Asian Office research - 2009 to 2010

Date Titles
Dec 2010

BIS Quarterly Review, December 2010: Derivatives in emerging markets

by Frank Packer and Dubravko Mihaljek

Dec 2010

China's high saving rate: myth and reality

by Guonan Ma and Wang Yi

Dec 2010

Why issue bonds offshore?

by Susan Black and Anella Munro

Nov 2010

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

by Ilhyock Shim and Haibin Zhu

Sep 2010

BIS Quarterly Review, September 2010: The collapse of international bank finance during the crisis: evidence from syndicated loan markets

by Michael Chui, Dietrich Domanski, Peter Kugler and Jimmy Shek

Sep 2010

The evolving renminbi regime and implications for Asian currency stability

by Guonan Ma and Robert N McCauley

Sep 2010

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

by Dong He and Robert N McCauley

Aug 2010

Systemic Risk Contributions

by Haibin Zhu, Hao Zhou and Xin Huang

Aug 2010

Implementing a macroprudential framework: balancing boldness and realism

by Claudio Borio

Jul 2010

The international financial crisis and policy challenges in Asia and the Pacific

BIS Papers No. 52

Jul 2010

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

by Sabine Herrmann and Dubravko Mihaljek

Jun 2010

Financial Contagion and Vulnerability of Asian Financial Markets

for Asian Development Bank conference on Regional and Global Financial Integration

by James Yetman and Michael B Devereux

Jun 2010

BIS Quarterly Review, June 2010: Policy responses to dislocations in the FX swap market: the experience of Korea

by Ilhyock Shim and Naohiko Baba

Jun 2010

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

by Madhusudan Mohanty and Philip Turner

Jun 2010

China's high saving rate: myth and reality

by Guonan Ma and Wang Yi

Feb 2010

Monetary Policy Strategies in the Asia and Pacific Region: What Way Forward?

ADBI Working Paper

by Andrew Filardo and Hans Genberg

Jan 2010

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

by Xin Huang, Hao Zhou and Haibin Zhu

Dec 2009

BIS Quarterly Review, December 2009: Issues and developments in loan loss provisioning: the case of Asia

by Sarawan Angklomkliew, Frank Packer and Jason George

Dec 2009

Consumption and real exchange rates in professional forecasts

by Michael B Devereux, Gregor W Smith and James Yetman

Dec 2009

Resisting financial globalisation in Asia

in Financial Globalisation and Emerging Market Economies: Proceedings of the 2008 Bank of Thailand International Symposium, pp, 177-222

by Robert N McCauley and Guonan Ma

Aug 2009

Leverage constraints and the international transmission of shocks

by Michael B Devereux and James Yetman

Aug 2009

International portfolio rebalancing and exchange rate fluctuations in Thailand

by Jacob Gyntelberg, Mico Loretan, Tientip Subhanij and Eric Chan

Aug 2009

Consumption and real exchange rates in professional forecasts

BIS Working Papers 295

by Michael B Devereux, Gregor W Smith and James Yetman

Aug 2009

Why Issue Bonds Offshore?

BIS Working Papers 334

by Susan Black and Anella Munro

Aug 2009

Targeting inflation in Asia and the Pacific: Lessons from the recent past

BIS Working Papers, forthcoming

by Andrew Filardo and Hans Genberg