1
Published 2021
International Monetary Fund
... excess imbalances over the medium term. Chapter 2 analyzes how the unprecedented fiscal support provided...

2
Published 2011
International Monetary Fund
... are impeding progress to address the legacies of the crisis. The Report examines how the ongoing low interest...

3
Published 2005
International Monetary Fund
... on household saving and asset allocation behavior and analyzes how such behavior may be affected by changes...

4
Published 2018
International Monetary Fund
... disasters. Staff should be ready to advise on how to tailor macroeconomic policies to provide greater...

5
Published 2018
International Monetary Fund
... stability as well as limit moral hazard. Formal plans describing how the resolution authority will manage...

6
Published 2019
International Monetary Fund
.... Initial experience is favorable, however, it remains to be seen how the framework will function under more...

7
Published 2013
International Monetary Fund
... brief overview of the impact of the global financial crisis in Italy and how the authorities handled...

8
Published 2013
International Monetary Fund
... sets out a brief overview of the impact of the global financial crisis in Italy and how the authorities...

9
Published 2016
International Monetary Fund
..., given its size and systemic nature. The paper reviews how the institutional setup promotes...

10
Published 2004
International Monetary Fund
... hedge funds and their activities. The paper examines how one may achieve a better understanding of hedge...

11
Published 2006
International Monetary Fund
... their growth, how they have increasingly facilitated risk transfer, and their implications for financial...

12
Published 2005
International Monetary Fund
...This paper analyzes aspects of global asset allocation. It examines how different institutional...

13
Published 2022
International Monetary Fund
... Bank Operations Division) The purpose of the mission was to guide the CBSI on how to establish...

14
Published 2019
International Monetary Fund
... on how to enhance them further. It also describes the existing systemic risk monitoring framework...

15
Published 2011
International Monetary Fund
... Stability Report highlights how risks have changed over the past six months, traces the sources and channels...

16
Published 2009
International Monetary Fund
..., including the rising burden of sovereign financing. The report addresses how to restart securitization...

17
Published 2020
International Monetary Fund
... agencies. The authorities should explore how to remove barriers that prevent close and meaningful...

18
Published 2016
International Monetary Fund
...This paper discusses how Financial Sector Assessment Program (FSAP) stress test assesses...

19
Published 2022
International Monetary Fund
... information on how other supervisors are undertaking examinations remotely. The mission provided training...

20
Published 2018
International Monetary Fund
... analyzes whether and how house prices move in tandem across countries and major cities around the world...