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Content
2002
2001
- 1-8 Overview: market structure issues in market liquidity
In: Market liquidity: proceedings of a workshop held at the BIS
by Maureen O'Hara
- 1-12 Electronic finance: an overview of the issues
In: Electronic finance: a new perspective and challenges
by Setsuya Sato & John Hawkins
- 1-22 A hundred ways to skin a cat: comparing monetary policy operation procedures in the United States, Japan and the euro area
In: Comparing monetary policy operating procedures across the United States, Japan and the euro area
by Claudio Borio
- 1-28 Changes in the determinants of inflation in Australia
In: Empirical studies of structural changes and inflation
by Jacqueline Dwyer & Kenneth Leong
- 1-38 What determines inflation in emerging market economies?
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by M S Mohanty & Marc Klau
- 1-43 The changing shape of fixed income markets
In: The changing shape of fixed income markets: a collection of studies by central bank economists
by Study group on fixed income markets
- 1-44 The banking industry in the emerging market economies: competition, consolidation and systemic stability: an overview
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by John Hawkins & Dubravko Mihaljek
- 1-57 Procyclicality of the financial system and financial stability: issues and policy options
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Claudio Borio & Craig Furfine & Philip Lowe
- 9-29 Events that shook the market
In: Market liquidity: proceedings of a workshop held at the BIS
by Ray C Fair
- 13-25 A new perspective to finance and competition and challenges for financial institutions in the internet era
In: Electronic finance: a new perspective and challenges
by Lihui Lin & Xianjun Geng & Andrew Whinston
- 23-56 The main features of the monetary policy frameworks of the Bank of Japan, the Federal Reserve and the Eurosystem
In: Comparing monetary policy operating procedures across the United States, Japan and the euro area
by Denis Blenck & Harri Hasko & Spence Hilton & Kazuhiro Masaki
- 26-29 E-finance and the politics of transitions
In: Electronic finance: a new perspective and challenges
by Steve Weber & John Zysman
- 29-48 Productivity growth and prices in Canada: what can we learn from the US experience?
In: Empirical studies of structural changes and inflation
by Tiff Macklemr & James Yetman
- 30-52 Electronic trading and its implications for financial systems
In: Electronic finance: a new perspective and challenges
by Helen Allen & John Hawkins & Setsuya Sato
- 30-75 Information flows during the Asian crisis: evidence from closed-end funds
In: Market liquidity: proceedings of a workshop held at the BIS
by Benjamin H Cohen & Eli M Remolona
- 39-68 Monetary policy rules in some emerging economies
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Renato Filosa
- 44-66 Pfandbrief-style products in Europe
In: The changing shape of fixed income markets: a collection of studies by central bank economists
by Orazio Mastroeni
- 45-53 The banking industry in Chile: competition, consolidation and systemic stability
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Antonio Ahumada & Jorge Marshall
- 49-80 Investment-specific technological progress in the United Kingdom
In: Empirical studies of structural changes and inflation
by Hasan Bakhshi & Jens Larsen
- 53-60 Trading system competition and market-maker competition
In: Electronic finance: a new perspective and challenges
by Mark Wahrenburg
- 54-55 The entry of foreign banks into the Chinese banking sector
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Liu Tinghuan
- 56-63 The banking industry in Colombia: competition, consolidation and systemic stability
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by José Darìo Uribe
- 58-90 Cyclical prudence - credit cycles in Australia
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Christopher Kent & Patrick D'Arcy
- 61-68 Developments in retail payment systems
In: Electronic finance: a new perspective and challenges
by Harry Leinonen
- 64-70 Bank consolidation in the Czech Republic
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Oldrich Dedek
- 67-112 Interactions between cash and derivatives bond markets: some evidence for the euro area
In: The changing shape of fixed income markets: a collection of studies by central bank economists
by Wolfgang Schulte & Roberto Violi
- 69-79 Regulation of the payments market and the prospect for digital money
In: Electronic finance: a new perspective and challenges
by Peter Spencer
