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A Change in Focus: China’s external surplus is dwindling, with repercussions for its Asian trading partners

A Change in Focus: China’s external surplus is dwindling, with repercussions for its Asian trading partners »

Source: Finance & Development, September 2012

Volume/Issue: 49/3

Series: Finance & Development

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

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 28 November 2012

ISBN: 9781475504767

Keywords: Finance and Development, financial sector, financial stability, international financial architecture, global financial system

Technology is generating a global convergence. A "big bang" of information-and education as well-is improving human lives. And with global interconnectivity growing by leaps and bounds, we are all witness to a rapi...

13 Changes in Bank Behavior During Japan’s Financial Crisis

13 Changes in Bank Behavior During Japan’s Financial Crisis »

Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

In the 1990s, Japan faced a serious financial crisis due to the formation and bursting of a bubble. In terms of magnitude, it was a crisis no other country had ever experienced. Though essentially a serious...

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Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

I have learned to see the world with new eyes. Insolvencies are dynamic occurrences. The concept that current taxpayers can shift the costs of resolving insolvencies to future taxpa...

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Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

Professor Kane has written a stimulating paper. The paper provides a clear and comprehensive framework and addresses in an elegant way several important problems that bear directly...

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Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

Having spent a fair amount of time over the past year and a half working on bank restructuring in Asia, I read the Nakaso paper with particular interest. The Japanese experience during the recent financial c...

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Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

The free flow of capital is a reality in the era of globalization. It follows naturally from the international integration that increasing trade flows and technological advancements in communications have br...

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Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

The paper offers a valid conceptual framework on financial restructuring and fiscal policy. It is good reading not only for our country, Korea, as we are promoting financial restruc...

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Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

I enjoyed reading this very interesting paper. It is clear that Japan offers a very valuable case study to draw lessons on financial crisis management. I will first offer comments on the paper and then give...

Disclosing Fiscal Risks in the Post-Crisis World

Disclosing Fiscal Risks in the Post-Crisis World »

Source: Disclosing Fiscal Risks in the Post-Crisis World

Volume/Issue: 2009/18

Series: IMF Staff Position Notes

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 July 2009

ISBN: 9781455241125

Keywords: External shocks, Financial risk, Financial sector, Financial systems, Contingent liabilities, Fiscal sector, Fiscal policy, Public debt, Transparency, disclosure of information

This paper discusses appropriate methods for disclosing fiscal risks from exogenous shocks and the realization of explicit or implicit contingent obligations of the government. Expanding on previous guidance prepar...

11 Dynamic Inconsistency of Capital Forbearance Long-Run Versus Short-Run Effects of Too-Big-to-Fail Policymaking

11 Dynamic Inconsistency of Capital Forbearance Long-Run Versus Short-Run Effects of Too-Big-to-Fail Policymaking »

Source: Financial Risks, Stability, and Globalization

Series: Seminar Volumes

Author(s): Omotunde Johnson

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 29 April 2002

ISBN: 9781589060128

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

During the last 20 years, concepts taken from the fields of corporate finance and efficient contracting have thrown new light on issues of bank regulation. Corporate finance theory...