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Financial Stability Reports in Latin America and the Caribbean

Author

Listed:
  • Cheng Hoon Lim
  • Mr. Alexander D Klemm
  • Ms. Sumiko Ogawa
  • Mr. Marco Pani
  • Claudio Visconti

Abstract

Many countries in Latin America and the Caribbean now publish financial stability reports. This study reviews their latest issues to assess their content, quality, and transparency. While some reports provide a strong analysis of risks and vulnerabilities, there are significant cross-country differences, and many reports could be improved by adopting a more comprehensive, forward-looking, and thematic assessment of financial stability. A well thought out communication strategy, including a regular and predictable publication schedule and an easily accessible website, is also important to enhance the impact of the reports. Data gaps, particularly at the disaggregated level, are material and need to be urgently addressed.

Suggested Citation

  • Cheng Hoon Lim & Mr. Alexander D Klemm & Ms. Sumiko Ogawa & Mr. Marco Pani & Claudio Visconti, 2017. "Financial Stability Reports in Latin America and the Caribbean," IMF Working Papers 2017/073, International Monetary Fund.
  • Handle: RePEc:imf:imfwpa:2017/073
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    Cited by:

    1. Juan Francisco Martínez & José Miguel Matus & Daniel Oda, 2018. "Taxonomy of Chilean Financial Fragility Periods from 1975 to 2017," Working Papers Central Bank of Chile 822, Central Bank of Chile.
    2. Marta Cuesta-González & Julie Froud & Daniel Tischer, 2021. "Coalitions and Public Action in the Reshaping of Corporate Responsibility: The Case of the Retail Banking Industry," Journal of Business Ethics, Springer, vol. 173(3), pages 539-558, October.
    3. Pablo García & Bárbara Ulloa, 2017. "Financial Surveillance and Communication: Recent and Future Challenges from the Chilean Experience," Economic Policy Papers Central Bank of Chile 61, Central Bank of Chile.

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    JEL classification:

    • G01 - Financial Economics - - General - - - Financial Crises
    • G18 - Financial Economics - - General Financial Markets - - - Government Policy and Regulation
    • G28 - Financial Economics - - Financial Institutions and Services - - - Government Policy and Regulation

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