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Content
2012
- 161-171 Some insights into monetary and fiscal policy interactions in the Czech Republic
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Vladimir Tomsik
- 164-167 Mark M Spiegel Comments on Kazumasa Iwata and Shinji Takenaka's paper "Central bank balance sheets expansion: Japan's experience"
In: Are central bank balance sheets in Asia too large?
by Mark M Spiegel
- 168-185 Global imbalances and foreign asset expansion by developing-economy central banks
In: Are central bank balance sheets in Asia too large?
by Joseph Gagnon
- 173-177 The importance of fiscal prudence under the Linked Exchange Rate System in Hong Kong SAR
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Hong Kong Monetary Authority
- 177-212 Debt management and optimal fiscal policy with long bonds
In: Threat of fiscal dominance?
by Elisa Faraglia & Albert Marcet & Andrew Scott
- 179-191 The impact of public debt on foreign exchange reserves and central bank profitability: the case of Hungary
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Gergely Baksay & Ferenc Karvalits & Zsolt Kuti
- 186-188 Comments on Joseph Gagnon's paper "Global imbalances and foreign asset expansion by developing-economy central banks"
In: Are central bank balance sheets in Asia too large?
by Chris Aylmer
- 189-192 Comments on Joseph Gagnon's paper "Global imbalances and foreign asset expansion by developing-economy central banks"
In: Are central bank balance sheets in Asia too large?
by Ooi Sang Kuang
- 193-198 Sovereign debt management in India: interaction with monetary policy
In: Fiscal policy, public debt and monetary policy in emerging market economies
by R Gandhi
- 193-213 Central Bank balance sheets as policy tools
In: Are central bank balance sheets in Asia too large?
by A Durré & H Pill
- 199-203 Fiscal policy, public debt management and government bond markets in Indonesia
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Mr Hendar
- 205-215 The interaction between monetary and fiscal policy: insights from two business cycles in Israel
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Kobi Braude & Karnit Flug
- 213-237 Interactions between sovereign debt management and monetary policy under fiscal dominance and financial instability
In: Threat of fiscal dominance?
by Hans J Blommestein & Philip Turner
- 214-217 Comments on A Durré and H Pill's paper "Central bank balance sheets as policy tools"
In: Are central bank balance sheets in Asia too large?
by Hernando Vargas
- 217-232 Public debt and monetary policy in Korea
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Dr Geum Wha Oh
- 218-219 Comments on A Durré and H Pill's paper "Central bank balance sheets as policy tools"
In: Are central bank balance sheets in Asia too large?
by Budianto Soenaryo Mukasan
- 220-264 International spillovers of central bank balance sheet policies
In: Are central bank balance sheets in Asia too large?
by Qianying Chen & Andrew Filardo & Dong He & Feng Zhu
- 233-252 Banco de México and recent developments in domestic public debt markets
In: Fiscal policy, public debt and monetary policy in emerging market economies
by José Sidaoui & Julio Santaella & Javier Pérez
- 239-241 Comment
In: Threat of fiscal dominance?
by Richhild Moessner
- 245-255 The effectiveness of the Federal Reserve's Maturity Extension Program - Operation Twist 2: the portfolio rebalancing channel and public debt management
In: Threat of fiscal dominance?
by Torsten Ehlers
- 253-267 Fiscal policy considerations in the design of monetary policy in Peru
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Renzo Rossini & Zenon Quispe & Jorge Loyola
- 257-276 The financial crisis and the changing dynamics of the yield curve
In: Threat of fiscal dominance?
by Morten L Bech & Yvan Lengwiler
- 265-284 Comments on Qianying Chen, Andrew Filardo, Dong He and Feng Zhu's paper "The impact of central bank balance sheet policies on the emerging economies"
In: Are central bank balance sheets in Asia too large?
by Jonathan A Batten & Peter G Szilagyi
- 269-283 Fiscal policy, public debt management and government bond markets: the case for the Philippines
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Diwa C Guinigundo
- 277-304 The financial market impact of UK quantitative easing
In: Threat of fiscal dominance?
by Francis Breedon & Jagjit S Chadha & Alex Waters
- 285-287 Comments on Qianying Chen, Andrew Filardo, Dong He and Feng Zhu's paper "International spillovers of central bank balance sheet policies"
In: Are central bank balance sheets in Asia too large?
