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Government debt management and monetary policy in Britain since 1919 , pp 15-50
William A Allen
Weathering financial crisis: domestic bond markets in EMEs , pp 15-34
Philip Turner
Inflation targeting in hard times , pp 15-18
Guillermo A. Calvo
Challenges for the design and conduct of macroprudential policy , pp 16-28
Stefan Ingves
Asian financial cooperation as seen from Europe , pp 16-18
Gunter D Baer
Has globalisation reduced monetary policy independence? , pp 17-58
Madhusudan Mohanty and Michela Scatigna
Opening remarks , pp 17-20
Jaime Caruana
Banks and the changing nature of risks in Latin America and the Caribbean , pp 17-32
Camilo Ernesto Tovar
Opening speech to "Household debt: implications for monetary policy and financial stability" , pp 17-18
Robert Neil McCauley
Capital account management and its outlook in China , pp 19-24
Zhang Xiaopu
Welcome remarks , pp 19-24
Andrew Felton and Joseph B Nichols
Motivations for swap-covered foreign currency borrowing , pp 19-56
Anella Munro and Philip Wooldridge
Household debt in Australia , pp 19-30
Michael Davies
Managing foreign exchange reserves in the crisis and after , pp 19-47
Robert Neil McCauley and Jean-François Rigaudy
Developing the bond market(s) of East Asia: global, regional or national? , pp 19-39
Robert Neil McCauley and Yung-Chul Park
Governance aspects of foreign exchange interventions , pp 19-39
Paul Moser-Boehm
Lessons on the "impossible trinity" , pp 19-21
Ramon Moreno
The international financial crisis: timeline, impact and policy responses in Asia and the Pacific , pp 21-82
Andrew Filardo , Jason George , Mico Loretan , Guonan Ma , Anella Munro , Ilhyock Shim , Philip Wooldridge , James Yetman and Haibin Zhu
Financial behaviour of Dutch households: analysis of the DNB Household Survey 2003 , pp 21-39
P J A van Els , Jan Willem van den End and Maarten van Rooij
Central bank governance and financial stability: issues of potential relevance to Africa , pp 21-36
Serge Jeanneau
Central banks and the financial crisis , pp 21-25
Philip Turner
Overview , pp 21-27
Usha Thorat
Why a corporate bond market: growth and direct finance , pp 22-23
Marvin Goodfriend
Capital controls: what have we learned? , pp 22-26
Charles Engel
The main features of the monetary policy frameworks of the Bank of Japan, the Federal Reserve and the Eurosystem , pp 23-56
Denis Blenck , Harri Hasko , Spence Hilton and Kazuhiro Masaki
How important are inflation expectations in driving Asian inflation? , pp 23-24
Diwa Guinigundo
Developing multiple layers of financial intermediation: the complementary roles of corporate bond markets and banks , pp 24-30
Suresh Sundaresan
Discussant remarks on Andrew Felton and Joseph B Nichols’ paper Commercial real estate loan performance at failed US banks , pp 25-28
Ilhyock Shim
Opening China’s capital account amid ample dollar liquidity , pp 25-34
Guonan Ma and Robert Neil McCauley
Monetary policy implementation in China , pp 25-39
Marvin Goodfriend and Eswar Prasad
Forecast disagreement and the anchoring of inflation expectations in the Asia-Pacific Region , pp 25-40
Pierre L Siklos
Implications of declining government debt for financial markets and monetary operations in Australia , pp 25-42
Malcolm Edey and Luci Ellis
E-finance and the politics of transitions , pp 26-29
Steve Weber and John Zysman
Financial stability in a crisis: What is the role of the central bank? , pp 27-30
Vittorio Corbo
Global imbalances and the emergence of Asia , pp 27-50
Palle S Andersen
Policy space and the changing paradigm in conducting macroeconomic policies in developing countries , pp 28-45
José Antonio Ocampo and Rob Vos
Productivity growth and prices in Canada: what can we learn from the US experience? , pp 29-48
Tiff Macklemr and James Yetman
House prices from magazines, realtors,and the Land Registry , pp 29-38
Chihiro Shimizu , Kiyohiko G Nishimura and Tsutomu Watanabe1
Financial sector regulation and macroeconomic policy , pp 29-37
YV Reddy
Systemic risk measures: the simpler the better? , pp 29-35
María Rodríguez-Moreno and Juan Ignacio Peña
Housing price bubbles - a tale based on housing price booms and busts , pp 30-41
Thomas F Helbling
Capital, carry, & complacency: key developments in the financial landscape – dynamics of the foreign exchange market and capital flows , pp 30-47
Brendan Fitzsimmons
Electronic trading and its implications for financial systems , pp 30-52
Helen Allen , John Hawkins and Setsuya Sato
Information flows during the Asian crisis: evidence from closed-end funds , pp 30-75
Benjamin H Cohen and Eli M Remolona
Expanding central bank balance sheets in emerging Asia: a compendium of risk and some evidence , pp 30-75
David Edward Cook and James Yetman
Domestic bank intermediation in emerging market economies during the crisis: locally owned versus foreign-owned banks , pp 31-48
Dubravko Mihaljek
Corporate bond market microstructure and transparency - the US experience , pp 31-38
Amy Kathryn Edwards
Developments of domestic government bond markets in EMEs and their implications , pp 31-50
Aaron Nikolai Mehrotra , Ken Miyajima and Agustin Villar
Central bank responses to financial crises , pp 31-34
Michael Dooley
Structural transformation of financial systems and its implications for monetary policy in Latin America and the Caribbean , pp 33-51
Camilo Ernesto Tovar