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Bilateral Financial Linkages and Global Imbalances

Bilateral Financial Linkages and Global Imbalances »

Source: Bilateral Financial Linkages and Global Imbalances : a View on The Eve of the Financial Crisis

Volume/Issue: 2010/257

Series: IMF Working Papers

Author(s): Gian Milesi-Ferretti , Natalia Tamirisa , and Francesco Strobbe

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 November 2010

ISBN: 9781455209576

Keywords: International financial integration, claims, fdi, portfolio investment, foreign exchange reserves,

We present a novel and comprehensive dataset of bilateral gross and net external positions in various financial instruments for the main advanced and emerging economies and regions, designed to improve our understa...

Building a More Resilient Financial Sector
			: Reforms in the Wake of the Global Crisis

Building a More Resilient Financial Sector : Reforms in the Wake of the Global Crisis »

Series: Books

Author(s): Aditya Narain , Inci Ötker , and Ceyla Pazarbasioglu

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 19 April 2012

DOI: http://dx.doi.org/10.5089/9781616352295.071

ISBN: 9781616352295

Keywords: banking, financial system, financial institutions, financial stability, subsidiaries

The IMF, with the Bank for International Settlements and the Financial Stability Board, has been at the forefront of discussions on reform of the global financial system to reduce the possibility of future crises,...

8 Challenges Posed by the Globalization of Finance and Risk

8 Challenges Posed by the Globalization of Finance and Risk »

Source: Safeguarding Financial Stability : Theory and Practice

Series: Books

Author(s): Garry Schinasi

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 12 December 2005

ISBN: 9781589064409

Keywords: credit, financial system, otc, financial institutions

While it is reasonable to presume that the structural financial changes that occurred in international markets since the mid- to late 1970s have been beneficial overall, it would be complacent to ignore, and...

Changes in the Global Investor Base and the Stability of Portfolio Flows to Emerging Markets1

Changes in the Global Investor Base and the Stability of Portfolio Flows to Emerging Markets1 »

Source: Changes in the Global Investor Base and the Stability of Portfolio Flows to Emerging Markets

Volume/Issue: 2015/277

Series: IMF Working Papers

Author(s): Luis Brandao-Marques , R. Gelos , Hibiki Ichiue , and Hiroko Oura

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 28 December 2015

ISBN: 9781513555560

Keywords: Capital flows, emerging markets, mutual funds, flows, portfolio, bond, equity, portfolio flows, All Countries,

An analysis of mutual-fund-level flow data into EM bond and equity markets confirms that different types of funds behave differently. Bond funds are more sensitive to global factors and engage more in return chasin...

Chapter 10. Financial Globalization: A Reappraisal

Chapter 10. Financial Globalization: A Reappraisal »

Source: Macrofinancial Linkages : Trends, Crises, and Policies

Series: Books

Author(s): Christopher Crowe , Simon Johnson , Jonathan Ostry , and Jeronimo Zettelmeyer

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 25 August 2010

ISBN: 9781589069398

Keywords: financial integration, financial liberalization, corporate governance, financial globalization, banking crises

M. Ayhan Kose • Eswar Prasad • Kenneth Rogoff • Shang-Jin Wei 1 10.1. Introduction Few issues have stirred su...

Chapter 40 Managing the Global Economy: The Role of Governance

Chapter 40 Managing the Global Economy: The Role of Governance »

Source: Current Developments in Monetary and Financial Law, Volume 2

Series: Seminar Volumes

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 20 October 2003

ISBN: 9781589061767

Keywords: Banking systems, Financial sector, Financial stability, Financial systems, Monetary measures, Monetary operations, Monetary systems, banking, credit, central bank

Governance in both the public and private sectors is a key aspect of managing globalization. It is essential for the stability of the financial systems and the funct...

Chapter 9. Reaping the Benefits of Financial Globalization

Chapter 9. Reaping the Benefits of Financial Globalization »

Source: Macrofinancial Linkages : Trends, Crises, and Policies

Series: Books

Author(s): Christopher Crowe , Simon Johnson , Jonathan Ostry , and Jeronimo Zettelmeyer

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 25 August 2010

ISBN: 9781589069398

Keywords: financial integration, financial liberalization, corporate governance, financial globalization, banking crises

9.1. Introduction Financial globalization—defined as the extent to which countries are linked through cross-border financial holdings, and proxied in this chapter by the sum of count...

Chapter 1. The Global Crisis and Imbalances

Chapter 1. The Global Crisis and Imbalances »

Source: Global Rebalancing : A Roadmap for Economic Recovery

Series: Books

Author(s): Hamid Faruqee , and Krishna Srinivasan

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 09 August 2013

ISBN: 9781475573664

Keywords: current account, public debt, public finances, fiscal consolidation, financial sector

In the wake of the financial crisis, policymakers around the world renewed their focus on key imbalances in major economies with an eye toward reducing vulnerabilities that led to market upheaval and global...

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...