 473 | ||||||||||
Joint Vienna Institute | 10575-(94/4) | 573 | |||||||||
M | Maintenance of value, adjustment: general policies and procedures relating to arrears to Fund | Acting Chairman’s Summing up EBM/88/19 | 69 | ||||||||
Managing Director: | |||||||||||
Authority to establish Borrowed Resources Suspense Accounts, and to transfer and invest balances of borrowed currencies | 6844-(81/75) | 343 | |||||||||
Authority to make calls under borrowing arrangements in connection with supplementary financing facility | 6845-(81/75) 6006-(79/3) | 343 340 | |||||||||
Consultation by eligible member to request assistance from Trust Fund | 5069-(76/72) | 423 | |||||||||
Consultation by member before making request under supplementary financing facility | 5508-(77/127) | 203 | |||||||||
Consultation by member contemplating request under extended Fund facility | 4377-(74/114)* | 105 | |||||||||
Consultation by member to request use of Fund resources under policy on enlarged access | 6783-(81/40) | 191 | |||||||||
Consultation with members when notice of exchange policy change not received | 5712-(78/41) | 8 | |||||||||
Consultations and proposals to Executive Board concerning sales of currencies at request of members with outstanding purchases | 6352-(79/183) | 212-13 | |||||||||
Consultations with lenders on means of interest payment under borrowing agreements in connection with supplementary financing facility | 6163-(79/96) | 341 | |||||||||
Deposit of currencies received by supplementary financing facility Subsidy Account with Bank for International Settlements | 6854-(81/78)* SBS | 444 | |||||||||
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 Fund | 6774-(81/35) | 220 | |||||||||
Discussions with members on exchange policies | 5392-(77/63)* | 13 | |||||||||
6026-(79/13)* | 14 | ||||||||||
Participation in meetings of Development Committee | B/G Res. 29-9 | 464 | |||||||||
Participation in meetings of Interim Committee | B/G Res. 29-8 | 459 | |||||||||
Placement of Trust Fund investments in SDR-denominated deposits | 5973-(78/189) TR | 431 | |||||||||
Proposals for allocation of SDRs: | |||||||||||
First basic period | B/G Res. 24-12 | 527 | |||||||||
Third basic period | B/G Res. 34-3 | 529 | |||||||||
Fourth basic period | 538 | ||||||||||
Proposals for calls under General Arrangements to Borrow | 1289-(62/1)* | 307 | |||||||||
Proposals for Trust Fund investments | 5973-(78/189) TR | 431 | |||||||||
Recommendations to Executive Board regarding approval of use of Fund resources and stand-by arrangements | 6056-(79/38) | 94 | |||||||||
Report to Board of Governors and to Executive Board on allocation of SDRs for fourth basic period | 538 | ||||||||||
Military expenditure and role of the Fund | Concluding Remarks by Acting Chairman | ||||||||||
EBM/91/138 | 373 | ||||||||||
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 resources | 71-2 | 63 | |||||||||
B/G Res. IM-6 | 454 | ||||||||||
Multiple currency practices: | |||||||||||
Policy | 237-2 | 359 | |||||||||
649-(57/33) | 366 | ||||||||||
6790-(81/43) | 367 | ||||||||||
Prior Fund approval | 5712-(78/41) | 8 | |||||||||
Spreads | 6790-(81/43) | 368 | |||||||||
N | “Net creditor position in the Fund” | 6008-(79/3) | 341 | ||||||||
Net income, Disposition | |||||||||||
for FY 1994 | 10704-(94/52) | 262 | |||||||||
for FY 1995 | 10957-(95/40) | 267 | |||||||||
Noncomplying purchases; see Extended or Stand-by arrangements, Misreporting and noncomplying purchases | |||||||||||
Nordic Investment Bank, prescription as holder of special drawing rights | 6488-(80/77) S | 391 | |||||||||
O | Official clearing and payments arrangements, Temporary exemption from three-month rule | 10749-(94/67) | 350 | ||||||||
Oil facility: | |||||||||||
Exclusion of purchases and holdings for purpose of definition of “reserve tranche | 5371-(77/51) | 417 | |||||||||
Operational budgets: | |||||||||||
Assessment of strength of member’s balance of payments and gross reserve position | 6273-(79/158) | ||||||||||
G/S | 209 | ||||||||||
Sales of SDRs and use of currencies | 6772-(81/35) G/S | 214 | |||||||||
Overdue obligations to Fund, purchases from Fund (see also Extended or Stand-by arrangements) | 7908-(85/26) | 66 | |||||||||
