Content
2010
- 249-257 On the predictive content of the PPI on CPI inflation: the case of Mexico
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Jose Sidaoui & Carlos Capistran & Daniel Chiquiar & Manuel Ramos-Francia - 251-273 Targeting inflation in Asia and the Pacific: lessons from the recent past
In: The international financial crisis and policy challenges in Asia and the Pacific
by Andrew Filardo & Hans Genberg - 259-283 Measurement of price indices used by the central bank of Peru
In: Monetary policy and the measurement of inflation: prices, wages and expectations
by Adrian Armas & Lucy Vallejos & Marco Vega - 274-298 Financial deleveraging and the international transmission of shocks
In: The international financial crisis and policy challenges in Asia and the Pacific
by Michael B Devereux & James Yetman - 285-295 Measurement of price indices used by the central bank of Peru
In: Measurement of inflation and the Philippine monetary policy framework
by Diwa C Guinigundo - 290-295 Discussant remarks: monetary policy and exchange rate issues in Asia and the Pacific
In: The international financial crisis and policy challenges in Asia and the Pacific
by Kyungsoo Kim - 296-302 High-level policy panel on monetary policy and exchange rate issues: some thoughts on the future of inflation targeting
In: The international financial crisis and policy challenges in Asia and the Pacific
by Amando Tetangco, Jr - 297-323 To what extent can we trust core inflation measures? The experience of CEE countries
In: Measurement of inflation and the Philippine monetary policy framework
by Piotr Wiesiolek & Anna Kosior - 303-306 High-level policy panel on monetary policy and exchange rate issues: the RBA's monetary policy challenges during the international financial crisis
In: The international financial crisis and policy challenges in Asia and the Pacific
by Ric Battellino - 307-317 Banks and public sector authorities: the international financial crisis and policy challenges in Asia-Pacific
In: The international financial crisis and policy challenges in Asia and the Pacific
by C A E Goodhart - 318-339 Contagion and risk premia in the amplification of crisis: evidence from Asian names in the global CDS market
In: The international financial crisis and policy challenges in Asia and the Pacific
by Don H Kim & Mico Loretan & Eli M Remolona - 325-330 Monetary policy and the measurement of inflation: prices, wages and expectations
In: Measurement of inflation and the Philippine monetary policy framework
by Abdulrahman Al-Hamidy - 331-345 Monetary policy and the measurement of inflation: prices, wages and expectations - a South African perspective
In: Measurement of inflation and the Philippine monetary policy framework
by South African Reserve Bank - 340-370 Determinants of house prices in nine Asia-Pacific economies
In: The international financial crisis and policy challenges in Asia and the Pacific
by Eloisa T Glindro & Tientip Subhanij & Jessica Szeto & Haibin Zhu - 347-367 Monetary policy and underlying inflation pressures: the essence of monetary policy design
In: Measurement of inflation and the Philippine monetary policy framework
by Atchana Waiquamdee & Pranee Sutthasri & Surach Tanboon - 369-389 Difficulties in inflation measurement and monetary policy in emerging market economies
In: Measurement of inflation and the Philippine monetary policy framework
by Mehmet Yörükoglu - 371-375 Discussant remarks: financial stability issues in Asia and the Pacific
In: The international financial crisis and policy challenges in Asia and the Pacific
by Diwa C Guinigundo - 376-377 High-level policy panel on financial stability issues
In: The international financial crisis and policy challenges in Asia and the Pacific
by Zhou Xiaochuan - 378-382 High-level policy panel on financial stability issues: unconventional monetary policy - how central banks can face the challenges and learn the lessons
In: The international financial crisis and policy challenges in Asia and the Pacific
by Masaaki Shirakawa - 383-386 High-level policy panel on financial stability issues
In: The international financial crisis and policy challenges in Asia and the Pacific
by Tarisa Watanagase - 387-388 Closing remarks
In: The international financial crisis and policy challenges in Asia and the Pacific
by Zeti Akhtar Aziz - 389-390 Closing remarks
In: The international financial crisis and policy challenges in Asia and the Pacific
by Jaime Caruana - 51-01 Foreword
In: Perspectives on inflation targeting, financial stability and the global crisis
by Bank for International Settlements
2009
- 1-3 Introduction for "Household debt: implications for monetary policy and financial stability"
