Philippines : financial system stability assessment : update /

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Bibliographic Details
Imprint:Washington, D.C. : International Monetary Fund, 2010.
Description:1 online resource (43 pages) : illustrations (some color)
Language:English
Series:IMF country report ; no. 10/90
IMF country report ; no. 10/90.
Subject:
Format: E-Resource Book
URL for this record:http://pi.lib.uchicago.edu/1001/cat/bib/12499742
Hidden Bibliographic Details
Varying Form of Title:Philippines, request for a stand-by arrangement
Other authors / contributors:International Monetary Fund. Monetary and Capital Markets Department.
International Monetary Fund. Asia and Pacific Department.
ISBN:1455271187
9781455271184
1452719136
9781452719139
1283565587
9781283565585
9786613878038
6613878030
1455203491
9781455203499
Notes:Includes bibliographical references.
English.
Print version record.
Summary:Annotation In recent years, the IMF has released a growing number of reports and other documents covering economic and financial developments and trends in member countries. Each report, prepared by a staff team after discussions with government officials, is published at the option of the member country.
Table of Contents:
  • Cover; Contents; Glossary; Executive Summary; I. Macroeconomic and Financial Setting; A. Structure of the Financial Sector; B. Recent Macroeconomic Trends and Outlook; C. The Corporate Sector; II. Banking Sector Stability; A. Key Risks; B. Stress Tests; III. Banking System Safety Nets; A. Bank Rehabilitation and Resolution; B. Deposit Insurance; C. Liquidity and Risk Capital Assistance; D. Crisis Preparedness and Crisis Management Arrangements; IV. Financial Sector Oversight; A. Banking; B. Capital Market; C. Insurance; D. AML-CFT; V. Developmental Issues in Nonbank Sectors.
  • A. Capital MarketsB. Housing Finance; C. Insurance; Tables; 1. Key Recommendations; 2. Financial System Structure; 3. Financial Soundness Indicators; 4. Risk Assessment Matrix; Figures; 1. Credit-to-GDP; 2. Macroeconomic and Financial Market Developments; 3. Corporate Sector Income and Balance Sheet Indicators; 4. Corporate Sector Expected Default Probabilities; 5. Largest Banks' Key Risk Indicators; 6. Thrift, Rural, and Cooperative Banks' Key Risk Indicators; Appendices; I.A Contingent Claims Analysis of Corporate Vulnerabilities; II. Bank Derivatives Activities in the Philippines.