10464-(93/130)* | 115 | ||||||||||
Access to enhanced structural adjustment facility (ESAF) | Chairman’s Closing Remarks | ||||||||||
EBM/88/12 | 68-69 | ||||||||||
Accrued charges and income | 8433-(86/175) | 234 | |||||||||
Accounting for overdue charges | 8433-(86/175) | 234 | |||||||||
Burden sharing; see Burden Sharing | |||||||||||
Complaint, period of consideration | Chairman’s Summing up | ||||||||||
EBM/85/170 | 67 | ||||||||||
EBM/90/38 | 79-85 | ||||||||||
Compulsory withdrawal | EBM/89/100 | 75 | |||||||||
EBM/89/101 | 75 | ||||||||||
EBM/90/38 | 81,85 | ||||||||||
Declaration of ineligibility | EBM/89/100 | 73 | |||||||||
EBM/89/101 | 73 | ||||||||||
Declaration of noncooperation or censure | EBM/89/100 | 74 | |||||||||
EBM/89/101 | 74 | ||||||||||
Deferred income | 8433-(86/175) | 234 | |||||||||
Letter to Governors | EBM/89/100 | 75 | |||||||||
EBM/89/101 | 77-78 | ||||||||||
Maintenance of value adjustments, policies and procedures | Chairman’s Summing up | ||||||||||
EBM/88/19 | 69 | ||||||||||
Procedures for dealing with members | EBM/89/101 | 69 | |||||||||
Publicity upon declaration of ineligibility | 7999-(85/90) | 380 | |||||||||
Reporting by Fund | 7931-(85/41) | 380 | |||||||||
Rights accumulation programs, operational modalities | Chairman’s Summing up | ||||||||||
EBM/90/97 | 85 | ||||||||||
EBM/91/42 | 88 | ||||||||||
EBM/92/58 | 89 | ||||||||||
EBM/95/29 | 90 | ||||||||||
Setoff in connection with retroactive reduction of charges due by members in arrears | 8271-(86/74) | 237 | |||||||||
Special charges on | 8165-(85/189)* | ||||||||||
G/TR | 234 | ||||||||||
Setoff against charges due for second quarter of FY 1987 | 8442-(86/178) | 238 | |||||||||
Strengthened cooperative strategy, timetable Chairman’s of procedures | Statement | ||||||||||
EBM/90/38 | 83 | ||||||||||
EBM/92/58 | 89 | ||||||||||
Overdue payments to Fund; see Overdue obligations to Fund | |||||||||||
P | Payments arrears | 3153-(70/95) | 356 | ||||||||
Payments policies of members | 4134-(74/4) | 358 | |||||||||
Payments restrictions; (see also Exchange restrictions; Payments arrears): | |||||||||||
For security reasons, Fund jurisdiction | 144-(52/51) | 348 | |||||||||
Withdrawal or general abandonment | 117-1 | 382 | |||||||||
“Position in the Fund,” definition | 6274-(79/158) | 211 | |||||||||
6772-(81/35) G/S | 215 | ||||||||||
Prior notice to Fund, imposition of payments restrictions for security reasons | 144-(52/51) | 348 | |||||||||
Publication of reports, overdue obligations | 7931-(85/41) | 380 | |||||||||
Publicity on declaration of ineligibility | 7999-(85/90) | 380 | |||||||||
Publicity upon Suspension of Voting Rights and termination of suspension | 10305-(93/32) | 380 | |||||||||
Purchase transactions (see also Use of Fund’s resources): | |||||||||||
Augmentation of rights to purchase under stand-by and extended arrangements, elimination | 5706-(78/39) | 104 | |||||||||
Purchase under buffer stock financing facility | 2772-(69/47)* | 176 | |||||||||
3179-(70/102) | 177 | ||||||||||
5127-(76/91) | 179 | ||||||||||
5591-(77/163) | 416 | ||||||||||
5597-(77/171) | 182 | ||||||||||
7246-(82/147) | 183 | ||||||||||
7247-(82/147) | 180 | ||||||||||
Purchases under compensatory and contingency financing facility | 8955-(88/126)* | 137 | |||||||||
Purchases under credit tranche; see Tranche policies | |||||||||||
Purchases under extended arrangements | 5508-(77/127) | 204 | |||||||||
6783-(81/40) | 191 | ||||||||||
6830-(81/65) | 103 | ||||||||||
10464-(93/130)* | 117 | ||||||||||
Purchases under policy on enlarged access | 6783-(81/40)* | 191 | |||||||||
Purchases under stand-by arrangements | 5508-(77/127) 6783-(81/40)* |
203 191 |
|||||||||
10464-(93/130)* | 113 | ||||||||||
Purchases under supplementary financing facility | 10464-(93/130)* 5508-(77/127) |
113 203 |
|||||||||
Resumption of purchases under extended arrangement after decision of formal ineligibility or to consider such a proposal | 10464-(93/130)* | 120 | |||||||||
Resumption of purchases under stand-by arrangement after decision of formal ineligibility or to consider such a proposal | 270-(53/95)* | 92 | |||||||||
