Contact information of Bank for International Settlements
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:bis:bisbpc. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Martin Fessler (email available below). General contact details of provider: https://edirc.repec.org/data/bisssch.html .
Content
2006
2005
- 1-3 Foreign exchange market intervention in emerging market economies: an overview
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Bank for International Settlements
- 1-4 Investigating the relationship between the financial and real economy
In: Investigating the relationship between the financial and real economy
by Konstantinos Tsatsaronis
- 1-5 Welcoming remarks
In: Real estate indicators and financial stability
by Horst Köhler & Carol Carson & Paul Van den Bergh
- 1-8 Financial integration: an overview
In: Globalisation and monetary policy in emerging markets
by Palle Andersen & Ramon Moreno
- 4-18 Motives for intervention
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Ramon Moreno
- 5-20 Disinflation and the dynamics of mortgage debt
In: Investigating the relationship between the financial and real economy
by Luci Ellis
- 6-8 Real estate prices as financial soundness indicators
In: Real estate indicators and financial stability
by Robert Heath
- 9-16 The increased role of foreign bank entry in emerging markets
In: Globalisation and monetary policy in emerging markets
by Ramon Moreno & Agustin Villar
- 9-29 The importance of property markets for monetary policy and financial stability
In: Real estate indicators and financial stability
by Haibin Zhu
- 17-58 Has globalisation reduced monetary policy independence?
In: Globalisation and monetary policy in emerging markets
by M S Mohanty & Michela Scatigna
- 19-39 Governance aspects of foreign exchange interventions
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Paul Moser-Boehm
- 21-39 Financial behaviour of Dutch households: analysis of the DNB Household Survey 2003
In: Investigating the relationship between the financial and real economy
by P J A van Els & W A van den End & M C J van Rooij
- 30-41 Housing price bubbles - a tale based on housing price booms and busts
In: Real estate indicators and financial stability
by Thomas F Helbling
- 40-55 Foreign exchange market intervention: methods and tactics
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by David Archer
- 40-63 The impact of financial variables on firms’ real decisions: evidence from Spanish firm-level data
In: Investigating the relationship between the financial and real economy
by Ignacio Hernando & Carmen Martínez-Carrascal
- 42-62 The asset price bubble in Japan in the 1980s: lessons for financial and macroeconomic stability
In: Real estate indicators and financial stability
by Shigenori Shiratsuka
- 56-81 Intervention: what are the domestic consequences?
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by M S Mohanty & Philip Turner
- 59-80 Globalisation and monetary operations in emerging economies
In: Globalisation and monetary policy in emerging markets
by John Hawkins
- 63-69 Obtaining real estate data: criteria, difficulties and limitations
In: Real estate indicators and financial stability
by Stephan V Arthur
- 64-80 Financial constraints and real activity: a non-structural approach using UK survey data
In: Investigating the relationship between the financial and real economy
by Ulf von Kalckreuth
- 70-90 Performance measurement and real estate lending risk
In: Real estate indicators and financial stability
by Rupert Nabarro & Tony Key
- 81-90 Local complications of global economic integration: privatisation receipts and volatile export earnings
In: Globalisation and monetary policy in emerging markets
by Dubravko Mihaljek
- 82-96 Survey of central banks’ views on effects of intervention
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Dubravko Mihaljek
- 82-105 A note on the recent behaviour of Japanese banks
In: Investigating the relationship between the financial and real economy
by Nobuo Inaba & Takashi Kozu
- 91-97 International capital flows in Argentina
In: Globalisation and monetary policy in emerging markets
by Pedro Lacoste
- 91-111 The availability and usefulness of real estate data in eastern Asia - a user’s perspective
In: Real estate indicators and financial stability
by Boaz Boon
- 97-113 The effectiveness of foreign exchange intervention in emerging market countries
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Piti Disyatat & Gabriele Galati
- 98-108 Brazil’s stress test of inflation targeting
In: Globalisation and monetary policy in emerging markets
by Afonso S Bevilaqua & Eduardo Loyo
- 106-127 Non-performing loans and the real economy: Japan’s experience
In: Investigating the relationship between the financial and real economy
by Nobuo Inaba & Takashi Kozu & Toshitaka Sekine & Takashi Nagahata
- 109-123 Monetary policy and financial integration: the case of Chile
In: Globalisation and monetary policy in emerging markets
by Rodrigo Cifuentes & Jorge Desormeaux
- 112-123 Housing valuations: no bubble apparent
In: Real estate indicators and financial stability
by Kathleen Stephansen & Maxine Koster
