Central Bank Research Hub - Series: Bank for International Settlements Working papers 2013

Papers by year: All | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003

Title Author(s)

Asia's decoupling: fact, forecast or fiction?

Paper: 438, 23.12.2013

International monetary policy coordination: past, present and future

Paper: 437, 20.12.2013

Global spillovers and domestic monetary policy

Paper: 436, 20.12.2013

Is monetary policy overburdened?

Paper: 435, 20.12.2013

Cyclical macroeconomic policy, financial regulation and economic growth

Paper: 434, 20.12.2013

Can non-interest rate policies stabilise housing markets? Evidence from a panel of 57 economies

Paper: 433, 15.11.2013

Liquidity regulation and the implementation of monetary policy

Paper: 432, 11.10.2013

Transmitting global liquidity to East Asia: policy rates, bond yields, currencies and dollar credit

Paper: 431, 04.10.2013

Asymmetric effects of FOREX intervention using intraday data: evidence from Peru

Paper: 430, 17.09.2013

On central bank interventions in the Mexican peso/dollar foreign exchange market

Paper: 429, 17.09.2013

The impact of pre-announced day-to-day interventions on the Colombian exchange rate

Paper: 428, 17.09.2013

Interventions and inflation expectations in an inflation targeting economy

Paper: 427, 17.09.2013

Order Flow and the Real: Indirect Evidence of the Effectiveness of Sterilized Interventions

Paper: 426, 17.09.2013

Global and euro imbalances: China and Germany

Paper: 424, 06.09.2013

The response of tail risk perceptions to unconventional monetary policy

Paper: 425, 05.09.2013

Intraday dynamics of euro area sovereign CDS and bonds

Paper: 423, 05.09.2013

Measuring bank competition in China: a comparison of new versus conventional approaches applied to loan markets

Paper: 422, 22.08.2013

Evaluating early warning indicators of banking crises: Satisfying policy requirements

Paper: 421, 14.08.2013

On the correlation between commodity and equity returns: implications for portfolio allocation

Paper: 420, 23.07.2013

Caveat creditor

Paper: 419, 22.07.2013

Should monetary policy lean against the wind? - an analysis based on a DSGE model with banking

Paper: 418, 22.07.2013

Relationship and Transaction Lending in a Crisis

Paper: 417, 22.07.2013

Credit and growth after financial crises

Paper: 416, 22.07.2013

The interest rate effects of government debt maturity

Paper: 415, 22.07.2013

Foreign exchange intervention and expectation in emerging economies

Paper: 414, 22.07.2013

The 2011 FDIC assessment on banks managed liabilities: interest rate and balance-sheet responses

Paper: 413, 22.07.2013

Structural bank regulation initiatives: approaches and implications

Paper: 412, 22.07.2013

Financial sector ups and downs and the real sector in the open economy: Up by the stairs, down by the parachute

Paper: 411, 22.07.2013

Is China or India more financially open?

Paper: 410, 22.07.2013

Wage and price dynamics in a large emerging economy: The case of China

Paper: 409, 22.07.2013

The Great Financial Crisis: setting priorities for new statistics

Paper: 408, 22.07.2013

Do economies stall? The international evidence

Paper: 407, 22.07.2013

Financial crises and bank funding: recent experience in the euro area

Paper: 406, 22.07.2013

Information Flows in Dark Markets: Dissecting Customer Currency Trades

Paper: 405, 22.07.2013

Rethinking potential output: Embedding information about the financial cycle

Paper: 404, 22.07.2013

Benign neglect of the long-term interest rate

Paper: 403, 22.07.2013

Understanding Global Liquidity

Paper: 402, 22.07.2013

Why do firms issue abroad? Lessons from onshore and offshore corporate bond finance in Asian emerging markets

Paper: 401, 22.07.2013

Capital Flows and the Risk-Taking Channel of Monetary Policy

Paper: 400, 22.07.2013

Global safe assets

Paper: 399, 22.07.2013

The great leveraging

Paper: 398, 22.07.2013

Financial Globalisation and the Crisis

Paper: 397, 22.07.2013

Systematic monetary policy and the forward premium puzzle

Paper: 396, 22.07.2013

The financial cycle and macroeconomics: What have we learnt?

Paper: 395, 22.07.2013

Unmitigated disasters? New evidence on the macroeconomic cost of natural catastrophes

Paper: 394, 22.07.2013

Interpreting TARGET2 balances

Paper: 393, 22.07.2013

Liquidity in Government versus Covered Bond Markets

Paper: 392, 22.07.2013

Emerging market local currency bonds: diversification and stability

Paper: 391, 22.07.2013

The liquidity consequences of the euro area sovereign debt crisis

Paper: 390, 22.07.2013

Currency intervention and the global portfolio balance effect: Japanese lessons

Paper: 389, 22.07.2013

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