10464-(93/130)* 1289-(62/1)* | 115 | ||||||||||
Suspension, effect on General Arrangements to Borrow | 1289-(6211)* | 313 | |||||||||
Suspension of transactions under extended arrangements | 10464-(93/130)* | 119 | |||||||||
Suspension of transactions under stand-by arrangements | 270-(53/95)* | 92 | |||||||||
10464-(93/130)* | 115 | ||||||||||
Q | Quotas: | ||||||||||
Adjustment, first interval of five years | 408-2 | 3 | |||||||||
Calculation, review of method | B/G Res. 38-1 | 489 | |||||||||
Change, effect on voting power of elected Executive Director | 180-5 | 379 | |||||||||
Reviews: | |||||||||||
First | 408-2 | 3 | |||||||||
Sixth General Review | B/G Res. 31-2 | 475 | |||||||||
Seventh General Review | B/G Res. 34-2 | 478 | |||||||||
Sale of SDRs by Fund to members for use in quota payments | 6663-(80/160) S | 224 | |||||||||
Eighth General Review | B/G Res. 38-1 | 489 | |||||||||
Ninth General Review | |||||||||||
Report of Executive Board to Board of Governors | B/G Res. 43-1 | 498 | |||||||||
B/G Res. 44-5 | 505 | ||||||||||
B/G Res. 45-1 | 508 | ||||||||||
B/G Res. 45-2 | 516 | ||||||||||
Payment of increases in quotas | 11018-(95/62) | 517 | |||||||||
Period of consent, extension | 11018-(95/62) | 517 | |||||||||
Tenth General Review | |||||||||||
Report of Executive Board to Board of Governors | B/G Res. 48-3 | 522 | |||||||||
Special adjustment for members with very small quotas | B/G Res. 44-1 | 500 | |||||||||
B/G Res. 38-1 | 490 | ||||||||||
R | Rates for official communications of Fund | 534-3 | 376 | ||||||||
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 calculation | 7060-(82/23) | 418 | |||||||||
Remuneration, rate, burden sharing | 8348-(86/122)* | 239 | |||||||||
Repayment by Fund of borrowed currency | 1289-(62/ 1)* | 309 | |||||||||
Replenishment; see Article VII, replenishment of Fund’s holdings of currencies; Borrowing by the Fund | 5509-(77/127) | 334 | |||||||||
Reporting by the Fund of overdue obligations | 7931-(85/41) | 380 | |||||||||
Repurchases: | |||||||||||
Attribution of reductions in Fund’s holdings of currencies | 6774-(81/35) 6831-(81/65)* |
220 231 |
|||||||||
Currency resulting from purchase under credit tranches | 5703-(78/39)* | 229 | |||||||||
Currency resulting from purchase under extended arrangement | 10464-(93/130)* | 120 | |||||||||
Currency resulting from purchase under stand-by arrangement | 10464-(93/130) | 116 | |||||||||
Early, guidelines | 5704-(78/39) | 225 | |||||||||
6172-(79/101) | 226 | ||||||||||
Early, expectation, debt and debt service reduction operations; see Debt and debt service reduction operations, early repurchase expectations | 6273-(79/158) G/S | 209 | |||||||||
Guidelines for selection of currencies | 6274-(79/158) | 210 | |||||||||
6774-(81/35) | 218 | ||||||||||
Obligations to pay gold, payment with SDRs or currencies of other members | 5703-(78/39)* | 230 | |||||||||
5809-(78/88) | 231 | ||||||||||
Of Fund’s holdings | 102-(52/11) | 64 | |||||||||
Procedures | 5703-(78/39)* | 229 | |||||||||
Under buffer stock financing facility | 5703-(78/39)* | 229 | |||||||||
Sixth International Tin Agreement | 7247-(82/147) | 180 | |||||||||
1977 International Sugar Agreement | 5597-(77/171) | 182 | |||||||||
International Natural Rubber Agreement, 1979 | 7246-(82/147) | 184 | |||||||||
Under compensatory and contingency financing facility | 5703-(78/39)* | 229 | |||||||||
8955-(88/126)* | 145 | ||||||||||
Under decision on enlarged access | 6783-(81/40) | 193 | |||||||||
Under extended Fund facility | 4377-(74/114)* | 107 | |||||||||
Under supplementary financing facility | 5508-(77/127) | 206 | |||||||||
Reserve assets: | |||||||||||
Guidelines for determining amount to be paid in connection with subscriptions | 6266-(79/156) | 4 | |||||||||
Payment for subscriptions: | |||||||||||
Under Eighth General Review of Quotas | B/G Res. 38-1 | 491-94 | |||||||||
Under Ninth General Review of Quotas | B/G Res. 45-2 | 513-14 | |||||||||
518 | |||||||||||
Reserve position, gross, assessment for purposes of designation plans, operational budgets, and early repurchases | 6273-(79/158) G/S | 209 | |||||||||
Reserve tranche position: | |||||||||||
