Central Bank Research Hub - Series: Bank for International Settlements Quarterly Review 2011

Papers by year: All | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004

Title Author(s)

How much does the private sector really borrow - a new database for total credit to the private non-financial sector

Paper: 1303h, 18.03.2013

Hedging in derivatives markets: the experience of Chile

Paper: 1303g, 18.03.2013

Central bank asset purchases and inflation expectations

Paper: 1303e, 18.03.2013

Financial conditions and economic activity: a statistical approach

Paper: 1303f, 18.03.2013

Natural catastrophes and global reinsurance - exploring the linkages

Paper: 1212e, 10.12.2012

JEL: G22, L22, Q54

Enhancements to the BIS debt securities statistics

Paper: 1212h, 10.12.2012

JEL: F34, G15

On the liquidity coverage ratio and monetary policy implementation

Paper: 1212g, 10.12.2012

JEL: E43, E52, E58, G28

The euro area crisis and cross-border bank lending to emerging markets

Paper: 1212f, 10.12.2012

JEL: F34, G15, G21

Do debt service costs affect macroeconomic and financial stability?

Paper: 1209e, 17.09.2012

 Taylor rules and monetary policy: a global "Great Deviation"?

Paper: 1209f, 17.09.2012

Credit in times of stress: lessons from Latin America

Paper: 1209g, 17.09.2012

Have public bailouts made banks' loan books safer?

Paper: 1209h, 17.09.2012

Countercyclical policies in emerging markets

Paper: 1206e, 04.06.2012

JEL: E30, E43, E63

The expansion of central bank balance sheets in emerging Asia: what are the risks?

Paper: 1206g, 04.06.2012

JEL: E58, E61

Eurodollar banking and currency internationalisation

Paper: 1206f, 04.06.2012

JEL: E4, E5, F3, F4, G15

FX volume during the financial crisis and now

Paper: 1203f, 19.03.2012

JEL: C82, F31, G15

The impact of Federal Reserve asset purchase programmes: another twist

Paper: 1203e, 19.03.2012

JEL: E52, E63

Bank stock returns, leverage and the business cycle

Paper: 1203g, 19.03.2012

JEL: G21, G28, G3

Renminbi internationalisation and China's financial development by Robert McCauley

Paper: 1112f, 12.12.2011

FX strategies in periods of distress by Jacob Gyntelberg and Andreas Schrimpf

Paper: 1112e, 12.12.2011

Enhanced BIS statistics on credit risk transfer by Nicholas Vause

Paper: 1112i, 12.12.2011

Assessing global liquidity by Dietrich Domanski, Ingo Fender and Patrick McGuire

Paper: 1112g, 12.12.2011

The impact of recent central bank asset purchase programmes by Jack Meaning and Feng Zhu

Paper: 1112h, 12.12.2011

The rise of sovereign credit risk: implications for financial stability

Paper: 1109g, 19.09.2011

Global credit and domestic credit booms

Paper: 1109f, 19.09.2011

The trade balance and the real exchange rate

Paper: 1109e, 19.09.2011

Expansion of central clearing

Paper: 1106h, 06.06.2011

The predictive content of financial cycle measures for output fluctuations

Paper: 1106g, 06.06.2011

The global output gap: measurement issues and regional disparities

Paper: 1106e, 06.06.2011

Rating methodologies for banks

Paper: 1106f, 06.06.2011

Foreign exchange trading in emerging currencies: more financial, more offshore

Paper: 1103h, 14.03.2011

Systemic importance: some simple indicators

Paper: 1103e, 14.03.2011

Inflation expectations and the great recession

Paper: 1103f, 14.03.2011

The use of reserve requirements as a policy instrument in Latin America

Paper: 1103g, 14.03.2011

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