INDEX
(*indicates Decision and Resolution as amended)
References are to the Articles of Agreement after the Second Amendment, which entered into force April 1, 1978. References to Articles in effect before the Second Amendment are indexed under their corresponding Articles after the Second Amendment.
(*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-(82/123) | 557 | |||||
Borrowed Resources Suspense Accounts | 6844-(81/715) | 448 | |||||
6845-(81/75) | 449 | ||||||
Framework Administered Account for technical assistance activities | 10942-(95/33) | 86 | |||||
General Account; see General Resources Account, below | |||||||
General Resources Account: | |||||||
Adjustment of currency holdings of members | 5590-(77/163) | 348 | |||||
Exchange rate for Fund computations | 5590-(77/163) | 348 | |||||
Level of Fund SDR holdings, maintenance | 6275-(79/158)G/S | 275 | |||||
7626-(84/23) S | 281 | ||||||
7941-(85/50) S | 281 | ||||||
8265-(86/70) S | 281 | ||||||
8574-(87/64) S | 282 | ||||||
10278-(93/19)S | 282 | ||||||
Purchase of SDRs for payment of charge | 5702-(78/39)* | ||||||
G/S | 297 | ||||||
Reimbursement for expenses of carrying out business of supplementary financing facility Subsidy Account | 6683-(80/185) | ||||||
G/TR* | 577 | ||||||
Reimbursement for expenses of conducting business of Trust Fund | 5069-(76/72) | 560 | |||||
Sales of SDRs for payment of quota increases by members under Seventh General Review of Quotas | 6663-(80/160) S | 287 | |||||
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)* | 378 | |||||
Special Disbursement Account, transfers to supplementary financing facility Subsidy Account | 6683-(80/185) G/TR* | 577 | |||||
6704-(80/185) TR | 576 | ||||||
Investment | 7990-(85/81) | 350 | |||||
8029-(85/105) | 351 | ||||||
Structural adjustment facility; see Structural adjustment facility | |||||||
Special Drawing Rights Department, payment of net charges and assessments | 7116-(82/68) S | 552 | |||||
Subsidy Accounts: | |||||||
Supplementary financing facility: | |||||||
Disbursement of additional subsidy amounts for period ending June 30, 1986 | 8523-(87/25) SBS | 587 | |||||
Instrument | 6683-(80/185) G/TR* | 577 | |||||
Investment of currencies | 6854-(81/78)* SBS | 584 | |||||
Means of payments | 8185-(86/9)SBS/S | 585 | |||||
Subsidy payments, July 1, 1983- June 30, 1984 | 7754-(84/108) SBS | 586 | |||||
Subsidy payments, July 1, 1984- June 30, 1985 | 8037-(85/110)SBS | 586 | |||||
Subsidy payments, July 1, 1985- June 30, 1986 | 8492-(87/1) SBS | 587 | |||||
Subsidy payments, July 1, 1986- June 30, 1987 | 8674-(87/117) SBS | 588 | |||||
Subsidy payments, July 1, 1987- June 30, 1988 | 8941-(88/122) SBS | 589 | |||||
Subsidy payments, July 1, 1988- June 30, 1989 | 9222-(89/97) SBS | 590 | |||||
Suspension of transfers and retransfer of surplus to Special Disbursement Account | 7989-(85/81) SBS | 585 | |||||
Transfer of funds from Special Disbursement Account following termination of Trust Fund | 6704-(80/185) TR | 576 | |||||
Accrued charges and income; see Overdue obligations to Fund, purchase from Fund | |||||||
Adjustment process, international, review | 5392-(77/63)* | 12 | |||||
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 | 530 | |||||
Andean Reserve Fund, prescription as holder of special drawing rights | 6486-(80/77) S | 529 | |||||
Arab Monetary Fund, prescription as holder of special drawing rights | 6609-(80/126) S | 530 | |||||
Archives of the Fund, opening | 11192-(96/2) | 495 | |||||
Arrears to the Fund, see Overdue Obligations to Fund | |||||||
Articles of Agreement * | |||||||
Amendment, Second | B/G Res. 29-8 | 596 | |||||
B/G Res. 29-10 | 610 | ||||||
Article 1, purposes of the Fund | 287-3 | 91 | |||||
433-(55/42) | 455 | ||||||
1034-(60/27) | 460 | ||||||
4377-(74/114)* | 139 | ||||||
5069-(76/72) | 561 | ||||||
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 | 615 | |||||
B/G Res. 34-2 | 618 | ||||||
B/G Res. 38-1 | 629 | ||||||
B/G Res. 43-1 | 638 | ||||||
B/G Res. 44-1 | 640 | ||||||
B/G Res. 44-5 | 643 | ||||||
B/G Res. 45-1 | 646 | ||||||
B/G Res. 45-2 | 648 | ||||||
B/G Res. 48-3 | 661 | ||||||
B/G Res. 53-2 | 666 | ||||||
Article IV: | |||||||
Consultations | 5392-(77/63)* | 10 | |||||
6026-(79/13)* | 15 | ||||||
6056-(79/38) | 125 | ||||||
6790-(81/43) | 475 | ||||||
7427-(83/83) | 20 | ||||||
10168-(92/127) | 18 | ||||||
Consultations, bicyclic procedure Termination, see Termination of Bicyclic procedures below | |||||||
Exchange arrangements | 5392-(77/63) | 10 | |||||
5712-(78/41) | 8 | ||||||
Press information notices, Release | 11493-(97/45) | 25 | |||||
Termination of Bicyclic Consultation procedure | 10362-(93/67) | 19 | |||||
Article IV, Section 3, surveillance over exchange rate policies | 5392-(77/63)* | 10 | |||||
6026-(79/13)* | 15 | ||||||
Article V, Section 1 | 1289-(62/1)* | 393 | |||||
Article V, Section 3, application of Fund policies to purchases of currency borrowed by Fund | 1289-(62/1)* | 390 | |||||
Article V, Section 3(a), “consistent with the provisions of this Agreement,” meaning | 287-3 | 91 | |||||
Article V, Section 3(b)(ii), “represents” that a member has a need to make purchases | 284-4 | 92 | |||||
Chairman’s Summing-up EBM/87/176 |
54 | ||||||
Article V, Section 3(b)(iii), waiver | 4377-(74/114)* | 141 | |||||
5508-(77/127) | 270 | ||||||
6783-(81/40)* | 255 | ||||||
8955-(88/126)* | 192 | ||||||
Article V, Section 3(d): | |||||||
Sale of members’ currencies for repurchases | 5704-(78/39) | 289 | |||||
Selection of currencies in purchases | 6273-(79/158) G/S | 272 | |||||
6274-(79/158) | 273 | ||||||
6352-(79/183) | 276 | ||||||
6774-(81/35) | 282 | ||||||
Article V, Section 5, transfers of SDRs | 6275-(79/158) G/S | 275 | |||||
Article V, Section 5, limitation on use of Fund’s resources | 284-3 | 285 | |||||
286-1 | 285 | ||||||
7842-(84/165) | 136 | ||||||
Article V, Section 6, sale of SDRs by the Fund | 6663-(80/160) S | 287 | |||||
Article V, Section 6(b), transfers of SDRs by the Fund | 6274-(79/158) | 273 | |||||
6774-(81/35) | 282 | ||||||
Article V, Section 7, repurchases | 1289-(62/1)* | 390 | |||||
5703-(78/39)* | 292 | ||||||
5704-(78/39) | 288 | ||||||
5809-(78/88)* | 294 | ||||||
6172-(79/101) | 290 | ||||||
Article VI, capital transfers | 1238-(61/43) | 91 | |||||
Article VII, replenishment of Fund’s holdings of currencies | 5508-(77/127) | 266 | |||||
5509-(77/127) | 438 | ||||||
6783-(81/40)* | 252 | ||||||
Article VII, Section 1, borrowing by Fund | 1289-(62/1)* | 386 | |||||
8897-(88/93) | 412 | ||||||
6783-(81/40)* | 252 | ||||||
Article VIII: | |||||||
Bilateralism | 433-(55/42) | 455 | |||||
Consultations | 5712-(78/41) | 9 | |||||
Retention quotas | 201-(53/29) | 457 | |||||
Article VIII and Article XIV | 1034-(60/27) | 460 | |||||
Article VIII, Sections 2, 3, and 4, acceptance of obligations | 1034-(60/27) | 460 | |||||
Article VIII, Section 2(a): Payments restrictions | 144-(52/51) | 454 | |||||
3153-(70/95) | 462 | ||||||
Article VIII, Section 2(b), unenforceability of exchange contracts | 446-4 | 452 | |||||
Article VIII, Section 3, multiple currency practices | 237-2 | 469-70 | |||||
649-(57/33) | 472 | ||||||
8790-(81/43) | 474 | ||||||
Article VIII, Section 7 | B/G Res. 34-3 | 683 | |||||
Article IX, Section 7, privilege for communications | 534-3 | 496 | |||||
Article XII, Section 3(b)(i) and 3(f) | 2-1 | 515 | |||||
Article XII, Section 3(c): | |||||||
Additional appointed Executive Directors | 574-2* | 515 | |||||
Determination of member’s entitlement to appoint Executive Director | 7066-(82/23) | 558 | |||||
The preceding two years,” meaning | 597-4 | 516 | |||||
Article XIV: | |||||||
Articles VIII and XIV | 1034-(60/27) | 460 | |||||
Bilateralism | 433-(55/42) | 455 | |||||
Consultations | 5392-(77/63)* | 13 | |||||
Retention quotas | 201-(53/29) | 457 | |||||
Article XIV, Section 1 | 1034-(60/27) | 461 | |||||
Article XIV, Section 2: Multiple currency practices | 237-2 | 469-70 | |||||
Payments restrictions | 144-(52/51) | 454 | |||||
3153-(70/95) | 462 | ||||||
Transitional arrangements | 446-4 | 453 | |||||
Article XIV, Section 3 | 117-1 | 520 | |||||
Article XVII, Section 3, other holders of special drawing rights | 6467-(80/71) S | 526 | |||||
6484-(80/77) S | 529 | ||||||
6486-(80/77) S | 529 | ||||||
7629-(84125) | 403 | ||||||
8642-(87/101)S/TR | 530 | ||||||
8759-(87/176)ESAF* | 42 | ||||||
8937-(88/68)ESAF | 532 | ||||||
Article XVIII, allocation of special drawing rights | B/G Res. 24-12 | 679 | |||||
B/G Res. 34-3 | 681 | ||||||
Article XVIII, Section 2(d), allocations of special drawing rights to new participants | 5956-(78/180)S | 534 | |||||
6368-(79/191)S | 534 | ||||||
Article XIX, Section 2(c): | |||||||
Acceptance and use of special drawing rights by prescribed holders | 6467-(80/71) S | 526 | |||||
Operations and transactions in special drawing rights between participants | 6000-(79/1) S* | 535 | |||||
6001-(79/1)S* | 536 | ||||||
6053-(79/34) S* | 538 | ||||||
6054-(79/34) S* | 540 | ||||||
6336-(79/178)S | 542 | ||||||
6337-(79/178) S | 544 | ||||||
6437-(80/37) S | 545 | ||||||
