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Global Financial Stability Report, April 2019

Vulnerabilities in a Maturing Credit Cycle

The April 2019 GFSR finds that despite significant variability over the past two quarters, financial conditions remain accommodative.

CHAPTER 1. ASSESSING RISKS TO GLOBAL FINANCIAL STABILITY

CHAPTER 1. ASSESSING RISKS TO GLOBAL FINANCIAL STABILITY »

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

Series: Global Financial Stability Report

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 October 2007

ISBN: 9781589066762

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

Following an extended period of exceptionally favorable financial market conditions, international markets have entered a difficult period. The current episode of turbulence represents the first significant...

Chapter II: Swaziland’s Interconnection with the Global Economy

Chapter II: Swaziland’s Interconnection with the Global Economy »

Source: Restoring Sustainability in a Changing Global Environment : Options for Swaziland

Series: Departmental Papers / Policy Papers

Author(s): Olivier Basdevant , and Borislava Mircheva

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 February 2013

ISBN: 9781475589412

Keywords: Banking sector, Currency pegs, Debt sustainability analysis, External shocks, Reserves, Private sector, South Africa, Spillovers, Fiscal risk, Fiscal policy

Swaziland is highly interconnected with South Africa and with the global economy. As the global economy faces higher risks of adverse shocks, Swaziland may be affected by spillover effects. These shocks woul...

Characterizing Global Investors' Risk Appetite for Emerging Market Debt During Financial Crises

Characterizing Global Investors' Risk Appetite for Emerging Market Debt During Financial Crises »

Source: Characterizing Global Investors' Risk Appetite for Emerging Market Debt During Financial Crises

Volume/Issue: 2003/251

Series: IMF Working Papers

Author(s): Brenda Gonzalez-Hermosillo , Vance Martin , Mardi Dungey , and Renee Fry

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 December 2003

ISBN: 9781451875928

Keywords: Risk Aversion, SVAR, bond, bond spreads, statistics, financial markets, Multiple or Simultaneous Equation Models: Models with Panel Data, Financial Markets and the Macroeconomy, International Lending and Debt Problems,

The effects of unanticipated movements in global risk on nine emerging bond markets are investigated. The components of global risk are volatility, credit, and liquidity risks. Country and contagion risks are also...

Connected to Whom? International Interbank Borrowing During the Global Crisis

Connected to Whom? International Interbank Borrowing During the Global Crisis »

Source: Connected to Whom? International Interbank Borrowing During the Global Crisis

Volume/Issue: 2013/14

Series: IMF Working Papers

Author(s): Kalin Tintchev

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 14 January 2013

ISBN: 9781475542028

Keywords: counterparty risk, financial interconnectedness, banking, banking system, credit risk, General, International Lending and Debt Problems, Open Economy Macroeconomics, International Policy Coordination and Transmission,

The unprecedented collapse of international interbank borrowing was a prominent feature of the global financial crisis that started in August 2007. This paper focuses on the drivers of the retrenchment from 32 adva...

Contagion Risk in the International Banking System and Implications for London As a Global Financial Center

Contagion Risk in the International Banking System and Implications for London As a Global Financial Center »

Source: Contagion Risk in the International Banking System and Implications for London As a Global Financial Center

Volume/Issue: 2007/74

Series: IMF Working Papers

Author(s): Jorge Chan-Lau , Srobona Mitra , and Li Ong

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 April 2007

ISBN: 9781451866384

Keywords: co-exceedance, contagion risk, distance-to-default, extreme value theory, LOGIT, foreign banks, financial institutions, stock market, financial system, financial markets

In this paper, we use the extreme value theory (EVT) framework to analyze contagion risk across the international banking system. We test for the likelihood that an extreme shock affecting a major, systemic U.K. ba...

Country Briefs: Fiscal Sustainability is Critical if Swaziland is to Fight Poverty

Country Briefs: Fiscal Sustainability is Critical if Swaziland is to Fight Poverty »

Source: IMF Survey, Volume 35, Issue 12

Volume/Issue: 35/12

Series: IMF Survey

Author(s): International Monetary Fund. External Relations Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 27 June 2006

ISBN: 9781451968347

Keywords: international monetary fund, united nations, representative government, financial sector, Democracy, Economic Development. Political Aspects, Health Status Indicators, Inequality, International Comparisons, International Economics

IMF work program; de Rato in Australia, New Zealand; Improving the IEO; Swaziland, Philippines briefs; Inequality in Panama; Namibia: poverty and inequality; Gabon: post-oil era; Growth in Indian states; HIV/AIDS e...

Country Focus: Panama: Reforms and Growth Hold Key to Reducing Inequality

Country Focus: Panama: Reforms and Growth Hold Key to Reducing Inequality »

Source: IMF Survey, Volume 35, Issue 12

Volume/Issue: 35/12

Series: IMF Survey

Author(s): International Monetary Fund. External Relations Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 27 June 2006

ISBN: 9781451968347

Keywords: international monetary fund, united nations, representative government, financial sector, Democracy, Economic Development. Political Aspects, Health Status Indicators, Inequality, International Comparisons, International Economics

IMF work program; de Rato in Australia, New Zealand; Improving the IEO; Swaziland, Philippines briefs; Inequality in Panama; Namibia: poverty and inequality; Gabon: post-oil era; Growth in Indian states; HIV/AIDS e...

De Rato Highlights Global Risks and IMF Initiatives

De Rato Highlights Global Risks and IMF Initiatives »

Source: IMF Survey, Volume 35, Issue 12

Volume/Issue: 35/12

Series: IMF Survey

Author(s): International Monetary Fund. External Relations Dept.

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 27 June 2006

ISBN: 9781451968347

Keywords: international monetary fund, united nations, representative government, financial sector, Democracy, Economic Development. Political Aspects, Health Status Indicators, Inequality, International Comparisons, International Economics

IMF work program; de Rato in Australia, New Zealand; Improving the IEO; Swaziland, Philippines briefs; Inequality in Panama; Namibia: poverty and inequality; Gabon: post-oil era; Growth in Indian states; HIV/AIDS e...

Restoring Sustainability in a Changing Global Environment
			: Options for Swaziland

Restoring Sustainability in a Changing Global Environment : Options for Swaziland »

Volume: 13

Series: Departmental Papers / Policy Papers

Author(s): Olivier Basdevant , and Borislava Mircheva

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 February 2013

DOI: http://dx.doi.org/10.5089/9781475589412.087

ISBN: 9781475589412

Keywords: Banking sector, Currency pegs, Debt sustainability analysis, External shocks, Reserves, Private sector, South Africa, Spillovers, Fiscal risk, Fiscal policy

The Kingdom of Swaziland (hereinafter “Swaziland”) is a small, open economy bordering Mozambique and South Africa with a population of 1.1 million people. It is a landlocked country with an economy he...

Financial Risks, Stability, and Globalization

Financial Risks, Stability, and Globalization »

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

DOI: http://dx.doi.org/10.5089/9781589060128.072

ISBN: 9781589060128

Keywords: Financial stability, Risk premium, banking, financial system, financial sector, regulation, financial institutions

This book covers financial sector stability issues in the following areas: risk management and governance in financial institutions; financial crises and contagion; domestic monetary and financial policies; and int...