Attribution of reductions in Fund’s holdings of currencies to enlarge | 6774-(81/35) | 220 | |||||||||
6831-(81/65)* | 231 | ||||||||||
Review | 7704-(84/78) | 232 | |||||||||
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 determination | 7060-(82/23) | 418 | |||||||||
Reserve tranche purchases (see also Use of Fund’s resources): | |||||||||||
Exclusion of purchases and holdings in credit tranches | 6830-(81/65) | 103,417 | |||||||||
Exclusion of purchases and holdings under buffer stock financing facility | 5591-(77/163) | 416 | |||||||||
Exclusion of purchases and holdings under compensatory and contingency financing facility | 8955-(88/126)* | 138,416 | |||||||||
Exclusion of purchases and holdings under extended facility | 6830-(81/65) | 417-18 | |||||||||
Exclusion of purchases and holdings under oil facility | 5371-(77/51) | 417 | |||||||||
Exclusion of purchases and holdings under policy on enlarged access | 6783-(81/40) | 418 | |||||||||
Exclusion of purchases and holdings under supplementary financing facility | 5508-(77/127) | 417 | |||||||||
Exclusion of purchases and holdings under systemic transformation facility | 10348-(93/61) | ||||||||||
Restrictions; see Exchange restrictions; Payments restrictions | STF | 419 | |||||||||
Retention quotas | 201-(53/29) | 351 | |||||||||
Rights approach or Rights accumulation programs; see Overdue obligations to Fund, purchases from Fund | |||||||||||
Rule G-1 | 1289-(62/1)* | 312 | |||||||||
Rule 1-6(4): | 8165-(85/189)* | ||||||||||
Rate of charges | 8165-(85/189)* | ||||||||||
G/TR | 235 | ||||||||||
8780-(88/12) | 246 | ||||||||||
8861-(88/67) | 247 | ||||||||||
9135-(89/46) | 250 | ||||||||||
9471-(90/98) | 253 | ||||||||||
10340-(93/54) | 256 | ||||||||||
10348-(93/61) STF | 190 | ||||||||||
Rule 1-10: | |||||||||||
Rate of remuneration | 8348-(86/122)* | 239 | |||||||||
8861-(88/67) | 248 | ||||||||||
9471-(90/98) | 253 | ||||||||||
10340-(93/54) | 257 | ||||||||||
Rule 0-2: | 1289-(62/ 1)* | ||||||||||
Determination of exchange rate | 1289-(62/ 1)* | 312 | |||||||||
5590-(77/163) | 271 | ||||||||||
6001 -(79/1) S | 397 | ||||||||||
6053-(79/34) S | 399 | ||||||||||
6054-(79/34) S | 401 | ||||||||||
6336-(79/178) S | 403 | ||||||||||
7041-(82/8) G/S | 412 | ||||||||||
Valuation of U.S. dollar in terms of special drawing rights | 6709-(80/189) S | 386 | |||||||||
Rule P-7: | |||||||||||
Declaration concerning use of special drawing rights in accordance with prescription on donations | 6437-(80/37) S | 406 | |||||||||
Declaration concerning use of special drawing rights in accordance with prescription on forward operations | 6337-(79/178)S | 405 | |||||||||
Declaration concerning use of special drawing rights in accordance with prescription on loans | 6001-(79/1) S | 398 | |||||||||
Declaration concerning use of special drawing rights in accordance with prescription on pledges | 6053-(79/34) S* | 400 | |||||||||
Declaration concerning use of special drawing rights in accordance with prescription on settlement of financial obligations | 6000-(79/1) S* | 397 | |||||||||
Declaration concerning use of special drawing rights in accordance with prescription on swap operations | 6336-(79/178) S | 404 | |||||||||
Declaration concerning use of special drawing rights in accordance with prescription on transfers as security for performance of financial operations | 6054-(79/34) S* | 402 | |||||||||
Rule P-9, record of operations in special drawing rights | 6000-(79/1) S* | 397 | |||||||||
6001-(79/1) S | 399 | ||||||||||
6053-(79/34) S* | 400 | ||||||||||
6054-(79/34) S* | 403 | ||||||||||
6336-(79/178) S | 404 | ||||||||||
6337-(79/178) S | 405 | ||||||||||
6437-(80/37) S | 406 | ||||||||||
8186-(86/9) SBS/S | 393 | ||||||||||
8239-(86/56) SAF | 393 | ||||||||||
Rule R-1 through R-6, rules for reconstitution, abrogation | 6832-(81/65) | 411 | |||||||||
Rule T-1, interest and charges in respect of SDRs | 8759-(87/176)* | ||||||||||
ESAF | 36 | ||||||||||
S | Saudi Arabia, association agreement under General Arrangements to Borrow; Borrowing by the Fund Transferability of claims | 7629-(84/25) | 321 | ||||||||
Section 22 of By-Laws, compulsory withdrawal | EBM/89/100 and EBM/89/101 | 75,78 | |||||||||