In: Household debt: implications for monetary policy and financial stability
by Guonan Ma & Eli Remolona & Ilhyock Shim - 4-5 Opening address to "Household debt: implications for monetary policy and financial stability"
In: Household debt: implications for monetary policy and financial stability
by Seongtae Lee - 6-16 Bank supervision and central banking: understanding credit during a time of financial turmoil
In: Household debt: implications for monetary policy and financial stability
by Eric S Rosengren - 17-18 Opening speech to "Household debt: implications for monetary policy and financial stability"
In: Household debt: implications for monetary policy and financial stability
by Robert McCauley - 19-30 Household debt in Australia
In: Household debt: implications for monetary policy and financial stability
by Michael Davies - 51-57 Development of consumer credit in China
In: Household debt: implications for monetary policy and financial stability
by Shen Bingxi & Yan Lijuan - 51-57 Development of consumer credit in China
In: Household debt: implications for monetary policy and financial stability
by Shen Bingxi & Yan Lijuan - 58-74 Risk profile of households and the impact on financial stability
In: Household debt: implications for monetary policy and financial stability
by Wimboh Santoso & Made Sukada - 75-82 A note on Japanese household debt: international comparison and implications for financial stability
In: Household debt: implications for monetary policy and financial stability
by Shinobu Nakagawa & Yosuke Yasui - 83-94 Household debt, the savings rate and monetary policy: the Korean experience
In: Household debt: implications for monetary policy and financial stability
by Kyuil Chung - 95-106 Credit card lending distress in Korea in 2003
In: Household debt: implications for monetary policy and financial stability
by Taesoo Kang & Guonan Ma - 107-116 Household debt in Malaysia
In: Household debt: implications for monetary policy and financial stability
by Norhana Endut & Toh Geok Hua - 117-123 Consumer credit in the Philippines
In: Household debt: implications for monetary policy and financial stability
by Winecito L Tan - 124-135 Household indebtedness in Sweden and implications for financial stability – the use of household-level data
In: Household debt: implications for monetary policy and financial stability
by Mattias Persson - 136-161 Household sector and monetary policy implications: Thailand’s recent experience
In: Household debt: implications for monetary policy and financial stability
by Tientip Subhanij
2008
- 1-4 Conference summary from "Financial market developments and their implications for monetary policy"
In: Financial market developments and their implications for monetary policy
by Bank for International Settlements - 1-10 Financial globalisation and emerging market capital flows
In: Financial globalisation and emerging market capital flows
by Philip Turner - 1-14 New financing trends in Latin America
In: New financing trends in Latin America: a bumpy road towards stability
by Camilo E Tovar & Myriam Quispe-Agnoli - 1-37 Assessing the integration of Asia's equity and bond markets
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 1-59 Monetary policy transmission in emerging market economies: what is new?
In: Transmission mechanisms for monetary policy in emerging market economies
by M S Mohanty & Philip Turner - 5-6 Opening remarks from "Financial market developments and their implications for monetary policy"
In: Financial market developments and their implications for monetary policy
by Dato’ Ooi Sang Kuang - 7-29 Financial globalisation: key trends and implications for the transmission mechanism of monetary policy
In: Financial market developments and their implications for monetary policy
by Már Gudmundsson - 11-44 The financial stability implications of increased capital flows for emerging market economies
In: Financial globalisation and emerging market capital flows
by Dubravko Mihaljek - 15-27 Financing trends in Latin America
In: New financing trends in Latin America: a bumpy road towards stability
by Myriam Quispe-Agnoli & Diego Vilán - 28-45 Policy space and the changing paradigm in conducting macroeconomic policies in developing countries
In: New financing trends in Latin America: a bumpy road towards stability
by José Antonio Ocampo & Rob Vos - 30-47 Capital, carry, & complacency: key developments in the financial landscape – dynamics of the foreign exchange market and capital flows
In: Financial market developments and their implications for monetary policy
by Brendan Fitzsimmons - 38-61 Why is there so little regional financial integration in Asia?
