Content
2012
- occ56 Financial Contagion and Volatile Capital Flows
by Gan-Ochir Doojav & Borkhuu Gotovsuren & Tsenddorj Dorjpurev - occ55 China’s Twelth Five-Year Plan and its Implications to ASEAN Economies
by Somsak Tambunlertchai & Aksornri Phanishsarn - occ54 How Should We Bank With Foreigners? An Empirical Assessment of Lending Behaviour of International Banks to Six East Asian Economies
by Victor Pontines & Reza Y. Siregar
2011
- occ53 Central Bank Governance and Challenges Posed By the Crisis
by Y.V. Reddy - occ52 Endogenous Money - A Structural Model of Monetary Base
by Ho Dong Ching - occ51 Revitalising Reserve Requirement In Banking Model: An Industrial Organisation Approach
by Iman Gunadi & Cicilia A. Harun
2010
- occ50 Inflation Targeting under Imperfect Credibility Based on the Aggregate Rational Inflation-Targeting Model for Bank Indonesia (ARIMBI): Lessons from the Indonesian Experience
by Harmanta, M. Barik Bathaluddin & Jati Waluyo - occ49 Marrying Monetary Policy with Macroprudential Regulation: Exploration of Issues
by Don Nakornthab Phurichai & Rungcharoenkitkul
2009
- occ48 Global Shocks and Economic Stability in Asia and The Pacific
by M¨¢r Gudmundsson & Philip D. Wooldridge
2007
- occ47 Financial Deepening to Support Monetary Stability and Sustainable Economic Growth
by Bank Indonesia - occ46 Living With Volatilities: Managing Exchange Rate and Capital Flows in The SEACEN Economies
by Bank of Thail & prepared by Chaipat Poonpatpibul & Don Nakornthab - occ45 Effective Financial System Stability Framework
by Wimboh Santoso & Sukarela Batunanggar
2006
- occ44 New Deposit Insurance Systems in East Asia
by David K. Walker
2005
- occ43 Towards Achieving Financial Stability
by Reserve Bank of Fiji - occ42 Use and Substitution of Cash and Electronic Payments in Asia
by Tanai Khiaonarong & David Humphrey
2004
- occ41 Technological Investments in Payment Systems: Key Lessons for Project Management
by Bambang S. Wahyudi - occ40 Inflation Forecasting in Bank Indonesia
by Halim Alamsyah - occ39 A Successful Effort in Management of Corporate Debt Restructuring in Thailand: Lessons Learnt
by Tumnong Dasri
2003
- occ38 Global Economic Slowdown: Macroeconomic Impact and Policy Options for SEACEN Countries
by Ravindra Prasad Pandey / P. N. Weerasinghe - occ37 International Capital Movements from an Australian Perspective
by Chris Becker
2002
- occ36 Protecting Banks from Liquidity Shocks: The Role of Deposit Insurance and Lending of Last Resort
by Joao A.C. Santos - occ35 Comprehensive Early Warning System and the Experience of the Canada Deposit Insurance Corporation (CDIC)
by David Walker - occ34 Open Market Operations & Effectiveness of Monetary Policy
by Dr. Pichit Patrawimolpon - occ33 Setting Monetary Policy in East Asia: Goals, Developments and Institutions
by Robert N McCauley
2001
- occ32 Transitioning from Blanket to Limited Deposit Guarantees: Thailand Policy Considerations
by David Walker & Pongsak Hoontrakul - occ31 Institutional Allocation of Bank Regulations: A Review by João A.C. Santos
by João A.C. Santos
1999
- occ30 An Assessment of the Causes of Financial Instability and Possible Policy Solutions
by Geof Mortlock - occ29 Canada Deposit Insurance: Moral Hazard and the Safety Net, and a Differential Premium System
by David Walker - occ28 Use and Liberalisation of Capital Controls: Country Experiences and Issues
by R. Barry Johnston & Jorge Ivan Canales-Kriljenko
1998
- occ27 Chasing Shadows: East Asian Financial Crisis and the IMF
by Deena Khatkhate - occ26 Asian's Debacle: Wherefore and Where to?
by Donald Hanna - occ25 How Stable Is China? An Economic Perspective
by Pieter P. Bottelier - occ24 Core Inflation: Concepts, Uses and Measurement
by Scott Roger - occ23 Inflation Targeting in Practice
by Guy Debelle - occ22 High Real Interest Rates Under Financial Liberalisation: Is There A Problem?
by Vicente Galbis - occ21 Timing and Sequencing of Financial Sector Reforms: Evidence and Rationale
by Deena Khatkhate
1996
- occ20 Rapid growth in Asian Economies: A Review of Some Issues and Evidence
by Anoop Singh
1995
- occ19 Payment Systems in Developing Countries: Lessons for a Small Economy
by Andrew Sheng
1994
- occ18 The Reserve Bank of Australia's Foreign Exchange Market Operations
by Stephen Grenville - occ17 Adopting Currency Convertibility: Experiences and Monetary Policy Considerations for Advanced Developing Countries
by Peter J. Quirk - occ16 Intervention Techniques Under a Deregulated Financial Environment
by Peter Nicholl
1993
- occ15 The Recent Surge in Capital Inflows to Three ASEAN Countries: Causes and Macroeconomic Impact
by Kenneth B. Bercuson & Linda M. Koenig - occ14 Supervision of Off-Balance Sheet Activities in the U.S
by William E. Albrecht
1992
- occ13 Recent Issues in Exchange Rate Policy in Developing Countries
by Dr. Wanda S. Tsen
1991
1990
- occ11 How Secondary Capital Market Work in the United States
by Eli M. Remolona & James Chow - occ10 Monetary and Financial Reforms: Implications for Adjustment and Growth
by Kunio Saito
1989
- occ09 The Debt Problem - Some Issues and Evidence
by Anoop Singh
1988
- occ08 Open Market Operations as a Policy Tool in the United States
by Ann-Marie Meulendyke - occ07 Monetary Instruments and the Control of Liquidity in the Philippines: Focus on Open Market Operations
by Armida S. San Jose - occ06 Growth-Oriented Adjustment Strategies: The Role of Exchange Rate Policies and Trade Liberalization
by Susan M. Schadler
1987
- occ05 The Impact of Exchange Rate Changes Between Key Currencies on the Debt Service Burden of Developing Countries
by Helmut W. Mayer - occ04 The Impact of Exchange Rate Changes in Key Currencies on Trade
by Richard P. Mattione - occ03 The Role of External Auditors in the Supervision of Financial Institutions in Malaysia
by Bank Negara Malaysia - occ02 The Informal Financial Sector in Developing Countries: Analysis, Evidence and Policy Implications
by Anand G. Chandavarkar
1980
- occ01 The Dynamics of Money and Prices and the Role of Monetary Policy in the SEACEN Countries
by Mohsin S. Khan