Udaibir Das

International Monetary Fund (IMF)

700 19th Street NW

Washington, DC 20431

United States

SCHOLARLY PAPERS

12

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2,489

SSRN CITATIONS
Rank 25,204

SSRN RANKINGS

Top 25,204

in Total Papers Citations

4

CROSSREF CITATIONS

34

Scholarly Papers (12)

1.

Crisis Prevention and Crisis Management The Role of Regulatory Governance

IMF Working Paper No. 02/163
Number of pages: 68 Posted: 02 Feb 2006
Udaibir Das and Marc Quintyn
International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 438 (81,770)
Citation 1

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Regulatory governance financial sector supervision agency independence accountability transparency integrity financial sector crisis management

Setting Up a Sovereign Wealth Fund: Some Policy and Operational Considerations

IMF Working Paper No. 09/179
Number of pages: 22 Posted: 17 Sep 2009
International Monetary Fund (IMF), International Monetary Fund, International Monetary Fund (IMF) - Policy Development and Review Department and International Monetary Fund (IMF) - International Capital Markets Department
Downloads 231 (162,443)

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Financial assets, Fiscal management, Fiscal policy, Fiscal stability, Investment, Investment policy, Public investment, Public sector savings, Reserves, Reserves adequacy, Sovereign wealth funds, Stabilization funds

Setting Up a Sovereign Wealth Fund: Some Policy and Operational Considerations

IMF WP/09/179
Number of pages: 22 Posted: 19 Oct 2009
International Monetary Fund (IMF), International Monetary Fund, International Monetary Fund (IMF) - Policy Development and Review Department and International Monetary Fund (IMF) - International Capital Markets Department
Downloads 196 (190,030)
Citation 9

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Financial assets, Fiscal management, Fiscal policy, Fiscal stability, Investment, Investment policy, Public investment, Public sector savings, Reserves, Reserves adequacy, Sovereign wealth funds, Stabilization funds

3.

Insurance and Issues in Financial Soundness

IMF Working Paper No. 03/138
Number of pages: 44 Posted: 31 Jan 2006
Udaibir Das, Nigel Davies and Richard Podpiera
International Monetary Fund (IMF), affiliation not provided to SSRN and International Monetary Fund (IMF)
Downloads 372 (98,792)

Abstract:

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insurance, financial stability, soundness indicators

4.

Strategic Considerations for First-Time Sovereign Bond Issuers

IMF Working Paper No. 08/261
Number of pages: 29 Posted: 18 Dec 2008
International Monetary Fund (IMF), International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 211 (177,605)

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International bond markets, Sovereign debt, Debt relief, Debt sustainability, Low-income developing countries, Emerging markets, International capital markets

5.

Sovereign Risk and Asset and Liability Management-Conceptual Issues

IMF Working Paper No. 12/241
Number of pages: 45 Posted: 01 Nov 2012
International Monetary Fund (IMF), International Monetary Fund, International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 190 (195,518)

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Accounting, Asset management, Debt strategy, Financial risk, Risk management, Sovereign debt, Sovereign asset and liability management, sovereign balance sheet, reserve management, debt management

6.

Managing Public Debt and its Financial Stability Implications

IMF Working Paper No. 10/280
Number of pages: 28 Posted: 01 Feb 2011
International Monetary Fund (IMF), International Monetary Fund (IMF), International Monetary Fund (IMF), International Monetary Fund (IMF) - African Department and International Monetary Fund (IMF)
Downloads 190 (195,518)

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Capital markets, Debt management, Debt strategy, Financial instruments, Financial stability, Public debt, Risk management, Sovereign debt

7.

Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets

IMF Working Paper No. 10/10
Number of pages: 39 Posted: 18 Jan 2010
Kiel Institute for the World Economy, International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 161 (225,492)

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Access to capital markets, Capital flows, Corporate sector, Credit risk, Cross country analysis, Emerging markets, External financing, International capital markets, Private sector, Risk management, Sovereign debt

8.

Quality of Financial Policies and Financial System Stress

IMF Working Paper No. 05/173
Number of pages: 49 Posted: 03 Mar 2006
International Monetary Fund (IMF), International Monetary Fund (IMF) - African Department, International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 152 (236,682)

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Financial crises, financial stress, financial policies

9.

Bank Profitability and Financial Stability

IMF Working Paper No. 19/5
Number of pages: 55 Posted: 13 Feb 2019
TengTeng Xu, Kun Hu and Udaibir Das
International Monetary Fund (IMF), University of California, Los Angeles (UCLA) and International Monetary Fund (IMF)
Downloads 102 (318,137)

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Systemic risk, Finanical stability, bank profitability, non-interest income, business model, panel regression, General, Models with Panel Data

Cross-Country and Cross-Sector Analysis of Transparency of Monetary and Financial Policies

IMF Working Paper No. 03/94
Number of pages: 45 Posted: 29 Jan 2006
International Monetary Fund (IMF), International Monetary Fund (IMF) and International Monetary Fund (IMF) - African Department
Downloads 72 (397,306)

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transparency, international financial architecture, standards and codes

Cross-Country and Cross-Sector Analysis of Transparency of Monetary and Financial Policies

IMF Working Paper No. 03/94
Number of pages: 45 Posted: 21 Sep 2011
Plamen Yossifov, Udaibir Das and V. Sundararajan
International Monetary Fund (IMF), International Monetary Fund (IMF) and International Monetary Fund (IMF)
Downloads 30 (578,823)

Abstract:

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Transparency, Standards and codes

11.

Sovereign Risk: A Macro-Financial Perspective

ADBI Working Paper No. 383
Number of pages: 31 Posted: 03 Oct 2012
International Monetary Fund (IMF), International Monetary Fund (IMF) - Policy Development and Review Department and International Monetary Fund (IMF)
Downloads 95 (333,013)
Citation 3

Abstract:

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sovereign risk, default risk, macro-financial dimensions

12.

Macroprudential Stress Tests and Policies: Searching for Robust and Implementable Frameworks

IMF Working Paper No. 18/197
Number of pages: 80 Posted: 16 Oct 2018
London School of Economics & Political Science - Department of Finance, London School of Economics - Systemic Risk Centre, International Monetary Fund (IMF), International Monetary Fund (IMF), International Monetary Fund (IMF) - Monetary and Financial Systems Department and International Monetary Fund (IMF)
Downloads 49 (473,113)
Citation 1

Abstract:

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Financial crises, Systemic risk, Macroprudential Policy, Financial stability, Stress testing, Macroprudential Stress testing, Asset Pricing, Financial Markets and the Macroeconomy, Bayesian Analysis, Semiparametric and Nonparametric Methods, Cross-Sectional Models, Model Evaluation and Testing, Financial Econometrics