Markets with a view to promoting financial stability as a global public good other components of this broad effort include integrating financial market assessment with the world economic outlookthe world economic and market developments review work on private sector involvement in the resolution of fi. Reviews recent developments in global financial markets and explores the potential market impact of financial imbalances and continued credit quality deterioration it also focuses on the expansion of credit risk transfer mechanisms such as credit derivatives and collateralized debt obligations as a means for distributing credit risks. December 2002 this is the fourth issue of the global financial stability report a quarterly publication launched in march 2002 to provide a regular assessment of global financial markets and to identify potential systemic weaknesses that could lead to crises this report reflects mostly information available up to november 4 2002. This is the second issue of the global financial stability report this particular issue draws in part on a series of informal discussions with commerical investment banks securities firms asset management companies insurance companies pension funds stock and futures exchanges and credit rating agencies in china germany hong kong sar hungary italy japan poland singapore . The global financial stability report gsfr published twice a year by the imf provides timely analysis of developments in mature and emerging market countries and seeks to identify potential fault lines in the global financial system that could lead to crisis the gfsr aims to deepen its readers understanding of global capital flows which play a critical role as an engine of world
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