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 45-69 Pension systems in EMEs: implications for capital flows and financial markets
In: Financial globalisation and emerging market capital flows
by Ramon Moreno & Marjorie Santos - 46-64 Latin America’s local currency bond markets: an overview
In: New financing trends in Latin America: a bumpy road towards stability
by Serge Jeanneau & Camilo E Tovar - 49-99 Impact of financial market developments on the monetary transmission mechanism
In: Financial market developments and their implications for monetary policy
by Sukudhew Singh & Ahmad Razi & Norhana Endut & Helmi Ramlee - 61-79 Monetary policy transmission and the long-term interest rate in emerging markets
In: Transmission mechanisms for monetary policy in emerging market economies
by Ramon Moreno - 62-119 Dissecting regional integration in financial services from the competition policy and trade policy perspectives
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 65-87 Financial stability implications of local currency bond markets: an overview of the risks
In: New financing trends in Latin America: a bumpy road towards stability
by Serge Jeanneau & Camilo E Tovar - 71-87 Hedging instruments in emerging market economies
In: Financial globalisation and emerging market capital flows
by Sweta Saxena & Agustin Villar - 81-102 Capital flows, exchange rate regime and monetary policy
In: Transmission mechanisms for monetary policy in emerging market economies
by Sweta C Saxena - 88-109 Local debt expansion and vulnerability reduction: an assessment for six crisis-prone countries
In: New financing trends in Latin America: a bumpy road towards stability
by Paloma Acevedo & Enrique Alberola & Carmen Broto - 89-101 Capital flows, economic performance and economic policy: Argentina’s experience during the last decade
In: Financial globalisation and emerging market capital flows
by Miguel Angel Pesce - 100-113 The changing nature of financial intermediation and its implications for monetary policy
In: Financial market developments and their implications for monetary policy
by Hans Genberg - 103-119 Capital flows to the Brazilian economy: 2003–07
In: Financial globalisation and emerging market capital flows
by Katherine Hennings & Mário Mesquita - 103-130 Exchange rate pass-through in emerging market economies: what has changed and why?
In: Transmission mechanisms for monetary policy in emerging market economies
by Dubravko Mihaljek & Marc Klau - 110-139 Plumbing for Latin American capital markets
In: New financing trends in Latin America: a bumpy road towards stability
by Sudarat Ananchotikul & Barry Eichengreen - 114-125 Financial market innovation in Australia: implications for the conduct of monetary policy
In: Financial market developments and their implications for monetary policy
by John Broadbent - 120-135 Regional financial cooperation in Asia: challenges and path to development
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 121-142 Financial implications of capital outflows in Chile: 1998–2008
In: Financial globalisation and emerging market capital flows
by Jorge Desormeaux & Karol Fernández & Pablo García - 126-141 Developing financial markets and operating monetary policy in Asia
In: Financial market developments and their implications for monetary policy
by Robert N McCauley - 131-137 Transmission mechanisms for monetary polidy in emerging market economies: what is new?
