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
- Risk management
- Settlement procedures
- Stress testing
CGFS - Systemic risk
| Date | Titles |
|---|---|
|
03 Dec 2012
No 48 |
Operationalising the selection and application of macroprudential instruments |
|
17 Nov 2011
No 46 |
The macrofinancial implications of alternative configurations for access to central counterparties in OTC derivatives markets |
|
13 Nov 2011
No 45 |
Global liquidity - concept, measurement and policy implications |
|
11 Jul 2011
No 43 |
The impact of sovereign credit risk on bank funding conditions |
|
30 Jun 2010
No 40 |
Research on global financial stability: the use of BIS international financial statistics |
