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Content
2018
- 37-40 Discussion of M S Mohanty and Suresh Sundaresan’s paper
In: The price, real and financial effects of exchange rates
by Vidhan K Goyal
- 41-52 Does the accumulation of foreign currency reserves affect risk-taking? An event study approach
In: The price, real and financial effects of exchange rates
by Rasmus Fatum & James Yetman
- 53-56 Discussion of Rasmus Fatum and James Yetman’s paper
In: The price, real and financial effects of exchange rates
by Hans Genberg
- 57-69 Globalisation, growth and inequality from an emerging economy perspective
In: Globalisation and deglobalisation
by Central Bank of Argentina
- 57-78 Breakdown of covered interest parity: mystery or myth?
In: The price, real and financial effects of exchange rates
by Alfred Wong & Jiayue Zhang
- 71-82 Globalisation and deglobalisation
In: Globalisation and deglobalisation
by Central Bank of Brazil
- 79-80 Discussion of Alfred Wong and Jiayue Zhang’s paper
In: The price, real and financial effects of exchange rates
by Yiping Huang
- 81-107 Finding equilibrium: on the relation between exchange rates and monetary policy
In: The price, real and financial effects of exchange rates
by Sebastian Edwards
- 83-100 Globalisation and the Chilean economy
In: Globalisation and deglobalisation
by Joaquin Vial
- 101-104 How globalisation has affected China and related policy issues
In: Globalisation and deglobalisation
by The People’s Bank of China
- 105-123 International trade networks and the integration of Colombia into global trade
In: Globalisation and deglobalisation
by Andrés Murcia & Hernando Vargas & Carlos León
- 108-121 Dollar invoicing, exchange rates and international trade
In: The price, real and financial effects of exchange rates
by David Cook & Nikhil Patel
- 122-125 Discussion of David Cook and Nikhil Patel’s paper
In: The price, real and financial effects of exchange rates
by Jian Wang
- 125-137 Foreign capital and domestic productivity in the Czech Republic
In: Globalisation and deglobalisation
by Mojmír Hampl & Tomáš Havránek
- 127-129 Discussion of Sebnem Kalemli-Ozcan, Xiaoxi Liu and Ilhyock Shim’s paper
In: The price, real and financial effects of exchange rates
by Filippo di Mauro
- 130-132 Exchange rate challenges: how should policymakers respond?
In: The price, real and financial effects of exchange rates
by Grant Spencer
- 133-143 Exchange rate puzzles and dilemmas: how can policymakers respond?
In: The price, real and financial effects of exchange rates
by Diwa C Guinigundo
- 139-147 Assessing the impact of globalisation: Lessons from Hong Kong
In: Globalisation and deglobalisation
by Lillian Cheung & Eric Wong & Philip Ng & Ken Wong
- 144-147 Exchange rate puzzles and dilemmas: how can policymakers respond?
In: The price, real and financial effects of exchange rates
by Sebastian Edwards
- 149-172 The external and domestic drivers of inflation: the case study of Hungary
In: Globalisation and deglobalisation
by Erzsébet Éva Nagy & Veronika Tengely
- 173-182 Globalisation and deglobalisation: the Indonesian perspective
In: Globalisation and deglobalisation
by Dody Budi Waluyo
- 183-208 Measuring the importance of global factors in determining inflation in Israel
In: Globalisation and deglobalisation
by Nadine Baudot-Trajtenberg & Itamar Caspi
- 209-221 Foreign workers in the Korean labour market: current status and policy issues
In: Globalisation and deglobalisation
by Seung-Cheol Jeon
- 223-229 Globalisation and deglobalisation
In: Globalisation and deglobalisation
by Central Bank of Malaysia
- 231-244 Globalisation and consumption risk-sharing in emerging market economies
In: Globalisation and deglobalisation
by Manuel Ramos-Francia & Santiago García-Verdú
- 245-257 Peru’s commercial opening: the story of two sectors
In: Globalisation and deglobalisation
by Renzo Rossini & Zenon Quispe & Hiroshi Toma & Cesar Vasquez
- 259-272 The globalisation experience and its challenges for the Philippine economy
In: Globalisation and deglobalisation
by Diwa C Guinigundo
- 273-289 Globalisation and the Polish economy: macro and micro growth effects
In: Globalisation and deglobalisation
by Piotr Szpunar & Jan Hagemejer
- 291-310 Globalisation and deglobalisation
In: Globalisation and deglobalisation
by Bank of Russia
- 311-319 Macroeconomic and distributional effects of globalisation
In: Globalisation and deglobalisation
by Saudi Arabian Monetary Authority
- 321-329 Globalisation in a small open economy: the Singapore experience
In: Globalisation and deglobalisation
by Edward Robinson
- 331-343 Globalisation and deglobalisation
In: Globalisation and deglobalisation
by South African Reserve Bank
- 345-354 Weighing up Thailand’s benefits from global value chains
In: Globalisation and deglobalisation
by Bank of Thailand
