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2017
2016
2015
- 38-01 Promoting financial inclusion through better data
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Blaise Gadanecz & Bruno Tissot
- 38-02 Promoting financial inclusion through better data
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Muhammad bin Ibrahim
- 38-03 Keynote speech: Financial inclusion - issues in measurement & analysis
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Kamalesh Shailesh C Chakrabarty
- 38-04 Keynote presentation: Financial inclusion - issues in measurement & analysis
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Kamalesh Shailesh C Chakrabarty
- 38-05 Overview of international and national initiatives to promote financial inclusion and its measurement
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Paul Van den Bergh
- 38-06 Towards a global financial inclusion data infrastructure
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Djibril M Mbengue
- 38-07 The role and functions of the Alliance for Financial Inclusion
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Sung-Ah Lee
- 38-08 Measuring the evolution of monetary and financial services in Portugal
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by João Cadete de Matos
- 38-09 The financial inclusion data working group and the Mexican experience
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Nora Garcia
- 38-10 The situation of credit to agriculture & SME
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Mao Qizheng
- 38-11 Financial Inclusion and its measurement in Brazil
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Central Bank of Brazil
- 38-12 The IMF's Financial Access Survey (FAS)
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Andre Mialou
- 38-13 Measuring financial inclusion from the demand side
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Sabri Öncü
- 38-14 The Global Financial Inclusion Index
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Douglas Randall
- 38-15 Collecting financial inclusion information from the supply side: the Colombian case
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Ana Maria Garcia
- 38-16 What can household surveys tell us? The Bank of Italy's experience
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Claudia Biancotti
- 38-17 Households' and firms' access to finance in the euro area
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Aurel Schubert
- 38-18 Mapping the financial sector: microfinance and beyond
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Scott Gaul
- 38-19 Measuring financial literacy: the Malaysian case
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Ooi See Eim
- 38-20 The Banque de France experience
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Jacques Fournier
- 38-21 Putting data to work: data-driven approaches to strengthening neighborhoods
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Joseph Firschein
- 38-22 Introduction to the OECD Handbook on composite indicators
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Claudia Biancotti
- 38-23 Building a financial inclusion index for Mexico
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by José Luis Negrin
- 38-24 Financial inclusion in Malaysia: tracking progress using index
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Zarina Abd Rahman
- 38-25 Comparing financial inclusion across countries based on FINSCOPE survey data for Africa
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Aurora Bila
- 38-26 Sasana statement on financial inclusion indicators
In: Proceedings of the Workshop on "Financial Inclusion Indicators", co-hosted by the Bank Negara Malaysia, Sasana Kijang, Kuala Lumpur, 5-6 November 2012
by Central Bank of Malysia
- 39-01 Indicators to support monetary and financial stability analysis: overview of the seventh IFC conference
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Ummil Aminudin & Blaise Gadanecz & Bruno Tissot
- 39-02 Seventh Irving Fisher Committee Conference on Central Bank Statistics
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Hervé Hannoun
- 39-03 Opening remarks
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Muhammad Ibrahim
- 39-04 Breaking the triple coincidence in international finance
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Hyun Song Shin
- 39-05 A new indicator for the cost of borrowing in the euro area
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Karine Feraboli & Hanna Häkkinen & Josep Maria Puigvert Gutiérrez
- 39-06 External vulnerability indicators: the case of Indonesia
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Ayi Supriyadi
- 39-07 Alternative indicator of monetary policy stance for Macedonia
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Magdalena Petrovska & Ljupka Georgievska
- 39-08 The HIS (Holistic Inflation Surveillance) Framework: an analysis of inflation dynamics during periods of high cost-push inflation
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Helmi Ramlee & Tan Jay Sern
- 39-09 Development and compilation of macroprudential indicators for financial stability and monetary policy in Nigeria
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Sunday Nyong Essien & Sani Ibrahim Doguwa
- 39-10 Financial Conditions Composite Indicator (FCCI) for India
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Indrajit Roy & Dipankar Biswas & Arti Sinha
- 39-11 Capital and contagion in financial networks
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by S Battiston & G di Iasio & L Infante & F Pierobon
- 39-12 Generating a composite index to support monetary and financial stability analysis in Nigeria
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Ini S Udom & Sani Ibrahim Doguwa
- 39-13 Can statistical data contribute to oversight of Money Markets Funds (MMFs)?
