Content
2024
- 70 Interest rate risk exposures of non-financial corporates and households
by Bank for International Settlements
2023
- 69 Macroprudential policies to mitigate housing market risks
by Bank for International Settlements - 68 Central bank asset purchases in response to the Covid-19 crisis
by Bank for International Settlements
2022
- 67 Private sector debt and financial stability
by Bank for International Settlements
2021
- 66 Changing patterns of capital flows
by Bank for International Settlements
2020
- 65 US dollar funding: an international perspective
by Bank for International Settlements - 64 Property price dynamics: domestic and international drivers
by Bank for International Settlements
2019
- 63 Unconventional monetary policy tools: a cross-country analysis
by Bank for International Settlements - 62 Establishing viable capital markets
by Bank for International Settlements
2018
- 61 Financial stability implications of a prolonged period of low interest rates
by Bank for International Settlements - 60 Structural changes in banking after the crisis
by Bank for International Settlements
2017
- 59 Repo market functioning
by Bank for International Settlements - 58 Designing frameworks for central bank liquidity assistance: addressing new challenges
by Bank for International Settlements
2016
- 57 Objective-setting and communication of macroprudential policies
by Bank for International Settlements - 56 Experiences with the ex ante appraisal of macroprudential instruments
by Bank for International Settlements - 55 Regulatory change and monetary policy
by Bank for International Settlements
2015
- 54 Regulatory change and monetary policy
by Bank for International Settlements - 53 Central bank operating frameworks and collateral markets
by Bank for International Settlements
2014
- 52 Market-making and proprietary trading: industry trends, drivers and policy implications
by Bank for International Settlements - 51 EME banking systems and regional financial integration
by Bank for International Settlements - 50 Trade finance: developments and issues
by Bank for International Settlements
2013
- 49 Asset encumbrance, financial reform and the demand for collateral assets
by Bank for International Settlements
2012
- 48 Operationalising the selection and application of macroprudential instruments
by Bank for International Settlements - 47 Improving the BIS international banking statistics
by Bank for International Settlements
2011
- 46 The macrofinancial implications of alternative configurations for access to central counterparties in OTC derivatives markets
by Bank for International Settlements - 45 Global liquidity - concept, measurement and policy implications
by Bank for International Settlements - 44 Fixed income strategies of insurance companies and pension funds
by Bank for International Settlements - 43 The impact of sovereign credit risk on bank funding conditions
by Bank for International Settlements - 42 Interactions of sovereign debt management with monetary conditions and financial stability
by Bank for International Settlements
2010
- 41 Long-term issues in international banking
by Bank for International Settlements - 40 Research on global financial stability: the use of BIS international financial statistics
by Bank for International Settlements - 39 Funding patterns and liquidity management of internationally active banks
by Bank for International Settlements - 38 Macroprudential instruments and frameworks: a stocktaking of issues and experiences
by Bank for International Settlements - 37 The functioning and resilience of cross-border funding markets
by Bank for International Settlements - 36 The role of margin requirements and haircuts in procyclicality
by Bank for International Settlements
2009
- 35 Credit risk transfer statistics
by Bank for International Settlements - 34 The role of valuation and leverage in procyclicality
by Bank for International Settlements - 33 Capital flows and emerging market economies
by Bank for International Settlements
2008
- 32 Ratings in structured finance: what went wrong and what can be done to address shortcomings?
by Bank for International Settlements - 31 Central bank operations in response to the financial turmoil
by Bank for International Settlements - 30 Private equity and leveraged finance markets
by Bank for International Settlements
2007
- 29 Research on global financial stability: the use of BIS international financial statistics
by Bank for International Settlements - 28 Financial stability and local currency bond markets
by Bank for International Settlements - 27 Institutional investors, global savings and asset allocation
by Bank for International Settlements
2006
- 26 Housing finance in the global financial market
by Bank for International Settlements
2005
- 25 Foreign direct investment in the financial sector - experiences in Asia, central and eastern Europe and Latin America
by Bank for International Settlements - 24 Stress testing at major financial institutions: survey results and practice
by Bank for International Settlements - 23 The role of ratings in structured finance: issues and implications
by Bank for International Settlements
2004
- 22 Foreign direct investment in the financial sector of emerging market economies
by Bank for International Settlements
2003
- 21 Incentive structures in institutional asset management and their implications for financial markets
by Bank for International Settlements - 20 Credit risk transfer
by Bank for International Settlements
2002
- 19 IT innovations and financing patterns: implications for the financial system
by Bank for International Settlements
2001
- 18 A survey of stress tests and current practice at major financial institutions
by Bank for International Settlements - 17 Collateral in wholesale financial markets: recent trends, risk management and market dynamics
by Bank for International Settlements - 16 The implications of electronic trading in financial markets
by Bank for International Settlements
2000
- 15 Report of the Working Group on the BIS International Banking Statistics
by Bank for International Settlements - 14 Stress Testing by Large Financial Institutions: Current Practice and Aggregation Issues
by Bank for International Settlements
1999
- 13 Recommendations for the design of liquid markets
by Bank for International Settlements - 12 A Review of Financial Market Events in Autumn 1998
by Bank for International Settlements - 11 Market Liquidity: Research Findings and Selected Policy Implications
by Bank for International Settlements - 10 Implications of repo markets for central banks
by Bank for International Settlements
1998
- 09 Enhancing transparency regarding the authorities' foreign currency liquidity position
by Bank for International Settlements - 08 Report on OTC Derivatives: Settlement procedures and counterparty risk management
by Bank for International Settlements
1997
- 07 The measurement of aggregate market risk
by Bank for International Settlements
1996
- 06 Proposals for improving global derivatives market statistics
by Bank for International Settlements
1986
- 01 Recent innovations in international banking (Cross Report)
by Bank for International Settlements