BIS research papers

Date Publications
15 Nov 2012

Emerging market local currency bonds: diversification and stability

09 Nov 2012

The liquidity consequences of the euro area sovereign debt crisis

09 Nov 2012

Improving the BIS international banking statistics

29 Oct 2012

Challenges related to capital flows: Latin American perspectives

BIS Papers No. 68

29 Oct 2012

Report to G20 Finance Ministers and Central Bank Governors on Basel III implementation

11 Oct 2012

A framework for dealing with domestic systemically important banks - final document

09 Oct 2012

Fiscal policy, public debt and monetary policy in emerging market economies

BIS Papers No. 67

08 Oct 2012

Progress report on Basel III implementation (update published in October 2012)

04 Oct 2012

Are central bank balance sheets in Asia too large?

BIS Papers No. 66

03 Oct 2012

Managing systemic risk from the perspective of the financial network under macroeconomic distress

FSI Award 2012 Winning Paper

02 Oct 2012

Currency intervention and the global portfolio balance effect: Japanese lessons

01 Oct 2012

Basel III regulatory consistency assessment (Level 2) - Report: Japan

01 Oct 2012

Basel III regulatory consistency assessment (Level 2) - Preliminary report: United States of America

01 Oct 2012

Basel III regulatory consistency assessment (Level 2) - Preliminary report: European Union

27 Sep 2012

Monetary policy in a downturn: Are financial crises special?

24 Sep 2012

Principles for the supervision of financial conglomerates - final report

20 Sep 2012

Results of the Basel III monitoring exercise as of 31 December 2011

18 Sep 2012

Does US GDP stall?

17 Sep 2012

BIS Quarterly Review, September 2012

14 Sep 2012

Core principles for effective banking supervision

04 Sep 2012

The Social Value of Policy Signals

03 Sep 2012

Ageing, property prices and money demand

24 Aug 2012

The Effectiveness of Unconventional Monetary Policy at the Zero Lower Bound: A Cross-Country Analysis

17 Aug 2012

Supervisory guidance for managing risks associated with the settlement of foreign exchange transactions - consultative document

31 Jul 2012

Public recapitalisations and bank risk: evidence from loan spreads and leverage