by Roong Mallikamas
- 285-294 A framework for fiscal vulnerability assessment and its application to Poland
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Tomasz Jedrzejowicz & Witold Kozinski
- 288-293 Changes in central bank balance sheets in response to the crisis: Dinner address for the BOT-BIS research conference
In: Are central bank balance sheets in Asia too large?
by Randall Kroszner
- 294-347 Reserves, liquidity and money: an assessment of balance sheet policies
In: Are central bank balance sheets in Asia too large?
by Jagjit S Chadha & Luisa Corrado & Jack Meaning
- 295-300 Fiscal policy, public debt management and government bond markets: issues for central banks
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Elizaveta Danilova
- 301-307 Aspects of fiscal/debt management and monetary policy interaction: the recent experience of Saudi Arabia
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Abdulrahman Al-Hamidy
- 309-313 Development of the government bond market and public debt management in Singapore
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Monetary Authority of Singapore
- 315-323 Fiscal policy, public debt management and government bond markets: issues for central banks
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Lesetja Kganyago
- 325-333 Fiscal policy and its implication for central banks
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Suchada Kirakul
- 335-350 Globalisation of the interaction between fiscal and monetary policy
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Mehmet Yörükoglu & Mustafa Kilinc
- 348-351 Sovereign debt management and the central bank: an emerging market perspective
In: Are central bank balance sheets in Asia too large?
by Sanjay K Hansda
- 352-369 Debt and monetary policy: comments on Jagjit S Chadha, Luisa Corrado and Jack Meaning's paper "Reserves, liquidity and money: an assessment of balance sheet policies", and further thoughts
In: Are central bank balance sheets in Asia too large?
by Alec Chrystal
- 370-373 Dealing with volatile capital flows in Korea
In: Are central bank balance sheets in Asia too large?
by Myung Hun Kang
- 374-376 Policy panel: Regional challenges ahead - dealing with capital flows, prolonged exchange rate intervention and their consequences in Asia and the Pacific
In: Are central bank balance sheets in Asia too large?
by Prasarn Trairatvorakul
- 377-387 Notes for wrap-up panel discussion
In: Are central bank balance sheets in Asia too large?
by Andrew Sheng
2011
- 1-3 Introduction
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Andrew Filardo & James Yetman
- 1-4 Welcome address
In: Macroprudential regulation and policy
by Choongsoo Kim
- 1-4 Introduction
In: Portfolio and risk management for central banks and sovereign wealth funds
by Joachim Coche & Ken Nyholm & Gabriel Petre
- 1-5 Central banking in Africa: prospects in a changing world
In: Central banking in Africa: prospects in a changing world
by Jaime Caruana
- 1-8 How have external factors affected monetary policy in the EMEs?
In: Capital flows, commodity price movements and foreign exchange intervention
by Dubravko Mihaljek
- 1-10 The global crisis and financial intermediation in emerging market economies: an overview
In: The global crisis and financial intermediation in emerging market economies
by Ramon Moreno
- 4-5 Opening remarks
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Sung-il Lee
- 5-15 Macroprudential policies beyond Basel III
In: Macroprudential regulation and policy
by Hyun Song Shin
- 5-17 Financial turbulence and international investment
In: Portfolio and risk management for central banks and sovereign wealth funds
by Robert Z Aliber
- 6-8 Opening remarks
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Már Guðmundsson
- 7-9 Opening remarks: financial inclusion and the regulation of microfinance
In: Central banking in Africa: prospects in a changing world
by Muhammad Yunus
- 9-18 Currency internationalisation: an overview
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Peter B Kenen
- 9-35 International banks, new liquidity rules and monetary policy in EMEs
In: Capital flows, commodity price movements and foreign exchange intervention
by Elod Takáts & Agustín Villar
- 11-20 Financial access: what has the crisis changed?
In: Central banking in Africa: prospects in a changing world
by Penelope Hawkins
- 11-29 Cross-border bank lending to emerging market economies
In: The global crisis and financial intermediation in emerging market economies
by Elod Takats
- 16-28 Challenges for the design and conduct of macroprudential policy
In: Macroprudential regulation and policy
by Stefan Ingves
- 19-47 Managing foreign exchange reserves in the crisis and after
In: Portfolio and risk management for central banks and sovereign wealth funds
by Robert N McCauley & Jean-François Rigaudy
- 19-56 Motivations for swap-covered foreign currency borrowing
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Anella Munro & Philip Wooldridge
- 21-36 Central bank governance and financial stability: issues of potential relevance to Africa
In: Central banking in Africa: prospects in a changing world
by Serge Jeanneau
- 29-35 Systemic risk measures: the simpler the better?