- 69-81 A note on the pass-through from exchange rate and foreign price changes to inflation in selected emerging market economies
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Dubravko Mihaljek & Marc Klau
- 71-74 The banking industry: competition, consolidation and systemic stability: the Hong Kong experience
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by David Carse
- 75-79 Competition, consolidation and systemic stability in the Indian banking industry
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by S P Talwar
- 79-112 Estimating liquidity premia in the Spanish Government securities market
In: Market liquidity: proceedings of a workshop held at the BIS
by Francisco Alonso & Roberto Blanco & Ana del Río & Alicia Sanchís
- 80-86 The financial progress of pure-play internet banks
In: Electronic finance: a new perspective and challenges
by Robert De Young
- 80-92 The Indonesian banking industry: competition, consolidation and systemic stability
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Burhanuddin Abdullah & Wimboh Santoso
- 81-108 A multi-country trend indicator for euro area inflation: computation and properties
In: Empirical studies of structural changes and inflation
by Elena Angelini & Jérôme Henry & Ricardo Mestre
- 82-108 Inflation targeting in Brazil: shocks, backward-looking prices, and IMF conditionality
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Joel Bogdanski & Paulo Springer de Freitas & Ilan Goldfajn & Alexandre Antonio Tombini
- 87-89 Technology and e-finance in Japan
In: Electronic finance: a new perspective and challenges
by Motoshige Itoh
- 90-97 Reflections on the regulatory approach to e-finance
In: Electronic finance: a new perspective and challenges
by María J Nieto
- 91-116 The influence of macroeconomic developments on Austrian banks: implications for banking supervision
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Markus Arpa & Irene Giulini & Andreas Ittner & Franz Pauer
- 93-101 Banking industry consolidation in Korea
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Hyung-Gon Ro
- 98-105 Electronic finance and monetary policy
In: Electronic finance: a new perspective and challenges
by John Hawkins
- 102-112 Competition and consolidation in the Mexican banking industry after the 1995 crisis
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Jesús Marcos Yacamán
- 106-112 Glossary
In: Electronic finance: a new perspective and challenges
by John Hawkins
- 109-130 Price and wage inflation in Chile
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Carlos José Garcia & Jorge Enrique Restrepo
- 109-138 Diffusion index-based inflation forecasts for the euro area
In: Empirical studies of structural changes and inflation
by Elena Angelini & Jérôme Henry & Ricardo Mestre
- 113-117 The Philippine banking industry: competition, consolidation and systemic stability
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Alberto Reyes
- 113-144 Does market transparency matter? A case study
In: Market liquidity: proceedings of a workshop held at the BIS
by Antonio Scalia & Valerio Vacca
- 113-146 Analysis of credit spread in Japan's corporate bond market
In: The changing shape of fixed income markets: a collection of studies by central bank economists
by Masazumi Hattori & Koji Koyama & Tatsuya Yonetani
- 117-137 Monitoring the macroeconomic determinants of banking system stability
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Thierry Timmermans
- 118-122 Structural changes in the Polish banking industry - three dimensions of consolidation processes in an emerging economy
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Ryszard Kokoszczynski
- 123-127 The Russian banking sector in 2000
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Vladimir Goryunov
- 128-132 Consolidation, competition, foreign presence and systemic stability in the Saudi banking industry
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Jammaz Al-Suhaimi
- 131-150 The role of asset prices in Indian inflation in recent years: some conjectures
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Partha Ray & Jorge Somnath Chatterjee
- 133-147 An approach to the consideration of bank merger issues by regulators: a South African case
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Gill Marcus
- 138-159 Assessing financial system stability, efficiency and structure at the Bank of England
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Andrew G Haldane & Glenn Hoggarth & Victoria Saporta
- 139-173 Why did prices in Japan hardly decline during the 1997-98 recession?