- 355-362 Globalisation and deglobalisation
In: Globalisation and deglobalisation
by Central Bank of the Republic of Turkey
2017
- 1-1 Foreword
In: Financial systems and the real economy
by Ilhyock Shim
- 1-3 Opening remarks
In: Financial systems and the real economy
by Abdul Rasheed Ghaffour
- 1-5 Macroprudential frameworks, implementation and relationship with other policies
In: Macroprudential frameworks, implementation and relationship with other policies
by Christian Upper
- 5-14 What is macroprudential policy for? Making it safe for central bankers
In: Financial systems and the real economy
by Paul Tucker
- 7-24 Macroprudential frameworks: objectives, decisions and policy interactions
In: Macroprudential frameworks, implementation and relationship with other policies
by Agustín Villar
- 15-34 Credit growth and macroprudential policies: preliminary evidence on the firm level
In: Financial systems and the real economy
by Meghana Ayyagari & Thorsten Beck & Maria Soledad Martinez Peria
- 25-47 Macroprudential frameworks: implementation and effectiveness
In: Macroprudential frameworks, implementation and relationship with other policies
by Yavuz Arslan and Christian Upper
- 35-38 Comments on “Credit growth and macroprudential policies: preliminary evidence on the firm level”
In: Financial systems and the real economy
by Jae-Ha Park
- 39-59 Household credit, growth and inequality in Malaysia: does the type of credit matter?
In: Financial systems and the real economy
by Jiaming Soh & Amanda Chong & Kue-Peng Chuah
- 49-56 Macroprudential frameworks: communication
In: Macroprudential frameworks, implementation and relationship with other policies
by Nikhil Patel
- 57-63 Macroprudential frameworks: cross-border issues
In: Macroprudential frameworks, implementation and relationship with other policies
by Nikhil Patel
- 61-64 Comments on "Household credit, growth and inequality in Malaysia: does the type of credit matter?"
In: Financial systems and the real economy
by Yongheng Deng
- 65-75 Macroprudential policy framework, implementation and relationships with other policies
In: Macroprudential frameworks, implementation and relationship with other policies
by Central Bank of Argentina
- 65-94 Corporate leverage in emerging Asia
In: Financial systems and the real economy
by Vidhan Goyal & Frank Packer
- 77-86 Macroprudential policy in Brazil
In: Macroprudential frameworks, implementation and relationship with other policies
by Maurício Costa de Moura and Fernanda Martins Bandeira
- 87-98 Macroeconomic and financial volatility and macroprudential policies in Chile
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Rodrigo Cifuentes, Sebastián Claro and Alejandro Jara
- 95-99 Comments on "Corporate leverage in emerging Asia"
In: Financial systems and the real economy
by Dragon Yongjun Tang
- 99-102 Macroprudential goals, implementation and cross-border communication
In: Macroprudential policy frameworks, implementation and relationships with other policies
by The People’s Bank of China
- 101-123 Foreign banks and credit conditions in EMEs
In: Financial systems and the real economy
by Torsten Ehlers & Patrick McGuire
- 103-128 The macroprudential policy framework in Colombia
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Hernando Vargas, Pamela Cardozo and Andrés Murcia
- 107-218 Assessing the impact of macroprudential tools: the case of Israel
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Nadine Baudot-Trajtenberg, Nitzan Tzur-Ilan and Roi Frayberg
- 125-128 Comments on "Foreign banks and credit conditions in EMEs"
In: Financial systems and the real economy
by Glenn Hoggarth
- 129-140 Should monetary policy pay attention to house prices? The Czech National Bank’s approach
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Mojmír Hampl and Tomáš Havránek
- 129-144 Household credit in Asia-Pacific
In: Financial systems and the real economy
by Moritz Schularick & Ilhyock Shim
- 141-152 Hong Kong’s property market and macroprudential measures
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Hong Kong Monetary Authority
- 145-151 Comments on "Household credit in Asia-Pacific"
In: Financial systems and the real economy
by Woon-Gyu Choi
- 153-168 Rich debt, poor debt: assessing household indebtedness and debt repayment capacity
In: Financial systems and the real economy
by Muhamad Shukri Abdul Rani & Siti Hanifah Borhan Nordin & Chin Ching Lau & Sheng Ling Lim & Zhen Shing Siow
- 153-178 Regionally-differentiated debt cap rules: a Hungarian perspective
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Péter Fáykiss, Márton Nagy and Anikó Szombati
- 169-173 Comments on "Rich debt, poor debt: assessing household indebtedness and debt repayment capacity"
In: Financial systems and the real economy
by Sock-Yong Phang
- 175-176 Balancing policy objectives in Asia: leverage vs long-term economic growth