In: Macroprudential regulation and policy
by María Rodríguez-Moreno & Juan Ignacio Peña
- 31-48 Domestic bank intermediation in emerging market economies during the crisis: locally owned versus foreign-owned banks
In: The global crisis and financial intermediation in emerging market economies
by Dubravko Mihaljek
- 36-43 Systemic risk contributions
In: Macroprudential regulation and policy
by Xin Huang & Hao Zhou & Haibin Zhu
- 37-61 Have monetary transmission mechanisms in Africa changegd?
In: Central banking in Africa: prospects in a changing world
by Benedicte Vibe Christensen
- 37-63 Exchange rate and monetary policy frameworks in EMEs
In: Capital flows, commodity price movements and foreign exchange intervention
by Andrew Filardo & Guonan Ma & Dubravko Mihaljek
- 44-50 Systemic capital requirements
In: Macroprudential regulation and policy
by Lewis Webber & Matthew Willison
- 49-72 Impact of the crisis on local money and debt markets in emerging market economies
In: The global crisis and financial intermediation in emerging market economies
by Ramon Moreno & Agustin Villar
- 49-74 Diversifying market and default risk in high grade sovereign bond portfolios
In: Portfolio and risk management for central banks and sovereign wealth funds
by Myles Brennan & Adam Kobor & Vidhya Rustaman
- 51-57 Monetary policy framework and financial procyclicality: international evidence
In: Macroprudential regulation and policy
by Kyungsoo Kim & Byoung-Ki Kim & Hail Park
- 57-74 The euro: internationalised at birth
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Frank Moss
- 58-65 Boom-bust cycles and stabilisation policy - monetary and macroprudential rules: a loss function approach
In: Macroprudential regulation and policy
by Caterina Mendicino & Maria Teresa Punzi
- 63-80 Capital flows, commodity price movements and foreign exchange intervention
In: Central banking in Africa: prospects in a changing world
by Logan Rangasamy & Dubravko Mihaljek
- 65-86 Foreign exchange market intervention in EMEs: implications for central banks
In: Capital flows, commodity price movements and foreign exchange intervention
by Ramon Moreno
- 66-72 Optimal macroprudential regulation in a Fisherian model of financial crises
In: Macroprudential regulation and policy
by Javier Bianchi & Enrique G Mendoza
- 73-81 The long-term economic impact of higher capital levels
In: Macroprudential regulation and policy
by Jochen Schanz & David Aikman & Paul Collazos & Marc Farag & David Gregory & Sujit Kapadia
- 73-96 Central bank instruments to deal with the effects of the crisis on emerging market economies
In: The global crisis and financial intermediation in emerging market economies
by Ramon Moreno
- 75-84 Combining equilibrium, resampling, and analysts' views in portfolio optimization
In: Portfolio and risk management for central banks and sovereign wealth funds
by José Luis Barros Fernandes & José Renato Haas Ornelas & Oscar Augusto Martínez Cusicanqui
- 75-92 Internationalising the yen, 1984-2003: unfinished agenda or mission impossible?
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Shinji Takagi
- 82-88 Macrofinancial vulnerabilities and future financial stress: assessing systemic risks and predicting systemic events
In: Macroprudential regulation and policy
by Marco Lo Duca & Tuomas Peltonen
- 85-110 Portfolio optimization and long-term dependence
In: Portfolio and risk management for central banks and sovereign wealth funds
by Carlos León & Alejandro Reveiz
- 87-100 Annex: Alternative central bank policy instruments
In: Capital flows, commodity price movements and foreign exchange intervention
by Dubravko Mihaljek & Agne Subelyte
- 89-96 Getting effective macroprudential policy on the road: eight propositions
In: Macroprudential regulation and policy
by Dietrich Domanski & Tim Ng
- 93-104 The euro and the yen as anchor currencies before and during the financial crisis - comments on Moss's paper "The euro: internationalised at birth" and Takagi's paper "Internationalising the yen, 1984-2003: unfinished agenda or mission impossible?"