Article XIX Section 5, designation of participants to provide currency | 6209-(79/124) S | 546 | |||||
Article XIX, Section 5(a)(i), designation plans | 6273-(79/158) GS | 272 | |||||
Article XIX, Section 6(b), abrogation of rules for reconstitution | 6832-(81/65) S | 550 | |||||
Article XIX, Section 7(a), calculation of exchange rates | 1289-(62/1)* | 393 | |||||
6001-(79/1) S | 537 | ||||||
6053-(79/34) S* | 539 | ||||||
6054-(79/34) S* | 541 | ||||||
6336-(79/178) S | 542 | ||||||
7041-(82/8) G/S | 551 | ||||||
Article XX, Section 1, interest paid on holdings of special drawing rights | 6467-(80/71) S | 526 | |||||
Article XX, Section 5, application against unpaid charges of special drawing rights acquired by participants after payment date | 7116-(82/68) S | 553 | |||||
Article XXII | B/G Res. 34-3 | 683 | |||||
Article XXIII, Section 1, suspension of operations and transactions in special drawing rights | 6467-(80/71) S | 528 | |||||
Article XXVI, Section 2(a) ineligibility to use Fund resources | 343-(54/47) | 554 | |||||
Article XXVI, Section 3 | 1289-(62/1)* | 394 | |||||
Article XXVII | 1289-(62/1)* | 394 | |||||
270-(53/95)* | 124 | ||||||
Article XXVII, Section 1(a)(i), suspension of transactions covered by stand-by arrangements | 270-(53/95)* | 124 | |||||
Article XXIX(a), list of interpretations under, | xliv | ||||||
Article XXX(c): | |||||||
Exclusion of purchases and holdings under buffer stock facility | 5591-(77/163) | 555 | |||||
Exclusion of purchases and holdings under compensatory and contingency financing facility | 8955-(88/126)* | 555 | |||||
Exclusion of purchases and holdings under policy on enlarged access | 6783-(81/40)* | 557 | |||||
Exclusion of purchases and holdings under extended facility | 6830-(81/65) | 557 | |||||
Exclusion of purchases and holdings under supplementary financing facility | 5508-(77/127) | 556 | |||||
Exclusion of purchases under oil facility | 5371-(77/51) | 556 | |||||
Exclusion relating to purchases in credit tranches | 6830-(81/65) | 557 | |||||
Exclusion of purchases and holdings under Systemic Transformation Facility | 10348-(93/61) STF | 558 | |||||
Article XXX(f), freely usable currencies | 5719-(78/46) | 559 | |||||
Article XXXI, Section 1 | 408-2 | 3 | |||||
Schedule B, repurchases | 5703-(78/39)* | 294 | |||||
5704-(78/39) | 289 | ||||||
6008-(79/3) | 446 | ||||||
Schedule B, paragraph 7(6), use of amounts in excess of capital value available from gold sales for benefit of developing countries | 5069-(76/72) | 560 | |||||
Schedule F, rules for designation | 6209-(79/124) S | 547 | |||||
Schedule G, rules for reconstitution, abrogation | 6832-(81/65)S | 550 | |||||
Schedule J | 1289-(62/1)* | 394 | |||||
Schedule K | 1289-(62/1)* | 394 | |||||
Asian Development Bank, prescription as holder of special drawing rights | 7229-(82/136) S | 530 | |||||
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)* | 295 | |||||
6774-(81-35) | 284 | ||||||
Review | 7704-(84/78) | 296 | |||||
Audit: | |||||||
Enhanced structural adjustment facility trust (ESAF Trust) | 8759-(87/176) ESAF* | 45 | |||||
Supplementary financing facility Subsidy Account | 6683-(80/185)G/TR | 583 | |||||
Trust Fund | 5069-(76/72) | 567 | |||||
Augmentation; see Purchase transactions, Augmentation | |||||||
B Balance of payments position: | |||||||
Assessment for assistance from Trust Fund | 5069-(76/72) | 563 | |||||
Assessment for purposes of designation plans, operational budgets, and early repurchases | 6273-(79/158) G/S | 272 | |||||
Discrimination for balance of payments reasons | 955-(89/45) | 459 | |||||
Bank/Fund collaboration: | |||||||
Invitation to send a staff member as an observer | EBM/70/30 | 503 | |||||
Bank of Central African States, prescription as holder of special drawing rights | 7064-(82/26) S | 530 | |||||
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) | 455 | |||||
Borrowed Resources Suspense Accounts; see Borrowing by the Fund, below Borrowing by the Fund | |||||||
Borrowed Resources Suspense Accounts | 6844-(81/75) | 448 | |||||
6845-(81/75) | 449 | ||||||
Borrowed resources, use to finance purchases under arrangements providing enlarged access to Fund’s resources | 6783-(81/40) | 252 | |||||
General Arrangements to Borrow: | 1289-(62/1)* | 386 | |||||
Associated borrowing arrangements | 7403-(83/73) | 405 | |||||
“Outstanding borrowing and unused credit lines,” clause in respect of GAB in guidelines for Fund borrowing | 9862-(91/156)* | 450 | |||||
Renewal | 11609-(97/112) | 398 | |||||
Saudi Arabia, association agreement | 7403-(83/73) | 405 | |||||
Renewal | 8897-(88/93) | 412 | |||||
10235-(92/149) | 414 | ||||||
11626-(97/122) | 415 | ||||||
Transferability of claims | 7629-(84/25) | 403 | |||||
Transferability of claims; see Transferability of claims | |||||||
Use of credit arrangements for non participants | 1289-(62/1)* | 396 | |||||
Guidelines | 9862-(91/156) | 450 | |||||
New Arrangements to Borrow | 11428-(97/6) | 417 | |||||
Nonparticipants | 11428-(97/6) | 421 | |||||
Transferability of claims | 11429-(97/6) | 428 | |||||
Supplementary financing facility: | |||||||
Authorization to make calls | 6006-(79/3) | 445 | |||||
Interest payment procedure | 6163-(79/96) | 446-47 | |||||
Meaning of “net creditor position in the Fund” | 6008-(79/3) | 446 | |||||
Replenishment of holdings of currencies | 5509-(77/127) | 438 | |||||
Subsidy Account | 6683-(80/165) G/TR | 577 | |||||
Buffer stock financing facility | 2772-(69/47)* | 232 | |||||
Access limit and review | 2772-(69/47)* | 232 | |||||
Elimination of floating | 10186-(92/132) | 233 | |||||
Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase” | 5591-(77/163) | 555 | |||||
International Natural Rubber Agreement, 1979 | 7246-(82/147) | 240 | |||||
International Natural Rubber Agreement, 1987 | 9403-(90/53) | 241 | |||||
International Sugar Agreement, 1977 | 5597-(77/171) | 237 | |||||
International Tin Agreements: | |||||||
Fourth | 3179-(70/102) | 234 | |||||
Fifth | 5127-(76/91) | 235 | |||||
Sixth | 7247-(82/147) | 236 | |||||
Repurchases | 5703-(78/39)* | 292 | |||||
Sixth International Tin Agreement | 7247-(82/147) | 236 | |||||
1977 International Sugar Agreement | 5597-(77/171) | 239 | |||||
International Natural Rubber Agreement, 1979 | 7246-(82/147) | 240 | |||||
Burden sharing | 8348-(86/122)* | 303 | |||||
Managing Director’s Remarks | 307 | ||||||
Extended burden sharing; see Extended burden sharing | |||||||
Implementation for FY 1989 | 8861-(88/67) | 311 | |||||
for FY 1990 | 9135-(89/46) | 315 | |||||
for FY 1994 | 10340-(93/54)* | 318 | |||||
for FY 1995 | 10706-(94/52) | 326 | |||||
10660-(94/38) | 322 | ||||||
for FY 1996 | 10958-(95/40) | 329 | |||||
for FY 1997 | 11249-(96/39) | 333 | |||||
for FY 1998 | 11480-(97/42) | 336 | |||||
for FY 1999 | 11712-(98/49) | 341 | |||||
Net income target: | |||||||
for FY 1989 | 8861-(88/67) | 311 | |||||
for FY 1994 | 1039-(93/86) | 321 | |||||
for FY 1995 | 10705-(94/42) | 325 | |||||
for FY 1996 | 10962-(65/41) | 332 | |||||
for FY 1997 | 1125-(96/39) | 336 | |||||
for FY 1998 | 11482-(97/42) | 339 | |||||
Principles of “burden sharing” | 8861-(88/67) | 311 | |||||
Rate of charge: | |||||||
for FY 1989 | 8861-(88/67) | 311 | |||||
for FY 1998 | 11482-(97/42) | 339 | |||||
Retroactive reduction of rate of charge | 10705-(94/52) | 325 | |||||
Special Contingent Account, amounts placed | |||||||
for FY 1987 | 8619-(87/90) | 309 | |||||
for FY 1988 | 8780-(88/12) | 310 | |||||
for FY 1989 | 8861-(88/67) | 312 | |||||
for FY 1990 | 9135-(89/46) | 316 | |||||
9471-(90/98) | 344 | ||||||
for FY 1994 | 10340-(93/54) | 319 | |||||
for FY 1995 | 10660-(94/38) | 323 | |||||
10706-(94/52) | 327 | ||||||
for FY 1996 | 10958-(95/40) | 330 | |||||
for FY 1997 | 11249-(96/39) | 333 | |||||
for FY 1999 | 11712-(98/49) | 341 | |||||
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) | 385 | |||||
B/G Res. 29-10 | 608 | ||||||
Restrictions | 237-2 | 467 | |||||
Use of Fund’s resources for | 1238-(61/143) | 91 | |||||
B/G Res. IM-6 | 593 | ||||||
Central Bank of West African States, prescription as holder of special drawing rights | 6908-(81/101) S | 530 | |||||
“Changing circumstances,” adaptation of multiple currency practices | 237-2 | 471 | |||||
Charges: | |||||||
Accounting for charges from members with overdue obligations | 8433-(86/175) | 298 | |||||
Accrued charges | 8433-(86/175) | 298 | |||||
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) | 557 | |||||
Extended Fund facility | 4377-(74/114)* | 141 | |||||
10464-(93/130) | 155 | ||||||
Future changes | 4239-(74/67) | 297 | |||||
Interest on Trust Fund loans; see Interest Media of payment | 5702-(78/39)* G/S | 297 | |||||
Oil facility Subsidy Account; see Accounts, Subsidy Accounts | |||||||
Overdue obligations to Fund, special charges | 8165-(85/189) G/TR | 299 | |||||
Overdue obligations to Fund, accrued income | 8433-(86/175) | 298 | |||||
Payment by nonparticipant in Special Drawing Rights Department | 5702-(78/39) G/S | 297 | |||||
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 | 552 | |||||
Rate, as of Feb. 1, 1988 | 8780-(88/12) | 310 | |||||
as of May 1, 1994 | 10705-(94/52) | 325 | |||||
