Malaysia : financial sector assessment program ; financial sector performance, vulnerabilities and derivatives ; technical note
[International Monetary Fund, Monetary and Capital Markets Department]
This Technical Note focuses on financial sector performance, vulnerabilities, and derivatives in Malaysia. The note highlights that banking sector has undergone consolidation while competition has increased following measures implemented under the Financial Sector Master Plan 2001-2010. Malaysian banks are presently well capitalized with comfortable Tier 1 capital ratios. Stronger financial positions and risk management capability have enabled domestic banking groups to pursue overseas expansions, mostly within the region. The importance to some banks of overseas assets and earnings is reaching levels which, based on international experience, warrant a review of internal controls
Year of publication: |
2014
|
---|---|
Institutions: | Internationaler Währungsfonds / Monetary and Capital Markets Department (contributor) |
Publisher: |
Washington, D.C : International Monetary Fund |
Subject: | Finanzsektor | Financial sector | Performance-Messung | Performance measurement | Terminmarkt | Derivatives market | Malaysia |
Saved in:
freely available
Extent: | Online-Ressource (55 p) |
---|---|
Series: | IMF staff country report. - Washington, DC : IMF, ZDB-ID 2390613-3. - Vol. Country Report No. 14/98 |
Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Graue Literatur ; Non-commercial literature |
Language: | English |
ISBN: | 1-4843-5260-2 ; 978-1-4843-5260-1 |
Other identifiers: | 10.5089/9781484352601.002 [DOI] |
Source: | ECONIS - Online Catalogue of the ZBW |
Persistent link: https://www.econbiz.de/10012667442
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