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Brian Godfrey & Brian Golden
- 39-14 The BIS Global liquidity indicators
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Patrick McGuire & Vladyslav Sushko
- 39-15 Balance sheet structure indicators and the financial cycle
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Anna Krupkina & Alexey Ponomarenko
- 39-16 The use of sample surveys to support monetary and financial stability analysis: an overview of the central bank of Nigeria
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Kufre J Bassey
- 39-17 Demystifying output gap pressure through surveys in a monetary analysis setting: an experimental perspective
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Ashwin Madhou
- 39-18 Results of a survey on inflation outlook of firms in the Bank of Japan’s “Short-term economic survey of enterprises in Japan”
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Takashi Muto
- 39-19 Forward looking surveys for tracking Indian economy: an evaluation
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Lekshmi Omana & Om Prakash Mall
- 39-20 Hedging survey: a tool to identify potential risk on corporate sector external debt
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Harisuddin Harisuddin
- 39-21 Surveys as leading information to support central bank policy formulation: the case of Indonesia
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Gantiah Wuryandani & Indri Mardiani
- 39-22 Assessing dynamics of credit supply and demand for French SMEs, an estimation based on the Bank Lending Survey
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Edwige Burdeau
- 39-23 Linking qualitative survey responses with quantitative data - methodology, quality and data analysis from the matching of the ECB/EC Survey on Access to Finance of Enterprises and the Amadeus database
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Katarzyna Bankowska & Malgorzata Osiewicz & Sébastien Pérez-Duarte
- 39-24 Consumer confidence indices and short-term forecasting of consumption for Nigeria
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Olorunsola Emmanuel Olowofeso & Sani Ibrahim Doguwa
- 39-25 Use of consumer credit data for statistical purposes: Korean experience
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Byong-ki Min
- 39-26 Renegotiated loans in the Czech Republic
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Irena Zykanová
- 39-27 BIS debt securities statistics: a comparison of nationality data with external debt statistics
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Branimir Gruic & Philip Wooldridge
- 39-28 Standardised granular credit and credit risk data
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Violetta Damia & Jean-Marc Israël
- 39-29 Capturing loan-to-value data in New Zealand – challenges and opportunities
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Rochelle Barrow & Tobias Irrcher
- 39-30 Use of micro-level data on mutual funds to better determine household savings in Japan’s financial accounts
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Naoto Osawa
- 39-31 Analysis of the Irish SME market using micro-data
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Aisling Menton & Martina Sherman
- 39-32 The use of securities holdings statistics (SHS) for designing new euro area financial integration indicators
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Linda Fache Rousová & Antonio Rodríguez Caloca
- 39-33 Enhancements to the BIS international banking statistics
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Stefan Avdjiev & Patrick McGuire & Philip Wooldridge
- 39-34 The development and compilation of macro prudential data – the European perspective
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Stefano Borgioli & Graziella Morandi & Joao Veiga
- 39-35 Price transmission in the unsecured money market
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Edoardo Rainone
- 39-36 Firms’ financial statements and competitiveness: an analysis for European non-financial corporations using micro-based data
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Nicola Benatti & Annalisa Ferrando & Pierre Lamarche
- 39-37 The advantages of random sampling versus cutting-of-the-tail: the application of a stratified sample design for the collection of data on special financial institutions in the Netherlands
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Raymond Chaudron & Krit Carlier
- 39-38 Financial interaction analysis using best-fitted probability distribution
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Vincent Ang
- 39-39 The construction of long time series on credit to the private and public sector
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Christian Dembiermont
- 39-40 Improving public sector debt statistics in South Africa
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Johan van den Heever & Michael Adams
- 39-41 Government finance statistics for fiscal transparency and sustainability: a case study of Thailand
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Somsajee Siksamat & Jaruphan Wanitthanankun
- 39-42 New and timely statistical indicators on government debt securities
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Dagmar Hartwig Lojsch & Asier Cornejo Pérez & Jorge Diz Dias
- 39-43 Compilation of detailed flow of funds: Korea’s experiences
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Hyejin Lee
- 39-44 Consolidated and non-consolidated debt measures of non-financial corporations
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Andreas Hertkorn
- 39-45 Enhancing euro area capital stock estimates
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Zlatina Balabanova & Ruben van der Helm
- 39-46 Measuring household debt vulnerability in the euro area
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Katarzyna Bankowska & Pierre Lamarche & Guillaume Osier & Sébastien Pérez-Duarte
- 39-47 Can your stomach predict your total consumption?