as of November 1, 1994 | 10850-(94/107) | 326 | |||||
as of May 1, 1995 | 10962-(95/41) | 332 | |||||
as of May 1, 1997 | 11482-(97/42)* | 339 | |||||
as of May 1, 1999 | 11711-(98/49) | 340 | |||||
Rate, determination of burden sharing | 8348-(86/122)* | 303 | |||||
Rate on use of ordinary resources for FY 1994 | 10391-(93/86)* | 321 | |||||
Setoff in connection with retroactive reduction | 8271-(86/74) | 302 | |||||
Special charges on overdue obligations to Fund | 8165-(85/189) G/TR* | 299 | |||||
Elimination after six months or more | 8165-(85/189) G/TR* | 300 | |||||
Trust Fund loans | 10352-(93/49) G/TR | 300 | |||||
Setoff against charges due for second quarter of FY 1987 | 8442-(86/178) | 302 | |||||
Stand-by arrangements | 10464-(93/130)* | 150 | |||||
Supplementary financing facility | 5508-(77/127) | 270 | |||||
Supplementary financing facility Subsidy Account; see Accounts, Subsidy Accounts | |||||||
Review of system | 11715-(98/49) G/SAF/TR | 301 | |||||
Committee on Reform of the International Monetary System and Related Issues | B/G Comp. Res | 595 | |||||
Final report and termination | B/G Res. 29-7 | 596 | |||||
Support of extended Fund facility | 4377-(74/114)* | 139 | |||||
Voluntary Declaration on Trade and Other Current Account Measures | 4211-(74/75) | 476 | |||||
Commodities (see also Buffer stock financing facility; Compensatory financing): | |||||||
Reclassification where subject to multiple currency practices | 237-2 | 472 | |||||
Communications, privilege for | 534-3 | 496 | |||||
Compensatory and contingency financing facility, establishment | 8955-(88/126)* | 192 | |||||
Compensatory financing of export fluctuations | 8955-(88/126)* | 195 | |||||
External contingency financing | 8955-(88/126)* | 200 | |||||
Chairman’s Summing up EBM/88/105 | 221 | ||||||
Compensatory financing of fluctuation in the cost of cereal imports | 8955-(88/126)* | 204 | |||||
Compensatory financing of fluctuations in the cost of oil imports | 8955-(88/126)* | 210 | |||||
Transitional and other provisions | 8955-(88/126) | 218 | |||||
Compulsory withdrawal, see, Overdue obligations to Fund, Purchases from Fund Conditionality; see, Use of Fund’s resources, Conditionally | |||||||
“Consistent with the provision of this Agreement,” meaning in Article V, Section 3 | 287-3 | 91 | |||||
Consultation with members: | |||||||
Before accepting obligations of Article VIII, Sections 2, 3, and 4 | 1034-(60/27) | 461 | |||||
Bicyclic procedures and simplified interim procedures | |||||||
Termination | 10362-(93/67) | 19 | |||||
Bilateral arrangements | 433-(5S/42) | 455 | |||||
Changes in members’ exchange arrangements, notification to Fund | 5712-(78/41) | 8 | |||||
Commodity field, attention to policies | 2772-(69/47)* | 233 | |||||
Conduct by Managing Director in interval between Article IV consultations | 5392-(77/63) | 14 | |||||
6026-(79/13) | 15 | ||||||
Consultations under Article IV | 5392-(77/63) | 10 | |||||
6026-(79/13) | 15 | ||||||
6056-(79/38) | 125 | ||||||
6790-(81/43) | 475 | ||||||
Cycles-Review | 10168-(92/127) | 18 | |||||
Press information notices, Release | 11493-(97/45) | 25 | |||||
Discussions on use of Fund’s resources | 102-(52/11) | 93 | |||||
During period of extended arrangement, | 10464-(93/)30)* | 154-55 | |||||
During period of stand-by arrangement | 10464-(93/130)* | 149-51 | |||||
Exchange measures needing approval under Article VIII | 1034-(60/27) | 461 | |||||
Members’ policies in present circumstances | 4134-(74/4) | 464 | |||||
Multiple currency practices | 237-2 | 465-66 | |||||
Periodic discussions under Article VIII | 1034-(60/27) | 461 | |||||
Resumption of purchases under extended arrangements | 10464-(93/130)* | 154-55 | |||||
Resumption of purchases under stand-by arrangements | 270-(53/95)* | 124 | |||||
10464-(93/130)* | 149-50 | ||||||
Retention quotas | 201-(53/29) | 457 | |||||
Special consultations | 5392-(77/63) | 14 | |||||
Whether measure is exchange restriction | 1034-(60/27) | 461 | |||||
Consultations with European Monetary Cooperation Fund on calculation of representative rate for European Currency Unit | 7041-(82/8) G/S | 551 | |||||
Consultations with prescribed holders of special drawing rights | 6467-(80/71) S | 527 | |||||
Contingency mechanism; see Compensatory and contingency financing facility | |||||||
Convertibility: | |||||||
Acceptance of obligations of Article VIII, Sections 2, 3, and 4 | 1034-(60/27) | 460 | |||||
Approval of exchange restrictions | 1034-(60/27) | 460-61 | |||||
Bilateralism | 433-(55/42) | 455 | |||||
Consultation with Fund | 1034-(60/27) | 460 | |||||
Discrimination | 955-(59/45) | 459 | |||||
Multiple currency practices; see Multiple currency practices | |||||||
Retention quotas | 201-(53/29) | 457 | |||||
Credit tranches; see Tranche policies | |||||||
Creditworthiness, factor in determining use of Fund’s resources | 102-(52/11) | 93 | |||||
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 | 616-17 | |||||
Composition of special drawing right | 6631-(80/145) G/S | 521 | |||||
Freely usable currencies | 5719-(78/46) | 559 | |||||
Guidelines for use in operational budgets | 6772-(81/35) G/S | 278 | |||||
10279-(93/19) | 279 | ||||||
Guidelines for use in operations and transactions of General Resources Account | 6273-(79/158) G/S | 272 | |||||
6274-(79/158) | 273 | ||||||
6774-(81/35) | 282 | ||||||
10279-(93/19) | 279 | ||||||
10904-(95/13) | 280 | ||||||
Operational budgets | 6273-(79/158) G/S | 272 | |||||
6772-(81/35) G/S | 278 | ||||||
Payment of subscriptions | 6266-(79/156) | 4 | |||||
B/G Res.31-2 | 616 | ||||||
B/G Res. 34-2 | 625 | ||||||
B/G Res. 38-1 | 634 | ||||||
Rates for computations and maintenance of value | 5590-(77/163) | 348 | |||||
Replenishment in connection with supplementary financing facility | 5509-(77/127) | 438 | |||||
Sale by agreement with member with outstanding purchases | 6274-(79/158) | 274 | |||||
6352-(79/183) | 276 | ||||||
Selection for payment of charges | 5702-(78/39)* G/S | 298 | |||||
Specified by the Fund, use in repurchases | 5703-(78/39)* | 293 | |||||
5809-(78/88) | 294 | ||||||
Subscribed to the Fund, ownership | 170-3 | 3 | |||||
Currency stabilization funds | EBM/95/86 | 170 | |||||
D Debt management policies; see External debt management policies | |||||||
Debt and debt service reduction operations, early repurchase expectations | 9331-(89/167)* | 184 | |||||
Debt and debt service reduction, Modalities of Fund support | Acting Chairman’s Summing-up EBM/94/1 | 190 | |||||
Avoidance of linking prepayments to commercial banks with early repurchases | Chairman’s Summing-up EBM/91/48 | 189-90 | |||||
Debt strategy, Fund involvement in | Chairman’s Summing up EBM/89/61 | 179 | |||||
Declaration of noncooperation or censure | EBM/89/100 | 105 | |||||
EBM/89/101 | 110 | ||||||
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) | 459 | |||||
Disputes between members, Role of the Fund in settlement | EMB/84/99 | 82 | |||||
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 | 530 | |||||
Eastern Caribbean Central Bank, prescription as holder of special drawing rights | 7707-(84/79) S | 530 | |||||
Emergency assistance: | |||||||
Natural disasters | Chairman’s Remarks EBM/82/16 |
160 | |||||
Post-conflict countries | EBM/95/82 | 163 | |||||
Emergency financing mechanism | EBM/95/85 | 166 | |||||
Enemy-occupied, former, members, introduction of multiple currency practices | 237-2 | 471 | |||||
Enhanced structural adjustment facility: | |||||||
Access limits | 8845-(88/61)ESAF* | 55 | |||||
8759-(87/176) ESAF* | 32 | ||||||
Arrears to the Fund, consequences | Acting Chairman’s Remarks EBM/88/12 |
99 | |||||
Borrowing for loan accounts, consultation with creditors | 9056-(89/2) ESAF | 57 | |||||
Establishment | 8757-(87/176) SAF/ESAF* | 374 | |||||
Extension of commitment and disbursement periods for agreement | 9116-(89/40) ESAF | 378 | |||||
Gold pledge for use of ESAF Trust resources under Right Approach | 10286-(93/23) ESAF* | 381 | |||||
Legal documentation | Chairman’s Remarks EBM/87/176 |
54 | |||||
Operational arrangements | Chairman’s Summing up EBM/87/171 |
48 | |||||
Review | 8757-(87/176) SAF/ESAF | 375 | |||||
9114-(89/40) SAF/ESAF | 375 | ||||||
9487-(90/106) SAF/ESAF* | 376 | ||||||
9808-(91/114) SAF/ESAF | 376 | ||||||
10089-(92/94) SAF/ESAF | 376 | ||||||
Lapse of time procedure | 11515-(97/59) | 158 | |||||
Enhanced Structural Adjustment Facility Trust: Instrument to establish | 8759-(87/176) ESAF* | 29 | |||||
Chairman’s Summing up EBM/87/171 | 48 | ||||||
Access limits | 8845-(88/61) ESAF* | 55 | |||||
Commitment period | 11395-(96/110) | 31-32 | |||||
Eligible members | 8240-(86/56)* | 359 | |||||
Interest rate on trust loans | 8846-(88/61) ESAF | 56 | |||||
Lending, considered as a member’s official reserves by Fund | Chairman’s Summing up EBM/87/176 | 54 | |||||
Reserve Account, Review | 11409-(97/1) ESAF | 383 | |||||
11848-(98/1) ESAF | 383 | ||||||
Transfer to ESAF/HIPC Trust | 11713-(98/49) ESAF | 48 | |||||
Special ESAF operations for HIPC and interim ESAF subsidy operations, see, Trust for special ESAF operations for the HIPC and interim ESAF subsidy operations | |||||||
