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Bank of England Quarterly Bulletin
2009 - 2013
Edited by Lindsey Fowler
from Bank of England Publications Group Bank of England Threadneedle Street London EC2R 8AH. Contact information at EDIRC . Series data maintained by Publications Group ().
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Volume 53, issue 1 , 2013
Markets and operations 2013 Q1 pp. 6-18
Thomas Belsham
Changes to the Bank of England pp. 20-28
Emma Murphy and Stephen Senior
The profile of cash transfers between the Asset Purchase Facility and Her Majesty’s Treasury pp. 29-37
Nick McLaren and Tom Smith
Private equity and financial stability pp. 38-47
David Gregory
Commercial property and financial stability pp. 48-58
James Benford and Oliver Burrows
The Agents’ company visit scores pp. 59-67
Jon Relleen , David Copple , Matthew Corder and Nicholas Fawcett
The Bank of England Bank Liabilities Survey pp. 68-76
Venetia Bell , Nick Butt and James Talbot
Monetary Policy Roundtable pp. 80-82
Bank of England
Volume 52, issue 4 , 2012
Markets and operations 2012 Q4 pp. 290-303
Ben Westwood and Thomas Belsham
The Funding for Lending Scheme pp. 306-320
Rohan Churm , Amar Radia , Jeremy Leake , Sylaja Srinivasan and Rishard Whisker
What can the money data tell us about the impact of QE? pp. 321-331
Nicholas Butt , Silvia Domit , Michael McLeay , Ryland Thomas and Lewis Kirkham
Influences on household spending: evidence from the 2012 NMG Consulting survey pp. 332-342
Philip Bunn , Jeanne Le Roux , Robert Johnson and Michael McLeay
The role of designated market makers in the new trading landscape pp. 343-353
Evangelos Benos and Anne Wetherilt
The Prudential Regulation Authority pp. 354-362
Andrew Bailey , Sarah Breeden and Gregory Stevens
Volume 52, issue 3 , 2012
Markets and operations: 2012 Q3 pp. 186-201
Bank of England Bank of England
RAMSI: a top-down stress-testing model developed at the Bank of England pp. 204-212
Oliver Burrows , David Learmonth , jack McKeown and Richard Williams
What accounts for the fall in UK ten-year government bond yields? pp. 213-223
Rodrigo Guimarães
Option-implied probability distributions for future inflation pp. 224-234
Tom Smith
The Bank of England’s Real-Time Gross Settlement infrastructure pp. 234-243
Andrew Dent and Will Dison
The distributional effects of asset purchases pp. 254-266
Bank of England Bank of England
Monetary Policy Roundtable pp. 267-269
Bank of England Bank of England
Volume 52, issue 2 , 2012
Markets and operations: 2012 Q2 pp. 100-112
Ben Westwood and Olaf Weeken
How has the risk to inflation from inflation expectations evolved? pp. 114-123
Rashmi Harimohan
Public attitudes to monetary policy and satisfaction with the Bank pp. 124-128
Rashmi Harimohan and Rosey Jeffery
Using changes in auction maturity sectors to help identify the impact of QE on gilt yields pp. 129-137
Ryan Banerjee and Nick McLaren
UK labour productivity since the onset of the crisis — an international and historical perspective pp. 138-146
Abigail Hughes and Jumana Saleheen
Considering the continuity of payments for customers in a bank’s recovery or resolution pp. 147-153
Emma Carter
A review of the work of the London Foreign Exchange Joint Standing Committee in 2011 pp. 160-162
Bank of England
Volume 52, issue 1 , 2012
Markets and operations: 2012 Q1 pp. 6-18
Richard Windram and Olaf Weeken
What might be driving the need to rebalance in the United Kingdom? pp. 20-30
Stuart Berry , Matthew Corder and Richard Williams
Agents’ Special Surveys since the start of the financial crisis pp. 31-38
Thomas Belsham , Simon Caunt and Iain Duff
What can the oil futures curve tell us about the outlook for oil prices? pp. 39-47
Dan Nixon and Tom Smith
Quantitative easing and other unconventional monetary policies: Bank of England conference summary pp. 48-56
Michael Joyce
The Bank of England’s Special Liquidity Scheme pp. 57-66
Sarah John , Matt Roberts and Olaf Weeken
Monetary Policy Roundtable pp. 78-80
Lindsey Fowler
Volume 51, issue 4 , 2011
Markets and operations: 2011 Q4 pp. 280-291
Richard Windram and Olaf Weeken
Understanding recent developments in UK external trade pp. 294-304
Kishore Kamath and Varun Paul
The financial position of British households: evidence from the 2011 NMG Consulting survey pp. 305-318
Kishore Kamath , Kate Reinold , Mette Nielsen and Amar Radia
Going public: UK companies’ use of capital markets pp. 319-330
Aashish Pattani , Giuseppe Vera and James Wackett
Trading models and liquidity provision in OTC derivatives markets pp. 331-340
Nick Smyth and Anne Wetherilt
Volume 51, issue 3 , 2011
Markets and operations: 2011 Q3 pp. 184-198
Olaf Weeken
The United Kingdom’s quantitative easing policy: design, operation and impact pp. 200-212
Michael Joyce , Matthew Tong and Robert Woods
Bank resolution and safeguarding the creditors left behind pp. 213-223
Geoffrey Davies and Marc Dobler
Developments in the global securities lending market pp. 224-233
Matthew Dive , Ronan Hodge , Catrin Jones and James Purchase
Measuring financial sector output and its contribution to UK GDP pp. 234-246
Stephen Burgess
The Money Market Liaison Group Sterling Money Market Survey pp. 247-252
Ben Westwood
Monetary Policy Roundtable pp. 258-260
MA Publications
Volume 51, issue 2 , 2011
Markets and operations: 2011 Q2 pp. 86-98
Richard Windram and Olaf Weeken
Assessing the risk to inflation from inflation expectations pp. 100-110
Clare Macallan , Tim Taylor and O'Grady, Tom
International evidence on inflation expectations during Sustained Off-Target Inflation episodes pp. 111-115
Matthew Corder and Daniel Eckloff
Public attitudes to monetary policy and satisfaction with the Bank pp. 116-118
Sally Hills and Clare Macallan
The use of foreign exchange markets by non-banks pp. 119-126
O'Connor, James , James Wackett and Robert Zammit
Housing equity withdrawal since the financial crisis pp. 127-133
Kate Reinold
Using internet search data as economic indicators pp. 134-140
Nick McLaren and Rachana Shanbhogue
A review of the work of the London Foreign Exchange Joint Standing Committee in 2010 pp. 158-162
Lindsey Fowler
Volume 51, issue 1 , 2011
Markets and operations: 2011 Q1 pp. 6-19
Richard Windram and Olaf Weeken
Understanding the recent weakness in broad money growth pp. 22-35
Jonathan Bridges , Neil Rossiter and Ryland Thomas
Understanding labour force participation in the United Kingdom pp. 36-42
Andrew Benito and Philip Bunn
Global imbalances: the perspective of the Bank of England pp. 43-48
Mervyn King
China's changing growth pattern pp. 49-56
Ed Dew , Jeremy Martin , Julia V. Giese and Gabriele Zinna
Monetary Policy Roundtable pp. 64-66
Karen Mayhew