BIS Bulletins
From Bank for International Settlements Contact information at EDIRC. Bibliographic data for series maintained by Martin Fessler (). Access Statistics for this working paper series.
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- 55: Rising household inflation expectations: what are the communication challenges for central banks?

- Fiorella De Fiore, Tirupam Goel, Deniz Igan and Richhild Moessner
- 54: Commodity market disruptions, growth and inflation

- Deniz Igan, Emanuel Kohlscheen, Gabriela Nodari and Daniel Rees
- 53: Are major advanced economies on the verge of a wage-price spiral?

- Frédéric Boissay, Fiorella De Fiore, Deniz Igan, Albert Pierres Tejada and Daniel Rees
- 52: Central banks, the monetary system and public payment infrastructures: lessons from Brazil's Pix

- Angelo Duarte, Jon Frost, Leonardo Gambacorta, Priscilla Koo Wilkens and Hyun Song Shin
- 51: Anchoring of inflation expectations: has past progress paid off?

- Tirupam Goel and Kostas Tsatsaronis
- 50: Housing market risks in the wake of the pandemic

- Deniz Igan, Emanuel Kohlscheen and Phurichai Rungcharoenkitkul
- 49: Interoperability between payment systems across borders

- Codruta Boar, Stijn Claessens, Anneke Kosse, Ross Leckow and Tara Rice
- 48: Bottlenecks: causes and macroeconomic implications

- Daniel Rees and Phurichai Rungcharoenkitkul
- 47: Labour markets and inflation in the wake of the pandemic

- Frédéric Boissay, Emanuel Kohlscheen, Richhild Moessner and Daniel Rees
- 46: Could corporate credit losses turn out higher than expected?

- John Juselius and Nikola Tarashev
- 45: Regulating big techs in finance

- Agustín Carstens, Stijn Claessens, Fernando Restoy and Hyun Song Shin
- 44: Covid-19 and bank resilience: where do we stand?

- Yuuki Ikeda, Will Kerry, Ulf Lewrick and Christian Schmieder
- 43: Global reflation ?

- Flora Budianto, Giovanni Lombardo, Benoit Mojon and Daniel Rees
- 42: Whom do consumers trust with their data? US survey evidence

- Olivier Armantier, Sebastian Doerr, Jon Frost, Andreas Fuster and Kelly Shue
- 41: Futures-based commodity ETFs when storage is constrained

- Sirio Aramonte and Karamfil Todorov
- 40: Liquidity to solvency: transition cancelled or postponed?

- Ryan Banerjee, Joseph Noss and Jose María Vidal Pastor
- 39: Liquidity management and asset sales by bond funds in the face of investor redemptions in March 2020

- Andreas Schrimpf, Ilhyock Shim and Hyun Song Shin
- 38: Covid-19 bank dividend payout restrictions: effects and trade-offs

- Bryan Hardy
- 37: Covid-19 and cyber risk in the financial sector

- Iñaki Aldasoro, Jon Frost, Leonardo Gambacorta and David Whyte
- 36: E-commerce in the pandemic and beyond

- Viviana Alfonso C, Codruta Boar, Jon Frost, Leonardo Gambacorta and Jing Liu
- 35: The recession-mortality nexus and Covid-19

- Sebastian Doerr and Boris Hofmann
- 34: Central bank swap lines and cross-border bank flows

- Iñaki Aldasoro, Christian Cabanilla, Piti Disyatat, Torsten Ehlers, Patrick McGuire and Goetz von Peter
- 33: What comes next? Recovery from an uneven recession

- Daniel Rees
- 32: Monetary policy response in emerging market economies: why was it different this time?

- Ana Aguilar and Carlos Cantu Garcia
- 31: Bankruptcies, unemployment and reallocation from Covid-19

- Ryan Banerjee, Enisse Kharroubi and Ulf Lewrick
- 30: The outlook for business bankruptcies

- Ryan Banerjee, Giulio Cornelli and Egon Zakrajšek
- 29: Bonds and syndicated loans during the Covid-19 crisis: decoupled again?