Transfer and retransfer of resources to and from Special Disbursement Account | 8760-(87/176)* | 378 | |||||
Transfer to ESAF/HIPC Trust | 11683-(98/27) | 47 | |||||
11713-(98/49) ESAF | 48 | ||||||
Trust grants or trust loans under special ESAF operations for HIPC and interim ESAF subsidy operations | 11434-(97/10) | 42 | |||||
Enhanced surveillance: | |||||||
Midterm review, procedure | 10365-(93/67) | 80 | |||||
Chairman’s Summing Up EBM/93/15 | 80 | ||||||
Procedures for transmittal of staff reports | 8222-(86/45) | 76 | |||||
Chairman’s Summing up EBM/85/132 | 76 | ||||||
Enlarged access, policy on | 6783-(31/40)* | 252 | |||||
European Currency Unit, representative rate in terms of SDR | 7041-(82/8) G/S | 551 | |||||
European Monetary Cooperation Fund, consultation on calculation of representative rate for European Currency Unit | 7041-(82/8) G/S | 551 | |||||
“Exceptional circumstances,” meaning in Article XIV, Section 3 (Section 4 before Second Amendment) | 117-1 | 520 | |||||
237-2 | 470 | ||||||
Exchange arrangements, notification | 5392-(77/63)* | 10 | |||||
5712-(78/41) | 8 | ||||||
Exchange contracts, unenforceability | 446-4 | 452 | |||||
Exchange control regulations, Fund prepared to advise whether maintained or imposed consistently with Fund Agreement | 446-4 | 453 | |||||
Exchange controls on capital transfers | 541-(56/39) | 385 | |||||
Exchange of documents with other international agencies, see, Fund documents | |||||||
Exchange rates: | |||||||
Borrowing arrangements by Fund | 1289-(62/1)* | 393 | |||||
Exchange rate policies of members, surveillance | 5392-(77/63)* | 10 | |||||
Flexible exchange arrangements | 5712-(78/41) | 9 | |||||
Floating, guidelines | B/G Res. 29-10 | 608 | |||||
Fluctuating: | |||||||
Multiple currency practices (fixed and fluctuating rates) | 237-2 | 468 | |||||
Scope of transactions to be agreed with Fund | 237-2 | 468 | |||||
Free markets | 237-2 | 468 | |||||
Multiple currency practices arising from official action | 6790-(81/43) | 474 | |||||
Notification to Fund | 5392-(77/63)* | 10 | |||||
5712-(78/41) | 8 | ||||||
Pegs, notification to Fund of changes | 5712-(78/41) | 8 | |||||
Representative rate for European Currency Unit in terms of SDR | 704-(82/8) G/S | 551 | |||||
Unification in multiple rate systems, a basic objective of Fund | 649-(57/33) | 472 | |||||
Exchange restrictions (see also Payments restrictions): | |||||||
Approval | 1034-(60/27) | 461 | |||||
Avoidance of escalation | 4134-(74/4) | 464 | |||||
4254-(74175) | 476 | ||||||
Bilateralism | 433-(55/42) | 455 | |||||
Capital transactions; see Capital transfers Consultations with Fund | 1034-(60/27) | 461 | |||||
Discrimination | 955-(59/45) | 459 | |||||
Guiding principle of whether measure is a restriction on payments and transfers for current international transactions | 1034-(60/27) | 460 | |||||
Introduction | 1034-(60/27) | 461 | |||||
Maintenance | 1034-(60/27) | 461 | |||||
Multiple currency practices | 237-2 | 465 | |||||
649-(57/33) | 472 | ||||||
6790-(81/43) | 474 | ||||||
Payments arrears | 3153-(70/95) | 462 | |||||
Retention quotas | 201-(53/29) | 457 | |||||
Security reasons; see Payments restrictions Transitional arrangements under | |||||||
Article XIV, obligations under | |||||||
Article VIII, Sections 2, 3, and 4 | 1034-(80/27) | 461 | |||||
Withdrawal, representation by Fund | 117-1 | 520 | |||||
Exchange systems, avoidance of use for non-balance of payments reasons | 1034-(60/27) | 461 | |||||
Exchange taxes | 237-2 | 468, 472 | |||||
Notification to Fund | 5712-(78/41) | 9 | |||||
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)* | 10 | |||||
6026-(79/13)* | 15 | ||||||
9499-(90/11)* | 16 | ||||||
10273-(93/15)* | 17 | ||||||
Communication of changes in members’ exchange arrangements | 5712-(78/41) | 8 | |||||
Information on operation of buffer stocks | 3179-(70/102) | 234 | |||||
5127-(76/91) | 235 | ||||||
5597-(77/171) | 239 | ||||||
7246-(82/147) | 241 | ||||||
7247-(82/147) | 237 | ||||||
Report to Board of Governors on quota increases under General Reviews of Quotas: | |||||||
Seventh | B/G Res. 34-2 | 618 | |||||
Eighth | B/G Res. 38-1 | 629 | |||||
Ninth | B/G Res. 43-1 | 638 | |||||
B/G Res. 44-5 | 643 | ||||||
B/G Res. 45-1 | 646 | ||||||
B/G Res. 45-2 | 648 | ||||||
Tenth | B/G Res. 48-3 | 661 | |||||
B/G Res. 50-1 | 663 | ||||||
Review and change of rules for designation | 6209-(79/124) S | 546 | |||||
Review of broad developments in exchange rates | 5392-(77/63)* | 14 | |||||
Review of decision on extended Fund facility | 4377-(74/114)* | 142 | |||||
5220-(76/144) | 142 | ||||||
7558-(83/156) | 143 | ||||||
7857-(84/175) | 143 | ||||||
8192-(86/13) | 144 | ||||||
8583-(87/72) | 144 | ||||||
9189-(89/77) | 145 | ||||||
9790-(91/106) | 145 | ||||||
10723-(94/58) | 146 | ||||||
Lapse of time procedure | 11515-(97/59) | 158 | |||||
Review of functioning of international adjustment process | 5392-(77/63)* | 12 | |||||
Review of guidelines for borrowing by Fund | 9862-(91/91) | 450 | |||||
Review of level of Fund’s SDR holdings | 6275-(79/158) G/S | 275 | |||||
7626-(84/23) S | 281 | ||||||
794-(85/50) S | 281 | ||||||
8265-(86/70) S | 281 | ||||||
8574-(87/64) S | 282 | ||||||
10278-(93/19) S | 282 | ||||||
Review of prescriptions of holders of special drawing rights | 6467-(80/71) S | 527 | |||||
Review of quota calculation method | B/G Res. 38-1 | 629 | |||||
Executive Directors: | |||||||
Additional appointed, meaning of “the preceding two years” in Article XII, Section 3(c) | 597-4 | 516 | |||||
Appointment by members having five largest quotas | 2-1 | 515 | |||||
Determination of members entitled to appoint under Article XII, Section 3(c) | 574-2* | 515 | |||||
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) | 557 | |||||
Participation in meetings of Development Committee | B/G Res. 29-9 | 603 | |||||
Participation in meetings of Interim Committee | B/G Res. 29-8 | 597 | |||||
Voting power, effect of quota changes | 180-5 | 516 | |||||
Export shortfalls, financing; see Compensatory and contingency financing facility | |||||||
Extended arrangements | 4377-(74/114)* | 138 | |||||
Access limits, see Guidelines on access limits below | |||||||
Amounts to be made available | 1018-(92/132) | 256 | |||||
Augmentation of rights to make purchases, elimination | 5706-(78/39) | 138 | |||||
Charge | 4377-(74/114)* | 141 | |||||
10464-(93/130)* | 155 | ||||||
Elimination of use under Enlarged Access Policy | 10181-(92/132) | 256 | |||||
Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase” | 6830-(81/65) | 556-57 | |||||
Foreign borrowing, performance criteria | 6230-(79/140)* | 131 | |||||
Form, standard | 10464-(93/130)* | 151 | |||||
Guidelines on access limits | 10181-(92/132) | 256 | |||||
Guidelines, operational; see Performance criteria and phasing, below Ineligibility | 10464-(93/130)* | 154-55 | |||||
Publicity upon declaration | 7931-(85/41) | 518 | |||||
7999-(85/90) | 518 | ||||||
Misreporting and noncomplying purchases, guidelines on corrective action | 7842-(84/165) | 135 | |||||
EBM/85/26 | 137 | ||||||
Noncomplying purchases; see Misreporting and noncomplying purchases | |||||||
Operational guidelines; see Performance criteria and phasing, below | |||||||
Overdue obligations to Fund, purchases from Fund | 7908-(85/26) | 97 | |||||
EBM/84/54 | 98 | ||||||
Performance criteria and phasing, operational guidelines | 7925-(85/38)* | 128 | |||||
Provision for enlarged access to Fund’s resources | 6783-(81/40)* | 252 | |||||
Provision for supplementary financing | 5508-(77/127) | 266 | |||||
Repurchases; see Repurchases Review of decision on extended Fund facility | 5220-(76/144) | 142 | |||||
7558-(83/156) | 143 | ||||||
7857-(84/175) | 143 | ||||||
8192-(86/13) | 144 | ||||||
8583-(87/72) | 144 | ||||||
9189-(89/77) | 145 | ||||||
9790-(91/106) | 145 | ||||||
10723-(94/58) | 146 | ||||||
Lapse of time procedure | 11515-(97/59) | 158 | |||||
Suspension of right to engage in purchase transactions | 10464-(93/130)* | 154 | |||||
Extended burden sharing, implementation and modalities of new special Contingent Account | 9471-(90/98)* | 344 | |||||
Review | 11714-(98/49) | 347 | |||||
Extended Fund facility; see Extended arrangements External debt management policies | 6230-(79/140) | 131 | |||||
External contingency financing, see Compensatory and contingency financing facility | |||||||
F “First credit tranche,” Fund attitude to request for transactions | 125 | ||||||
Floating rates; see Exchange rates | |||||||
Fluctuating exchange rates; see Exchange rates | |||||||
Freely usable currencies | 5719-(78/46) | 559 | |||||
Free markets; see Exchange rates | |||||||
Fund documents: | |||||||
Exchange with other international agencies | A-9786-(93/20)* | 511 | |||||
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) | 462 | |||||
4254-(74/75) | 477-78 | ||||||
B/G Res. 29-10 | 608 | ||||||
Consultation and cooperation | 363-1 | 499 | |||||
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)* | 381 | |||||
Repurchase obligations, discharge by payment in SDRs or currencies of other members specified by Fund | 5703-(78/39)* | 293 | |||||
