Working Papers - Asian Office research papers

Date Publications
Nov 2011
No 360

China's evolving reserve requirements

by Guonan Ma, Yan Xiandong and Liu Xi

Nov 2011
No 356

The Impact of the International Financial Crisis on Asia and the Pacific: Highlighting Monetary Policy Challenges from a Negative Asset Price Bubble Perspective

by Andrew Filardo

Aug 2011
No 351

Weathering the financial crisis: good policy or good luck?

by Stephen G Cecchetti, Michael R King and James Yetman

Apr 2011
No 344

Dislocations in the won-dollar swap markets during the crisis of 2007-09

by Naohiko Baba and Ilhyock Shim

Jan 2011
No 336

Policymaking from a "macroprudential" perspective in emerging market economies

by Ramon Moreno

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Dec 2010
No 334

Why issue bonds offshore?

by Susan Black and Anella Munro

Nov 2010
No 332

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

by Ilhyock Shim and Haibin Zhu

Sep 2010
No 321

The evolving renminbi regime and implications for Asian currency stability

by Guonan Ma and Robert N McCauley

Sep 2010
No 320

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

by Dong He and Robert N McCauley

Jul 2010
No 315

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
No 313

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

by Madhusudan Mohanty and Philip Turner

Jun 2010
No 312

China's high saving rate: myth and reality

by Guonan Ma and Wang Yi

Jan 2010
No 296

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
No 295

Consumption and real exchange rates in professional forecasts

by Michael B Devereux, Gregor W Smith and James Yetman

Aug 2009
No 287

International portfolio rebalancing and exchange rate fluctuations in Thailand

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

Jul 2009
No 286

China's evolving external wealth and rising creditor position

by Guonan Ma and Zhou Haiwen

Jul 2009
No 285

From turmoil to crisis: dislocations in the FX swap market before and after the failure of Lehman Brothers

by Naohiko Baba and Frank Packer

Apr 2009
No 281

A Framework for Assessing the Systemic Risk of Major Financial Institutions

by Xin Huang, Hao Zhou and Haibin Zhu

Dec 2008
No 267

Interpreting deviations from covered interest parity during the financial market turmoil of 2007-08

by Naohiko Baba and Frank Packer

Oct 2008
No 263

Determinants of house prices in nine Asia-Pacific economies

by Eloisa T Glindro, Tientip Subhanij, Jessica Szeto and Haibin Zhu

May 2006
No 206

Dynamic prudential regulation: Is prompt corrective action optimal?

by Ilhyock Shim

Sep 2005
No 181

Explaining credit default swap spreads with equity volatility and jump risks of individual firms

by Haibin Zhu, Benjamin Zhang and Hao Zhou

Apr 2005
No 175

Commercial property prices and bank performance

by E. Davis and Haibin Zhu

Mar 2004
No 150

Bank lending and commercial property cycles: some cross-country evidence

by E. Davis and Haibin Zhu