In: Transmission mechanisms for monetary policy in emerging market economies
by Miguel Angel Pesce - 136-158 Measuring economic integration: the case of Asian economies
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 139-158 Brazil: taming inflation expectations
In: Transmission mechanisms for monetary policy in emerging market economies
by Afonso S Bevilaqua & Mário Mesquita & André Minella - 140-163 Domestic securities markets and monetary policy in Latin America: overview and implications
In: New financing trends in Latin America: a bumpy road towards stability
by Serge Jeanneau & Camilo E Tovar - 142-166 Using financial market information in monetary policy: some examples from New Zealand
In: Financial market developments and their implications for monetary policy
by Clinton Watkins - 143-151 China: the evolution of foreign exchange controls and the consequences of capital flows
In: Financial globalisation and emerging market capital flows
by People’s Bank of China - 153-184 Capital flows and financial assets in Colombia: recent behaviour, consequences and challenges for the central bank
In: Financial globalisation and emerging market capital flows
by Hernando Vargas & Carlos Varela - 159-178 The "great moderation" and the monetary transmission mechanism in Chile
In: Transmission mechanisms for monetary policy in emerging market economies
by Cristina Betancour & José De Gregorio & Juan Pablo Medina - 159-180 Volatility and persistence of capital flows
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 167-192 Equity prices as leading indicators: the Asian experience
In: Financial market developments and their implications for monetary policy
by Kenneth N Kuttner - 179-181 The monetary policy transmission mechanism in China
In: Transmission mechanisms for monetary policy in emerging market economies
by Yi Gang - 181-201 India’s financial openness and integration with Southeast Asian countries: an analytical perspective
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 183-211 The transmission mechanism of monetary policy in Colombia: major changes and current features
In: Transmission mechanisms for monetary policy in emerging market economies
by Hernando Vargas - 185-205 The Czech experience with capital flows: challenges for monetary policy
In: Financial globalisation and emerging market capital flows
by Ludek Niedermayer & Vit Barta - 202-236 Integration of India's stock market with global and major regional markets
In: Regional financial integration in Asia: present and future
by Bank for International Settlements - 207-219 Capital flows into and out of Hong Kong SAR: implications for monetary and financial stability
In: Financial globalisation and emerging market capital flows
by Hong Kong Monetary Authority - 213-219 Notes on the monetary transmission mechanism in the Czech economy
In: Transmission mechanisms for monetary policy in emerging market economies
by Ludek Niedermayer - 221-233 Retail credit expansion and external finance in Hungary: lessons from the recent past (1998–2007)
In: Financial globalisation and emerging market capital flows
by Julia Kiraly & Judit Antal & Marton Nagy & Viktor Szabo - 221-234 The housing market channel of the monetary transmission mechanism in Hong Kong
In: Transmission mechanisms for monetary policy in emerging market economies
by Hong Kong Monetary Authority - 235-257 The Hungarian monetary transmission mechanism: an assessment
In: Transmission mechanisms for monetary policy in emerging market economies
by Balazs Vonnak - 235-263 Capital flows to India
In: Financial globalisation and emerging market capital flows
by Rakesh Mohan - 259-307 Monetary policy transmission in India
In: Transmission mechanisms for monetary policy in emerging market economies
by Rakesh Mohan - 265-287 Capital flows in Indonesia: challenges and policy responses
In: Financial globalisation and emerging market capital flows
by Miranda S Goeltom - 289-304 Twenty years of financial liberalisation in Israel: 1987–2007
In: Financial globalisation and emerging market capital flows
by Zvi Eckstein & Tamar Ramot-Nyska - 305-320 Capital flows and effects on financial markets in Korea: developments and policy responses
In: Financial globalisation and emerging market capital flows
by Byung Chan Ahn - 309-332 The transmission mechanisms of monetary policy in Indonesia
In: Transmission mechanisms for monetary policy in emerging market economies
by Miranda S Goeltom - 321-339 Capital flows and financial assets in emerging markets: determinants, consequences and challenges for central banks: the Malaysian experience
In: Financial globalisation and emerging market capital flows
by Ooi Sang Kuang - 333-343 Exchange rate pass-through implications for monetary policy: the Israeli case
In: Transmission mechanisms for monetary policy in emerging market economies
by Zvi Eckstein & Yoav Soffer - 341-361 The impact of international financial integration on Mexican financial markets
In: Financial globalisation and emerging market capital flows