5809-(78/88) | 294 | ||||||
Sale, amounts available to Trust Fund | 5069-(76/72) | 560 | |||||
Sale for benefit of developing members, distribution of profits through Trust Fund … | 5069-(76/72) | 561 | |||||
5709-(78/41) TR | 571 | ||||||
5832-(78/95) TR | 572 | ||||||
6540-(80/98) TR | 575 | ||||||
Sale, transfer of profits to Trust Fund | 5069-(76/72) | 561 | |||||
Subscribed to Fund, ownership | 170-3 | 3 | |||||
Gross reserve position; see Reverse position, gross | |||||||
H HIPC initiative, see, Trust for special ESAF operations for the HIPC and interim ESAF subsidy operations | |||||||
Holdings of the Fund: | |||||||
Adjustment by Fund | 5590-(77/163) | 348 | |||||
Attribution of reductions to enlargement of member’s reserve tranche position | 6774-(81/35) | 284 | |||||
6831-(81/65)* | 295 | ||||||
Attribution of reductions to repurchase obligations | 6831-(81/65)* | 295 | |||||
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) | 557 | |||||
Computations and adjustment, rates | 5590-(77/163) | 348 | |||||
Exclusion of holdings resulting from credit tranche purchases | 6830-(81/65) | 556-57 | |||||
Exclusion under buffer stock facility | 5591-(77/163) | 555 | |||||
Exclusion under compensatory and contingency financing facility | 8955-(88/126)* | 555 | |||||
Exclusion under enlarged access policy | 6783-(81/40) | 557 | |||||
Exclusion under extended Fund facility | 6830-(81/65) | 556-57 | |||||
Exclusion under oil facility | 5371-(77/51) | 556 | |||||
Exclusion under supplementary financing facility | 5508-(77/127) | 556 | |||||
Exclusion under systemic transformation facility | 10348-(93/61) STF | 558 | |||||
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) | 462 | |||||
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) | 565 | |||||
Payment on Fund indebtedness under General Arrangements to Borrow | 1289-(62/1)* | 390 | |||||
Payment on Fund indebtedness under supplementary financing facility Subsidy Account | 6683-(80/185)* G/TR | 579 | |||||
Payment under supplementary financing facility | 5509-(77/127) Annex | 411 | |||||
6163-(79/96) | 446-47 | ||||||
Payments by members under Trust Fund loan agreements | 6358-(79/188) | 574 | |||||
5069-(76/72) | 565 | ||||||
Interim Committee of the Board of Governors on the International Monetary System: | |||||||
Establishment | B/G Res. 29-8* | 596 | |||||
Review of functioning of international adjustment process | 5392-(77/63)* | 12 | |||||
Rules of procedure | 611 | ||||||
International Bank for Reconstruction and Development, prescription as holder of special drawing rights | 6718-(81/1) S | 530 | |||||
International Development Association, prescription as holder of special drawing rights | 6718-(81/1) S | 530 | |||||
International Fund for Agricultural Development, prescription as holder of special drawing rights | 6489-(80/77) S | 530 | |||||
International monetary system, reform | B/G Comp. Res | 595 | |||||
International Natural Rubber, Sugar, and Tin Agreements; see Buffer stock financing facility | |||||||
Interpretation under Articles of Agreement | xliv | ||||||
Investment: | |||||||
Currencies held in supplementary financing facility Subsidy Account | 6683-(80/185) G/TR | 580 | |||||
6854-(81/78) SBS* | 584 | ||||||
Currency balances held in Trust Fund | 5069-(76/72) | 567 | |||||
5972-(73/189) | 570 | ||||||
5973-(78/189) TR | 571 | ||||||
Islamic Development Bank, prescription as holder of special drawing rights | 7086-(82/42) S | 530 | |||||
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* | 600 | |||||
Rules of procedure | 612 | ||||||
Secretariat function, changes in organization of work and structure | 613 | ||||||
Joint Vienna Institute | 10575-(94/4) | 734 | |||||
Authorization to extend the Agreement until August 19, 2004 | 11675-(98/21) | 743 | |||||
L Lapse of time procedure, Review under Fund arrangements | 11515-(97/59) | 158 | |||||
M Maintenance of value, adjustment: general policies and procedures relating to arrears to Fund | Acting Chairman’s Summing up EBM/88/19 | 100 | |||||
Managing Director: | |||||||
Authority to establish Borrowed Resources Suspense Accounts, and to transfer and invest balances of borrowed currencies | 6844-(81/75) | 448 | |||||
6845-(81/75) | 449 | ||||||
Authority to make calls under borrowing arrangements in connection with supplementary financing facility | 6006-(79/3) | 445 | |||||
Authorized signatories | 9605-(90/170) | 517 | |||||
Consultation by eligible member to request assistance from Trust Fund | 5069-(76/72) | 563 | |||||
Consultation by member before making request under supplementary financing facility | 5508-(77/127) | 266 | |||||
Consultation by member contemplating request under extended Fund facility | 4377-(74/114)* | 140 | |||||
Consultation by member to request use of Fund resources under policy on enlarged access | 6783-(81/40) | 252 | |||||
Consultation with members when notice of exchange policy change not received | 5712-(78/41) | 9 | |||||
Consultations and proposals to Executive Board concerning sales of currencies at request of members with outstanding purchases | 6352-(79/183) | 276 | |||||
Consultations with lenders on means of interest payment under borrowing agreements in connection with supplementary financing facility | 6163-(79/96) | 446 | |||||
Deposit of currencies received by supplementary financing facility Subsidy Account with Bank for International Settlements | 6854-(81/78)* SBS | 584 | |||||
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) | 284 | |||||
Discussions with members on exchange policies | 5392-(77/63)* | 14 | |||||
6026-(79/13)* | 15 | ||||||
Participation in meetings of Development Committee | B/G Res. 29-9 | 603 | |||||
Participation in meetings of Interim Committee | B/G Res. 29-8 | 598 | |||||
Placement of Trust Fund investments in SDR-denominated deposits | 5973-(78/189) TR | 571 | |||||
Proposals for allocation of SDRs: | |||||||
First basic period | B/G Res. 24-12 | 679 | |||||
Third basic period | B/G Res. 34-3 | 681 | |||||
Fourth basic period | 691 | ||||||
Proposals for calls under General Arrangements to Borrow | 1289-(62/1)* | 389 | |||||
Proposals for Trust Fund investments | 5973-(78/189) TR | 571 | |||||
Recommendations to Executive Board regarding approval of use of Fund resources and stand- by arrangements | 6056-(79/38) | 126 | |||||
Report to Board of Governors and to Executive Board on allocation of SDRs for fourth basic period | 691 | ||||||
Signatories, authorized, see, Authorized signatories | |||||||
Military expenditure and role of the Fund | Concluding Remarks by Acting Chairman EBM/91/138 | 479 | |||||
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 | 91 | |||||
B/G Res. IM-6 | 593 | ||||||
Multiple currency practices: Policy | 237-2 | 465 | |||||
649-(57/33) | 472 | ||||||
6790-(81/43) | 474 | ||||||
Prior Fund approval | 5712-(78/41) | 9 | |||||
Spreads | 6790-(81/43) | 474 | |||||
N “Net creditor position in the Fund” | 6008-(79/3) | 446 | |||||
Net income, Disposition | |||||||
for FY 1994 | 10704-(94/52) | 325 | |||||
for FY 1995 | 10957-(95/40) | 329 | |||||
New Arrangements to Borrow, see, Borrowing by the Fund | |||||||
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 | 530 | |||||
O Official clearing and payments arrangements, Temporary exemption from three-month rule | 10749-(94/67) | 456 | |||||
Oil facility: | |||||||
Exclusion of purchases and holdings for purpose of definition of “reserve tranche purchase” | 5371-(77/51) | 556 | |||||
Operational budgets: | |||||||
Assessment of strength of member’s balance of payments and gross reserve position | 6273-(79/158) G/S | 272 | |||||
Sales of SDRs and use of currencies | 6772-(81/35) G/S | 278 | |||||
Overdue obligations to Fund, purchases from Fund (see also Extended or Stand-by arrangements) | 7908-(85/26) | 97 | |||||
10464-(93/130)* | 150, 154 | ||||||
Access to enhanced structural adjustment facility (ESAF) | Chairman’s Closing Remarks EBM/88/12 | 99 | |||||
Accrued charges and income | 8433-(86/175) | 298 | |||||
Accounting for overdue charges | 8433-(86/175) | 298 | |||||
Burden sharing; see Burden Sharing Complaint, period of consideration | Chairman’s Summing up EBM/85/170 | 98 | |||||
EBM/90/38 | 111 | ||||||
Compulsory withdrawal | 343-(54/47) | 554 | |||||
EBM/89/100 | 106 | ||||||
EBM/89/101 | 110 | ||||||
EBM/90/38 | 112, 116 | ||||||
EBM/89/100 | 104 | ||||||
EBM/89/101 | 104 | ||||||
Declaration of noncooperation or censure | EBM/89/100 | 105 | |||||
EBM/89/101 | 110 | ||||||
Deferred income | 8433-(86/175) | 298 | |||||
Letter to Governors | EBM/89/100 | 107, 108 | |||||
EBM/89/101 | 110 | ||||||
Maintenance of value adjustments, policies and procedures | Chairman’s Summing up EBM/88/19 | 100 | |||||
Procedures for dealing with members | EBM/89/101 | 102 | |||||
Publicity upon declaration of ineligibility | 7999-(85/90) | 518 | |||||
Reporting by Fund | 7931-(85/41) | 518 | |||||
Rights accumulation programs, operational modalities | Chairman’s Summing up EBM/90/97 | 117 | |||||
EBM/91/42 | 120 | ||||||
EBM/92/58 | 121 | ||||||
