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Publication

IMF Global Financial Stability Report

IMF macro-financial diagnosis of systemic risk, market stress and cross-border spillovers, updated twice yearly

imf.org

The Global Financial Stability Report is the IMF’s twice-yearly assessment of vulnerabilities across banking, sovereign debt, capital markets and financial plumbing. For India, it is valuable for monitoring how global liquidity cycles, dollar funding stress, and sovereign risk pricing transmit into domestic credit conditions and fiscal stability. It is especially useful when a non-technical advocacy team needs a credible source for policy briefs on financial resilience and macroprudential risk. The publication is text-heavy but provides clear charts and official scenario framing for researchers comparing India with emerging market peers.

Details

Run by
Multilateral
Where
Global, India
Licence
Licence unclear
Cost
Free