by Jose Sidaoui - 345-361 The monetary transmission mechanism in Malaysia: current developments and issues
In: Transmission mechanisms for monetary policy in emerging market economies
by Ooi Sang Kuang - 363-387 Macroeconomic implications of capital inflows: Peru 1991–2007
In: Financial globalisation and emerging market capital flows
by Renzo Rossini & Zenon Quispe & Rocío Gondo - 363-394 The monetary transmission mechanism in Mexico: recent developments
In: Transmission mechanisms for monetary policy in emerging market economies
by José J. Sidaoui & Manuel Ramos-Francia - 389-402 Capital flows and financial assets in the Philippines: determinants, consequences and challenges for the central bank
In: Financial globalisation and emerging market capital flows
by Celia M Gonzalez - 395-412 The monetary policy transmission mechanism under financial dollarisation: the case of Peru 1996-2006
In: Transmission mechanisms for monetary policy in emerging market economies
by Renzo Rossini & Marco Vega - 403-421 Capital flows and their implications for monetary and financial stability: the experience of Poland
In: Financial globalisation and emerging market capital flows
by Jerzy Pruski & Piotr Szpunar - 413-425 Transmission mechanism of monetary policy in the Philippines
In: Transmission mechanisms for monetary policy in emerging market economies
by Diwa C Guinigundo - 423-426 Capital flows and financial assets in emerging markets: determinants, consequences and challenges for central banks
In: Financial globalisation and emerging market capital flows
by Muhammad Al-Jasser & Ahmed Banafe - 427-437 The monetary transmission mechanism in Poland
In: Transmission mechanisms for monetary policy in emerging market economies
by Jerzy Pruski & Piotr Szpunar - 427-465 Thailand’s experiences with rising capital flows: recent challenges and policy responses
In: Financial globalisation and emerging market capital flows
by Yunyong Thaicharoen & Nasha Ananchotikul - 439-443 Monetary policy transmission mechanism in Saudi Arabia
In: Transmission mechanisms for monetary policy in emerging market economies
by Muhammad Al-Jasser - 445-449 The anchoring of inflation expectations in Singapore
In: Transmission mechanisms for monetary policy in emerging market economies
by Khor Hoe Ee & Saktiandi Supaat - 451-474 Changes in the monetary transmission mechanism in Thailand
In: Transmission mechanisms for monetary policy in emerging market economies
by Monetary Policy Department, Bank of Thailand - 467-484 Capital flows to Turkey: financial implications and policy responses
In: Financial globalisation and emerging market capital flows
by Mehmet Yorukoglu & Ali Çufadar - 475-499 The monetary transmission mechanism in Turkey: new developments
In: Transmission mechanisms for monetary policy in emerging market economies
by Erdem Basci & Özgür Özel & Cagri Sarikaya - 501-537 The differential impact of real interest rates and credit availability on private investment: evidence from Venezuela
In: Transmission mechanisms for monetary policy in emerging market economies
by Omar A Mendoza Lugo
2007
- 1-2 Introduction to "Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability"
In: Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability
by Serge Jeanneau & Camilo E Tovar & Ramon Moreno - 3-16 Banking systems: characteristics and structural changes
In: Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability
by Serge Jeanneau - 17-32 Banks and the changing nature of risks in Latin America and the Caribbean
In: Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability
by Camilo E Tovar - 33-51 Structural transformation of financial systems and its implications for monetary policy in Latin America and the Caribbean
In: Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability
by Camilo E Tovar - 52-63 Some prudential issues
In: Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability
by Serge Jeanneau
2006
- 1-2 Introductory remarks to "Monetary policy in Asia: approaches and implementation"
In: Monetary policy in Asia: approaches and implementation
by Peter Pang - 1-6 Developing corporate bond markets in Asia: a synopsis of the Kunming discussions
In: Developing corporate bond markets in Asia
by Guonan Ma & Eli Remolona & He Jianxiong - 1-9 The banking system in emerging economies: how much progress has been made?
In: The banking system in emerging economies: how much progress has been made?
by Philip Turner - 1-12 The development of Asian bond markets
In: Asian bond markets: issues and prospects
by Barry Eichengreen - 3-24 An Australian perspective on inflation targeting, communication and transparency
In: Monetary policy in Asia: approaches and implementation
by Malcolm Edey - 7-10 China's corporate bond market development: lessons learned
In: Developing corporate bond markets in Asia
by Zhou Xiaochuan - 11-12 Sharing experiences in developing corporate bond markets
In: Developing corporate bond markets in Asia
by Malcolm D Knight - 11-39 Banks and aggregate credit: what is new?