EBM/95/29 | 122 | ||||||
Setoff in connection with retroactive reduction of charges due by members in arrears | 8271-(86/74) | 302 | |||||
Special charges on | 8165-(85/189)* G/TR | 299 | |||||
Setoff against charges due for second quarter of FY 1987 | 8442-(86/178) | 302-03 | |||||
Strengthened cooperative strategy, time table Chairman’s of procedures | Statement EBM/90/38 | 111 | |||||
EBM/92/58 | 121 | ||||||
Overdue payments to Fund; see Overdue obligations to Fund | |||||||
P Payments arrears | 3153-(70/95) | 94 | |||||
EBM/80/154 | 95 | ||||||
EBM/89/61 | 96 | ||||||
Payments policies of members | 4134-(74/4) | 464 | |||||
Payments restrictions; (see also Exchange restrictions; Payments arrears): | |||||||
For security reasons, Fund jurisdiction | 144-(52/51) | 454 | |||||
Withdrawal or general abandonment | 117-1 | 520 | |||||
“Position in the Fund,” definition | 6274-(79/158) | 274 | |||||
6772-(81/35) G/S | 279 | ||||||
Press information notices, Release following completion of Article IV consultation, see, Article IV consultation | |||||||
Prior notice to Fund, imposition of payments restrictions for security reasons | 144-(52/51) | 454 | |||||
Publication of reports, overdue obligations | 7931-(85/41) | 518 | |||||
Publicity on declaration of ineligibility | 7999-(85/90) | 518 | |||||
Publicity upon Suspension of Voting Rights and termination of suspension | 10305-(93/32) | 519 | |||||
Purchase transactions (see also Use of Fund’s resources): | |||||||
Augmentation of rights to purchase under stand-by and extended arrangements, elimination | 5706-(78/39) | 138 | |||||
Purchase under buffer stock financing facility | 2772-(69/47)* | 232 | |||||
3179-(70/102) | 234 | ||||||
5127-(76/91) | 235 | ||||||
5591-(77/163) | 555 | ||||||
5597-(77/171) | 237 | ||||||
7246-(82/147) | 240 | ||||||
7247-(82/147) | 236 | ||||||
Purchases under compensatory and contingency financing facility | 8955-(88/126)* | 192 | |||||
Purchases under credit tranche; see Tranche policies | |||||||
Purchases under extended arrangements | 4377-(74/114)* | 139 | |||||
6830-(81/65) | 137 | ||||||
10464-(93/130)* | 151 | ||||||
Purchases under stand-by arrangements | 270-(53/95)* | 123 | |||||
10464-(93/130)* | 147 | ||||||
Purchases under supplementary financing facility | 5508-(77/127) | 265 | |||||
Resumption of purchases under extended arrangement after decision of formal ineligibility or to consider such a proposal | 10464-(93/130)* | 154-55 | |||||
Resumption of purchases under stand-by arrangement after decision of formal ineligibility or to consider such a proposal | 270-(53/95)* | 124 | |||||
10464-(93/130)* | 150 | ||||||
Suspension, effect on General Arrangements to Borrow | 1289-(62/1)* | 394 | |||||
Suspension of transactions under extended arrangements | 10464-(93/130)* | 154-55 | |||||
Suspension of transactions under stand-by arrangements | 270-(53/95)* | 124 | |||||
10464-(93/130)* | 150 | ||||||
Q Quotas: | |||||||
Adjustment, first interval of five years | 408-2 | 3 | |||||
Calculation, review of method | B/G Res. 38-1 | 629 | |||||
Change, effect on voting power of elected Executive Director | 180-5 | 516 | |||||
Reviews: | |||||||
First | 408-2 | 3 | |||||
Sixth General Review | B/G Res. 31-2 | 615 | |||||
Seventh General Review | B/G Res. 34-2 | 618 | |||||
Sale of SDRs by Fund to members for use in quota payments | 6663-(80/160) S | 287 | |||||
Eighth General Review | B/G Res. 38-1 | 629 | |||||
Ninth General Review Report of Executive Board to Board of Governors | B/G Res. 43-1 | 638 | |||||
B/G Res. 44-5 | 643 | ||||||
B/G Res. 45-1 | 646 | ||||||
B/G Res. 45-2 | 648 | ||||||
Payment of increases in quotas | 11649-(98/1) | 657 | |||||
Period of consent, extension | 11649-(98/1) | 656 | |||||
Tenth General Review | |||||||
Report of Executive Board to Board of Governors | B/G Res. 48-3 | 661 | |||||
Eleventh General Review | |||||||
Report of Executive Board to Board of Governors | B/G Res. 53-2 | 666 | |||||
Special adjustment for members with very small quotas | B/G Res. 44-1 | 640 | |||||
B/G Res. 38-1 | 631 | ||||||
R Rates for official communications of Fund | 534-3 | 496 | |||||
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 | 7066-(82/23) | 557-58 | |||||
Remuneration, rate, burden sharing | 8348-(86/122)* | 304 | |||||
Repayment by Fund of borrowed currency | 1289-(62/1)* | 391 | |||||
Replenishment; see Article VII, replenishment of Fund’s holdings of currencies; Borrowing by the Fund | |||||||
Reporting by the Fund of overdue obligations | 7931-(85/41) | 518 | |||||
Repurchases: | |||||||
Attribution of reductions in Fund’s holdings of currencies | 6774-(81/35) | 284 | |||||
6831-(81/65)* | 295 | ||||||
Currency resulting from purchase under credit tranches | 5703-(78/39)* | 292 | |||||
Currency resulting from purchase under extended arrangement | 10464-(93/130)* | 155 | |||||
Currency resulting from purchase under stand-by arrangement | 10464-(93/130) | 150 | |||||
Early, guidelines | 5704-(78/39) | 288 | |||||
6172-(79/101) | 290 | ||||||
6273-(79/158) G/S | 272 | ||||||
Early, expectation, debt and debt service reduction operations; see Debt and debt service reduction operations, early repurchase expectations | |||||||
Guidelines for selection of currencies | 6274-(79/158) | 273 | |||||
6774-(81/35) | 282 | ||||||
Obligations to pay gold, payment with SDRs or currencies of other members | 5703-(78/39)* | 293 | |||||
5809-(78/88) | 294 | ||||||
Of Fund’s holdings | 102-(52/11) | 92 | |||||
Procedures | 5703-(78/39)* | 292 | |||||
Under buffer stock financing facility | 5703-(78/39)* | 293 | |||||
Sixth International Tin Agreement | 7247-(82/147) | 236 | |||||
1977 International Sugar Agreement | 5597-(77/171) | 239 | |||||
International Natural Rubber Agreement, 1979 | 7246-(82/147) | 240 | |||||
Under compensatory and contingency financing facility | 5703-(78/39)* | 292 | |||||
8955-(88/126)* | 200,209,217 | ||||||
Under decision on enlarged access | 6783-(81/40) | 254 | |||||
Under extended Fund facility | 4377-(74/114)* | 141 | |||||
Under supplementary financing facility | 5508-(77/127) | 269 | |||||
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 | 634 | |||||
Under Ninth General Review of Quotas | B/G Res. 45-2 | 656-57 | |||||
Reserve position, gross, assessment for purposes of designation plans, operational budgets, and early repurchases | 6273-(79/158) G/S | 272 | |||||
Reserve tranche position: | |||||||
Attribution of reductions in Fund’s holdings of currencies to enlarge | 6774-(81/35) | 284 | |||||
6831-(81/65)* | 295 | ||||||
Review | 7704-(84/78) | 296 | |||||
Balances held in Fund’s administrative ac counts 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) | 557 | |||||
Reserve tranche purchases (see also Use of Fund’s resources): | |||||||
Exclusion of purchases and holdings in credit tranches | 6830-(81/65) | 556 | |||||
Exclusion of purchases and holdings under buffer stock financing facility | 5591-(77/163) | 555 | |||||
Exclusion of purchases and holdings under compensatory and contingency financing facility | 8955-(88/126)* | 555 | |||||
Exclusion of purchases and holdings under extended facility | 6830-(81/65) | 556 | |||||
Exclusion of purchases and holdings under oil facility | 5371-(77/51) | 556 | |||||
Exclusion of purchases and holdings under policy on enlarged access | 6783-(81/40) | 557 | |||||
Exclusion of purchases and holdings under supplementary financing facility | 5508-(77/127) | 556 | |||||
Exclusion of purchases and holdings under systemic transformation facility | 10348-(93/61) STF | 558 | |||||
Restrictions; see Exchange restrictions; Payments restrictions | |||||||
Retention quotas | 201-(53/29) | 457 | |||||
Rights approach or Rights accumulation programs; see Overdue obligations to Fund, purchases from Fund | |||||||
Rule G-1 | 1289-(62/1)* | 393 | |||||
Rule I-6(4): | |||||||
Rate of charges | 8165-(85/189)* | ||||||
G/TR | 299 | ||||||
8780-(88/12) | 310 | ||||||
8861-(88/67) | 311 | ||||||
9135-(89/46) | 315 | ||||||
947-(90/98) | 344 | ||||||
10340-(93/54) | 318, 319 | ||||||
10348-(93/61) STF | 251 | ||||||
11249-(96/39) | 333 | ||||||
11251-(96/39) | 336 | ||||||
Rule I-10: | |||||||
Rate of remuneration | 8348-(86/122)* | 304 | |||||
8861-(88/67)* | 312 | ||||||
947-(90/98) | 344 | ||||||
10340-(93/54) | 319 | ||||||
Rule O-2: | |||||||
Determination of exchange rate | 1289-(62/1)* | 393 | |||||
5590-(77/163) | 348 | ||||||
6001-(79/1) S | 537 | ||||||
6053-(79/34) S | 539 | ||||||
6054-(79/34) S | 541 | ||||||
6336-(79/178) S | 542 | ||||||
704-(82/8) G/S | 551 | ||||||
Valuation of U.S. dollar in terms of special drawing rights | 6709-(80/189)3 | 525 | |||||
Rule P-7: | |||||||
Declaration concerning use of special drawing rights in accordance with prescription on donations | 6437-(80/37) S | 545 | |||||
Declaration concerning use of special drawing rights in accordance with prescription on forward operations | 6337-(79/178)S | 544 | |||||
Declaration concerning use of special drawing rights in accordance with prescription on loans | 6001-(79/1) S | 538 | |||||
