1.

Record Nr.

UNINA9910464054503321

Titolo

The Republic of Kazakhstan : financial system stability assessment / / International Monetary Fund

Pubbl/distr/stampa

Washington, District of Columbia : , : International Monetary Fund, , 2014

©2014

ISBN

1-4983-2861-X

1-4843-8470-9

1-4983-7236-8

Descrizione fisica

1 online resource (96 p.)

Collana

IMF Country Report ; ; Number 14/258

Disciplina

332.110958705

Soggetti

Banks and banking - Kazakhstan

Finance - Kazakhstan

Electronic books.

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia

Note generali

Description based upon print version of record.

Nota di contenuto

Cover; CONTENTS; Glossary; EXECUTIVE SUMMARY; TABLES; 1. FSAP Key Recommendations; MACRO-FINANCIAL SETTING AND FINANCIAL SECTOR OVERVIEW; A. Unbalanced Economic Growth and Financial Vulnerabilities; FIGURES; 1. Distribution of Loans and NPLs; 2. The Aftermath of the Crisis; B. Financial System Structure; 3. Structure of the Financial System; FINANCIAL SECTOR RISKS AND RESILIENCE: RECOVERY FROM THE CRISIS IS NOT YET COMPLETE; A. Banking Sector; 4: Credit Real Growth; 5. Dollarization and Wholesale Funding; 6. Macrofinancial Baseline and Stress Scenarios; 7. Scenario Solvency Risk Results

8. Solvency Risk: Sensitivity Analyses 9. Liquidity Risk: Scenario Analyses; B. Insurance and Pensions; BOLSTERING THE FINANCIAL SAFETY NET; A. Weak Systemic Liquidity Management in Normal Times; B. Untested Crisis Management Framework; C. Crisis Preparedness Framework; DELINQUENCY MANAGEMENT AND RESOLUTION OF NPLS: SOLVING THE LEGACY PROBLEM; A. Slow Progress Resolving NPLs; B. A Multi-Track Approach to Resolve the NPLs Universe; STRENGTHENING



FINANCIAL SECTOR OVERSIGHT: AVOIDING ANOTHER SURGE IN BAD LOANS; A. Bank Regulation: Achieving Better Implementation

B. Insurance Sector: Stronger Prudential Requirements and Reinsurance Supervision C. NBK Management of Pensions: Sound Investment Practices are Key; D. Securities Markets: Reducing Uncertainty and Mitigating Mispricing and Reputational Risks; E. Financial Market Infrastructure: Addressing Gaps in Risk Management; 10. Economic Developments; 11. Banking Sector Developments; 12. Capital Markets and Expected Default Frequencies; 13. Monetary and External Sector Developments; 14. Key Financial Soundness Indicators-Cross-Country Comparison; 2. Selected Economic Indicators, 2010-2019

3. Financial System Structure, 2005-134. Financial Soundness Indicators of the Banking System, 2008-2013; 5. Financial Soundness Indicators of the Non-Banking System, 2005-2013; APPENDICES; I. List of Recent Macroprudential Policy Measures; II. Funded Pension System; III. Risk Assessment Matrix; IV. Macroeconomic Scenarios; V. Report on the Observance of Standards and Codes: Basel Core Principles-Summary Assessment