International - Central Bank Research Hub

Title Author(s)

Implications of habit formation for optimal monetary policy

Bank for International Settlements Working papers [View] (Paper: 121, 06.02.2003)

JEL: E31, E32, E52

Determinants of international bank lending to emerging market countries

Bank for International Settlements Working papers [View] (Paper: 112, 06.02.2003)

JEL: E42, E52, E58

Output trends and Okun’s law

Bank for International Settlements Working papers [View] (Paper: 111, 06.02.2003)

A survey of the institutional and operational aspects of modern-day currency boards

Bank for International Settlements Working papers [View] (Paper: 110, 06.02.2003)

JEL: E42, E52, E58

Optimal dynamic hedging using futures under a borrowing constraint

Bank for International Settlements Working papers [View] (Paper: 109, 06.02.2003)

The determinants of private sector credit in industrialised countries: do property prices matter?

Bank for International Settlements Working papers [View] (Paper: 108, 06.02.2003)

Bank runs, welfare and policy implications

Bank for International Settlements Working papers [View] (Paper: 107, 06.02.2003)

JEL: E5, G21, G28

Bank runs without self-fulfilling prophecies

Bank for International Settlements Working papers [View] (Paper: 106, 06.02.2003)

JEL: C7, G14, G21

Macroeconomic news and the euro/dollar exchange rate

Bank for International Settlements Working papers [View] (Paper: 105, 06.02.2003)

JEL: F31

Money and inflation in the Euro Area: A case for monetary indicators?

Bank for International Settlements Working papers [View] (Paper: 098, 06.02.2003)

JEL: E42, E52, E58

The changing shape of fixed income markets

Bank for International Settlements Working papers [View] (Paper: 104, 06.02.2003)

 

The costs and benefits of moral suasion: Evidence from the rescue of long-term capital management

Bank for International Settlements Working papers [View] (Paper: 103, 06.02.2003)

Allocating bank regulatory powers: lender of last resort, deposit insurance and supervision

Bank for International Settlements Working papers [View] (Paper: 102, 06.02.2003)

Can liquidity risk be subsumed in credit risk? A case study from Brady bond prices

Bank for International Settlements Working papers [View] (Paper: 101, 06.02.2003)

The impact of the euro on Europe’s financial markets

Bank for International Settlements Working papers [View] (Paper: 100, 06.02.2003)

JEL: F21, F32, G11, G15

The interbank market during a crisis

Bank for International Settlements Working papers [View] (Paper: 099, 06.02.2003)

Forecast-based monetary policy

Bank for International Settlements Working papers [View] (Paper: 089, 06.02.2003)

Bank capital regulation in contemporary banking theory: a review of the literature

Bank for International Settlements Working papers [View] (Paper: 090, 06.02.2003)

Measuring potential vulnerabilities in emerging market economies

Bank for International Settlements Working papers [View] (Paper: 091, 06.02.2003)

Recent initiatives to improve the regulation and supervision of private capital flows

Bank for International Settlements Working papers [View] (Paper: 092, 06.02.2003)

Trading volumes, volatility and spreads in foreign exchange markets: evidence from emerging market countries

Bank for International Settlements Working papers [View] (Paper: 093, 06.02.2003)

Corporate hedging: the impact of financial derivatives on the broad credit channel of monetary policy

Bank for International Settlements Working papers [View] (Paper: 094, 06.02.2003)

JEL: E44, E52, G31, G32

The impact of corporate risk management on monetary policy transmission: some empirical evidence

Bank for International Settlements Working papers [View] (Paper: 095, 06.02.2003)

JEL: E44, E52, G31, G32

The real-time predictive content of money for output

Bank for International Settlements Working papers [View] (Paper: 096, 06.02.2003)

Evidence on the response of US banks to changes in capital requirements

Bank for International Settlements Working papers [View] (Paper: 088, 06.02.2003)

Monetary policy in an estimated optimisation-based model with sticky prices and wages

Bank for International Settlements Working papers [View] (Paper: 087, 06.02.2003)

Information, liquidity and risk in the international interbank market: implicit guarantees and private credit market failure

Bank for International Settlements Working papers [View] (Paper: 086, 06.02.2003)

Information flows during the asian crisis: evidence from closed-end funds

Bank for International Settlements Working papers [View] (Paper: 097, 06.02.2003)

A defence of the expectations theory as a model of us long-term interest rates

Bank for International Settlements Working papers [View] (Paper: 085, 06.02.2003)

What have we learned from recent financial crises and policy responses?

Bank for International Settlements Working papers [View] (Paper: 084, 06.02.2003)

Switching from single to multiple bank lending relationships: determinants and implications

Bank for International Settlements Working papers [View] (Paper: 083, 06.02.2003)