Publications by category
- Asset prices
- Credit risk transfer
- Derivatives
- Disclosure practices
- Financial crises
- Financial statistics
- Foreign direct investment
- Institutional investors
- International banking
- Macroprudential Policy
- Market infrastructure
- Market liquidity
- Monetary policy
- Regulation
- Settlement procedures
- Stress testing
- Systemic risk
CGFS - Risk management
| Date | Titles |
|---|---|
|
10 Apr 2000
No 14 |
Stress Testing by Large Financial Institutions: Current Practice and Aggregation Issues |
|
08 Sep 1998
No 8 |
Report on OTC Derivatives: Settlement procedures and counterparty risk management |
|
09 Nov 1997
No 7 |
The measurement of aggregate market risk |
|
01 Sep 1994
No 3 |
A discussion paper on public disclosure of market and credit risks by financial intermediaries (Fisher Report) |
