Central Bank Research Hub - Series: Bank for International Settlements Working papers 2009

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Title Author(s)

The risk of relying on reputational capital: a case study of the 2007 failure of New Century Financial

Paper: 294, 21.12.2009

JEL: G10, G20, G30

Ten propositions about liquidity crises

Paper: 293, 20.11.2009

JEL: E50, E51, E58, G10, G14, G18, G28

Unconventional monetary policies: an appraisal

Paper: 292, 20.11.2009

JEL: E40, E50, E52, E58, E60

The US dollar shortage in global banking and the international policy response

Paper: 291, 14.10.2009

JEL: F34, F55, G01, G21

Mutual guarantee institutions and small business finance

Paper: 290, 08.10.2009

JEL: D82, G21, G30, O16

Incentives and tranche retention in securitisation: a screening model

Paper: 289, 29.09.2009

JEL: D82, D86, G21, G28

Time to buy or just buying time? The market reaction to bank rescue packages

Paper: 288, 24.09.2009

JEL: G14, G18, G21

International portfolio rebalancing and exchange rate fluctuations in Thailand

Paper: 287, 26.08.2009

China's evolving external wealth and rising creditor position

Paper: 286, 07.07.2009

JEL: F21, F31, F32, F36

From turmoil to crisis: dislocations in the FX swap market before and after the failure of Lehman Brothers

Paper: 285, 07.07.2009

JEL: F31, G15

Towards an operational framework for financial stability: "fuzzy" measurement and its consequences

Paper: 284, 12.06.2009

JEL: E30, E44, G10, G20, G28

Another look at global disinflation

Paper: 283, 11.05.2009

JEL: E31, F02, F41

China's exchange rate policy and Asian trade

Paper: 282, 30.04.2009

JEL: F1, F14

Credit frictions and optimal monetary policy

Paper: 281, 29.04.2009

JEL: C13, G14, G21, G28

Measuring portfolio credit risk correctly: why parameter uncertainty matters

Paper: 280, 16.04.2009

JEL: C11, G20, G32

The pricing of subprime mortgage risk in good times and bad: evidence from the ABX.HE indices

Paper: 279, 31.03.2009

JEL: E43, G12, G13, G14

Credit frictions and optimal monetary policy

Paper: 278, 31.03.2009

JEL: E43, E44

China's financial conundrum and global imbalances

Paper: 277, 31.03.2009

JEL: F21, F32

Has the monetary transmission process in the euro area changed? Evidence vased on VAR estimates

Paper: 276, 31.03.2009

JEL: E44, E52, E58, G21

Talking about monetary policy: the virtues (and vice?) of central bank communication

Paper: 274, 31.03.2009

JEL: E44, E52, E58

In search of monetary stability: the evolution of monetary policy

Paper: 273, 31.03.2009

JEL: E52, E58

Bank ties and firm performance in Japan: some evidence since FY2002

Paper: 272, 03.03.2009

JEL: G21, G32, L25

Private information, stock markets, and exchange rates

Paper: 271, 27.02.2009

JEL: C22, E58, F31, F37, G14

Catching-up and inflation in transition economies: the Balassa-Samuelson effect revisited

Paper: 270, 21.01.2009

JEL: E31, F36, O11, P20

Monetary policy implementation: Misconceptions and their consequences

Paper: 269, 21.01.2009

JEL: E40, E41, E51, E52, E58

Capital regulation, risk-taking and monetary policy: a missing link in the transmission mechanism?

Paper: 268, 21.01.2009

JEL: E44, E51, E52, G12, G21, G28

Interpreting deviations from covered interest parity during the financial market turmoil of 2007-08

Paper: 267, 21.01.2009

JEL: F31, G15

Private matters

Paper: 266, 21.01.2009

JEL: G24, G32, G34

External support and bank behaviour in the international syndicated loan market

Paper: 265, 21.01.2009

JEL: G15, G21

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