International Monetary Fund imprint: 1365 books

by G. Mr. Kincaid, K. Dillon, Maxwell Mr. Watson
Language: English
Release Date: October 31, 1985

This paper, following two earlier studies, reviews the arrangements for restructuring commercial bank and official debt up to early 1985.
by
Language: English
Release Date: February 12, 2001

Since the end of the conflict in Kosovo-a province of Serbia in the Federal Republic of Yugoslavia-in June1999, IMF staff have been providing technical assistance to help the province rebuild its economy. The assistance has focused on setting up taxation and budgetary institutions, a payments and banking...
by Charles Mr. Enoch, Luc Mr. Everaert, Thierry Mr. Tressel
Language: English
Release Date: December 11, 2013

From Fragmentation to Financial Integration in Europe is a comprehensive study of the European Union financial system. It provides an overview of the issues central to securing a safer financial system for the European Union and looks at the responses to the global financial crisis, both at the macro...
by G. Ms. Garcia
Language: English
Release Date: January 1, 2000

by Marc Mr. Quintyn, David Mr. Hoelscher
Language: English
Release Date: August 28, 2003

Recent financial sector crises and their resolution have raised new issues and provided additional experiences to draw on in the future. Banking sector problems in Russia, Turkey, and a few Latin American countries occurred within the context of highly dollarized economies, high levels of sovereign debt,...
by Reint Mr. Gropp, Liam Mr. Ebrill, Janet Ms. Stotsky
Language: English
Release Date: July 22, 1999

The apparent contradiction between trade liberalization and continuing high trade tax revenue raises the important question of how, precisely, the one affects the other. Although policymakers generally recognize the long-term benefits of trade liberalization, some have argued for at least a slower...
by Gary Mr. O'Callaghan
Language: English
Release Date: March 15, 1993

This paper describes the structure of the world gold market, its sources of supply and demand, and how it functions. The paper examines the composition and origin of physical stocks of gold, their flows, and their market destination and also reviews the operation of bullion and paper gold markets.
by Rakia Moalla-Fetini, Shehadah Mr. Hussein, Heikki Hatanpää
Language: English
Release Date: July 13, 2005

This report builds on two previous similar reports from 2001 and 2002-Kosovo: Macroeconomic Issues and Fiscal Sustainability (2001) and Kosovo: Institutions and Policies for Reconstruction and Growth (2002). It is based on work performed during four IMF staff visits spanning a 15-month period from January...
by David Mr. Robinson, David Mr. Owen
Language: English
Release Date: September 9, 2003

Russia Rebounds analyzes Russia’s dramatic economic recovery since the country’s 1998 financial crisis, emphasizing macroeconomic issues and fiscal and banking sector reforms. The crisis was a massive shock to the system and a considerable surprise to both Russians and foreign investors, who a year...
by Malcolm Mr. Knight
Language: English
Release Date: February 5, 1998

Since 1991, the 15 countries under review - have to varying degrees, been pursuing reforms whose broad objectives have been to achieve market-based determination of interest rates and exchange rates, manage banking system liquidity through market operations with indirect instruments, and provide the...
by Jack Mr. Diamond, Barry Mr. Potter
Language: English
Release Date: October 3, 2000

by
Language: English
Release Date: September 12, 1997

Edited by Zubair Iqbal and Ravi Kanbur, this volume consists of papers presented at a joint IMF and World Bank conference on external financing for low-income countries. The primary focus was on the impact of external indebtedness on low-income countries, mainly in sub-Saharan Africa, the HIPC Debt initiative,...
by Sena Ms. Eken, Jörg Mr. Decressin, Filippo Mr. Cartiglia
Language: English
Release Date: December 1, 1995

This paper reviews and analyzes how Morocco overcame the economic and financial crisis it confronted at the beginning of the 1980s. It highlights the challenges that still confront the Moroccan economy and the lessons that can be drawn from Morocco's adjustment experience.
by Taimur Mr. Baig, Jörg Mr. Decressin, Tarhan Mr. Feyzioglu
Language: English
Release Date: June 30, 2003

Deflation can be costly and difficult to anticipate, and concerns of a generalized decline in prices in both industrial and emerging market economies have increased recently. This paper investigates the causes and consequences of deflation, the risk of deflation globally and in individual countries,...
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