In: Financial systems and the real economy
by Deepak Mohanty
- 177-182 Credit build-up and financial stability issues: do we know enough to calibrate appropriate intervention?
In: Financial systems and the real economy
by Johnny Noe E Ravalo
- 179-187 Macroprudential frameworks, implementation, and relationship with other policies
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Reserve Bank of India
- 189-205 Indonesia: the macroprudential framework and the central bank’s policy mix
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Perry Warjiyo
- 219-229 Macroprudential frameworks, implementation and relationship with other policies in Korea
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Ho Soon Shin, Jung Yeoun Lee, Jungmin Park
- 231-238 Macroprudential frameworks: Implementation, and relationship with other policies – Malaysia
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Central Bank of Malaysia
- 239-255 On the relationship between macroprudential policy and other policies
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Manuel Ramos-Francia and Santiago García-Verdú
- 257-275 Implementation of macroprudential policy in Peru
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Renzo G Rossini and Zenón Quispe
- 277-288 Macroprudential frameworks, implementation, and communication strategies – The Philippines
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Diwa C Guinigundo
- 289-303 Institutional and operational aspects of macroprudential policy in central and eastern European EU member states
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Piotr Szpunar
- 305-319 The macroprudential policy framework in Russia
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Elizaveta Danilova & Maxim Morozov
- 321-327 Macroprudential policies: A Singapore case study
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Monetary Authority of Singapore
- 329-337 Macroprudential frameworks, implementation and relationships with other policies
In: Macroprudential policy frameworks, implementation and relationships with other policies
by South African Reserve Bank
- 339-348 Macroprudential framework – the case of Thailand
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Bank of Thailand
- 349-364 Financial stability and macroprudential policy in Turkey
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Murat Uysal
2016
- 1-1 Macroprudential policies and integrated inflation targeting
In: Macroprudential policy
by Luiz Awazu Pereira da Silva
- 1-1 Analysing the effectiveness of macroprudential tools
In: Macroprudential policy
by José Viñals
- 1-1 Foreword
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Frank Packer & James Yetman
- 1-5 The challenges of expanding the boundaries of monetary policy
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Agus D W Martowardojo
- 1-8 Inflation mechanisms, expectations and monetary policy - Overview
In: Inflation mechanisms, expectations and monetary policy
by Christian Upper
- 1-15 Macroprudential regulation: history, theory and policy
In: Macroprudential policy
by Turalay Kenç
- 7-16 Measuring the effects of monetary policy on house prices and the economy
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by John C Williams
- 9-21 Measuring inflation
In: Inflation mechanisms, expectations and monetary policy
by Nikhil Patel & Agustín Villar
- 17-25 Credit cycles and macroprudential policy framework in emerging countries
In: Macroprudential policy
by Salih Fendoglu
- 17-28 Maintaining price and financial stability by monetary and macroprudential policy - evidence from Asia and the Pacific
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Soyoung Kim & Aaron Mehrotra
- 23-40 The inflation process
In: Inflation mechanisms, expectations and monetary policy
by Yavuz Arslan & Martina Jašová & Elod Takáts
- 27-38 Monetary and macroprudential policies – exploring interactions
In: Macroprudential policy
by Erlend Nier & Heedon Kang
- 29-32 Comments on "Maintaining price and financial stability by monetary and macroprudential policy - evidence from Asia and the Pacific"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Kazuo Momma
- 33-58 A comparison of liquidity management tools in seven Asian economies
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Ken Kuttner & James Yetman
- 39-44 Macroprudential Policies and the Lucas Critique
In: Macroprudential policy
by Bálint Horváth & Wolf Wagner
- 41-67 Inflation expectations and monetary policy
In: Inflation mechanisms, expectations and monetary policy
by Ricardo Sousa & James Yetman
- 45-48 Cross-border spillovers from macroprudential policy in the euro area
In: Macroprudential policy
by Luca Nocciola & Dawid Zochowski
- 49-56 Banking de-globalisation: a consequence of monetary and regulatory policies?