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Robert N McCauley
- 97-106 Countercyclical tools: a comparative assessment
In: Macroprudential regulation and policy
by Sang Chul Ryoo & Cheol Hong
- 97-111 The international banking crisis and its impact on Argentina
In: The global crisis and financial intermediation in emerging market economies
by Central Bank of Argentina
- 101-110 External factors and monetary policy
In: Capital flows, commodity price movements and foreign exchange intervention
by Miguel Angel Pesce
- 105-124 Internationalisation of the renminbi
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Haihong Gao & Yongding Yu
- 107-110 Macroprudential policy and central bank communication
In: Macroprudential regulation and policy
by Benjamin Born & Michael Ehrmann & Marcel Fratzscher
- 111-119 Thoughts on the proper design of macro stress tests
In: Macroprudential regulation and policy
by Petr Jakubík & Gregory Sutton
- 111-121 Issues in cross-border funding of chilean banks
In: Capital flows, commodity price movements and foreign exchange intervention
by Kevin Cowan & Carla Valdivia
- 111-137 Including linkers in a sovereign bond portfolio: an HJM approach
In: Portfolio and risk management for central banks and sovereign wealth funds
by Ricardo Selves & Marcin Stamirowski
- 113-120 Brazil and the 2008 panic
In: The global crisis and financial intermediation in emerging market economies
by Mario Mesquita & Mario Toros
- 120-123 Macroprudential policy framework
In: Macroprudential regulation and policy
by Hoo-Kyu Rhu
- 121-130 The evolution of credit in Chile
In: The global crisis and financial intermediation in emerging market economies
by Kevin Cowan & Manuel Marfan
- 123-128 China's exchange rate and monetary policies
In: Capital flows, commodity price movements and foreign exchange intervention
by Wang Xiaoyi
- 124-128 Macroprudential policy framework
In: Macroprudential regulation and policy
by Christine M Cumming
- 129-135 Key issues for the success of macroprudential policies
In: Macroprudential regulation and policy
by Ignazio Visco
- 129-153 Monetary policy and the exchange rate in Colombia
In: Capital flows, commodity price movements and foreign exchange intervention
by Hernando Vargas H
- 131-132 Central bank instruments to deal with the crisis – from the perspective of the People’s Bank of China
In: The global crisis and financial intermediation in emerging market economies
by People's Bank of China
- 133-169 Effects of reserve requirements in an inflation targeting regime: the case of Colombia
In: The global crisis and financial intermediation in emerging market economies
by Hernando Vargas Herrera & Yanneth R Betancourt & Carlos Varela & Norberto Rodriguez
- 136-141 Remarks on macroprudential policy frameworks
In: Macroprudential regulation and policy
by David Longworth
- 139-163 Inflation hedging portfolios in different regimes
In: Portfolio and risk management for central banks and sovereign wealth funds
by Marie Brière & Ombretta Signori
- 149-150 Comments on Gao and Yu's paper "Internationalisation of the renminbi" and Chen, Peng and Shu's paper "The potential of the renminbi as an international currency"
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Frank Song
- 151-171 Dealing with the benefits and costs of internationalisation of the Korean won
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Kyungsoo Kim & Young Kyung Suh
- 155-162 Long-run equilibrium exchange rate notions in monetary policy strategies: the case of the Czech National Bank
In: Capital flows, commodity price movements and foreign exchange intervention
by Mojmir Hampl & Michal Skorepa
- 163-178 Loan-to-value ratio as a macroprudential tool - Hong Kong SAR's experience and cross-country evidence
In: Capital flows, commodity price movements and foreign exchange intervention
by Hong Kong Monetary Authority
- 165-186 The role of SDR-denominated securities in official and private portfolios
In: Portfolio and risk management for central banks and sovereign wealth funds
by George Hoguet & Solomon Tadesse
- 171-179 The international banking crisis and domestic financial intermediation in the Czech Republic
In: The global crisis and financial intermediation in emerging market economies
by Vitezslav Babicky
- 172-179 Progress towards internationalisation: the Korean and Singaporean experiences - comments on Kim and Suh's paper "Internationalisation of the won" and Luke Goh's paper "Singapore dollar's evolution away from non-internationaliation"
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Atchana Waiquamdee
- 179-188 Monetary policy challenges during the crisis in a small open dollarised economy: the case of Hungary
In: Capital flows, commodity price movements and foreign exchange intervention
by Aron Gereben & Ferenc Karvalits & Zalan Kocsis
- 180-197 Internationalisation of currency in East Asia: implications for regional monetary and financial cooperation