In: Empirical studies of structural changes and inflation
by Hideo Hayakawa & Hiroshi Ugai
- 147-148 Short introduction on the work of the Johnson-group
In: Market liquidity: proceedings of a workshop held at the BIS
by Eloy Lindeijer
- 147-169 Government bond market valuations in an era of dwindling supply
In: The changing shape of fixed income markets: a collection of studies by central bank economists
by Neil Cooper & Cedric Scholtes
- 148-152 The banking industry in Thailand: competition, consolidation and systemic stability
In: The banking industry in the emerging market economies: competition, consolidation and systemic stability
by Tarisa Watanagase
- 149-151 Market liquidity under stress: observations from the FX market
In: Market liquidity: proceedings of a workshop held at the BIS
by Francis Breedon
- 151-174 On price level stability, real interest rates and core inflation
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Sandor Valkovszky & Janos Vincze
- 152-158 The puzzling decline in financial market liquidity
In: Market liquidity: proceedings of a workshop held at the BIS
by Avinash Persaud
- 159-161 Measuring liquidity under stress
In: Market liquidity: proceedings of a workshop held at the BIS
by Christian Upper
- 160-185 Financial stability analysis using aggregated data
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Benjamin Sahel & Jukka Vesala
- 165-196 Order flow and exchange rate dynamics
In: Market liquidity: proceedings of a workshop held at the BIS
by Martin D D Evans & Richard K Lyons
- 174-203 A New Phillips curve for Spain
In: Empirical studies of structural changes and inflation
by Jordi Galí & J David López-Salido
- 175-209 Monetary policy and the transmission mechanism in Mexico
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Lorenza Martinez & Oscar Sanchez & Alejandro Werner
- 186-196 Financial stability analysis at the Bank of Finland
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Kimmo Virolainen
- 197-210 To what extent are prudential and accounting arrangements pro- or countercyclical with respect to overall financial conditions?
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Laurent Clerc & Françoise Drumetz & Olivier Jaudoin
- 197-229 Trading volumes, volatility and spreads in FX markets: evidence from emerging market countries
In: Market liquidity: proceedings of a workshop held at the BIS
by Gabriele Galati
- 204-226 Forecast-based monetary policy in Sweden 1992-98: a view from within
In: Empirical studies of structural changes and inflation
by Per Jansson & Anders Vredin
- 210-231 Transmission mechanisms of monetary policy in an economy with partial dollarisation: the case of Peru
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Zenon Quispe Misaico
- 211-229 Estimating bilateral exposures in the German interbank market: is there a danger of contagion?
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Christian Upper & Andreas Worms
- 223-240 Sending the herd off the cliff edge: the disturbing interaction between herding and market-sensitive risk management practices
In: Market liquidity: proceedings of a workshop held at the BIS
by Avinash Persaud
- 227-266 Forecasting Swiss inflation with a structural macromodel: the role of technical progress and the "mortgage rate-housing rent" link
In: Empirical studies of structural changes and inflation
by Peter Stalder
- 230-240 Marrying the micro- and macro-prudential dimensions of financial stability - the Hong Kong experience
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Eddie Yue
- 232-251 The monetary transmission mechanism and the structural modelling of inflation at the National Bank of Poland
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Bohdan Klos & Ewa Wrobel
- 241-260 Crises and contagion: the role of the banking system
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Massimo Sbracia & Andrea Zaghini
- 241-266 How safe was the "Safe Haven"? Financial market liquidity during the 1998 turbulences
In: Market liquidity: proceedings of a workshop held at the BIS
by Christian Upper
- 252-263 Modelling the inflation process in Thailand
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Atchana Waiquamdee
- 261-284 Asset prices, financial stability and monetary policy: based on Japan’s experience of the asset price bubble
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Shigenori Shiratsuka
- 264-272 Modelling the transmission mechanism of monetary policy in emerging market countries using prior information
In: Modelling aspects of the inflation process and the monetary transmission mechanism in emerging market countries
by Jeffery D Amato & Stefan Gerlach
- 267-273 FX impact of cross-border M&A
In: Market liquidity: proceedings of a workshop held at the BIS
by Francis Breedon & Francesca Fornasari
- 267-302 Understanding the recent behaviour of inflation: an empirical study of wage and price developments in eight countries
In: Empirical studies of structural changes and inflation
by Palle S Andersen & William L Wascher
- 285-300 Prudential regulation of foreign exchange: the Mexican experience
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Pascual O’Dogherty & Moisés J Schwartz
- 301-310 News filtering, financial instability and the euro
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Henriëtte Prast & Marc de Vor
- 311-330 A model based approach to analysing financial stability
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Øyvind Eitrheim & Bjarne Gulbrandsen
- 331-353 Credit growth, problem loans and credit risk provisioning in Spain
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Santiago Fernández de Lis & Jorge Martínez Pagés & Jesús Saurina
- 354-366 The cost of a guarantee for bank liabilities: revisiting Merton
In: Marrying the macro- and micro-prudential dimensions of financial stability
by Christian Braun
- 367-384 Pragmatic monitoring of financial stability
In: Marrying the macro- and micro-prudential dimensions of financial stability
by William Nelson & Wayne Passmore