Declaration concerning use of special drawing rights in accordance with prescription on pledges | 6053-(79/34) S* | 539 | |||||
Declaration concerning use of special drawing rights in accordance with prescription on settlement of financial obligations | 6000-(79/1) S* | 536 | |||||
Declaration concerning use of special drawing rights in accordance with prescription on swap operations | 6336-(79/178) S | 543 | |||||
Declaration concerning use of special drawing rights in accordance with prescription on transfers as security for performance of financial operations | 6054-(79/34) S* | 541 | |||||
Rule P-9, record of operations in special drawing rights | 6000-(79/1) S* | 536 | |||||
6001-(79/1) S | 538 | ||||||
6053-(79/34) S* | 540 | ||||||
6054-(79/34) S* | 542 | ||||||
6336-(79/178) S | 544 | ||||||
6337-(79/178) S | 545 | ||||||
6437-(80/37) S | 545 | ||||||
8186-(86/9) SBS/S | 531 | ||||||
8239-(86/56) SAF | 532 | ||||||
8937-(88/118) ESAF/S | 533 | ||||||
Rule R-1 through R-6, rules for reconstitution, abrogation | 6832-(81/65) | 550 | |||||
RuleT-1, interest and charges in respect of SDRs | 8759-(87/176)* ESAF | 44 | |||||
11251-(96/39) | 336 | ||||||
S Saudi Arabia, association agreement under General Arrangements to Borrow; | |||||||
Borrowing by the Fund Transferability of claims | 7629-(84/25) | 403 | |||||
SDDS, see, Special Data Dissemination Standard (SDDS) | |||||||
Section 22 of By-Laws, compulsory withdrawal | EBM/89/100 and EBM/89/101 | 106 | |||||
Special contingent account, establishment | 8619-(87/90) | 309 | |||||
Additions in FY 1988 and disposition of amounts placed in FY 1987 and FY 1988 | 8780-(88/12) | 310 | |||||
Special Contingent Account (SCA-2) | 9471-(90/98)* | 344 | |||||
Special Data Dissemination Standard (SDDS), see, Standards for dissemination of economic and financial statistics to the public by member countries and implementation of the SDDS | |||||||
Special Disbursement Account; see Accounts Special drawing rights: | |||||||
Allocation for first basic period | B/G Res. 24-12 | 679 | |||||
Allocation for third basic period | B/G Res. 34-3 | 681 | |||||
New participants | 5956-(78/180) S | 534 | |||||
6368-(79/191) S | 534 | ||||||
Allocation for fourth basic period. Managing Director’s report to Board of Governors and to Executive Board | 691 | ||||||
Change in method of valuation, effect on claims under supplementary financing facility | 5509-(77/127) Annex | 443 | |||||
Designation, review of rules and method of calculating amounts | 6209-(79/124) S | 546 | |||||
Holders prescribed by the Fund: | |||||||
African Development Bank and African Development Fund | 8318-(86/104) S | 530 | |||||
Andean Reserve Fund | 6486-(80/77) S | 529 | |||||
Arab Monetary Fund | 6609-(80/126) S | 530 | |||||
Asian Development Bank | 7229-(82/136) S | 530 | |||||
Bank for International Settlements | 6484-(80/77) S | 529 | |||||
Bank of Central African States | 7064-(82/26) S | 530 | |||||
Central Bank of West African States | 6908-(81/101) S | 530 | |||||
East African Development Bank | 7582-(83/174) S | 530 | |||||
Eastern Caribbean Central Bank | 7707-(84/79) S | 530 | |||||
International Bank for Reconstruction and Development | 6718-(81/1) S | 530 | |||||
International Development Association | 6718-(81/1) S | 530 | |||||
International Fund for Agricultural Development | 6489-(80/77) S | 530 | |||||
Islamic Development Bank | 7086-(82/42) S | 530 | |||||
Nordic Investment Bank | 6488-(80/77) S | 530 | |||||
Swiss National Bank, Termination of status | 10225-(92/147) S | 530 | |||||
Terms and conditions for accepting, holding, or using SDRs | 6467-(80/71) S | 526 | |||||
Level of SDR holdings in General Resources Account, maintenance; see Accounts, General Resources Account | |||||||
Loans for Trust Fund expressed in | 5069-(76/72) | 565 | |||||
Method of collecting exchange rates for calculation of value of SDR for purpose of Rule O-2(a) | 6709-(80/189) S | 525 | |||||
Payment of net charges and assessment in Special Drawing Rights Department; see Special Drawing Rights Department, payment | |||||||
Payment of subscriptions | 6266-(79/156) | 5 | |||||
Reconstitution, abrogation of rules | 6832-(81/65) S | 550 | |||||
Sale by Fund to members for use in quota payments under Seventh General Review | 6663-(80/160) S | 287 | |||||
Sale by Fund, guidelines | 6773-(81/35) G/S | 278 | |||||
7626-(84/23) S | 281 | ||||||
7941-(85/50) S | 281 | ||||||
8265-(86/70) S | 281 | ||||||
8574-(87/64) S | 281 | ||||||
10278-(93/19) S | 282 | ||||||
SDR-denominated deposits with Bank for International Settlements | 5973-(78/189) TR | 571 | |||||
Transfers under Article V, Section 3(f) | 6275-(79/158) G/S | 275 | |||||
Transfers under Article V, Section 6(b), guidelines for selection of currencies | 6274-(79/158) | 273 | |||||
6774-(81/35) | 282 | ||||||
Use in donations | 6437-(80/37) S | 545 | |||||
Use in financial operations under ESAF | |||||||
Trust or administered account | 8937-(88/118) ESAF/S | 532 | |||||
Use in forward operations | 6337-(79/178) S | 544 | |||||
Use in loans | 6001-(79/1) S | 536 | |||||
Use in operations under structural adjustment facility | 8239-(86/56) SAF | 531 | |||||
Use in payment of charges | 5702-(78/39)* G/S | 297 | |||||
Use in payment of 25 percent of quota increases | B/G Res. 31-2 | 616 | |||||
B/G Res. 34-2 | 619, 623 | ||||||
B/G Res. 38-1 | 634 | ||||||
B/G Res. 45-2 | 657 | ||||||
Use in payment of subsidy | 8186-(86/9) SBS/S | 531 | |||||
Use in payment of Trust Fund obligations | 8642-(87/101) S/TR | 530 | |||||
Use in pledges | 6053-(79/34) S* | 538 | |||||
Use in repurchases | 5703-(78/39) | 293, 294 | |||||
5809-(78/88) | 294 | ||||||
Use in settlement of financial obligations | 6000-(79/1) S* | 535 | |||||
Use in swap operations | 6336-(79/178) S | 542 | |||||
Use in transfers as security for performance | 6054-(79/34) S | 540 | |||||
Valuation basket, guidelines for calculation of currency amount | 8160-(85/186) G/S | 524 | |||||
Valuation basket, see also, valuation method Valuation for use in borrowing arrangements | 1289-(62/1)* | 393 | |||||
Valuation, interim | B/G Res. 29-10 | 609 | |||||
Valuation method | 6631-(80/145) G/S | 521 | |||||
9549-(90/146) G/S | 523 | ||||||
11073-(95/92) G/S | 523-24 | ||||||
Valuation of U.S. dollar pursuant to Rule O-2(a), method | 6709-(80/189) S | 525 | |||||
Special Drawing Rights Department, payment of net charges and assessment | 7116-(82/68) S | 552 | |||||
Stabilization of prices of primary products, Fund facility; see Buffer stock financing facility | |||||||
Standards for the dissemination of economic and financial statistics to the public by member countries and implementation of the SDDS | EBM/96/36 | 481 | |||||
Stand-by Arrangements: | 270-(53/95)* | 123 | |||||
Access limits, see Guidelines on access limits below | |||||||
Augmentation of rights to make purchases, elimination | 5706-(78/39) | 138 | |||||
Charges | 10464-(93/130)* | 150 | |||||
Conditionally, guidelines | 6056-(79/38) | 125 | |||||
Review | 8192-(86/13) | 144 | |||||
8583-(87/72) | 144 | ||||||
9790-(91/106) | 145 | ||||||
10723-(94/58) | 146 | ||||||
Elimination of use under Enlarged Access Policy | 10181-(92/132) | 256 | |||||
Exclusion of purchases for purposes of definition of “reserve tranche purchase” | 6830-(81/65) | 556 | |||||
Foreign borrowing, performance criteria | 6230-(79/140)* | 130 | |||||
Form, standard | 10464-(93/130)* | 147 | |||||
Guidelines on access limits | 10181-(92/132) | 256 | |||||
10819-(94/95) | 256 | ||||||
11098-(95/101) | 257 | ||||||
11374-(96/102) | 257 | ||||||
Guidelines, operational; see Performance criteria and phasing, below Ineligibility | 270-(53/95)* | 124 | |||||
10464-(93/130)* | 150 | ||||||
Publicity upon declaration of | 7999-(85/90) | 518 | |||||
793-(85/41) | 518 | ||||||
Misreporting and noncomplying purchases, guidelines on corrective action | 7842-(84/165) | 135 | |||||
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) | 97 | |||||
EBM/84/54 | 98 | ||||||
Payments arrears, performance criteria | 3153-(70/95) | 94 | |||||
Performance criteria and phasing, operational guidelines | 7925-(85/38) | 128 | |||||
Period | 270-(53/95)* | 123 | |||||
5508-(77/127) | 267 | ||||||
6783-(81/40) | 253 | ||||||
Policies and procedures | 270-(53/95)* | 123 | |||||
Provision for enlarged access to Fund’s resources | 6783-(81/40) | 252 | |||||
10181-(92/132) | 256 | ||||||
Provision for supplementary financing | 5508-(77/127) | 266 | |||||
Relationship between performance criteria and phasing of purchases, operational guidelines | 7925-(85/38) | 128 | |||||
Renewal | 270-(53/95)* | 123 | |||||
Repurchases; see Repurchases, Currency resulting from purchase under stand-by arrangement | |||||||
Review, Lapse of time procedure | 11515-(97/59) | 158 | |||||
Suspension of right to engage in purchase transactions | 270-(53/95)* | 124 | |||||
10464-(93/130)* | 150 | ||||||
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* | 359 | |||||
9809-(91/114) SAF | 377 | ||||||
10090-(92/24) SAF/ESAF | 377 | ||||||
Income from investment and loans, availability of use | 8760-(87/176) | 378 | |||||
Interest | 8238-(86/56) SAF* | 355 | |||||