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Pierre Lamarche
- 39-48 Assessing the financial vulnerability of Italian households: a microsimulation approach
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Valentina Michelangeli & Mario Pietrunti
- 39-49 Debt in Norwegian households within a life-cycle perspective: an analysis using household-level data
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Kjersti-Gro Lindquist & Magdalena Riser & Haakon Solheim & Bjørn Helge Vatne
- 39-50 The measurement of euro area property prices pitfalls and progress
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Andrew Kanutin & Martin Eiglsperger
- 39-51 BIS collection and publication of residential property prices
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Michela Scatigna & Robert Szemere
- 39-52 Closing remarks and announcement of Young Statistician Award
In: Indicators to support monetary and financial stability analysis: data sources and statistical methodologies
by Muhammad Ibrahim
- 40-01 Assessing household financial positions - an Asian perspective
In: Assessing household financial positions in Asia
by Ummil Aminudin & Bruno Tissot
- 40-02 Opening remarks
In: Assessing household financial positions in Asia
by Muhammad bin Ibrahim
- 40-03 How to quantitatively capture the state of the household sector in Asia?
In: Assessing household financial positions in Asia
by Sayako Konno & Masahiro Higo
- 40-04 Assessing balance sheets - some remarks from Basel
In: Assessing household financial positions in Asia
by Bruno Tissot
- 40-05 How should we measure residential property prices to inform policy makers?
In: Assessing household financial positions in Asia
by Jens Mehrhoff
- 40-06 Measuring property prices: the experience of property markets in Hong Kong
In: Assessing household financial positions in Asia
by Raymond Yuen
- 40-07 Development of statistics for aggregate household debt service ratio in Korea
In: Assessing household financial positions in Asia
by Jooyung Lee
- 40-08 Household debt service ratio in Korea - some comments
In: Assessing household financial positions in Asia
by João Cadete de Matos
- 40-09 The development of databases linking micro and macro data - an Australian perspective
In: Assessing household financial positions in Asia
by Giancarlo La Cava
- 40-10 Linking micro and macro data - old and new questions for central banks
In: Assessing household financial positions in Asia
by Fabrizio Zampolli
- 40-11 Using household balance sheet and housing data for systemic risk assessment and policy formulation - Malaysia's experience
In: Assessing household financial positions in Asia
by Chin Ching Lau
- 40-12 The information model at Bank of Portugal - using micro data to face challenges for central banks
In: Assessing household financial positions in Asia
by João Cadete de Matos
- 40-13 Assessing household balance sheet and risks - three challenges
In: Assessing household financial positions in Asia
by Jacques Fournier
2014
2013
- 1-15 Macro-mapping the euro area shadow banking system with financial sector balance sheet statistics
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Clive Jackson & Jani Matilainen
- 16-50 OECD financial statistics for measuring the structure and size of the shadow banking system
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Satoru Hagino & Liliana Cavieres
- 51-67 Measuring shadow banking in Ireland using granular data
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Brian Godfrey & Brian Golden
- 68-75 Measuring the off-balance-sheet wealth management business of commercial banks - The case in China
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Qizheng Mao
- 76-88 Compiling statistics of shadow banking
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Sayako Konno & Ai Teramoto & Yuka Mera
- 89-98 Shadow banking in Spain
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Orestes Collazo Brañanova
- 99-122 Monitoring shadow banking and its challenges: the Malaysian experience
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Muhamad Amar Mohd Farid
- 123-133 Residential property price index: preliminary results for Chile
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Camilo Vio
- 134-152 Constructing a real estate price index: the Moroccan experience
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Assil El Mahmah
- 153-171 Constructing a house price index for Turkey
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Asli Kaya & Ayça Topaloglu Bozkurt & Emine Meltem Bastan & Özgül Atilgan Ayanoglu
- 172-179 Overview of models and methods for measuring economic agent’s expectations
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Tine Janžek & Petra Ziherl
- 180-190 Forecast evaluation of economic sentiment indicator for the Korean economy
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Hyejung Moon & Jungick Lee
- 191-216 Consumer sentiment and confidence indices in Nigeria: a panel data analysis
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Olorunsola E. Olowofeso & Sani Doguwa
- 217-227 Brazil’s Commodity Price Index
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Alisson Curátola de Melo
- 228-238 Statistical issues and activities in a changing environment: improvements in the commodity price input used for the ECB’s analysis of HICP food prices
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Andrew Kanutin
- 239-258 International commodity prices – volatility and global liquidity
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Asit B Chakraborty & Sanjib Bordoloi
- 259-269 Commercial property prices – what should be measured?
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Sebastian Keiler
- 270-282 Measuring the commercial property prices in Italy:a first evidence from a transaction based approach
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Francesco Zollino
- 283-303 Measuring the opinion of firms on the supply and demand of external financing in the euro area
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by Annalisa Ferrando & Nicolas Griesshaber & Petra Köhler-Ulbrich & Sébastien Pérez-Duarte & Nadine Schmitt
- 304-324 Central Bank of Brazil’s market expectations system: a tool for monetary policy
In: Proceedings of the Sixth IFC Conference on "Statistical issues and activities in a changing environment", Basel, 28-29 August 2012.
by André Barbosa Coutinho Marques