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Yung-Chul Park & Kwanho Shin
- 181-193 Dislocations in the FX swap and money markets in Hong Kong SAR during the global credit crisis of 2007-08
In: The global crisis and financial intermediation in emerging market economies
by Laurence Fung & Ip-wing Yu
- 187-209 Optimal active portolio management and relative performance drivers: theory and evidence
In: Portfolio and risk management for central banks and sovereign wealth funds
by Roberto Violi
- 189-199 External factors and monetary policy: Indian evidence
In: Capital flows, commodity price movements and foreign exchange intervention
by Subit Gokarn & Bhupal Singh
- 195-224 The demise of the halcyon days in Hungary: “foreign” and “local” banks – before and after the crisis
In: The global crisis and financial intermediation in emerging market economies
by Adam Banai & Julia Kiraly & Marton Nagy
- 198-201 Comments on Park and Shin's paper "Internationalisation of currency in East Asia: implications for regional monetary and financial cooperation"
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Rizal A Djaafara
- 201-213 The equilibrium real exchange rate for Israel
In: Capital flows, commodity price movements and foreign exchange intervention
by Zvi Eckstein & Amit Friedman
- 202-217 A generation of an internationalised Australian dollar
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Ric Battellino & Michael Plumb
- 211-256 Explaining the returns of active currency managers
In: Portfolio and risk management for central banks and sovereign wealth funds
by Sam Nasypbek & Scheherazade S Rehman
- 215-230 Characteristics of international banks' claims on Korea and their implications for monetary policy
In: Capital flows, commodity price movements and foreign exchange intervention
by Jong Hwa Kim
- 218-220 Comments on Gopinath's paper "An internationalised rupee?" and Battellino's paper "A generation of an internationalised Australian dollar": a journey through time
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Diwa C Guinigundo
- 221-230 Currency internationalisation: analytical and policy issues
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Hans Genberg
- 225-234 Impact of the international banking crisis on the Indian financial system
In: The global crisis and financial intermediation in emerging market economies
by Anand Sinha
- 231-232 Panel discussion
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Akinari Horii
- 231-237 Financial market depth: friend or foe when it comes to effective management of monetary policy and capital flows?
In: Capital flows, commodity price movements and foreign exchange intervention
by Sukudhew Singh
- 233-242 The recent experience of the Korean economy with currency internationalisation
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Gwang-Ju Rhee
- 235-256 Domestic bank intermediation: domestically owned versus foreign-owned banks in Israel
In: The global crisis and financial intermediation in emerging market economies
by David Marzuk
- 239-260 Global liquidity, capital flows and challenges for policymakers: the Mexican experience
In: Capital flows, commodity price movements and foreign exchange intervention
by José Sidaoui & Manuel Ramos-Francia & Gabriel Cuadra
- 243-247 Panel discussion
In: Currency internationalisation: lessons from the global financial crisis and prospects for the future in Asia and the Pacific
by Grant Spencer
- 257-266 The Bank of Korea's policy response to the global financial crisis
In: The global crisis and financial intermediation in emerging market economies
by Hee Chun Chung
- 257-285 An option theoretic model for ultimate loss-given-default with systematic recovery risk and stochastic returns on defaulted debt
In: Portfolio and risk management for central banks and sovereign wealth funds
by Michael Jacobs, Jr
- 261-274 Capital flows, monetary policy and forex intervention in Peru
In: Capital flows, commodity price movements and foreign exchange intervention
by Renzo Rossini & Zenon Quispe & Donita Rodriguez
- 267-278 Impact of the global crisis on Malaysia's financial system
In: The global crisis and financial intermediation in emerging market economies
by Muhammad bin Ibrahim
- 275-283 External factors and Philippine monetary policy
In: Capital flows, commodity price movements and foreign exchange intervention
by Diwa C Guinigundo
- 279-298 The global financial crisis and policy response in Mexico
In: The global crisis and financial intermediation in emerging market economies
by Jose Sidaoui & Manuel Ramos-Francia & Manuel Gabriel Cuadra
- 285-295 The role of the exchange rate in monetary policy in Poland
In: Capital flows, commodity price movements and foreign exchange intervention
by Piotr Banbula & Witold Kozinski & Michal Rubaszek
- 287-314 Securitization rating performance and agency incentives
In: Portfolio and risk management for central banks and sovereign wealth funds
