Central Bank Research Hub - Series: Bank for International Settlements Working papers 2010

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Title Author(s)

To err is human: rating agencies and the interwar foreign government debt crisis

Paper: 335, 30.12.2010

Why issue bonds offshore?

Paper: 334, 10.12.2010

Banking crises and the international monetary system in the Great Depression and now

Paper: 333, 03.12.2010

The impact of CDS trading on the bond market: evidence from Asia

Paper: 332, 30.11.2010

Central banks and competition authorities: institutional comparisions and new concerns

Paper: 331, 26.11.2010

Minimising monetary policy

Paper: 330, 26.11.2010

The governance of financial regulation: reform lessons from the recent crisis

Paper: 329, 26.11.2010

The Federal Reserve, the Bank of England and the rise of the dollar as an international currency, 1914-39

Paper: 328, 26.11.2010

Central banks: between internationalisation and domestic political control

Paper: 327, 26.11.2010

The changing role of central banks

Paper: 326, 26.11.2010

Inflation risk premia in the US and the euro area

Paper: 325, 19.11.2010

Mapping capital and liquidity requirements to bank lending spreads

Paper: 324, 19.11.2010

Stochastic Volatility, Long Run Risks, and Aggregate Stock Market Fluctuations

Paper: 323, 26.10.2010

Interbank tiering and money center banks

Paper: 322, 07.10.2010

JEL: C63, D85, G21, L14

The evolving renminbi regime and implications for Asian currency stability

Paper: 321, 29.09.2010

JEL: F31, F33

Offshore markets for the domestic currency: monetary and financial stability issues

Paper: 320, 21.09.2010

JEL: E51, E58, F33

Macroeconomic and interest rate volatility under alternative monetary operating procedures

Paper: 319, 20.09.2010

JEL: E43, E52, E58

Ageing and asset prices

Paper: 318, 04.08.2010

JEL: G12, J11

Countercyclical capital buffers: exploring options

Paper: 317, 26.07.2010

JEL: E44, E61, G21

Funding liquidity risk: definition and measurement

Paper: 316, 12.07.2010

JEL: E58, G21

The determinants of cross-border bank flows to emerging markets: new empirical evidence on the spread of financial crises

Paper: 315, 12.07.2010

JEL: C23, F34, F36, G01, O57

Chronicle of currency collapses: re-examining the effects on output

Paper: 314, 06.07.2010

JEL: E32, F31, F41, F43

Resolving the financial crisis: are we heeding the lessons from the Nordics?

Paper: 311, 21.06.2010

JEL: G01, G21, G28

Banks and financial intermediation in emerging Asia: reforms and new risks

Paper: 313, 12.06.2010

JEL: E21, E44, F31, N25

China's high saving rate: myth and reality

Paper: 312, 12.06.2010

JEL: E20, E21, O11, O16, O53

Central bank co-operation and international liquidity in the financial crisis of 2008-9

Paper: 310, 03.06.2010

JEL: E58, F31, G01

Toward a global risk map

Paper: 309, 27.05.2010

JEL: F3, G01, G15, G21, Y1

Attributing systemic risk to individual institutions, May 2010

Paper: 308, 17.05.2010

JEL: C15, C71, G20, G28

Oil shocks and optimal monetary policy

Paper: 307, 15.04.2010

JEL: D61, E61

Household decisions, credit markets and the macroeconomy: implications for the design of central bank models

Paper: 306, 27.03.2010

Fear of fire sales and the credit freeze

Paper: 305, 27.03.2010

Financial intermediation and the post-crisis financial system

Paper: 304, 27.03.2010

Illiquidity and all its friends

Paper: 303, 27.03.2010

Accounting alchemy

Paper: 302, 27.03.2010

The failure mechanics of dealer banks

Paper: 301, 27.03.2010

The future of public debt: prospects and implications

Paper: 300, 27.03.2010

Public governance of central banks: an approach from new institutional economics

Paper: 299, 25.03.2010

Does monetary policy affect bank risk-taking?

Paper: 298, 17.03.2010

The bank lending channel revisited

Paper: 297, 24.02.2010

Assessing the systemic risk of a heterogeneous portfolio of banks during the recent financial crisis

Paper: 296, 22.01.2010

Consumption and real exchange rates in professional forecasts

Paper: 295, 06.01.2010

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