List of eligible members and amounts of assistance | 8240-(86/56)* | 359 | |||||
Loans under ESAF | 8238-(86/56)* SAP | 357 | |||||
Regulations for administration | 8238-(86/56)* SAP | 351 | |||||
Chairman’s Summing up EBM/86/56 | 363 | ||||||
Review of experience, conditionality, benchmarks, and prior actions | Chairman’s Summing Up EBM/87/93 | 367 | |||||
Review of operation | 8241-(86/56) SAF | 362 | |||||
8757-(87/176) SAF/ESAF | 374 | ||||||
9114-(89/40) SAF/ESAF | 375 | ||||||
9487-(90/106)* SAF/ESAF | 375 | ||||||
9808-(91/114) SAF/ESAF | 376 | ||||||
10089-(92/94) SAF/ESAF | 376 | ||||||
Lapse of time procedure, see, Stand-by Arrangements | |||||||
Use of SDRs in Operations | 8239-(86/56) SAF | 531 | |||||
Subscriptions: | |||||||
Gold and currency, ownership by Fund | 170-3 | 3 | |||||
Payment of quota increases | B/G Res. 31-2 | 616, 617 | |||||
B/G Res. 34-2 | 624, 625 | ||||||
B/G Res. 38-1 | 634 | ||||||
B/G Res. 45-2 | 657 | ||||||
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 | 634 | |||||
Under Ninth General Review of Quotas | B/G Res. 45-2 | 657 | |||||
Subsidy Account; see Accounts, Subsidy Accounts Sugar Agreement, International; see Buffer stock financing facility | |||||||
Supplemental Reserve Facility: | |||||||
Disposition of net operational income | 11683-(98/27) | 247 | |||||
11716-(98/49) | 247 | ||||||
Establishment | 11627-(97/123) SRF | 243 | |||||
Supplementary financing facility: | |||||||
Authorization to make calls under borrowing arrangements | 6006-(79/3) | 445 | |||||
Charges; see Charges Establishment | 5508-(77/127) | 265 | |||||
No augmentation of rights to purchase | 5706-(78/39) | 138 | |||||
Replenishment of Fund’s holdings of currencies | 5509-(77/127) | 438 | |||||
Interest payments under borrowing agreements | 6163-(79/96) | 446-47 | |||||
Meaning of “Net creditor position in the Fund” | 6008-(79/3) | 446 | |||||
Repurchases; see Repurchases Subsidy Account | |||||||
Disbursement of additional subsidy amount for period ending June 30, 1986 | 8523-(87/25) SBS | 587 | |||||
Disbursement of additional subsidy amount for July 1, 1985 through June 30, 1987 | 8674-(87/117) SBS | 588 | |||||
Additional subsidy payments for May 1, 1987 through June 30, 1987 and for July 1, 1987 through June 30, 1988 | 8941-(88/122) SBS | 589 | |||||
Instrument | 6683-(80/185)* TR | 577 | |||||
Investment of currencies | 6854-(81/78)* SBS | 584 | |||||
Means of payments | 8185-(86/9) SBS/S | 585 | |||||
Subsidy payments, July 1, 1984-June 30, 1985 | 8037-(85/110)SBS | 536 | |||||
Subsidy payments, July 1, 1985-June 30, 1986 | 8492-(87/1)SBS | 587 | |||||
Subsidy payments, July 1, 1986-June 30, 1987 | 8674-(87/117)SBS | 588 | |||||
Subsidy payments, July 1, 1987-June 30, 1988 | 8941-(88/122) SBS | 589 | |||||
Subsidy payments, July 1, 1988-June 30, 1989 | 9222-(89/97) SBS | 590 | |||||
Subsidy payments. May 1-June 30, 1989 and July 1, 1989-June 30, 1990 | 9510-(90/122) SBS | 590 | |||||
Subsidy payments, May 1-June 30, 1990 and July 1, 1990-June 30, 1991 | 9788-(91/105) SBS | 591 | |||||
Suspension of transfers and retransfer of surplus to Special Disbursement Account | 7989-(85/81) SBS | 585 | |||||
Transferability of claims; see Transferability of claims | |||||||
Surveillance over exchange rate policies | 5392-(77/63)* | 10 | |||||
9499-(90/111)* | 16 | ||||||
Enhanced surveillance; see Enhanced surveillance | |||||||
Operational guidance; see Procedures, implementation of three-month period | |||||||
Procedures, implementation of three-month period | 7427-(83/83) | 20 | |||||
Chairman’s Remarks EBM/91/15 | 21 | ||||||
Review of procedures | 9499-(90/111)* | 16 | |||||
10273-(93/15) | 17 | ||||||
10949-(95/37) | 18 | ||||||
11477-(97/38) | 18 | ||||||
Supplemental surveillance procedures | 6026-(79/13)* | 15 | |||||
Suspension of voting rights, publicity, see Voting rights, suspension, publicity | |||||||
Systemic transformation facility | 10348-(93/61)* STF | 247 | |||||
Expiration of Period | 10961-(95/41) | 251 | |||||
T Technical assistance activities, Framework administered account | 10942-(95/33)* | 86 | |||||
Technical assistance, Fund ready to meet requests in preparation of economic programs and measures for exchange simplification | 649-(57/33) | 473 | |||||
Tin Agreements, International; see Buffer stock financing facility | |||||||
Trade, Voluntary Declaration | 4254-(74/75) | 476 | |||||
B/G Res. 29-10 | 608 | ||||||
Tranche policies: | |||||||
Application in connection with decision on enlarged access | 6783-(81/40) | 252 | |||||
Application in connection with supplementary financing facility | 5508-(77/127) | 266 | |||||
Application in connection with buffer stock financing facility | 10186-(92/132) | 233 | |||||
Application in connection with compensatory and contingency financing facility | 8955-(88/126)* | 192 | |||||
Application in connection with systemic transformation facility | 10348-(93/61) STF | 248 | |||||
Exclusion of credit tranche purchases for purpose of definition of “reserve tranche purchase” | 6830-(81/65) | 137 | |||||
Floating, elimination for purpose of determining level of conditionality applied to purchase | 10186-(92/132) | 233 | |||||
Fund attitude to request for transactions within “first credit tranche” and beyond | 125 | ||||||
Transferability of claims: | |||||||
General Arrangements to Borrow | 1289-(62/1)* | 393 | |||||
7628-(84/25) | 402 | ||||||
Saudi Arabia’s borrowing agreement | 7629-(84/25) | 403 | |||||
Transitional provisions of Article XIV | 117-1 | 520 | |||||
1034-(60/27) | 461 | ||||||
Trust for special ESAF operations for the HIPC and interim ESAF subsidy operations (ESAF/HIPC Trust) | 11436-(97/10)* | 57 | |||||
Chairman’s Summing up EBM/97/10 | 69 | ||||||
Administration of the Trust | 11436-(97/10)* | 66 | |||||
Contributions to the Trust | 11436-(97/10)* | 62 | |||||
Instrument to establish | 11436-(97/10)* | 58 | |||||
Period of operation and liquidation | 11436-(97/10)* | 68 | |||||
Terms and conditions for administration of Account | 11698-(98/38)ESAF | 72 | |||||
Transfer from ESAF Trust | 11683-(98/29) | 47 | |||||
Trust grants and loans | 11436-(97/10)* | 62 | |||||
Trust Fund: | |||||||
Deposits denominated in SDRs | 5973-(78/189)TR | 571 | |||||
Distribution of profits from sale of gold for benefit of developing countries | 5069-(76/72) | 561 | |||||
5709-(78/41) TR | 571 | ||||||
5832-(78/95) TR | 572 | ||||||
6540-(80/98) TR | 575 | ||||||
Diversification of investments | 5972-(78/189) | 570 | |||||
5973-(78/189) TR | 571 | ||||||
Eligible members, review of list | 5563-(77/150) TR | 569 | |||||
Final payments of profits and loans for period July 1, 1976- June 30, 1978 | 5832-(78/95) TR | 572 | |||||
Instrument | 5069-(76/72) | 561 | |||||
Amendment | 5563-(77/150) TR | 569 | |||||
5972-(78/189) | 570 | ||||||
6793-(81/45) | 577 | ||||||
Means of payment of interest | 6358-(79/188) TR* | 574 | |||||
Means of repayment by members on their indebtedness under loan agreements | 7142-(82/85) TR* | 575 | |||||
Overdue interest and special charges | 8165-(85/189)* G/TR | 299 | |||||
Elimination after six months or more | 10352-(93/49) G/TR* | 300 | |||||
Repayment terms: Final loan disbursement | 6793-(81/45) | 577 | |||||
Second period: | |||||||
Extension | 6466-(80/68) TR | 573 | |||||
6676-(80/168) TR | 573 | ||||||
Extension of period for qualification | 6202-(79/121) TR | 573 | |||||
Timing of loan disbursements | 6201-(79/121) TR | 572 | |||||
Special charges on overdue interest | 8165-(85/189) TR* | 300 | |||||
Termination and transfer of resources to Special Disbursement Account | 6704-(80/185)TR | 576 | |||||
U Unenforceability; see Exchange contracts United Nations: | |||||||
Agreement with International Monetary Fund | 695 | ||||||
Convention on the Privileges and Immunities of the Specialized Agencies | 702 | ||||||
Application to Fund, Annex V | 721 | ||||||
List of members which have accepted with respect to Fund | 722 | ||||||
General Assembly Resolution entitled “Uniting for Peace,” due regard by Fund in conduct of its activities | B/G Res. 6-8 | 594 | |||||
United States dollars: | |||||||
Determination of value in terms of special drawing right pursuant to Rule O-2(b) | 6709-(80/189) S | 525 | |||||
Inclusion in operational budgets | 6772-(81/35) G/S | 278 | |||||
Use for payment of interest and other Fund liabilities | 6358-(79/188)* TR | 574 | |||||
Use for repayments by members on their indebtedness under Trust Fund loan agreements | 7142-(82/85)* TR | 575 | |||||
Use in payments under supplementary financing facility Subsidy Account | 7754-(84/108) SBS | 586 | |||||
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 | |||||||
Access policy, see, Guidelines on access limits below | |||||||
Application of same policy for stand-by arrangements as for requests for immediate drawings | 276-(53/95)* | 123 | |||||
Authority to use resources of Fund, interpretation of Articles of Agreement | 71-2 | 91 | |||||
Buffer stock financing | 2772-(69/47)* | 232 | |||||
Buffer stock financing facility as applied to 1977 International Sugar Agreement | 5597-(77/171) | 237 | |||||