by Daniel Rösch & Harald Scheule
- 297-299 Exchange rate flexibility and Russia's monetary policy shift
In: Capital flows, commodity price movements and foreign exchange intervention
by Central Bank of the Russian Federation
- 299-316 Monetary policy during the global financial crisis of 2007-09: the case of Peru
In: The global crisis and financial intermediation in emerging market economies
by Zenon Quispe & Renzo Rossini
- 301-305 Monetary policy in Saudi Arabia
In: Capital flows, commodity price movements and foreign exchange intervention
by Abdulrahman Al-Hamidy
- 307-314 Recent developments in the Singapore economy
In: Capital flows, commodity price movements and foreign exchange intervention
by Monetary Authority of Singapore
- 315-318 Monetary policy in the post-crisis world: the perspective from Thailand
In: Capital flows, commodity price movements and foreign exchange intervention
by Bank of Thailand
- 317-342 The impact of the global financial crisis on the Philippine financial system - an assessment
In: The global crisis and financial intermediation in emerging market economies
by Diwa C Guinigundo
- 319-343 Capital flows in the post-global financial crisis era: implications for financial stability and monetary policy
In: Capital flows, commodity price movements and foreign exchange intervention
by Mahir Binici & Mehmet Yörükoglu
- 343-346 The international banking crisis and domestic financial intermediation: the experience of Poland
In: The global crisis and financial intermediation in emerging market economies
by Witold Kozinski
- 347-357 The global financial crisis: impact on Saudi Arabia
In: The global crisis and financial intermediation in emerging market economies
by Abdulrahman Al-Hamidy
- 359-363 The international banking crisis: effects and some key lessons
In: The global crisis and financial intermediation in emerging market economies
by Ong Chong Tee
- 365-376 The international banking crisis and domestic financial intermediation in emerging market economies: issues for South Africa
In: The global crisis and financial intermediation in emerging market economies
by South African Reserve Bank
- 377-385 The international banking crisis: impact on Thailand’s financial system and policy responses
In: The global crisis and financial intermediation in emerging market economies
by Bank of Thailand
- 387-405 The effects of the global financial crisis on the Turkish financial sector
In: The global crisis and financial intermediation in emerging market economies
by Mehmet Yörükoglu & Hakan Atasoy
2010
- 1-1 Preface
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Már Gudmundsson
- 1-3 Opening address at the BIS conference in Honour of Palle S Andersen
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Malcolm D Knight
- 1-3 Perspectives on inflation targeting, financial stability and the global crisis
In: Perspectives on inflation targeting, financial stability and the global crisis
by Camilo E Tovar
- 1-7 Challenges to inflation targeting: raising some issues
In: Perspectives on inflation targeting, financial stability and the global crisis
by Már Gudmundsson
- 1-11 Monetary policy and the measurement of inflation: prices, wages and expectations
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Stephen G Cecchetti
- 5-9 Luncheon speech at the BIS Conference in Honour of Palle S Andersen
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Kazumasa Iwata
- 9-13 Recent challenges of inflation targeting
In: Perspectives on inflation targeting, financial stability and the global crisis
by Jose De Gregorio
- 11-14 Speech at the opening dinner of the BIS Conference in Honour of Palle S Andersen
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by William R White
- 13-51 Some issues in measuring and tracking prices in emerging market exonomies
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Ramon Moreno
- 15-16 Opening remarks
In: The international financial crisis and policy challenges in Asia and the Pacific
by Zhou Xiaochuan
- 15-18 Inflation targeting in hard times
In: Perspectives on inflation targeting, financial stability and the global crisis
by Guillermo Calvo
- 15-26 Palle Schelde Andersen: a practical economist
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Philip Turner
- 17-20 Opening remarks
In: The international financial crisis and policy challenges in Asia and the Pacific
by Jaime Caruana
- 21-25 Central banks and the financial crisis
In: Perspectives on inflation targeting, financial stability and the global crisis
by Philip Turner
- 21-82 The international financial crisis: timeline, impact and policy responses in Asia and the Pacific
In: The international financial crisis and policy challenges in Asia and the Pacific
by Andrew Filardo & Jason George & Mico Loretan & Guonan Ma & Anella Munro & Ilhyock Shim & Philip Wooldridge & James Yetman & Haibin Zhu
- 27-30 Financial stability in a crisis: What is the role of the central bank?