Special contingent account, establishment | 8619-(87/90) | 244 | |||||||||
Additions in FY 1988 and disposition of amounts placed in FY 1987 and FY 1988 | 8780-(88/12) | 245 | |||||||||
Special Contingent Account (SCA-2) | 9471-(90/98)* | 253 | |||||||||
Special Disbursement Account; see Accounts | |||||||||||
Special drawing rights: | |||||||||||
Allocation for first basic period | B/G Res. 24-12 | 527 | |||||||||
Allocation for third basic period | B/G Res. 34-3 | 529 | |||||||||
New participants | 5956-(78/180) S | 395 | |||||||||
6368-(79/191) S | 395 | ||||||||||
Allocation for fourth basic period, Managing Director’s report to Board of Governors and to Executive Board | |||||||||||
Change in method of valuation, effect on claims under supplementary financing facility | 5509-(77/127) | ||||||||||
Annex | 338 | ||||||||||
Designation, review of rules and method of calculating amounts | 6209-(79/124) S | 407 | |||||||||
Holders prescribed by the Fund: | |||||||||||
African Development Bank and African Development Fund | 8318-(86/104) S | 391 | |||||||||
Andean Reserve Fund | 6486-(80/77) S | 391 | |||||||||
Arab Monetary Fund | 6609-(80/126) S | 391 | |||||||||
Asian Development Bank | 7229-(82/136) S | 391 | |||||||||
Bank for International Settlements | 6484-(80/77) S | 390 | |||||||||
Bank of Central African States | 7064-(82/26) S | 391 | |||||||||
Central Bank of West African States | 6908-(81/101) S | 391 | |||||||||
East African Development Bank | 7582-(83/174) S | 391 | |||||||||
Eastern Caribbean Central Bank | 7707-(84/79) S | 391 | |||||||||
International Bank for Reconstruction and Development | 6718-(81/1) S | 391 | |||||||||
International Development Association | 6718-(81/1) S | 391 | |||||||||
International Fund for Agricultural Development | 6489-(80/77) S | 391 | |||||||||
Islamic Development Bank | 7086-(82/42) S | 391 | |||||||||
Nordic Investment Bank | 6488-(80/77) S | 391 | |||||||||
Swiss National Bank, Termination of status | 10225-(92/147) S | 392 | |||||||||
Terms and conditions for accepting, holding, or using SDRs | 6467-(80/71) S | 388 | |||||||||
Level of SDR holdings in General Resources Account, maintenance; see Accounts, General Resources Account | |||||||||||
Loans for Trust Fund expressed in | 5069-(76/72) | 426 | |||||||||
Method of collecting exchange rates for calculation of value of SDR for purpose of Rule 0-2(a) | 6709-(80/189) S | 386 | |||||||||
Payment of net charges and assessment in Special Drawing Rights Department; see Special Drawing Rights Department, payment | |||||||||||
Payment of subscriptions | 6266-(79/156) | 6 | |||||||||
Reconstitution, abrogation of rules | 6832-(81/65) S | 411 | |||||||||
Sale by Fund to members for use in quota payments under Seventh General Review | 6663-(80/160) S | 224 | |||||||||
Sale by Fund, guidelines | 6772-(81/35) G/S | 214 | |||||||||
7626-(84/23) S | 217 | ||||||||||
7941-(85/50) S | 217 | ||||||||||
8265-(86/70) S | 218 | ||||||||||
8574-(87/64) S | 218 | ||||||||||
10278-(93/19) S 5973-(78/189) TR | 218 | ||||||||||
SDR-denominated deposits with Bank for International Settlements | 5973-(78/189) TR | 431 | |||||||||
Transfers under Article V, Section 3(f) | 6275-(79/158) G/S | 212 | |||||||||
Transfers under Article V, Section 6(b), guidelines for selection of currencies | 6274-(79/158) | 210 | |||||||||
6774-(81/35) | 218 | ||||||||||
Use in donations | 6437-(80/37) S | 405 | |||||||||
Use in financial operations under ESAF Trust or administered account | 8937-(88/118) ESAF/S | 393 | |||||||||
Use in forward operations | 6337-(79/178) S | 404 | |||||||||
Use in loans | 6001-(79/1) S | 397 | |||||||||
Use in operations under structural adjustment facility | 8239-(86/56) SAF | 393 | |||||||||
Use in payment of charges | 5702-(78/39)* G/S | 233 | |||||||||
Use in payment of 25 percent of quota increases | B/G Res. 31-2 | 476 | |||||||||
B/G Res. 34-2 | 483 | ||||||||||
B/G Res. 38-1 | 494 | ||||||||||
B/G Res. 45-2 | 518 | ||||||||||
Use in payment of subsidy | 8186-(86/9) SBS/S | 392 | |||||||||
Use in payment of Trust Fund obligations | 8642-(87/101) S/TR | 392 | |||||||||
