Browse

You are looking at 1 - 10 of 153 items :

  • Asia and the Pacific x
  • Banks and Banking x
Clear All
7 A Policy Framework for Resource Mobilization: An African Perspective

7 A Policy Framework for Resource Mobilization: An African Perspective »

Source: External Assistance and Policies for Growth in Africa

Series: Other Statistical Electronic Products

Author(s): Claire Liuksila

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 December 1995

ISBN: 9781557755254

Keywords: debt, debt management, external debt, debt service, interest

The formulation of an appropriate policy framework for effective resource mobilization in Africa must begin with an assessment of the role that the financial sector has played in th...

ADDRESS BY THE CHAIRMAN OF THE EXECUTIVE BOARD AND MANAGING DIRECTOR OF THE INTERNATIONAL MONETARY FUND

ADDRESS BY THE CHAIRMAN OF THE EXECUTIVE BOARD AND MANAGING DIRECTOR OF THE INTERNATIONAL MONETARY FUND »

Source: Summary Proceedings of the Fifty-Sixth Annual Meeting of the Board of Governors, September 29, 2002

Series: Summary Proceedings

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 30 September 2003

ISBN: 9781589062887

Keywords: debt, debt restructuring, debt relief, debt sustainability, sovereign debt

Mr. Chairman, Governors, honored guests, it is a pleasure to welcome you to these Annual Meetings. I would like to join Chairman Macki in extending special greetings to our newest m...

5 Alternative Approaches to Regulation and Corporate Governance in Financial Firms

5 Alternative Approaches to Regulation and Corporate Governance in Financial Firms »

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 objective of this paper is to draw lessons from recent banking sector crises especially with respect to the design of an optimum “regulatory regime.” Just as the causes of banki...

ASEAN Financial Integration1 2

ASEAN Financial Integration1 2 »

Source: ASEAN Financial Integration

Volume/Issue: 2015/34

Series: IMF Working Papers

Author(s): Geert Almekinders , Alex Mourmouras , Jianping Zhou , Satoshi Fukuda , and Yong Sarah Zhou

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 23 February 2015

ISBN: 9781484386491

Keywords: Economic growth, Cross country analysis, Association of Southeast Asian Nations, Brunei Darussalam, Cambodia, Capital flows, Capital account liberalization, Economic integration, Financial integration, Indonesia

The establishment of the ASEAN Economic Community (AEC) at end-2015 has brought into sharp focus the issue of financial and economic integration in the region. This paper takes stock of ASEAN's financial integratio...

18 Assessing Financial Sector Soundness: The Role of the IMF

18 Assessing Financial Sector Soundness: The Role of the IMF »

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 need to strengthen countries’ financial systems has been a major focus of the IMF’s work in recent years. This paper focuses on the Financial Sector Assessment Program—or FSAP—which is the key initiative...

8 Assessing the Ability of a Financial System to Withstand Financial Stress: A Market Perspective

8 Assessing the Ability of a Financial System to Withstand Financial Stress: A Market Perspective »

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

“Assessing the Ability of a Financial System to Withstand Financial Stress” is an interesting and somewhat challenging topic for a rating agency professional such as myself, since t...

ATTENDANCE

ATTENDANCE »

Source: Summary Proceedings of the Fifty-Sixth Annual Meeting of the Board of Governors, September 29, 2002

Series: Summary Proceedings

Author(s): International Monetary Fund

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 30 September 2003

ISBN: 9781589062887

Keywords: debt, debt restructuring, debt relief, debt sustainability, sovereign debt

Members of Fund Delegations Islamic State of Afghanistan Governor...

4 Calculating Counterparty Credit Exposure When Credit Quality Is Correlated with Market Prices

4 Calculating Counterparty Credit Exposure When Credit Quality Is Correlated with Market Prices »

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

Wrong-Way Risk Counterparty risk management involves tracking both the credit quality of the counterparty and the actual amount of exposure on the derivative contract. Unlike exposur...

Chairmen’s Concluding Remarks

Chairmen’s Concluding Remarks »

Source: External Assistance and Policies for Growth in Africa

Series: Other Statistical Electronic Products

Author(s): Claire Liuksila

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 15 December 1995

ISBN: 9781557755254

Keywords: debt, debt management, external debt, debt service, interest

First of all, I would like to thank all of the participants in this seminar for their thoughtful, pragmatic remarks. Although we all come from different backgrounds, I believe a consensus has emerged from ou...

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...