In: The banking system in emerging economies: how much progress has been made?
by M S Mohanty & Gert Schnabel & Pablo Garcia-Luna - 13-15 For the advent of a promising and sound Asian bond market
In: Asian bond markets: issues and prospects
by Tae-Shin Kwon - 13-21 Developing corporate bond markets in Asia
In: Developing corporate bond markets in Asia
by Jacob Gyntelberg & Guonan Ma & Eli Remolona - 16-18 Asian financial cooperation as seen from Europe
In: Asian bond markets: issues and prospects
by Gunter D Baer - 19-39 Developing the bond market(s) of East Asia: global, regional or national?
In: Asian bond markets: issues and prospects
by Robert N McCauley & Yung-Chul Park - 22-23 Why a corporate bond market: growth and direct finance
In: Developing corporate bond markets in Asia
by Marvin Goodfriend - 24-30 Developing multiple layers of financial intermediation: the complementary roles of corporate bond markets and banks
In: Developing corporate bond markets in Asia
by Suresh Sundaresan - 25-39 Monetary policy implementation in China
In: Monetary policy in Asia: approaches and implementation
by Marvin Goodfriend & Eswar Prasad - 31-38 Corporate bond market microstructure and transparency - the US experience
In: Developing corporate bond markets in Asia
by Amy K Edwards - 39-44 The role and function of rating agencies
In: Developing corporate bond markets in Asia
by Thomas Keller - 40-64 Monetary policy regimes and macroeconomic outcomes: Hong Kong and Singapore
In: Monetary policy in Asia: approaches and implementation
by Stefan Gerlach & Petra Gerlach-Kristen - 40-77 Why doesn’t Asia have bigger bond markets?
In: Asian bond markets: issues and prospects
by Barry Eichengreen & Pipat Luengnaruemitchai - 41-65 Privatisation, consolidation and the increased role of foreign banks
In: The banking system in emerging economies: how much progress has been made?
by Dubravko Mihaljek - 45-55 An overview of the Australian corporate bond market
In: Developing corporate bond markets in Asia
by Ric Battellino & Mark Chambers - 56-60 The development of China’s bond market
In: Developing corporate bond markets in Asia
by Mu Huaipeng - 61-73 Developing corporate bond markets: a European legal perspective
In: Developing corporate bond markets in Asia
by Erwin Nierop - 65-70 Comments on “Monetary policy regimes and macroeconomic outcomes: Hong Kong and Singapore” by Stefan Gerlach and Petra Gerlach-Kristen
In: Monetary policy in Asia: approaches and implementation
by Khor Hoe Ee - 67-98 The changing nature of risks facing banks
In: The banking system in emerging economies: how much progress has been made?
by Ramon Moreno - 71-73 Comments on “Monetary policy regimes and macroeconomic outcomes: Hong Kong and Singapore” by Stefan Gerlach and Petra Gerlach-Kristen
In: Monetary policy in Asia: approaches and implementation
by Wensheng Peng - 74-79 Developing bond markets in Asia: experience with ABF2
In: Developing corporate bond markets in Asia
by Julia Leung - 74-102 Monetary policy approaches in India
In: Monetary policy in Asia: approaches and implementation
by Kaushik Bhattacharya - 78-79 Comments on Barry Eichengreen and Pipat Luengnaruemitchai’s paper “Why doesn’t Asia have bigger bond markets?”
In: Asian bond markets: issues and prospects
by Ric Deverell - 80-81 On the Asian bond market: comments on Barry Eichengreen and Pipat Luengnaruemitchai’s paper “Why doesn’t Asia have bigger bond markets?”
