Spain : financial system stability assessment / prepared by the Monetary and Capital Markets and European Departments.

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.

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Bibliographic Details
Corporate Authors: International Monetary Fund. Monetary and Capital Markets Department, International Monetary Fund. European Department
Format: eBook
Language:English
Published: Washington, D.C. : International Monetary Fund, ©2012.
Series:IMF country report ; no. 12/137.
Subjects:
Online Access:Click for online access

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245 0 0 |a Spain :  |b financial system stability assessment /  |c prepared by the Monetary and Capital Markets and European Departments. 
260 |a Washington, D.C. :  |b International Monetary Fund,  |c ©2012. 
300 |a 1 online resource (77 pages) :  |b color illustrations 
336 |a text  |b txt  |2 rdacontent 
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490 1 |a IMF country report,  |x 2227-8907 ;  |v no. 12/137 
500 |a Title from PDF title page (IMF Web site, viewed July 2, 2012). 
500 |a "May 30, 2012." 
504 |a Includes bibliographical references. 
520 |a 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. 
505 0 |a Cover; Contents; Glossary; A; B; C; D; E; F; G; H; I; L; M; N; P; R; S; T; W; Executive Summary; Figures; 1. The Consolidation of the Banking Sector; Tables; 1. High Priority Recommendations; I. Introduction; II. Risks and Vulnerabilities in the Banking Sector; A. The Condition of the Financial Sector; B. Risks and Vulnerabilities; C.A Comprehensive Strategy to Address the Remaining Vulnerabilities; III. Strengthening the Supervision of the Financial Sector; A. Microprudential and Macroprudential Regulatory Infrastructure; B. Assessment of the Oversight Framework. 
505 8 |a C. Regulation and Supervision of the Banking SectorD. Supervision of Financial Market Infrastructures; E. Supervision of the Insurance Sector; F. Regulation of Securities Markets; IV. Crisis Management and Resolution; V. Anti-Money Laundering and Combating the Financing of Terrorism (AML/CFT); Boxes; 1. Sensitivity and Scenario Analyses of Household and Corporate Indebtedness; 2. Market Estimates of Bank Recapitalization Needs; 3. Analysis of Spillover Risk into the Domestic Banking System; 4. Covered Bond Markets; 2. Economic Developments. 
505 8 |a 3. Market Shares of Credit Institutions as of End-20104. Structure of the Financial Sector; 5. Exposure of Credit Institutions to the Property Sector; 6. Sovereign Debt; 7. Banking Sector Developments; 8. Financial Market Indicators; 9. Banks' Plans for Complying with the Provisioning Requirements of Royal Decree Law 02/2012; 10. Interest Rates and Household Loans; 11. Macro Scenarios for the Solvency Stress Testing Exercise; 12. Overview of the Spain FSAP Update Stress Testing Exercise; 13. Banks' Foreign Exposures; 14. Structured Finance Market; 2. Main Economic Indicators. 
505 8 |a 3. Support Measures for the Financial Sector4. Selected Financial Soundness Indicators for the Banking Sector; 5. Overview of Diagnostics and Stress Test Sample, as at End-2011; 6. Bank Profitability and Financial Soundness; 7. Funding Liquidity Sources of the Banking Sector; 8. Financial Soundness Indicators of the Non-banking Sectors; 9. Macroeconomic Scenarios for Solvency Stress Tests; 10. Solvency Stress Test Results, with RDL 02/2012 and RDL 18/2012Impact; 11. BdE Top Down Stress Test Results by Bank Grouping (Incorporating New Provisioning Requirements). 
505 8 |a 12. Joint Market-Implied Expected Losses Below13. Reverse Stress Tests of Liquidity Risk-5- and 30-Day Implied Cash Flow Analysis; 14. Liquidity Stress Test-Quasi-Basel III and Maturity Mismatch Analysis; Appendices; I. Risk Assessment Matrix; II. Stress Test Matrices; Appendix Tables; 15. Summary of Banking Sector Stress Tests: Solvency Risks; 16. Summary of Banking Sector Stress Tests: Detailed Assumptions for Testing Solvency Risk; 17. Summary of Banking Sector Stress Tests: Liquidity Risk; III. Details of Solvency Stress Test Methodologies and Assumptions. 
650 0 |a Financial crises  |z Spain. 
650 0 |a Banks and banking  |x State supervision  |z Spain. 
650 0 |a Insurance  |x State supervision  |z Spain. 
650 0 |a Securities  |x State supervision  |z Spain. 
650 0 |a Debt  |z Spain. 
650 0 |a Debts, External  |z Spain. 
650 0 |a Economic indicators  |z Spain. 
650 7 |a Banks and banking  |x State supervision  |2 fast 
650 7 |a Debt  |2 fast 
650 7 |a Debts, External  |2 fast 
650 7 |a Economic indicators  |2 fast 
650 7 |a Financial crises  |2 fast 
650 7 |a Insurance  |x State supervision  |2 fast 
650 7 |a Securities  |x State supervision  |2 fast 
651 7 |a Spain  |2 fast  |1 https://id.oclc.org/worldcat/entity/E39PBJqFTrvj6Mhw6JfTGmqJDq 
710 2 |a International Monetary Fund.  |b Monetary and Capital Markets Department. 
710 2 |a International Monetary Fund.  |b European Department. 
776 0 |z 9781475504231 
776 0 |z 9781475565454 
830 0 |a IMF country report ;  |v no. 12/137. 
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