Central Bank Research Hub - Series: Hong Kong Monetary Authority Working Papers 2009

Papers by year: All | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002 | 2001

Title Author(s)

Loan-to-Value Ratio as a Macro-Prudential Tool - Hong Kong's Experience and Cross-Country Evidence

Paper: WP11_01, 23.02.2011

What Drives China's Food-Price Inflation and How does It Affect the Aggregate Inflation?

Paper: WP10_06, 20.08.2010

JEL: E31, E32

An Analytical Framework for the Hong Kong Dollar Exchange Rate Dynamics under Strong Capital Inflows

Paper: WP10_05, 06.08.2010

JEL: E42, G14

Using Interest Rate Derivative Prices to Estimate LIBOR-OIS Spread Dynamics and Systemic Funding Liquidity Shock Probabilities

Paper: WP10_04, 28.06.2010

JEL: F31, G13

Analysing Interconnectivity among Economies

Paper: WP10_03, 25.05.2010

JEL: F34, G13, G15

Offshore Markets for the Domestic Currency: Monetary and Financial Stability Issues

Paper: WP10_02, 09.04.2010

JEL: E51, E58, F33

Dynamic Correlation Analysis of Financial Spillover to Asian and Latin American Markets in Global Financial Turmoil

Paper: WP10_01, 08.04.2010

JEL: F30, G01, G12, G15

A Structural Investigation into the Price and Wage Dynamics in Hong Kong

Paper: WP09_20, 06.01.2010

JEL: F30, G01, G12, G15

Measuring the Interdependence of Banks in Hong Kong

Paper: WP09_19, 28.12.2009

The Road to Recovery: Fiscal Stimulus, Financial Sector Rehabilitation, and Exit from Policy Easing

Paper: WP09_18, 15.12.2009

JEL: G30, H50, H60

Dislocations in FX Swap and Money Markets in Hong Kong and Policy Actions during the Financial Crisis of 2008

Paper: WP09_17, 03.11.2009

A Framework for Monitoring Capital Flows in Hong Kong

Paper: WP09_16, 18.09.2009

JEL: F21, F32

Deteriorating Public Finances and Rising Government Debt: Implications for Monetary Policy

Paper: WP09_15, 18.09.2009

JEL: E43, E47, E52, E62, H63

Financial Services Sector as a Driver of Productivity Growth in Hong Kong

Paper: WP09_14, 28.08.2009

Funding Liquidity Risk and Deviations from Interest-Rate Parity During the Financial Crisis of 2007-2009

Paper: WP09_13, 07.08.2009

JEL: F31, F32, F33

How Does the US Credit Crisis Affect the Asia-Pacific Economies? --- Analysis based on a General Equilibrium Model

Paper: WP09_12, 05.08.2009

JEL: D10, F32, G01

Liquidity, Risk Appetite and Exchange Rate Movements During the Financial Crisis of 2007-2009

Paper: WP09_11, 07.07.2009

JEL: F31, F32, F33

Hong Kong's Financial Market Interactions with the US and Mainland China in Crisis and Tranquil Times

Paper: WP09_10, 03.07.2009

JEL: C22, E44, F36

Econometric Approach to Early Warnings of Vulnerability in the Banking System and Currency Markets for Hong Kong and Other EMEAP Economies

Paper: WP09_08, 02.07.2009

JEL: E44, F31, F42, F47, G21

A Study on the Transmission of Money Market Tensions in EMEAP Economies During the Credit Crisis of 2007 – 2008

Paper: WP09_09, 29.05.2009

JEL: E50, E58, G15

Measures of Trend Inflation in Hong Kong

Paper: WP09_07, 06.05.2009

JEL: C22, E31, E37

A Liquidity Risk Stress-Testing Framework with Interaction between Market and Credit Risks

Paper: WP09_06, 31.03.2009

JEL: C60, G13, G28

How Large Will Be the Effect of China's Fiscal-Stimulus Package on Output and Employment?

Paper: WP09_05, 23.03.2009

JEL: E2, H5

Role of Credit in Equity Market Booms and Busts

Paper: WP09_04, 27.02.2009

JEL: E51, E52, E58, G01

The Credibility of the Link from the Perspective of Modern Financial Theory

Paper: WP09_02, 16.02.2009

JEL: E42, G14

Impact of Financial Liberalisation on Stock Market Liquidity: Experience of China

Paper: WP09_03, 10.02.2009

JEL: C33, F36, G18, G32, L22

Forecasting a Large Dimensional Covariance Matrix of a Portfolio of Different Asset Classes

Paper: WP09_01, 23.01.2009

JEL: C52, G17, G32

Measuring Financial Market Interdependence and Assessing Possible Contagion Risk in the EMEAP Region

Paper: WP08_18, 13.01.2009

JEL: G01, G12, G15

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