In: Asian bond markets: issues and prospects
by Junggon Oh - 80-87 The corporate debt market in India
In: Developing corporate bond markets in Asia
by V K Sharma & Chandan Sinha - 82-98 Consolidating the public debt markets of Asia
In: Asian bond markets: issues and prospects
by Robert N McCauley - 88-95 Development of Japan’s credit markets
In: Developing corporate bond markets in Asia
by Hibiki Ichiue - 96-113 Developing the corporate bond market: the Korean experience
In: Developing corporate bond markets in Asia
by Myong-Jong Lee & Soo-Ho Kim - 99-100 Comments on McCauley’s paper “Consolidating the public debt markets of Asia”
In: Asian bond markets: issues and prospects
by Jungoon Oh - 99-122 Is financial stability policy now better placed to prevent systemic banking crises?
In: The banking system in emerging economies: how much progress has been made?
by Agustin Villar - 101-101 Asian bond markets: issues and prospects - Lunch address
In: Asian bond markets: issues and prospects
by Huhn-Gunn Ro - 102-128 Determinants of bond holdings by foreign investors
In: Asian bond markets: issues and prospects
by Kee-Hong Bae & Young Sup Yun & Warren Bailey - 103-104 Comments on: “Monetary policy approaches in India” by Kaushik Bhattacharya
In: Monetary policy in Asia: approaches and implementation
by Dominique Dwor-Frécaut - 105-132 Japanese monetary policy: 1998-2005 and beyond
In: Monetary policy in Asia: approaches and implementation
by Takatoshi Ito - 114-128 The corporate bond market in Malaysia
In: Developing corporate bond markets in Asia
by Muhammad bin Ibrahim & Adrian Wong - 123-151 Implications of recent changes in banking for the conduct of monetary policy
In: The banking system in emerging economies: how much progress has been made?
by David Archer - 129-135 The New Zealand corporate bond market
In: Developing corporate bond markets in Asia
by Simon Tyler - 129-142 Choice of currency by East Asia bond issuers
In: Asian bond markets: issues and prospects
by David G Fernandez & Simon Klassen - 133-136 Comments on: “Japanese monetary policy: 1998-2005 and beyond” by Takatoshi Ito
In: Monetary policy in Asia: approaches and implementation
by Peter J Morgan - 135-145 The corporate bond market in the Philippines
In: Developing corporate bond markets in Asia
by Nestor A Espenilla, Jr - 137-139 Comments on: “Japanese monetary policy: 1998-2005 and beyond” by Takatoshi Ito
In: Monetary policy in Asia: approaches and implementation
by Masaru Yoshitomi - 140-164 Inflation targeting in Korea: a model of success?
In: Monetary policy in Asia: approaches and implementation
by Soyoung Kim & Yung Chul Park - 143-167 Asian bond issues in Tokyo: history, structure and prospects
In: Asian bond markets: issues and prospects
by Fumiaki Nishi & Alexander Vergus - 146-151 Developing Singapore's corporate market
In: Developing corporate bond markets in Asia
by Chuan Teck Lee - 152-160 The corporate bond market in Thailand
In: Developing corporate bond markets in Asia
by Pongpen Ruengvirayudh & Sakkapop Panyanukul - 153-162 Banking issues in Argentina
In: The banking system in emerging economies: how much progress has been made?
by Miguel Angel Pesce - 163-180 Improving the banking system: the Chilean experience
In: The banking system in emerging economies: how much progress has been made?
by Cristina Betancour & José De Gregorio & Alejandro Jara - 165-167 Comments on: “Inflation targeting in Korea: a model of success?” by Soyoung Kim and Yung Chul Park
In: Monetary policy in Asia: approaches and implementation
by Tim Condon - 168-170 Comments on Nishi and Vergus’s paper “Asian bond issues in Tokyo: history, structure and prospects”
In: Asian bond markets: issues and prospects
by Toshiharu Kitamura - 168-171 Comments on: “Inflation targeting in Korea: a model of success?” by Soyoung Kim and Yung Chul Park
In: Monetary policy in Asia: approaches and implementation
by Yang Woo Kim - 171-173 Recent development of the Korean bond market
In: Asian bond markets: issues and prospects
by Seongtae Lee - 172-198 Understanding monetary policy in Malaysia and Thailand: objectives, instruments and independence
In: Monetary policy in Asia: approaches and implementation
by Robert Neil McCauley - 174-199 Minding the gap in Asia: foreign and local currency ratings
In: Asian bond markets: issues and prospects
by Kate Kisselev & Frank Packer - 181-187 The Lessons learnt from the developmentand reform of China’s banking sector
In: The banking system in emerging economies: how much progress has been made?
