BIS Working Papers
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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- 923: Optimal bank leverage and recapitalization in crowded markets

- Christoph Bertsch and Mike Mariathasan
- 922: Does regulation only bite the less profitable? Evidence from the too-big-to-fail reforms

- Tirupam Goel, Ulf Lewrick and Aakriti Mathur
- 921: Firm-specific risk-neutral distributions with options and CDS

- Sirio Aramonte, Mohammad Jahan-Parvar, Samuel Rosen and John W. Schindler
- 920: Investing like conglomerates: is diversification a blessing or curse for China's local governments?

- Jianchao Fan, Jing Liu and Yinggang Zhou
- 919: Understanding bank and non-bank credit cycles: a structural exploration

- C. Bora Durdu and Molin Zhong
- 918: Sovereign credit and exchange rate risks: evidence from Asia-Pacific local currency bonds

- Mikhail Chernov, Drew Creal and Peter Hördahl
- 917: Trade sentiment and the stock market: new evidence based on big data textual analysis of Chinese media

- Marlene Amstad, Leonardo Gambacorta, Chao He and Fan Dora Xia
- 916: Firm-level R&D after periods of intense technological innovation: the role of investor sentiment

- Sirio Aramonte and Matthew Carl
- 913: Forecasting expected and unexpected losses

- John Juselius and Nikola Tarashev
- 912: Regulatory capital, market capital and risk taking in international bank lending

- Stefan Avdjiev and Jose Maria Serena Garralda
- 911: Bilateral International Investments: the Big Sur?

- Fernando Broner, Tatiana Didier, Sergio Schmukler and Goetz von Peter
- 910: Recessions and mortality: a global perspective

- Sebastian Doerr and Boris Hofmann
- 909: Dealing with bank distress: Insights from a comprehensive database

- Konrad Adler and Frédéric Boissay
- 908: Contagion Accounting

- Iñaki Aldasoro, Anne-Caroline Hüser and Christoffer Kok
- 907: Low price-to-book ratios and bank dividend payout policies

- Leonardo Gambacorta, Tommaso Oliviero and Hyun Song Shin
- 906: What share for gold? On the interaction of gold and foreign exchange reserve returns

- Omar Zulaica
- 905: Stablecoins: potential, risks and regulation

- Douglas Arner, Raphael Auer and Jon Frost
- 904: Housing booms, reallocation and productivity

- Sebastian Doerr
- 903: Bargaining power and the Phillips curve: a micro-macro analysis

- Marco Lombardi, Marianna Riggi and Eliana Viviano
- 902: An early stablecoin? The Bank of Amsterdam and the governance of money

- Jon Frost, Hyun Song Shin and Peter Wierts
- 901: Inside the regulatory sandbox: effects on fintech funding

- Giulio Cornelli, Sebastian Doerr, Leonardo Gambacorta and Ouarda Merrouche
- 900: What can commercial property performance reveal about bank valuations?

- Emanuel Kohlscheen and Elod Takats
- 899: The macro-financial effects of international bank lending on emerging markets

- Iñaki Aldasoro, Paula Beltrán, Federico Grinberg and Tommaso Mancini-Griffoli
- 898: What Comes Next?

- Daniel Rees
- 897: Non-US global banks and dollar (co-)dependence: how housing markets became internationally synchronized

- Torsten Ehlers, Mathias Hoffmann and Alexander Raabe
- 896: Have the driving forces of inflation changed in advanced and emerging market economies?

- Gunes Kamber, Madhusudan Mohanty and James Morley
- 895: Pass-through from short-horizon to long-horizon inflation expectations, and the anchoring of inflation expectations

- James Yetman
- 894: Effects of eligibility for central bank purchases on corporate bond spreads

- Taneli Mäkinen, Fan Li, Andrea Mercatanti and Andrea Silvestrini
- 893: Assessing the fiscal implications of banking crises

- Claudio Borio, Juan Contreras and Fabrizio Zampolli
- 892: Banking across borders: Are Chinese banks different?

- Eugenio Cerutti, Catherine Koch and Swapan-Kumar Pradhan
- 891: Banking across borders: At the crossroads in the transition away from LIBOR - from overnight to term rates

- Basil Guggenheim and Andreas Schrimpf
- 890: How does international capital flow?

- Michael Kumhof, Phurichai Rungcharoenkitkul and Andrej Sokol
- 889: Foreign exchange intervention and financial stability

- Pierre-Richard Agénor, Timothy Jackson and Luiz Awazu Pereira da Silva
- 888: Competitive effects of IPOs: evidence from Chinese listing suspensions

- Frank Packer and Mark Spiegel
- 887: Fintech and big tech credit: a new database

- Giulio Cornelli, Jon Frost, Leonardo Gambacorta, Raghavendra Rau, Robert Wardrop and Tania Ziegler
- 886: Price search, consumption inequality, and expenditure inequality over the life-cycle

- Yavuz Arslan, Bulent Guler and Temel Taskin
- 885: Credit supply driven boom-bust cycles

- Yavuz Arslan, Bulent Guler and Burhan Kuruscu
- 884: Retailer markup and exchange rate pass-through: Evidence from the Mexican CPI micro data

- Fernando Pérez-Cervantes
- 883: Inflation at risk in advanced and emerging economies

- Ryan Banerjee, Juan Contreras, Aaron Mehrotra and Fabrizio Zampolli
- 882: Corporate zombies: Anatomy and life cycle

- Ryan Banerjee and Boris Hofmann
- 881: Data vs collateral

- Leonardo Gambacorta, Yiping Huang, Zhenhua Li, Han Qiu and Shu Chen
- 880: Rise of the central bank digital currencies: drivers, approaches and technologies

- Raphael Auer, Giulio Cornelli and Jon Frost
- 879: Corporate dollar debt and depreciations: all's well that ends well?

- Julian Caballero
- 878: Which credit gap is better at predicting financial crises? A comparison of univariate filters

- Mathias Drehmann and James Yetman
- 877: Export survival and foreign financing

- Laura D'Amato, Máximo Sangiácomo and Martin Tobal
- 876: Government Banks, Household Debt, and Economic Downturns: The Case of Brazil

- Gabriel Garber, Atif Mian, Jacopo Ponticelli and Amir Sufi
- 875: The impact of credit risk mispricing on mortgage lending during the subprime boom

- James A Kahn and Benjamin S Kay
- 874: Demographic Origins of the Decline in Labor's Share

- Andrew Glover and Jacob Short
- 873: Effects of Fed policy rate forecasts on real yields and inflation expectations at the zero lower bound

- Gabriele Galati and Richhild Moessner
- 872: Effects of credit restrictions in the Netherlands and lessons for macroprudential policy

- Gabriele Galati, Jan Kakes and Richhild Moessner
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