In: Macroprudential policy
by Kristin Forbes & Dennis Reinhardt & Tomasz Wieladek
- 57-62 External shocks, the exchange rate and macroprudential policy
In: Macroprudential policy
by Philip Turner
- 59-61 Comments on "A comparison of liquidity management tools in seven Asian economies"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Martin Bodenstein
- 63-68 Capital flows, credit cycles and macroprudential policy
In: Macroprudential policy
by Yusuf Soner Baskaya & Julian di Giovanni & Sebnem Kalemli-Ozcan & Jose-Luis Peydro & Mehmet Fatih Ulu
- 63-149 A spectral perspective on natural interest rates in Asia-Pacific: changes and possible drivers
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Feng Zhu
- 69-73 Macroprudential policies in a commodity exporting economy
In: Macroprudential policy
by Andrés González & Franz Hamann & Diego Rodríguez
- 69-83 The transition to inflation targeting in an emerging economy: selected issues
In: Inflation mechanisms, expectations and monetary policy
by Horacio Aguirre & Mauro Alessandro & Lucas Llach
- 75-84 Managing systemic risks in the Croatian economy
In: Macroprudential policy
by Boris Vujcic & Mirna Dumicic
- 85-91 Why is inflation so high and volatile in Brazil? A primer
In: Inflation mechanisms, expectations and monetary policy
by Tony Volpon
- 85-93 Macroprudential policy regulation: some continuing challenges
In: Macroprudential policy
by Manuel Ramos-Francia & Santiago García-Verdú
- 93-116 The evolution of inflation in Chile since 2000
In: Inflation mechanisms, expectations and monetary policy
by Alberto Naudon & Joaquín Vial
- 95-102 The use and effectiveness of macroprudential policies
In: Macroprudential policy
by Eugenio Cerutti & Stijn Claessens & Luc Laeven
- 103-116 Financial development and the effectiveness of macroprudential measures
In: Macroprudential policy
by Yusuf Soner Baskaya & Turalay Kenç & Ilhyock Shim & Philip Turner
- 117-121 An underlying inflation gauge (UIG) for China
In: Inflation mechanisms, expectations and monetary policy
by The People's Bank of China
- 117-122 Macroprudential measures for addressing housing sector risks
In: Macroprudential policy
by Dong He & Erlend Nier & Heedon Kang
- 123-139 Turkey's experience with macroprudential policy
In: Macroprudential policy
by Hakan Kara
- 123-151 Inflation expectations and a model-based core inflation measure in Colombia
In: Inflation mechanisms, expectations and monetary policy
by Hernando Vargas-Herrera
- 141-146 The macroprudential policy framework in New Zealand
In: Macroprudential policy
by David Hargreaves
- 147-156 A liquidity-based approach to macroprudential policy
In: Macroprudential policy
by Jean-Pierre Landau
- 151-156 Comments on "A spectral perspective on natural interest rates in Asia-Pacific: changes and possible drivers"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Solikin M Juhro
- 153-167 Impact of the CNB's exchange rate commitment: pass-through to inflation
In: Inflation mechanisms, expectations and monetary policy
by Michal Skořepa & Vladimír Tomšík & Jan Vlcek
- 157-188 Managing monetary and financial stability in a dynamic global environment: Bank Indonesia s policy perspectives
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Juda Agung & Solikin M Juhro & Harmanta & Tarsidin
- 169-177 Inflation mechanism and monetary policy: perspectives from Hong Kong
In: Inflation mechanisms, expectations and monetary policy
by Lillian Cheung & Kevin Chow & Michael Cheng & Philip Ng
- 179-191 Fixing an impaired monetary transmission mechanism: the Hungarian experience
In: Inflation mechanisms, expectations and monetary policy
by Péter Gábriel & György Molnár & Judit Várhegyi
- 189-191 Comments on "Managing monetary and financial stability in a dynamic global environment: Bank Indonesia s policy perspectives"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Iikka Korhonen
- 193-203 Inflation mechanisms, expectations and monetary policy in Indonesia
In: Inflation mechanisms, expectations and monetary policy
by Hendar
- 193-205 Monetary independence in a financially integrated world: what do measures of interest rate co-movement tell us?
