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World Economic Outlook, October 2018
			: Challenges to Steady Growth

World Economic Outlook, October 2018 : Challenges to Steady Growth »

Series: World Economic Outlook

Author(s): International Monetary Fund. Research Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 09 October 2018

DOI: http://dx.doi.org/10.5089/9781484376799.081

ISBN: 9781484376799

Keywords: Inflation rates, Inflation, Inflation targeting, Inflation research, Inflation risk, Global Financial Crisis 2008-2009, Gross domestric product growth, Output growth, Global Financial Stability Risks, International trade

Global growth for 2018-19 is projected to remain steady at its 2017 level, but its pace is less vigorous than projected in April and it has become less balanced. Downside risks to global growth have risen in the pa...

World Economic Outlook, October 2018
			: Challenges to Steady Growth

World Economic Outlook, October 2018 : Challenges to Steady Growth »

Series: World Economic Outlook

Author(s): International Monetary Fund. Research Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 02 January 2019

Language: Chinese

DOI: http://dx.doi.org/10.5089/9781484382844.081

ISBN: 9781484382844

Keywords: Inflation rates, Inflation, Inflation targeting, Inflation research, Inflation risk, Global Financial Crisis 2008-2009, Gross domestric product growth, Output growth, Global Financial Stability Risks, International trade

Global growth for 2018-19 is projected to remain steady at its 2017 level, but its pace is less vigorous than projected in April and it has become less balanced. Downside risks to global growth have risen in the pa...

Central Bank Governance and the Role of Nonfinancial Risk Management

Central Bank Governance and the Role of Nonfinancial Risk Management »

Source: Central Bank Governance and the Role of Nonfinancial Risk Management

Volume/Issue: 2016/34

Series: IMF Working Papers

Author(s): Ashraf Khan

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 February 2016

ISBN: 9781498376051

Keywords: bank, banks, risk, central banks, governance, General, All Countries,, Central banks, Risk management, Central bank governance

This paper argues that nonfinancial risk management is an essential element of good governance of central banks. It provides a funnelled analysis, on the basis of selected literature, by (i) presenting an outline o...

Systemic Risk, Aggregate Demand, and Commodity Prices

Systemic Risk, Aggregate Demand, and Commodity Prices »

Source: Systemic Risk, Aggregate Demand, and Commodity Prices

Volume/Issue: 2015/165

Series: IMF Working Papers

Author(s): Javier Gómez?Pineda , Dominique Guillaume , and Kadir Tanyeri

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 20 July 2015

ISBN: 9781513552545

Keywords: Financial linkages, Global imbalances Commodity prices, output, country risk, trade, Open Economy Macroeconomics, Forecasting and Simulation,

The paper presents a global model with systemic and country risks, as well as commodity prices.We show that systemic risk shocks have an important impact on world economic activity, with the busts in world output g...

Survey of Private Sector Trade Credit Developments

Survey of Private Sector Trade Credit Developments »

Source: Survey of Private Sector Trade Credit Developments

Volume/Issue: 2009/017

Series: Policy Papers

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 27 February 2009

ISBN: 9781498336239

Keywords: Banking sector, Credit risk, Cross country analysis, Data analysis, Developed countries, Emerging markets, International trade, Private sector, Risk management, Trade finance

In response to the dearth of information on trade finance, the Fund has undertaken a survey of major advanced country and emerging market banks. The results suggest that the cost of trade finance is rising globally...

Budget Institutions in G-20 Countries - Country Evaluations

Budget Institutions in G-20 Countries - Country Evaluations »

Source: Budget Institutions in G-20 Countries - Country Evaluations

Volume/Issue: 2014/042

Series: Policy Papers

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 04 July 2014

ISBN: 9781498343565

Keywords: Budgeting, Budgets, Cross country analysis, Data quality assessment framework, Financial management, Fiscal policy, Fiscal risk, Group of Twenty, Public finance, Risk management

The central government publishes comprehensive financial statements, which include the social security funds and balance sheets with all financial assets and liabilities. Audited financial statements are published...

Assessing Country Risk

Assessing Country Risk »

Source: Assessing Country Risk : Selected Approaches

Volume/Issue: 2017/8

Series: Technical Notes and Manuals

Author(s): Ashvin Ahuja , Kevin Wiseman , and Murtaza Syed

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 June 2017

ISBN: 9781484302569

Keywords: Fiscal sector, Real sector, External sector, Financial soundness indicators, Financial crises, TNM, sudden stop, emerge market, vulnerability, risk assessment

Assessing country risk is a core component of surveillance at the IMF. It is conducted through a comprehensive architecture, covering both bilateral and multilateral dimensions. This note describes some of the appr...

Financial Surveillance Strategy - Progress Report

Financial Surveillance Strategy - Progress Report »

Source: Financial Surveillance Strategy - Progress Report

Volume/Issue: 2013/015

Series: Policy Papers

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 09 March 2013

ISBN: 9781498341370

Keywords: Article IV consultations, Background papers, Financial risk, Financial systems, Surveillance, Central banking and monetary issues, Systemically important financial institutions, Macroprudential policies and financial stability, Financial institutions, article IV consultation

This note provides background to the informal Board briefing on the one-year progress in implementation of the FSS. The Board will have the opportunity to review progress in implementing the FSS in the context of t...

How External Factors Affect Domestic Economy

How External Factors Affect Domestic Economy »

Source: How External Factors Affect Domestic Economy : Nowcasting an Emerging Market

Volume/Issue: 2015/269

Series: IMF Working Papers

Author(s): Serhat Solmaz , and Marzie Taheri Sanjani

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 December 2015

ISBN: 9781513598987

Keywords: Nowcasting, Bayesian estimation, VAR, Emerging Market, economy, domestic economy, risk, economies, external factors, Bayesian Analysis

External headwinds, together with domestic vulnerabilities, have loomed over the prospects of emerging markets in recent years. We propose an empirical toolbox to quantify the impact of external macro-financial sho...

Guidance Note on the Bank-Fund Debt Sustainability Framework for Low Income Countries

Guidance Note on the Bank-Fund Debt Sustainability Framework for Low Income Countries »

Source: Guidance Note on the Bank-Fund Debt Sustainability Framework for Low Income Countries

Volume/Issue: 2018/009

Series: Policy Papers

Author(s): International Monetary Fund. Strategy, Policy, & Review Department

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 14 February 2018

ISBN: 9781498307260

Keywords: Domestic debt, Access to international capital markets, Fiscal indicators, External sector, Public debt, DSA, DSF, stress test, moderate risk, country-specific

Low-income countries (LICs) face significant challenges in meeting their Sustainable Development Goals (SDGs) while at the same time ensuring that their external debt remains sustainable. In April 2005, the Executi...