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Content
2018
2017
- 42 Simulating stress across the financial system: the resilience of corporate bond markets and the role of investment funds
by Baranova, Yuliya & Coen, Jamie & Noss, Joseph & Lowe, Pippa & Silvestri, Laura
- 41 Gauging market dynamics using trade repository data: the case of the Swiss franc de-pegging
by Cielinska, Olga & Joseph, Andreas & Shreyas, Ujwal & Tanner, John & Vasios, Michalis
2016
- 40 Capital inflows — the good, the bad and the bubbly
by Hoggarth, Glen & Jung, Carsten & Reinhardt, Dennis
- 39 Sovereign GDP-linked bonds
by Benford, James & Joy, Mark & Kruger, Mark
- 38 Systemic risk in derivatives markets: a pilot study using CDS data
by Ali, Robleh & Vause, Nicholas & Zikes, Filip
- 37 Got to be certain: The legal framework for CCP default management processes
by Braithwaite, Jo & Murphy, David
- 36 Stitching together the global financial safety net
by Denbee, Edd & Jung, Carsten & Paternò, Francesco
2015
- 35 Financial Stability Paper No. 35: Measuring the macroeconomic costs and benefits of higher UK bank capital requirements -
by Brooke, Martin & Bush, Oliver & Edwards, Robert & Ellis, Jas & Francis, Bill & Harimohan, Rashmi & Neiss, Katharine & Siegert, Caspar
- 34 Financial Stability Paper 34: The resilience of financial market liquidity
by Anderson, Nicola & Webber, Lewis & Noss, Joseph & Beale, Daniel & Crowley-Reidy, Liam
- 33 Financial Stability Paper 33: A European Capital Markets Union: implications for growth and stability
by Anderson, Nicola & Brooke, Martin & Hume, Michael & Kürtösiová, Miriam
- 32 Financial Stability Paper 32: Estimating the extent of the ‘too big to fail’ problem – a review of existing approaches
by Siegert, Casper & Willison, Matthew
- 24 Financial Stability Paper No 24: The role of external balance sheets in the financial crisis
by Al-Saffar, Yaser & Ridinger, Wolfgang & Whitaker, Simon
2014
- 31 Financial Stability Paper 31: Understanding the fair value of banks’ loans
by Knott, Samuel & Richardson, Peter & Rismanchi, Katie & Sen, Kallol
- 30 Financial Stability Paper 30: Dear Prudence, won’t you come out to play? Approaches to the analysis of CCP default fund adequacy
by Murphy, David & Nahai-Williamson, Paul
- 29 Financial Stability Paper No 29: An investigation into the procyclicality of risk-based initial margin models
by Murphy, David & Vasios, Michalis & Vause, Nick
- 28 Financial Stability Paper No 28: Taking uncertainty seriously - simplicity versus complexity in financial regulation
by Aikman, David & Galesic, Mirta & Gigerenzer, Gerd & Kapadia, Sujit & Katsikopoulos, Konstantinos & Kothiyal, Amit & Murphy, Emma & Neumann, Tobias
2013
- 27 Financial Stability Paper No 27: Sovereign Default and State-Contingent Debt
by Brooke, Martin & Pienkowski, Alex & Mendes, Rhys & Santor, Eric
- 26 Financial Stability Paper No 26: Assessing the adequacy of CCPs' default resources
by Cumming, Fergus & Noss, Joseph
- 25 Financial Stability Paper No 25: The structure and dynamics of the UK CDS market
by Benos, Evangelos & Wetherilt, Anne & Zikes, Filip
- 23 Financial Stability Paper No 23: The Fractal Market Hypothesis and its implications for the stability of financial markets
by Anderson, Nicola & Noss, Joseph
- 22 Financial Stability Paper No 22: Which way do foreign branches sway? Evidence from the recent UK domestic credit cycle
by Hoggarth, Glenn & Hooley, John & Korniyenko, Yevgeniya
- 21 Financial Stability Paper No 21: How could macroprudential policy affect financial system resilience and credit? Lessons from the literature
by Giese, Julia & Nelson, Benjamin & Tanaka, Misa & Tarashev, Nikola
- 20 Financial Stability Paper No 20: Central counterparty loss-allocation rules
by Elliott, David
- 19 Financial Stability Paper No 19: Central counterparties and their financial resources – a numerical approach
by Nahai-Williamson, Paul & Ota, Tomohiro & Vital, Mathieu & Wetherilt, Anne
2012
- 18 Financial Stability Paper No 18: OTC derivatives reform and collateral demand impact
by Sidanius, Che & Zikes, Filip
- 17 Financial Stability Paper No 17: RAMSI: a top-down stress-testing model
by Burrows, Oliver & Learmonth, David & McKeown, Jack
- 16 Financial Stability Paper No 16: Precautionary contingent capital
by Murphy, Gareth & Walsh, Mark & Willison, Matthew
- 15 Financial Stability Paper No 15: The implicit subsidy of banks
by Noss, Joseph & Sowerbutts, Rhiannon
- 14 Financial Stability Paper No 14: Thoughts on determining central clearing eligibility of OTC derivatives
by Sidanius, Che & Wetherilt, Anne
2011
- 13 Financial Stability Paper No 13: Reform of the International Monetary and Financial System
by Bush, Oliver & Farrant, Katie & Wright, Michelle
- 12 Financial Stability Paper No 12: The Future of International Capital Flows
by Speller, William & Thwaites, Gregory & Wright, Michelle
- 11 Financial Stability Paper No 11: Intraday Liquidity - Risk and Regulation
by Ball, Alan & Denbee, Edward & Manning, Mark & Wetherilt, Anne
- 10 Financial Stability Paper No 10: Growing Fragilities? Balance Sheets in the Great Moderation
by Barwell, Richard & Burrows, Oliver
- 9 Financial Stability Paper No 9: Whither the Credit Ratings Industry?
by Deb, Pragyan & Manning, Mark & Murphy, Gareth & Penalver, Adrian & Toth, Aron
2010
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