Use in pledges | 6053-(79/34) S* | 399 | |||||||||
Use in repurchases | 5703-(78/39) | 230 | |||||||||
5809-(78/88) | 231 | ||||||||||
Use in settlement of financial obligations | 6000-(79/1) S* | 396 | |||||||||
Use in swap operations | 6336-(79/178) S | 403 | |||||||||
Use in transfers as security for performance of financial obligations | 6054-(79/34) S | 401 | |||||||||
Valuation basket, guidelines for calculation of currency amount | 8160-(85/186) G/S | 385 | |||||||||
Valuation basket, see also, valuation method | |||||||||||
Valuation for use in borrowing arrangements | 1289-(62/1)* | 312 | |||||||||
Valuation, interim | B/G Res. 29-10 | 469 | |||||||||
Valuation method | 6631-(80/145)G/S | 383 | |||||||||
9549-(90/146)G/S | 385 | ||||||||||
Valuation of U.S. dollar pursuant to Rule 0-2(a), method | 6709-(80/189) S | 386 | |||||||||
Special Drawing Rights Department, payment of net charges and assessment | 7116-(82/68) S | 413 | |||||||||
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, elimination | 5706-(78/39) | 104 | |||||||||
Charges | 10464-(93/130)* | 115 | |||||||||
Conditionality, guidelines | 6056-(79/38) | 93 | |||||||||
Review | 8192-(86/13) | 109 | |||||||||
8583-(87/72) | 110 | ||||||||||
9790-(91/106) | 111 | ||||||||||
10723-(94/58) | 111 | ||||||||||
Elimination of use under Enlarged Access Policy | 10181-(92/132) | 195 | |||||||||
Exclusion of purchases for purposes of definition of “reserve tranche purchase” | 6830-(81/65) | 103 | |||||||||
Foreign borrowing, performance criteria | 6230-(79/140) | 98 | |||||||||
Form, standard | 10464-(93/130)* | 112 | |||||||||
Guidelines on access limits | 10181-(92/132) | 195 | |||||||||
Guidelines, operational; see Performance criteria and phasing, below | |||||||||||
Ineligibility | 270-(53/95)* | 92 | |||||||||
10464-(93/130)* | 115 | ||||||||||
Publicity upon declaration of | 7999-(85/90) 7931-(85/41) |
380 380 |
|||||||||
Misreporting and noncomplying purchases, guidelines on corrective action | 7842-(84/165) | 101 | |||||||||
Noncomplying purchases; see Misreporting and noncomplying purchases, above | |||||||||||
Operational guidelines; see Performance criteria and phasing, below | |||||||||||
Overdue obligations to the Fund, purchases from Fund | 7908-(85/26) | 66 | |||||||||
EBM/84/54 | 67 | ||||||||||
Payments arrears, performance criteria | 3153-(70/95) | 356 | |||||||||
Performance criteria and phasing, operational guidelines | 7925-(85/38) | 95 | |||||||||
Period | 270-(53/95) | 91 | |||||||||
5508-(77/127) | 204 | ||||||||||
6783-(81/40) | 192 | ||||||||||
Policies and procedures | 270-(53/95) | 91 | |||||||||
Provision for enlarged access to Fund’s resources | 6783-(81/40) | 191 | |||||||||
Provision for supplementary financing | 5508-(77/127) | 204 | |||||||||
Relationship between performance criteria and phasing of purchases, operational guidelines | 7925-(85/38) | 95 | |||||||||
Renewal | 270-(53/95) | 91 | |||||||||
Repurchases; see Repurchases, Currency resulting from purchase under stand-by arrangement | |||||||||||
Suspension of right to engage in purchase transactions | 270-(53/95)* | 92 | |||||||||
Utilization of supplementary financing facility for enlarged access resources; see Amendment to utilize…, above | 10464-(93/130)* | 115 | |||||||||
Strengthened cooperation strategy on overdue obligations to Fund; see Overdue obligations to Fund, purchases from Fund | |||||||||||
Structural adjustment facility: | |||||||||||
Amounts of assistance | 8240-(86/56) SAF* | 281 | |||||||||
Review | 9809-(91/114)SAF 10090-(92/24) SAF/ESAF |
297 298 |
|||||||||
Income from investment and loans, availability of use | 8760-(87/176) | 299 | |||||||||
Interest | 8238-(86/56) SAF* | 278 | |||||||||
List of eligible members and amounts of assistance | 8240-(86/56)* | 281 | |||||||||
Loans under ESAF | 8238-(86/56)* SAF | 279 | |||||||||
Regulations for administration | 8238-(86/56)* SAF | 274 | |||||||||
Chairman’s Summing up EBM/86/56 | 284 | ||||||||||
Review of experience, conditionality, benchmarks, and prior actions | Chairman’s Summing Up EBM/87/93 | 289 | |||||||||
Review of operation | 8241-(86/56) SAF | 284 | |||||||||
8757-(87/176) SAF/ESAF | 296 | ||||||||||
