International Monetary Fund imprint: 1365 books

by Abdessatar Mr. Ouanes, Subhash Mr. Thakur
Language: English
Release Date: June 18, 1997

This book, by Abdessatar Ouanes and Subhash Thakur presents the principal elements of macroeconomic accounting and analysis for the real, fiscal, monetary, and external sectors of a transition economy, using Poland as a case study. Background information, exercises, and issues for discussion are also provided.
by Chanpen Ms. Puckahtikom, Eduard Mr. Brau
Language: English
Release Date: August 15, 1985

In the current environment of payments difficulties, a principal role of the Fund remains the encouragement and support of timely adjustment policies of member countries.
by Erlend Nier, Luis Mr. Jácome, Jacek Osinski
Language: English
Release Date: November 1, 2011

A number of countries are reviewing their institutional arrangements for financial stability to support the development of a macroprudential policy function. In some cases, this involves a rethink of the appropriate institutional boundaries between central banks and financial regulatory agencies,...
by Atish Mr. Ghosh, Karl Mr. Habermeier, Jonathan Mr. Ostry
Language: English
Release Date: April 5, 2011

A staff policy note on the above topic is under preparation, and the target delivery date is December 2010. The note will look at a number of issues, including: possible tensions between the prudential case for capital controls and the macroeconomic case; the role of capital controls and other prudential...
by Robert Mr. Burgess
Language: English
Release Date: June 15, 2009

by Andrea Ms. Schaechter, Carlo Mr. Cottarelli
Language: English
Release Date: September 1, 2010

Today’s record public debt levels in most advanced economies are not only a direct fall-out from the global crisis. Public debt had ratcheted up over many decades before, when it had been used, in most of the G-7 countries, as the ultimate shock absorber—rising in bad times but not declining much...
by Vito Mr. Tanzi, M. Yücelik, Peter Mr. Griffith
Language: English
Release Date: October 31, 1981

This study indentifies some of the taxation problems most frequently encountered by Fund member countries in sub-Saharan Africa and seeks solutions that may be useful to either the region as a whole or to groups of countries in the region.
by José Vinãls, Ceyla Pazarbasioglu, Jay Surti
Language: English
Release Date: May 14, 2013

The U.S., the U.K., and more recently, the E.U., have proposed policy measures directly targeting complexity and business structures of banks. Unlike other, price-based reforms (e.g., Basel 3 and G-SIFI surcharges), these proposals have been developed unilaterally with material differences in scope,...
by
Language: English
Release Date: December 15, 1994

This book, edited by Bruce J. Summers, makes a practical contribution to increased understanding of payment system design and management and of the relationship between the payment system and monetary policy. the authors of the 12 papers included in the book are central banking experts from around the...

Peru

Staying the Course of Economic Success

by Alejandro Werner, Alejandro Santos
Language: English
Release Date: September 16, 2015

Peru stands out among Latin American countries as an example of successful economic reforms over the past decade. This comprehensive look at Peru's economy traces that country's journey from a debt crisis in the 1980s to having buffers in place that allowed it to emerge unscathed from the global financial...
by Alfred Mr. Schipke, Dominique Mr. Desruelle
Language: English
Release Date: June 13, 2007

How to entrench hard-won gains, increase resilience to shocks, and improve growth performance to reduce poverty? As Central America moves forward in regaining macroeconomic stability, these are the challenges. This study analyzes Central America’s real, fiscal, monetary, and financial sector policies...
by Gaston Mr. Gelos
Language: English
Release Date: March 27, 2014

How has Latin America coped with external shocks and economic vulnerabilities in the aftermath of the global financial crisis? Managing Economic Volatility in Latin America looks at how the region has fared in recent years in an environment of uncertainty. It presents a collection of novel contributions...
by G. Mr. Kincaid, Charles Mr. Collyns
Language: English
Release Date: April 10, 2003

This paper seeks to draw lessons from the IMF’s experience in handling financial crises around the globe over the past ten years that are relevant to the challenges faced by countries in Latin America, especially in the wake of the recent crisis in Argentina. Experience suggests that there is no quick...
by Paolo Mr. Mauro, Mark Mr. Horton, Manmohan Mr. Kumar
Language: English
Release Date: July 30, 2009

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