- 114-118 Foreign exchange intervention in Argentina: motives, techniques and implications
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Claudio Irigoyen
- 119-126 Provision of FX hedge by the public sector: the Brazilian experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Afonso Bevilaqua & Rodrigo Azevedo
- 124-127 Challenges to China’s monetary policy
In: Globalisation and monetary policy in emerging markets
by People’s Bank of China
- 124-138 Real estate indicators in Hong Kong SAR
In: Real estate indicators and financial stability
by Kelvin Fan & Wensheng Peng
- 127-138 Flexible exchange rate regime and forex intervention
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by José De Gregorio & Andrea Tokman R
- 128-140 Capital controls and foreign exchange market intervention in Colombia
In: Globalisation and monetary policy in emerging markets
by José Darío Uribe
- 128-145 The bank lending channel in Chile
In: Investigating the relationship between the financial and real economy
by Rodrigo Alfaro & Carlos García & Alejandro Jara & Helmut Franken
- 139-148 Real estate price index: a model for the Philippines
In: Real estate indicators and financial stability
by Estrella V Domingo & Reynaldo F Fulleros
- 139-149 Foreign exchange market intervention in Colombia
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by José Darío Uribe & Jorge Toro
- 141-149 Conducting monetary policy in a small open economy under globalised capital markets: the experience of the Czech Republic
In: Globalisation and monetary policy in emerging markets
by Jiri Böhm & Vladimir Zdarsky
- 146-165 Welfare analysis of non-fundamental asset price and investment shocks: implications for monetary policy
In: Investigating the relationship between the financial and real economy
by Frank Smets & Raf Wouters
- 149-170 The Absa residential property market database for South Africa - key data trends and implications
In: Real estate indicators and financial stability
by Christo Luüs
- 150-155 The recent appreciation of the Hong Kong dollar
In: Globalisation and monetary policy in emerging markets
by Research Department
- 150-161 Forex interventions: the Czech experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Tomas Holub
- 156-160 Monetary policy issues in Hungary on the eve of EU membership
In: Globalisation and monetary policy in emerging markets
by Gergely Kiss
- 161-170 Globalisation, financial markets and the operation of monetary policy in India
In: Globalisation and monetary policy in emerging markets
by Rakesh Mohan
- 162-170 Foreign exchange market operations: the recent experience of Hong Kong
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Peter Pang
- 166-176 Productivity, monetary policy and financial indicators
In: Investigating the relationship between the financial and real economy
by Arturo Estrella
- 171-175 Indonesian policy on non-residents’ participation in the money market: the restriction of rupiah transactions by non-residents and foreign currency credit offered by banks to non-residents
In: Globalisation and monetary policy in emerging markets
by Hartadi A Sarwono
- 171-176 Defending the strong side of the band - the Hungarian experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Zsolt Ersek
- 171-183 New quality adjusted price indexes for non-residential structures Book-title: Real estate indicators and financial stability
In: Real estate indicators and financial stability
by Bruce Grimm
- 176-185 Globalisation and its effects on monetary policy: the case of Israel
In: Globalisation and monetary policy in emerging markets
by Meir Sokoler
- 177-187 Foreign exchange intervention and policy: Bank Indonesia experiences
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Bank Indonesia
- 177-192 The term structure as a predictor of real activity and inflation in the euro area: a reassessment
In: Investigating the relationship between the financial and real economy
by Jesús Crespo Cuaresma & Ernest Gnan & Doris Ritzberger-Grünwald
- 184-196 Real estate prices and CNB monetary policy
In: Real estate indicators and financial stability
by Ivan Matalík & Michaela Skolkova & Jan Syrovatka
- 186-208 The effects of financial globalization on the Korean financial markets and monetary policy
In: Globalisation and monetary policy in emerging markets
by Kyuyung Chung
- 188-195 Approaching a decade of no foreign exchange intervention - lessons from Israel
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Meir Sokoler
- 193-205 Extracting growth and inflation expectations from financial market data
In: Investigating the relationship between the financial and real economy
by Lauri Kajanoja
- 196-208 Foreign exchange intervention and foreign exchange market development in Korea
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Gwang-Ju Rhee & Eun Mo Lee
- 197-211 Residential real estate price indices as financial soundness indicators: methodological issues
In: Real estate indicators and financial stability
by Bradford Case & Susan Wachter
- 206-227 Forecasting aggregate investment in the euro area: do indicators of financial conditions help?