In: Perspectives on inflation targeting, financial stability and the global crisis
by Vittorio Corbo
- 27-50 Global imbalances and the emergence of Asia
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Palle S Andersen
- 31-34 Central bank responses to financial crises
In: Perspectives on inflation targeting, financial stability and the global crisis
by Michael Dooley
- 51-63 Immigration: trends and macroeconomic implications
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Stephen Nickell
- 53-75 Wages, productivity and "structural" inflation in emerging market economies
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Dubravko Mihaljek & Sweta Saxena
- 65-68 Discussion comments on "Immigration: trends and macroeconomic implications"
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Torben M Andersen
- 69-75 Discussion comments on "Immigration: trends and macroeconomic implications"
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by William Wascher
- 77-92 Inflation expectations, persistence and monetary policy
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Ramon Moreno & Agustin Villar
- 77-103 Exploring international migration and outsourcing through an institutional lens
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Jill Rubery & Annamaria Simonazzi & Kevin Ward
- 83-96 Development of financial markets in Asia and the Pacific: the international financial crisis and policy challenges
In: The international financial crisis and policy challenges in Asia and the Pacific
by Suresh Sundaresan
- 93-106 Monetary policy and measures of inflation
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Miguel Angel Pesce
- 97-144 Why issue bonds offshore?
In: The international financial crisis and policy challenges in Asia and the Pacific
by Susan Black & Anella Munro
- 105-106 Discussion comments on "Exploring international migration and outsourcing through an institutional lens"
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by David T Coe
- 107-113 Discussion comments on "Exploring international migration and outsourcing through an institutional lens"
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Adrian Blundell-Wignall
- 107-114 Survey-based inflation expectations in Brazil
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Carlos Hamilton V Araujo & Wagner P Gaglianone
- 115-128 Labour markets in newly integrating economies such as India and China: are they different?
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Suresh D Tendulkar
- 115-128 Terms of trade, commodity prices and inflation dynamics in Chile
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Jorge Desormeaux & Pablo García & Claudio Soto
- 129-136 Discussion comments on "Labour markets in newly integrating economies such as India and China: are they different?"
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Patrick Artus
- 129-171 Assessing inflationary pressures in Colombia
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Hernando Vargas & Andrés González & Eliana González & José Vicente Romero & José Luis Eduardo Rojas
- 137-138 Discussion comments on "Labour markets in newly integrating economies such as India and China: are they different?"
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Johnny Åkerholm
- 139-157 Globalisation and labour markets: implications of the emergence of China and India
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by David T Coe
- 145-185 Motivations for swap-covered foreign currency borrowing
In: The international financial crisis and policy challenges in Asia and the Pacific
by Anella Munro & Philip Wooldridge
- 159-172 Panel discussion
In: Globalisation, labour markets and international adjustment - Essays in honour of Palle S Andersen
by Bank for International Settlements
- 173-176 Inflation expectations under Czech inflation targeting
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Mojmir Hampl
- 177-200 Measures of trend inflation in Hong Kong
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Frank Leung & Kevin Chow & Simon Chan
- 186-210 Private information, stock markets, and exchange rates
In: The international financial crisis and policy challenges in Asia and the Pacific
by Jacob Gyntelberg & Mico Loretan & Tientip Subhanij & Eric Chan
- 201-207 Monetary policy under import price shocks: the case of Hungary
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Zoltan M Jakab & Ferenc Karvalits
- 209-232 Monetary policy in response to imported price shocks: the Israeli case
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Zvi Eckstein & Guy Segal
- 211-214 Discussant remarks: development of financial markets in Asia and the Pacific
In: The international financial crisis and policy challenges in Asia and the Pacific
by Sukudhew Singh
- 215-216 High-level policy panel on the development of financial markets
In: The international financial crisis and policy challenges in Asia and the Pacific
by Joseph Yam
- 217-218 High-level policy panel on the development of financial markets
In: The international financial crisis and policy challenges in Asia and the Pacific
by Grant Spencer
- 219-228 High-level policy panel on the development of financial markets: macroeconomic and financial stability amidst the global financial crisis - the Singapore experience
In: The international financial crisis and policy challenges in Asia and the Pacific
by Ong Chong Tee
- 229-250 Exchange rate policies
In: The international financial crisis and policy challenges in Asia and the Pacific
by Charles Engel
- 233-247 Measures of core inflation in Korea
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Jae Chun Kum & Yang Woo Kim & Seung Yong Lee