BIS Working Papers
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- 329: The governance of financial regulation: reform lessons from the recent crisis

- Ross Levine
- 328: The Federal Reserve, the Bank of England and the rise of the dollar as an international currency, 1914-39

- Barry Eichengreen and Marc Flandreau
- 327: Central banks: between internationalisation and domestic political control

- Harold James
- 326: The changing role of central banks

- Charles Goodhart
- 325: Inflation risk premia in the US and the euro area

- Peter Hördahl and Oreste Tristani
- 324: Mapping capital and liquidity requirements to bank lending spreads

- Michael King
- 323: Stochastic Volatility, Long Run Risks, and Aggregate Stock Market Fluctuations

- Stefan Avdjiev and Nathan Balke
- 322: Interbank tiering and money center banks

- Ben Craig and Goetz von Peter
- 321: The evolving renminbi regime and implications for Asian currency stability

- Guonan Ma and Robert McCauley
- 320: Offshore markets for the domestic currency: monetary and financial stability issues

- Dong He and Robert McCauley
- 319: Macroeconomic and interest rate volatility under alternative monetary operating procedures

- Petra Gerlach-Kristen and Barbara Rudolf
- 318: Ageing and asset prices

- Elod Takats
- 317: Countercyclical capital buffers: exploring options

- Mathias Drehmann, Claudio Borio, Leonardo Gambacorta, Gabriel Jiminez and Carlos Trucharte
- 316: Funding liquidity risk: definition and measurement

- Mathias Drehmann and Kleopatra Nikolaou
- 315: The determinants of cross-border bank flows to emerging markets: new empirical evidence on the spread of financial crises

- Sabine Herrmann and Dubravko Mihaljek
- 314: Chronicle of currency collapses: re-examining the effects on output

- Matthieu Bussiere, Sweta Saxena and Camilo Tovar
- 313: Banks and financial intermediation in emerging Asia: reforms and new risks

- Madhusudan Mohanty and Philip Turner
- 312: China's high saving rate: myth and reality

- Guonan Ma and Wang Yi
- 311: Resolving the financial crisis: are we heeding the lessons from the Nordics?

- Claudio Borio, Bent Vale and Goetz von Peter
- 310: Central bank co-operation and international liquidity in the financial crisis of 2008-9

- William Allen and Richhild Moessner
- 309: Toward a global risk map

- Stephen Cecchetti, Ingo Fender and Patrick McGuire
- 308: Attributing systemic risk to individual institutions

- Nikola Tarashev, Claudio Borio and Kostas Tsatsaronis
- 307: Oil shocks and optimal monetary policy

- Carlos Montoro
- 306: Household decisions, credit markets and the macroeconomy: implications for the design of central bank models

- John Muellbauer
- 305: Fear of fire sales and the credit freeze

- Douglas Diamond
- 304: Financial intermediation and the post-crisis financial system

- Hyun Song Shin
- 303: Illiquidity and all its friends

- Jean Tirole
- 302: Accounting alchemy

- Robert Verrecchia
- 301: The failure mechanics of dealer banks

- Darrell Duffie
- 300: The future of public debt: prospects and implications

- Stephen Cecchetti, Madhusudan Mohanty and Fabrizio Zampolli
- 299: Public governance of central banks: an approach from new institutional economics

- Yoshiharu Oritani
- 298: Does monetary policy affect bank risk-taking?

- Yener Altunbas, Leonardo Gambacorta and David Marques-Ibanez
- 297: The bank lending channel revisited

- Piti Disyatat
- 296: Assessing the systemic risk of a heterogeneous portfolio of banks during the recent financial crisis

- Huang Xin, Hao Zhou and Zhu Haibin
- 295: Consumption and real exchange rates in professional forecasts

- Michael Devereux, Gregor Smith and James Yetman
- 294: The risk of relying on reputational capital: a case study of the 2007 failure of New Century Financial

- Allen B Frankel
- 293: Ten propositions about liquidity crises

- Claudio Borio
- 292: Unconventional monetary policies: an appraisal

- Claudio Borio and Piti Disyatat
- 291: The US dollar shortage in global banking and the international policy response

- Patrick McGuire and Goetz von Peter
- 290: Mutual guarantee institutions and small business finance

- Francesco Columba, Leonardo Gambacorta and Paolo Emilio Mistrulli
- 289: Incentives and tranche retention in securitisation: a screening model

- Ingo Fender and Janet Mitchell
- 288: Time to buy or just buying time? The market reaction to bank rescue packages

- Michael King
- 287: International portfolio rebalancing and exchange rate fluctuations in Thailand

- Jacob Gyntelberg, Mico Loretan, Tientip Subhanij and Eric Chan
- 286: China’s evolving external wealth and rising creditor position

- Guonan Ma and Zhou Haiwen
- 285: From turmoil to crisis: dislocations in the FX swap market before and after the failure of Lehman Brothers

- Naohiko Baba and Frank Packer
- 284: Towards an operational framework for financial stability: "fuzzy" measurement and its consequences

- Claudio Borio and Mathias Drehmann
- 283: Another look at global disinflation

- Toshitaka Sekine
- 282: China's exchange rate policy and Asian trade

- Alicia García-Herrero and Tuuli Koivu
- 281: A Framework for Assessing the Systemic Risk of Major Financial Institutions

- Xin Huang, Hao Zhou and Haibin Zhu
- 280: Measuring portfolio credit risk correctly: why parameter uncertainty matters

- Nikola Tarashev