BIS Quarterly Review
2000 - 2025
Current editor(s): Christian Upper
From Bank for International Settlements
Contact information at EDIRC.
Bibliographic data for series maintained by Martin Fessler ().
Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
2002, month December
- Assessing the risk of banking crises

- Claudio Borio and Philip Lowe
- Settlement risk in foreign exchange markets and CLS Bank

- Gabriele Galati
- Interest rate risk and bank net interest margins

- William B English
- Integrating the finances of East Asia

- Robert McCauley, San-Sau Fung and Blaise Gadanecz
2002, month September
- Housing markets and economic growth: lessons from the US refinancing boom

- Akash Deep and Dietrich Domanski
- Explaining changes in house prices

- Gregory D Sutton
- The case of the missing commercial real estate cycle

- Haibin Zhu
- Rising foreign currency liquidity of banks in China

- Guonan Ma and Robert McCauley
2002, month June
- The changing information content of market interest rates

- Vincent Reinhart and Brian Sack
- What's behind the liquidity spread? On-the-run and off-the-run US Treasuries in autumn 1998

- Craig H Furfine and Eli Remolona
- Positive feedback trading in the US Treasurey market

- Benjamin Cohen and Hyun Song Shin
2002, month March
- Globalising international banking

- Robert McCauley, Judith S Ruud and Philip Wooldridge
- International bank lending to emerging market countries: explaining the 1990s roller coaster

- Serge Jeanneau and Marian Micu
- Do syndicated credits anticipate BIS consolidated banking data?

- Blaise Gadanecz and Karsten von Kleist
- Uses of the BIS statistics: an introduction

- Philip Wooldridge
2001, month December
- Why has global FX turnover declined? Explaining the 2001 triennial survey

- Gabriele Galati
- The emergence of new benchmark yield curves

- Philip Wooldridge
- The impact of transatlantic M&A activity on the dollar/euro exchange rate

- Ingo Fender and Gabriele Galati
2001, month September
- To provision or not to provision

- Claudio Borio and Philip Lowe
- Analysing the growth of Taiwanese deposits in foreign currency

- Ben Fung and Robert McCauley
- Collateral in wholesale financial markets

- Dietrich Domanski and Uwe Neumann
2001, month June
- Is there a "Nasdaq effect" in emerging equity markets?

- Jeffery D Amato and Kostas Tsatsaronis
- Do macro announcements still drive the US bond market?

- Craig H Furfine
- Stress testing in practive: a survey of 43 major financial institutions

- Ingo Fender and Michael S Gibson
2001, month March
- Benchmark tipping in the money and bond markets

- Robert McCauley
- Implementing international standards for stronger financial systems

- Kate Langdon
2000, month November
- Market liquidity and stress: selected issues and policy implications

- Claudio Borio
- Size and liquidity of government bond markets

- Robert McCauley and Eli Remolona
- Hedge funds

- Kostas Tsatsaronis
2000, month August
- The co-movement of US stock markets and the dollar pp. 31-34

- Henri J Bernard and Gabriele Galati
- Foreign currency deposits of firms and individuals with banks in China

- Robert McCauley and Mo Yk
2000, month June
- Evaluating changes in correlations during periods of high market volatility pp. 29-36

- Mico Loretan and William B English
2000, month February
- A look at trading volumes in the euro pp. 33-35

- Florence Béranger and Gabriele Galati