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

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

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 October 2007

DOI: http://dx.doi.org/10.5089/9781589066762.082

ISBN: 9781589066762

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

Published twice yearly, the Global Financial Stability Report (GFSR) was created to provide a more frequent assessment of global financial markets by the IMF and to address emerging market financing in a global con...

Reaping the Benefits of Financial Globalization

Reaping the Benefits of Financial Globalization »

Series: Occasional Papers

Author(s): Giovanni Dell'Ariccia , Paolo Mauro , Andre Faria , Jonathan Ostry , Julian Di Giovanni , Martin Schindler , Ayhan Kose , and Marco Terrones

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 December 2008

DOI: http://dx.doi.org/10.5089/9781589067486.084

ISBN: 9781589067486

Keywords: Economic growth, Financial management, Capital controls, Fiscal reforms, Fiscal stability, Risk management, financial globalization, financial integration, globalization, financial sector

Financial globalization has increased dramatically over the past three decades, particularly for advanced economies, while emerging market and developing countries experienced more moderate increases. Divergences a...

United Kingdom

United Kingdom »

Source: United Kingdom : Financial Sector Assessment Program-Macroprudential Institutional Framework-Technical Note

Volume/Issue: 2016/160

Series: IMF Staff Country Reports

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 17 June 2016

ISBN: 9781475574920

Keywords: financial stability, risk, bank, accountability, systemic risk

This paper reviews the institutional framework for the conduct of macroprudential policy in the United Kingdom and the steps taken by the authorities to make the macroprudential framework operational. An effective...

Switzerland

Switzerland »

Source: Switzerland : Technical Note-Systemic Risk and Contagion Analysis

Volume/Issue: 2014/268

Series: IMF Staff Country Reports

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 03 September 2014

ISBN: 9781498353922

Keywords: contagion, financial institutions, systemic risk, financial stability, financial system

...

Italy

Italy »

Source: Italy : Detailed Assessment of Observance of Basel Core Principles for Effective Banking Supervision

Volume/Issue: 2013/354

Series: IMF Staff Country Reports

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 06 December 2013

ISBN: 9781475572551

Keywords: banking supervision, risk management, risk profile, financial intermediaries, exchange information

This paper elaborates key findings of the Detailed Assessment of Observance of Basel Core Principles for Effective Banking Supervision by Italy. The core supervisory process at the Banca d'Italia (BI) is strong, an...

Hungary

Hungary »

Source: Hungary : Financial System Stability Assessment Update, including a Report on the Observance of Standards and Codes on Insurance Regulation

Volume/Issue: 2005/212

Series: IMF Staff Country Reports

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 June 2005

ISBN: 9781451818000

Keywords: pension, financial sector, financial institutions, financial system, risk management

This paper presents an update to Hungary's Financial System Stability Assessment, including a Report on the Observance of Standards and Codes on Insurance Regulation. The assessment reveals that financial intermedi...

Republic of Moldova: Financial Sector Assessment Program-Bank Crisis Resolution-Technical Note

Republic of Moldova: Financial Sector Assessment Program-Bank Crisis Resolution-Technical Note »

Source: Republic of Moldova: Financial Sector Assessment Program-Bank Crisis Resolution-Technical Note

Volume/Issue: 2016/73

Series: IMF Staff Country Reports

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 February 2016

ISBN: 9781513505107

Keywords: bank, banks, subsidiaries, financial stability, risk

An important aspect of the FSAP mission was the review of the bank crisis resolution framework in Moldova. There are several characteristics of vulnerabilities in the banking system which suggests the need for the...

United Kingdom

United Kingdom »

Source: United Kingdom : Financial Sector Assessment Program-Financial System Stability Assessment

Volume/Issue: 2016/167

Series: IMF Staff Country Reports

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 17 June 2016

ISBN: 9781484394991

Keywords: banks, bank, risk, banking, financial stability

This paper assesses the stability of the financial system of the United Kingdom as a whole, not that of individual institutions. Since the last Financial Sector Assessment Program (FSAP), the U.K. financial system...

Policies to Mitigate Procyclicality1

Policies to Mitigate Procyclicality1 »

Source: Policies to Mitigate Procyclicality

Volume/Issue: 2009/09

Series: IMF Staff Position Notes

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 07 May 2009

ISBN: 9781462370719

Keywords: Economic models, risk management, liquidity risk, financial stability, deposit insurance, market risk

...

A Framework for the Surveillance of Derivatives Activities

A Framework for the Surveillance of Derivatives Activities »

Source: A Framework for the Surveillance of Derivatives Activities

Volume/Issue: 2005/61

Series: IMF Working Papers

Author(s): Eva Gutierrez

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 March 2005

ISBN: 9781451860801

Keywords: Derivatives, derivative, credit risk, credit derivatives, financial institutions, risk management, General Financial Markets: Other, Financial Institutions and Services: General,

This paper proposes a framework for the surveillance of financial institutions' derivatives activities. The designed framework builds on information likely to be collected by financial market regulators for supervi...