- Tirupam Goel and Jose Maria Serena Garralda
- 28: Inflation at risk from Covid-19

- Ryan Banerjee, Aaron Mehrotra and Fabrizio Zampolli
- 27: Global banks' dollar funding needs and central bank swap lines

- Iñaki Aldasoro, Torsten Ehlers, Patrick McGuire and Goetz von Peter
- 26: Corporate credit markets after the initial pandemic shock

- Sirio Aramonte and Fernando Avalos
- 25: Investors' risk attitudes in the pandemic and the stock market: new evidence based on internet searches

- Marlene Amstad, Giulio Cornelli, Leonardo Gambacorta and Fan Dora Xia
- 24: Trade credit, trade finance, and the Covid-19 Crisis

- Frédéric Boissay, Nikhil Patel and Hyun Song Shin
- 23: The fiscal response to the Covid-19 crisis in advanced and emerging market economies

- Enrique Alberola-Ila, Yavuz Arslan, Gong Cheng and Richhild Moessner
- 22: How are household finances holding up against the Covid-19 shock?

- Anna Zabai
- 21: Central banks' response to Covid-19 in advanced economies

- Paolo Cavallino and Fiorella De Fiore
- 20: Central bank bond purchases in emerging market economies

- Yavuz Arslan, Mathias Drehmann and Boris Hofmann
- 19: Dealing with Covid-19: understanding the policy choices

- Frédéric Boissay, Daniel Rees and Phurichai Rungcharoenkitkul
- 18: EME bond portfolio flows and long-term interest rates during the Covid-19 pandemic

- Peter Hördahl and Ilhyock Shim
- 17: On health and privacy: technology to combat the pandemic

- Carlos Cantu Garcia, Gong Cheng, Sebastian Doerr, Jon Frost and Leonardo Gambacorta
- 16: Covid-19 and regional employment in Europe

- Sebastian Doerr and Leonardo Gambacorta
- 15: US dollar funding markets during the Covid-19 crisis - the international dimension

- Egemen Eren, Andreas Schrimpf and Vladyslav Sushko
- 14: US dollar funding markets during the Covid-19 crisis - the money market fund turmoil

- Egemen Eren, Andreas Schrimpf and Vladyslav Sushko
- 13: The CCP-bank nexus in the time of Covid-19

- Wenqian Huang and Elod Takats
- 12: Effects of Covid-19 on the banking sector: the market's assessment

- Iñaki Aldasoro, Ingo Fender, Bryan Hardy and Nikola Tarashev
- 11: Releasing bank buffers to cushion the crisis - a quantitative assessment

- Ulf Lewrick, Christian Schmieder, Jhuvesh Sobrun and Elod Takats
- 10: Covid-19 and corporate sector liquidity

- Ryan Banerjee, Anamaria Illes, Enisse Kharroubi and Jose Maria Serena Garralda
- 9: Buffering Covid-19 losses - the role of prudential policy

- Mathias Drehmann, Marc Farag, Nikola Tarashev and Kostas Tsatsaronis
- 8: Identifying regions at risk with Google Trends: the impact of Covid-19 on US labour markets

- Sebastian Doerr and Leonardo Gambacorta
- 7: Macroeconomic effects of Covid-19: an early review

- Frédéric Boissay and Phurichai Rungcharoenkitkul
- 6: The recent distress in corporate bond markets: cues from ETFs

- Sirio Aramonte and Fernando Avalos
- 5: Emerging market economy exchange rates and local currency bond markets amid the Covid-19 pandemic

- Boris Hofmann, Ilhyock Shim and Hyun Song Shin
- 4: The macroeconomic spillover effects of the pandemic on the global economy

- Emanuel Kohlscheen, Benoit Mojon and Daniel Rees
- 3: Covid-19, cash, and the future of payments

- Raphael Auer, Giulio Cornelli and Jon Frost
- 2: Leverage and margin spirals in fixed income markets during the Covid-19 crisis

- Andreas Schrimpf, Hyun Song Shin and Vladyslav Sushko
- 1: Dollar funding costs during the Covid-19 crisis through the lens of the FX swap market

- Stefan Avdjiev, Egemen Eren and Patrick McGuire
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