Financial Stability Review
2002 - 2021
From Banque de France
Banque de France 31 Rue Croix des Petits Champs LABOLOG - 49-1404 75049 PARIS.
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2009, month September
- The shadow banking system: implications for fi nancial regulation pp. 1-10

- Tobias Adrian and Hyun Song Shin
- Managing the transition to a safer financial system pp. 11-22

- S C. Bair
- Reform of the global financial architecture: a new social contract between society and finance pp. 23-30

- H. Banziger
- Implementing the macroprudential approach to financial regulation and supervision pp. 31-41

- Claudio Borio
- Minimising the impact of future fi nancial crises: six key elements of regulatory reform we have to get right pp. 43-51

- J. Caruana
- On the efficacy of financial regulations pp. 53-63

- Jon Danielsson
- The treatment of distressed banks pp. 65-74

- Mathias Dewatripont and Jean Rochet
- Credit default swaps and financial stability: risks and regulatory issues pp. 75-88

- Anne Duquerroy, N. Gauthier and Mathieu Gex
- The future of financial regulation pp. 89-96

- Jp. Jouyet
- The future of financial regulation: an exchange of views pp. 97-102

- Anil Kashyap
- Emerging contours of financial regulation: challenges and dynamics pp. 103-116

- R. Mohan
- Regulation-supervision: the post-crisis outlook pp. 117-122

- G. Pauget
- Beyond the crisis: the Basel Committee’s strategic response pp. 123-132

- N. Wellink
2008, month October
- Should financial institutions mark-to-market? pp. 1-6

- Franklin Allen and Elena Carletti
- Setting the right framework for modern financial markets – Lessons learned from the recent crisis pp. 7-14

- H. Banziger
- Revisiting valuation practices throughout the business cycle: some symmetry is needed pp. 15-22

- J. Caruana and C. Pazarbasioglu
- Valuation and fundamentals pp. 23-37

- Laurent Clerc
- Taking into account extreme events in European option pricing pp. 39-51

- Julien Idier, Caroline Jardet, Gaelle Le Fol, Alain Monfort and J. Pegoraro
- Fair value accounting and financial stability: challenges and dynamics pp. 53-63

- S. Matherat
- How should we respond to asset price bubbles? pp. 65-74

- Frederic Mishkin
- Regulation, valuation and systemic liquidity pp. 75-83

- A D. Persaud
- Fair value accounting and financial stability pp. 85-94

- Guillaume Plantin, H. Sapra and Hyun Song Shin
- Procyclicality of financial systems: is there a need to modify current accounting and regulatory rules? pp. 95-99

- Jean Rochet
- Valuation in insurance and financial crisis pp. 101-113

- P. Trainar
- Bringing transparency to financial reporting: towards an improved accounting framework in the aftermath of the credit crisis pp. 115-120

- D. Tweedie
- Improving fair value accounting pp. 121-130

- J. Viñals
2008, month February
- Liquidity and financial contagion pp. 1-7

- Tobias Adrian and Hyun Song Shin
- Musical chairs: a comment on the credit crisis pp. 9-11

- Ricardo Caballero and Arvind Krishnamurthy
- Market liquidity and financial stability pp. 13-17

- A. Crockett
- Ten questions about the subprime crisis pp. 19-28

- Barry Eichengreen
- What happened to risk dispersion? pp. 29-38

- P R. Fisher
- Liquidity risk management pp. 39-44

- C. Goodhart
- Liquidity regulation and the lender of last resort pp. 45-52

- Jean Rochet
- Liquidity shortages: theoretical underpinnings pp. 53-63

- Jean Tirole
- Liquidity in global markets pp. 65-74

- J. Caruana and L. Kodres
- The impact on financial market liquidity of the markets in financial instruments directive (MiFID) pp. 75-94

- Frédéric Cherbonnier and S. Vandelanoite
- Market liquidity and banking liquidity: linkages, vulnerabilities and the role of disclosure pp. 95-109

- P. Praet and V. Herzberg
- Liquid assets, liquidity constraints and global imbalances pp. 111-122

- A. Baclet and Edouard Vidon
- Financial innovation and the liquidity frontier pp. 123-131

- A. Bervas
- Financial market liquidity and the lender of last resort pp. 133-148

- Christian Ewerhart and Natacha Valla
- Recent developments in intraday liquidity in payment and settlement systems pp. 149-163

- F. Hervo
2007, month April
- Hedge funds, credit risk transfer and financial stability pp. 7-17

- R T. Cole, Feldberg G. and D. Lynch
- The evolution and regulation of hedge funds pp. 19-28

- A. Crockett
- Regulating hedge funds pp. 29-36

- Jon Danielsson and Jp. Zigrand
- Hedge funds and financial stability pp. 37-43

- J M. Draghi
- Hedge funds and systemic risk pp. 45-54

- R. Ferguson and D. Laster
- Hedge fund replication strategies: implications for investors and regulators pp. 55-66

- W. Fung and D A. Hsieh
- Hedge funds and prime broker dealers: steps towards a “best practice proposal” pp. 67-76

- P M. Hildebrandfung
- Transparency requirements and hedge funds pp. 77-83

- C. McCarthy
- Risks and return of banking activities related to hedge funds pp. 85-94

- J P. Mustiers and A. Dubois
- Indirect supervision of hedge funds pp. 95-104

- D. Nouy
- Hedge funds: what are the main issues? pp. 105-111

- C. Noyer
- Monitoring hedge funds: a fi nancial stability perspective pp. 113-125

- L D. Papademos
- The world of hedge funds: prejudice and reality – The AMF’s contribution to the debate on alternative investment strategies pp. 127-135

- M. Prada
- Financial conditions, alternative asset management and political risks: trying to make sense of our times pp. 137-142

- Raghuram Rajan
- Hedge funds in emerging markets pp. 143-150

- W A. Ryback
- Fund of hedge funds: origins, role and future pp. 151-160

- P. Stevenson
- Hedge funds: a central bank perspective pp. 161-168

- A A. Weber