9114-(89/40) SAF/ESAF | 296 | ||||||||||
9487-(90/106)* SAF/ESAF | 296 | ||||||||||
9808-(91/114) SAF/ESAF | 296 | ||||||||||
10089-(92/94) SAF/ESAF | 297 | ||||||||||
Use of SDRs in Operations | 8239-(86/56) SAF | 393 | |||||||||
Subscriptions: | |||||||||||
Gold and currency, ownership by Fund | 170-3 | 3 | |||||||||
Payment of quota increases | B/G Res. 31-2 | 476 | |||||||||
B/G Res. 34-2 | 483 | ||||||||||
B/G Res. 38-1 | 494 | ||||||||||
B/G Res. 45-2 | 518 | ||||||||||
Reserve Assets: | |||||||||||
Guidelines for determining amounts to be paid | 6266-(79/156) | 4 | |||||||||
Payment: | |||||||||||
Under Eighth General Review of Quotas | B/G Res. 38-1 | 494 | |||||||||
Payment | |||||||||||
Under Ninth General Review of Quotas | B/G Res. 45-2 | 518 | |||||||||
Subsidy Account; see Accounts, Subsidy Accounts | |||||||||||
Sugar Agreement, International; see Buffer stock financing facility | |||||||||||
Supplementary financing facility: | |||||||||||
Authorization to make calls under borrowing arrangements | 6006-(79/) | 340 | |||||||||
Charges; see Charges | |||||||||||
Establishment | 5508-(77/127) | 203 | |||||||||
No augmentation of rights to purchase | 5706-(78/39) | 104 | |||||||||
Replenishment of Fund’s holdings of currencies | 5509-(77/127) | 333 | |||||||||
Interest payments under borrowing agreements | 6163-(79/96) | 341 | |||||||||
Meaning of “Net creditor position in the Fund” | 6008-(79/3) | 341 | |||||||||
Repurchases; see Repurchases | |||||||||||
Subsidy Account | |||||||||||
Disbursement of additional subsidy amount for period ending June 30, 1986 | 8523-(87/25) SBS | 447 | |||||||||
Disbursement of additional subsidy amount for July 1, 1985 through June 30, 1987 | 8674-(87/117) | ||||||||||
SBS | 448 | ||||||||||
Additional subsidy payments for May 1, 1987 through June 30, 1987 and for July 1, 1987 through June 30, 1988 | 8941-(88/122) | ||||||||||
SBS | 448 | ||||||||||
Instrument | 6683-(80/185)* TR | 438 | |||||||||
Investment of currencies | 6854-(81/78) SBS | 444 | |||||||||
Means of payments | 8185-(86/9) SBS/S | 445 | |||||||||
Subsidy payments, July 1, 1984-June 30, 1985 | 8037-(85/110) SBS | 446 | |||||||||
Subsidy payments, July 1, 1985-June 30, 1986 | 8492-(87/1) SBS | 447 | |||||||||
Subsidy payments, July 1, 1986-June 30, 1987 | 8674-(87/117) SBS | 448 | |||||||||
Subsidy payments, July 1, 1987-June 30, 1988 | 8941-(88/122) SBS | 448 | |||||||||
Subsidy payments, July 1, 1988-June 30, 1989 | 9222-(89/97) SBS | 449 | |||||||||
Suspension of transfers and retransfer of surplus to Special Disbursement Account | 7989-(85/81) SBS | 445 | |||||||||
Subsidy payments, May 1-June 30, 1989 and July 1, 1989-June 30, 1990 | 9510-(90/122) SBS | 450 | |||||||||
Subsidy payments, May 1-June 30, 1990 and July 1, 1990-June 30, 1991 | 9788-(91/105) SBS | 450 | |||||||||
Transferability of claims; see Transferability of claims | 5392-(77/63)* | ||||||||||
Surveillance over exchange rate policies | 5392-(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 period | 7427-(83/83) | 17 | |||||||||
Chairman’s Remarks | |||||||||||
EBM/91/15 | 19 | ||||||||||
Review of procedures | 9499-(90/111)* | 15 | |||||||||
10273-(93/15) | 16 | ||||||||||
10949-(95/37) | 16 | ||||||||||
Supplemental surveillance procedures | 6026-(79/13)* | 14 | |||||||||
Suspension of voting rights, publicity, see Voting rights, suspension, publicity | |||||||||||
Systemic transformation facility | 10348-(93/61)* STF | 186 | |||||||||
Expiration of Period | 10961-(95/41) | 190 | |||||||||
T | Technical assistance activities, Framework administered account | 10942-(95/33) | 59 | ||||||||
Technical assistance, Fund ready to meet requests in preparation of economic programs and measures for exchange simplification | 649-(57/33) | 367 | |||||||||
Tin Agreements, International; see Buffer stock financing facility | |||||||||||
Trade, Voluntary Declaration | 4254-(74/75) | 370 | |||||||||
B/G Res. 29-10 | 469 | ||||||||||
Tranche policies: | |||||||||||
Application in connection with decision on enlarged access | 6783-(81/40) | 191 | |||||||||
Application in connection with supplementary financing facility | 5508-(77/127) | 206 | |||||||||
