Marrying the macro- and micro-prudential dimensions of financial stability
Bank for International Settlements
No 1 in BIS Papers from Bank for International Settlements
Date: 2001 Written 2001-03
ISBN: 92-9131-615-6
References: View references in EconPapers View complete reference list from CitEc
Citations: View citations in EconPapers (16)
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Chapters in this book:
- Procyclicality of the financial system and financial stability: issues and policy options , pp 1-57

- Claudio Borio, Craig Furfine and Philip Lowe
- Cyclical prudence - credit cycles in Australia , pp 58-90

- Christopher Kent and Patrick D'Arcy
- The influence of macroeconomic developments on Austrian banks: implications for banking supervision , pp 91-116

- Markus Arpa, Irene Giulini, Andreas Ittner and Franz Pauer
- Monitoring the macroeconomic determinants of banking system stability , pp 117-137

- Thierry Timmermans
- Assessing financial system stability, efficiency and structure at the Bank of England , pp 138-159

- Andrew Haldane, Glenn Hoggarth and Victoria Saporta
- Financial stability analysis using aggregated data , pp 160-185

- Benjamin Sahel and Jukka Vesala
- Financial stability analysis at the Bank of Finland , pp 186-196

- Kimmo Virolainen
- To what extent are prudential and accounting arrangements pro- or countercyclical with respect to overall financial conditions? , pp 197-210

- Laurent Clerc, Françoise Drumetz and Olivier Jaudoin
- Estimating bilateral exposures in the German interbank market: is there a danger of contagion? , pp 211-229

- Christian Upper and Andreas Worms
- Marrying the micro- and macro-prudential dimensions of financial stability - the Hong Kong experience , pp 230-240

- Eddie Yue
- Crises and contagion: the role of the banking system , pp 241-260

- Massimo Sbracia and Andrea Zaghini
- Asset prices, financial stability and monetary policy: based on Japan’s experience of the asset price bubble , pp 261-284

- Shigenori Shiratsuka
- Prudential regulation of foreign exchange: the Mexican experience , pp 285-300

- Pascual O’Dogherty and Moisés J Schwartz
- News filtering, financial instability and the euro , pp 301-310

- Henriëtte Prast and Marc de Vor
- A model based approach to analysing financial stability , pp 311-330

- Øyvind Eitrheim and Bjarne Gulbrandsen
- Credit growth, problem loans and credit risk provisioning in Spain , pp 331-353

- Santiago Fernández de Lis, Jorge Martínez Pagés and Jesús Saurina
- The cost of a guarantee for bank liabilities: revisiting Merton , pp 354-366

- Christian Braun
- Pragmatic monitoring of financial stability , pp 367-384

- William Nelson and Wayne Passmore
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Persistent link: https://EconPapers.repec.org/RePEc:bis:bisbps:01
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