by Liu Shiyu & Wu Yi & Liu Zhengming - 189-201 Public Debt Market Risk: The Effects on the Financial System and on Monetary Policy - The Case of Colombia
In: The banking system in emerging economies: how much progress has been made?
by Hernando Vargas H & Financial Stability Department - 199-203 Comments on “Understanding monetary policy in Malaysia and Thailand: objectives, instruments and independence” by Robert Neil McCauley
In: Monetary policy in Asia: approaches and implementation
by Suchada Kirakul - 200-201 Comments on Kate Kisselev and Frank Packer’s paper “Minding the gap in Asia: foreign and local currency ratings”
In: Asian bond markets: issues and prospects
by Tom Byrne - 202-221 Building infrastructure for Asian bond markets: settlement and credit rating
In: Asian bond markets: issues and prospects
by Daekeun Park & Changyong Rhee - 203-212 The banking sector after 15 years of restructuring: Czech experience and lessons
In: The banking system in emerging economies: how much progress has been made?
by Vít Bárta & Miroslav Singer - 204-206 Comments on: “Understanding monetary policy in Malaysia and Thailand: objectives, instruments and independence” by Robert Neil McCauley
In: Monetary policy in Asia: approaches and implementation
by Sukudhew Singh - 207-226 Monetary policy approaches and implementation in Asia: the Philippines and Indonesia
In: Monetary policy in Asia: approaches and implementation
by Roberto S Mariano Delano & Delano P Villanueva - 213-215 Issues of Risk-based Supervision in Hong Kong
In: The banking system in emerging economies: how much progress has been made?
by William Ryback - 217-235 Bank Efficiency in the Enlarged European Union
In: The banking system in emerging economies: how much progress has been made?
by Dániel Holló & Márton Nagy - 222-223 Comments on Daekeun Park and Changyong Rhee’s paper “Building infrastructure for the Asian bond markets: settlement and credit rating”
In: Asian bond markets: issues and prospects
by Tom Byrne - 224-240 Creation of a regional credit guarantee mechanism in As
In: Asian bond markets: issues and prospects
by Gyutaeg Oh & Jae-Ha Park - 227-231 Comment on: “Monetary policy approaches and implementation in Asia: the Philippines and Indonesia” by Roberto S Mariano and Delano P Villanueva
In: Monetary policy in Asia: approaches and implementation
by Akhis R Hutabarat - 232-252 Monetary policy in Vietnam: the case of a transition country
In: Monetary policy in Asia: approaches and implementation
by Ulrich Camen - 237-241 Recent banking developments in India
In: The banking system in emerging economies: how much progress has been made?
by Vittaldas Leeladhar - 241-242 Comments on Oh and Park’s paper “ASEAN+3 regional guarantee mechanism”
In: Asian bond markets: issues and prospects
by Guorong Jiang - 243-245 Promoting the Asian bond market
In: Asian bond markets: issues and prospects
by Kap-Soo Oh - 243-247 Indonesia’s banking industry: progress to date
In: The banking system in emerging economies: how much progress has been made?
by Miranda S Goeltom - 246-260 Identifying impediments to cross-border bond investment and issuance in Asian countries
In: Asian bond markets: issues and prospects
by Atsushi Takeuchi - 249-257 Changes in the Israeli banking system
In: The banking system in emerging economies: how much progress has been made?
by Meir Sokoler - 259-268 Restructuring and reforms in the Korean banking industry
In: The banking system in emerging economies: how much progress has been made?
by Soo-Myung Kim & Ji-Young Kim & Hoon-Tae Ryoo