Application in connection with buffer stock financing facility | 10186-(92/132) | 177 | |||||||||
Application in connection with compensatory and contingency financing facility | 8955-(88/126)* | 138 | |||||||||
Application in connection with systemic transformation facility | 10348-(93/61) | ||||||||||
STF | 188 | ||||||||||
Exclusion of credit tranche purchases for purpose of definition of “reserve tranche purchase” | 6830-(81/65) 10 | 3,417 | |||||||||
Floating, elimination for purpose of determining level of conditionality applied to purchase | 10186-(92/132) | 177 | |||||||||
Fund attitude to request for transactions within “first credit tranche” and beyond | 92 | ||||||||||
Transferability of claims: | |||||||||||
General Arrangements to Borrow | 1289-(62/1)* 7628-(84/25) |
312 320 |
|||||||||
Saudi Arabia’s borrowing agreement | 7629-(84/25) | 321 | |||||||||
Transitional provisions of Article XIV | 117-1 | 382 | |||||||||
1034-(60/27) | 355 | ||||||||||
Trust Fund: | |||||||||||
Deposits denominated in SDRs | 5973-(78/189) TR | 431 | |||||||||
Distribution of profits from sale of gold for benefit of developing countries | 5069-(76/72) | 422 | |||||||||
5709-(78/41) TR | 432 | ||||||||||
5832-(78/95) TR | 432 | ||||||||||
6540-(80/98) TR | 435 | ||||||||||
Diversification of investments | 5972-(78/189) | 430 | |||||||||
5973-(78/189) TR | 431 | ||||||||||
Eligible members, review of list | 5563-(77/150) TR | 430 | |||||||||
Final payments of profits and loans for period July 1, 1976–June 30, 1978 | 5832-(78/95) TR | 432 | |||||||||
Instrument | 5069-(76/72) | 422 | |||||||||
Amendment | 5563-(77/150)TR | 430 | |||||||||
5972-(78/189) | 430 | ||||||||||
6793-(81/45) | 437 | ||||||||||
Means of payment of interest | 6358-(79/188) TR* | 434 | |||||||||
Means of repayment by members on their indebtedness under loan agreements | 7142-(82/85) | ||||||||||
TR* | 435 | ||||||||||
Overdue interest and special charges | 8165-(85/189)* G/TR | 234 | |||||||||
Elimination after six months or more. | 10352-(93/49) G/TR* | 236 | |||||||||
Repayment terms: | |||||||||||
Final loan disbursement | 6793-(81/45) | 437 | |||||||||
Second period: | |||||||||||
Extension | 6466-(80/68) TR | 433 | |||||||||
6676-(80/168) TR | 434 | ||||||||||
Extension of period for qualification | 6202-(79/121) TR | 433 | |||||||||
Timing of loan disbursements | 6201-(79/121) TR | 433 | |||||||||
Special charges on overdue interest | 8165-(85/189) G/TR* | 235 | |||||||||
Termination and transfer of resources to Special Disbursement Account | 6683-(80/185) G/TR* | 444 | |||||||||
6704-(80/185) | TR273.436 | ||||||||||
U | Unenforceability; see Exchange contracts | ||||||||||
United Nations: | |||||||||||
Agreement with International Monetary Fund | 543 | ||||||||||
Convention on the Privileges and Immunities of the Specialized Agencies | 550 | ||||||||||
Application to Fund, Annex V | 568 | ||||||||||
List of members which have accepted with respect to Fund | 569 | ||||||||||
General Assembly Resolution entitled “Uniting for Peace,” due regard by Fund in conduct of its activities | B/G Res. 6-8 | 455 | |||||||||
United States dollars: | |||||||||||
Determination of value in terms of special drawing right pursuant to Rule 0-2(b) | 6709-(80/189) S | 386 | |||||||||
Inclusion in operational budgets | 6772-(81/35) G/S | 215 | |||||||||
Use for payment of interest and other Fund liabilities | 6358-(79/188)* TR | 434 | |||||||||
Use for repayments by members on their indebtedness under Trust Fund loan agreements | 7142-(82/85)* | ||||||||||
TR | 435 | ||||||||||
Use in payments under supplementary financing facility Subsidy Account | 7754-(84/108) SBS | 446 | |||||||||
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 drawings | 270-(53/95)* | 91 | |||||||||
Authority to use resources of Fund, interpretation of Articles of Agreement | 71-2 | 63 | |||||||||
Buffer stock financing | 2772-(69/47)* | 176 | |||||||||
Buffer stock financing facility as applied to 1977 International Sugar Agreement | 5597-(77/171) | 181 | |||||||||
Buffer stock financing facility as applied to International Tin Agreements: | |||||||||||
Fourth | 3179-(70/102) | 177 | |||||||||