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Republic of Slovenia : 2009 Article IV Consultation: Staff Report; Staff Statement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Slovenia.

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Format:
Book
Government document
Author/Creator:
International Monetary Fund.
Contributor:
International Monetary Fund, Contributor.
Series:
IMF Staff Country Reports; Country Report ; No. 2009/161
IMF Staff Country Reports
Language:
English
Physical Description:
1 online resource (52 p.)
Edition:
1st ed.
Place of Publication:
Washington, D.C. : International Monetary Fund, 2009.
Language Note:
English
Summary:
This 2009 Article IV Consultation highlights that inflation and the current account deficit in Slovenia are expected to moderate. The main downward risks to growth are lower-than-projected growth in Europe, and a credit crunch in the event that foreign financing of domestic banks dries up. In the medium term, the main challenge is that the economy needs to emerge from the global crisis on a sustainable growth path. Executive Directors have commended the authorities for their swift and decisive policy responses to slower growth and financial sector strains.
Contents:
Cover; Executive Summary; Contents; I. Context; II. Policy Discussions; Boxes; 1. Effectiveness of Fund Surveillance; A. Outlook; 2. Sectoral Balance Sheets; B. Financial Sector; 3. Financial Measures in Response to the Crisis; C. Fiscal Policy; 4. Fiscal Stimulus Package; D. Structural Issues; 5. Efficiency of Slovenian Banks; III. Staff Appraisal; Figures; 1. Economic Indicators; 2. Short-term Indicators; 3. Labor Market Indicators; 4. CPI Inflation and Components; 5. Fiscal Sector; 6. Monetary Conditions; 7. High-Frequency Financial Indicators; 8. External Sector Developments
9. Financial Soundness Indicators10. Bank Credit to Households and Nonfinancial Corporations in European Emerging Markets; 11. Structural Indicators of the Product Market; Tables; 1. Selected Economic Indicators, 2005-10; 2. Consolidated General Government Operations (cash basis), 2004-10; 3. Balance of Payments, 2005-11; 4. Banking Sector Soundness Indicators, 2004-08; 5. Vulnerability Indicators, 2003-08; 6. Macroeconomic Framework, 2006-14; 7. External Debt Sustainability Framework, 2004-14; 8. Public Sector Debt Sustainability Framework, 2004-14; Contents; I. Fund Relations
II. Statistical Information
Notes:
Description based upon print version of record.
Description based on publisher supplied metadata and other sources.
ISBN:
9786613881939
9781462331130
1462331130
9781452760490
1452760497
9781283569484
1283569485
9781451888041
145188804X
OCLC:
876511820

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