IFC Bulletins chapters
From Bank for International Settlements Contact information at EDIRC. Bibliographic data for series maintained by Martin Fessler (). Access Statistics for this chapter series.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
- Nowcasting and monitoring Israeli real economic activity

- Tim Ginker and Tanya Suhoy
- Nowcasting business and financial cycles using low- and high-frequency data

- Alberto Americo, Frederik Hering and Rukmani Vaithianathan
- Nowcasting economic activity with mobility data

- Koji Takahashi, Kohei Matsumura, Yusuke Oh and Tomohiro Sugo
- Nowcasting New Zealand GDP using machine learning algorithms

- Adam Richardson, Thomas van Florenstein Mulder and Tugrul Vehbi
- Nowcasting private consumption: traditional indicators, uncertainty measures, credit cards and some internet data

- María Gil, Javier Pérez and Alberto Urtasun
- OECD financial statistics for measuring the structure and size of the shadow banking system , pp 16-50

- Satoru Hagino and Liliana Cavieres
- OeNB's reporting data model as RegTech/SupTech solution

- Johannes Turner
- Official statistics caught between two stools: why a truly European stool might be more comfortable , pp 261-264

- Herve Carre
- On a risk-adjusted FISIM , pp 358-362

- Wolfgang Eichmann
- On measures for illustrating credit risk assessments: the case of heat maps, risk matrices and cubes , pp 365-372

- Jenny Dickson
- On the determinants of firms’ financial surpluses and deficits

- Tatiana Cesaroni, Riccardo De Bonis and Luigi Infante
- On the dynamics of the primary housing market and the forecasting of house prices

- Krzysztof Olszewski, Hanna Augustyniak, Jacek Laszek, Robert Leszczynski and Joanna Waszczuk
- On the need for granular, forward-looking physical risk data to support policy analysis

- Jens Mehrhoff
- On the re-evaluation of the air transport activity in a globalised environment

- Marios Papaspyrou
- One size does not fit all: target matters

- Shahid Javaid
- Onshore spread and swap spread: Chilean money market liquidity indicators , pp 391-399

- Felipe Alarcon and Nicolas Malandre
- Opaqueness to transparency: the Bank of Canada's financial data strategy , pp 190-206

- Greg Haymes
- Open-sourced central bank macroeconomic models

- Douglas Kiarelly Godoy de Araujo
- Opening remarks

- Katherine Hennings
- Opening remarks

- Masahiro Higo
- Opening remarks

- Turalay Kenç
- Opening remarks

- François Villeroy de Galhau
- Opening remarks

- Turalay Kenç
- Opening Remarks

- Piero Cipollone
- Opening remarks

- Jesus Cervantes González
- Opening remarks

- Luiz Awazu Pereira da Silva
- Opening remarks

- Gülbin Şahinbeyoğlu
- Opening remarks

- Luiz Awazu Pereira da Silva
- Opening remarks

- Muhammad Ibrahim
- Opening remarks

- Muhammad bin Ibrahim
- Opening remarks

- Alberto Naudon
- Opening remarks

- Abdellatif Jouahri
- Opening remarks by Aurel Schubert

- Aurel Schubert
- Opening remarks by Erkan Kilimci

- Erkan Kilimci
- Opening remarks by Yati Kurniati

- Yati Kurniati
- Opening remarks: Are post-crisis statistical initiatives completed? Taking stock

- Agustin Carstens
- Opportunities and challenges in compiling long series: the BIS central bank statistics

- Bilyana Bogdanova, Olivier Sirello, Robert Szemere, Archana Dilip and Marc Flandreau
- Other financial corporations survey in Japan – compilation measures and recent features

- Daiki Date, Keita Takemura and Haruko Kato
- Outlier detection optimization using machine learning for improving data quality

- Salah Ahl Mbarek
- Overcoming data-sharing challenges in central banking: federated learning of diffusion models for synthetic mixed-type tabular data generation

- Timur Sattarov and Marco Schreyer
- Oversampling of the wealthy in the Spanish Survey of Household Finances (EFF) , pp 399-402

- Olympia Bover
- Overseas Filipino workers' (OFWs) remittances: compilation practices and future challenges , pp 3-9

- Ruth C Gonzaga
- Overview of initiatives to promote convergence in the context of regional integration: an African perspective , pp 3-16

- Kealeboga S Masalila
- Overview of international and national initiatives to promote financial inclusion and its measurement

- Paul Van den Bergh
- Overview of international experiences with data standards and identifiers applicable for big data analysis

- Michal Piechocki
- Overview of models and methods for measuring economic agent’s expectations , pp 172-179

- Tine Janžek and Petra Ziherl
- Overview of sources for compiling securities issuance statistics , pp 41-46

- Erich Hille and Günther Sedlacek
- Overview of the IFC Satellite Seminar - The role of data in supporting financial inclusion policy

- Bank of Morocco, Jose Maria Serena Garralda and Bruno Tissot
- Overview of the second phase of the G20 Data Gaps Initiative

- Yasushi Shiina
- Overview of the workshop - External sector statistics: current issues and new challenges

- Gagik Aghajanyan, Kaushik Jayaram, Margarit Muradyan and Bruno Tissot
| |