In: Investigating the relationship between the financial and real economy
by Marie Diron & Maria Cruz Manzano & Thomas Westermann
- 209-215 Globalisation and the operation of monetary policy in Malaysia
In: Globalisation and monetary policy in emerging markets
by Latifah Merican Cheong
- 209-230 Central banking intervention under a floating exchange rate regime: ten years of Mexican experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by José Julián Sidaoui
- 212-227 A comparison of UK residential house price indices
In: Real estate indicators and financial stability
by Robert Wood
- 216-229 Policies for international reserve accumulation under a floating exchange rate regime:the experience of Mexico (1995-2003)
In: Globalisation and monetary policy in emerging markets
by José Julián Sidaoui
- 227-231 Methodological issues regarding residential real estate prices
In: Real estate indicators and financial stability
by Paul Hilbers
- 228-252 Assessing the predictive power of measures of financial conditions for macroeconomic variables
In: Investigating the relationship between the financial and real economy
by William English & Kostas Tsatsaronis & Edda Zoli
- 230-241 Challenges of financial globalisation and dollarisation for monetary policy: the case of Peru
In: Globalisation and monetary policy in emerging markets
by Julio Velarde
- 231-241 The Reserve Bank of New Zealand’s new foreign exchange intervention policy
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Kelly Eckhold & Chris Hunt
- 232-242 US commercial real estate indices: transaction-based and constant-liquidity indices
In: Real estate indicators and financial stability
by Donald R Haurin
- 242-254 Forex interventions in Peru: 2002-2004
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Adrián Armas
- 242-259 The composition and management of capital flows in the Philippines
In: Globalisation and monetary policy in emerging markets
by Amando M Tetangco, Jr
- 243-254 Going where the data is
In: Real estate indicators and financial stability
by Jon Southard
- 253-272 Linking real activity and financial markets: the first steps towards a small estimated model for Canada
In: Investigating the relationship between the financial and real economy
by Céline Gauthier & Fuchun Li
- 255-256 Introduction to Session VI on 'Hedonic real estate price indices'
In: Real estate indicators and financial stability
by Marc Prud'Homme
- 255-264 Exchange rate policy and foreign exchange interventions in Poland
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Jerzy Pruski & Piotr Szpunar
- 257-270 Housing stock in Brazil: estimation based on a hedonic price model
In: Real estate indicators and financial stability
by Luis Otavio Reiff & Ana Luiza Barbosa
- 260-262 Globalisation, financial markets and the operation of monetary policy: the experience of Saudi Arabia
In: Globalisation and monetary policy in emerging markets
by Muhammad Al-Jasser & Ahmed Banafe
- 263-268 The impact of globalisation on the formulation and implementation of monetary policy in Singapore
In: Globalisation and monetary policy in emerging markets
by Ong Chong Tee
- 265-272 Foreign exchange intervention in Saudi Arabia
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Muhammad Al-Jasser & Muhammad Ahmed Banafe
- 269-274 Globalisation, financial markets and the operation of monetary policy: the case of Thailand
In: Globalisation and monetary policy in emerging markets
by Thirachai Phuvanatnaranubala
- 271-287 Hedonic housing price indexes: the French experience
In: Real estate indicators and financial stability
by Anne Laferrere
- 273-275 South Africa: official foreign exchange operations
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by South African Reserve Bank
- 273-298 Interactions between business cycles, financial cycles and monetary policy: stylised facts
In: Investigating the relationship between the financial and real economy
by Sanvi Avouyi-Dovi & Julien Matheron
- 275-279 High public debt, multiple equilibria and inflation targeting in Turkey
In: Globalisation and monetary policy in emerging markets
by Fatih Özatay
- 276-282 Foreign exchange policy and intervention in Thailand
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Financial Markets Operations Group
- 283-291 Monetary and exchange rate policies in the post-crisis period in Turkey
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Fatih Özatay
- 288-307 Euro area residential property prices: the aggregation of non-harmonised national data
In: Real estate indicators and financial stability
by Henning Ahnert & Adrian Page
- 292-300 Foreign exchange intervention in Venezuela
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Iván Giner & Omar Mendoza
- 299-327 Business cycle, credit risk and economic capital determination by commercial banks
In: Investigating the relationship between the financial and real economy
by Alexis Derviz & Narcisa Kadlcáková
- 308-322 Experience with construction composite asset price indices
In: Real estate indicators and financial stability
by Stephan V Arthur
- 323-335 Aggregation bias and the repeat sales price index
In: Real estate indicators and financial stability
by Anthony Pennington-Cross
- 328-360 A simplified credit risk model for supervisory purposes in emerging markets
In: Investigating the relationship between the financial and real economy
by Javier Márquez Diez-Canedo
- 336-339 Comments on session 'Aggregation issues', David Fenwick, Chair, with three papers
In: Real estate indicators and financial stability
by Robert J Shiller
- 340-351 Fair valuation of real estate
In: Real estate indicators and financial stability
by Elvin Fernandez
- 352-358 CMBS loan losses: property type highlights and trends
In: Real estate indicators and financial stability
by Mary O'Rourke & Susan Merrick
- 359-367 US commercial real estate indices: the NCREIF property index
In: Real estate indicators and financial stability
by Jeffrey D Fisher
- 361-391 Lending decisions, procyclicality and the New Basel Capital Accord
In: Investigating the relationship between the financial and real economy
by Fabrizio Fabi & Sebastiano Laviola & Paolo Marullo Reedtz
- 392-408 Macro stress tests of UK banks
In: Investigating the relationship between the financial and real economy
by Glenn Hoggarth & Andrew Logan & Lea Zicchino
- 409-430 Monetary and financial stability in Norway: what can we learn from macroeconomic stress tests?
In: Investigating the relationship between the financial and real economy
by Snorre Evjen & Arild J Lund & Kjersti Haare Morka & Kjell B Nordal & Ingvild Svendsen
- 431-449 Measuring and forecasting stress in the banking sector: evidence from Switzerland
In: Investigating the relationship between the financial and real economy
by Elke Hanschel & Pierre Monnin
- 450-480 Sectoral fragility: factors and dynamics
In: Investigating the relationship between the financial and real economy
by Ivan Alves
- 481-497 Macroeconomic conditions and banking performance in Hong Kong SAR: a panel data study
In: Investigating the relationship between the financial and real economy
by Stefan Gerlach & Wensheng Peng & Chang Shu
2003
2002