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Enisse Kharroubi & Fabrizio Zampolli
- 205-220 Inflation measurement and inflation expectations: the case of Israel
In: Inflation mechanisms, expectations and monetary policy
by Nadine Baudot-Trajtenberg & Edward (Akiva) Offenbacher
- 207-212 Comments on "Monetary independence in a financially integrated world: what do measures of interest rate co-movement tell us?"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Mardi Dungey
- 213-225 Financial globalisation and monetary independence
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Piti Disyatat & Phurichai Rungcharoenkitkul
- 221-230 Inflation dynamics in the post-crisis period: Korea's experience
In: Inflation mechanisms, expectations and monetary policy
by Min Chang & Changho Choi & Keunhyeong Park
- 227-230 Comments on "Financial globalisation and monetary independence"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Paul Mizen
- 231-245 Economic changes, inflation dynamics and policy responses: the Malaysian experience
In: Inflation mechanisms, expectations and monetary policy
by Sukudhew (Sukhdave) Singh
- 247-273 On the costs of deflation: a consumption-based approach
In: Inflation mechanisms, expectations and monetary policy
by Santiago García-Verdú & Manuel Ramos-Francia
- 275-289 Inflation expectations and dollarisation in Peru
In: Inflation mechanisms, expectations and monetary policy
by Renzo Rossini & Marco Vega & Zenón Quispe & Fernando Perez
- 291-302 The role of expectations in inflation dynamics in the Philippines - has it changed following the global financial crisis?
In: Inflation mechanisms, expectations and monetary policy
by Diwa C Guinigundo
- 303-315 Negative bond term premia - a new challenge for Polish conventional monetary policy
In: Inflation mechanisms, expectations and monetary policy
by Juliusz Jabłecki & Andrzej Raczko & Grzegorz Wesołowski
- 317-326 The Bank of Russia's inflation challenge
In: Inflation mechanisms, expectations and monetary policy
by Central Bank of the Russian Federation
- 327-333 Inflation mechanisms, expectations and monetary policy in Saudi Arabia
In: Inflation mechanisms, expectations and monetary policy
by Saudi Arabian Monetary Agency
- 335-343 The inflation process and expectations in Singapore
In: Inflation mechanisms, expectations and monetary policy
by Choy Keen Meng
- 345-348 Inflation mechanisms, expectations and monetary policy
In: Inflation mechanisms, expectations and monetary policy
by South African Reserve Bank
- 349-360 Inflation dynamics and inflation expectations in Thailand
In: Inflation mechanisms, expectations and monetary policy
by Wanicha Direkudomsak
- 361-371 Twin stability problem: joint issue of high current account deficit and high inflation
In: Inflation mechanisms, expectations and monetary policy
by Mustafa Kılınç & Cengiz Tunç & Mehmet Yörükoğlu
- 373-378 Inflation in the United Arab Emirates
In: Inflation mechanisms, expectations and monetary policy
by Central Bank of the United Arab Emirates
2015
2014