Central Bank Research Hub - Series: Bank for International Settlements Quarterly Review

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Title Author(s)

Common factors in emerging market spreads

Paper: 0312f, 01.01.2004

JEL: G11, G12, G15

Sovereign credit default swaps

Paper: 0312g, 01.01.2004

JEL: G15

Unifying government bond markets in East Asia

Paper: 0312h, 01.01.2004

JEL: G18

Changing links between mature and emerging financial markets

Paper: 0309e, 01.01.2004

Mind the gap: domestic versus foreign currency sovereign ratings

Paper: 0309f, 01.01.2004

Reaching for yield: selected issues for reserve managers

Paper: 0309g, 01.01.2004

Institutional asset managers: industry trends, incentives and implications for market efficiency

Paper: 0309h, 01.01.2004

Capital flows in East Asia since the 1997 crisis

Paper: 0306e, 01.01.2004

Investors┬┐ attitude towards risk: what can we learn from options?

Paper: 0306f, 01.01.2004

What drives investor risk aversion? Daily evidence from the German equity market

Paper: 0306g, 01.01.2004

Choosing instruments in managing dollar foreign exchange reserves

Paper: 0303e, 01.01.2004

The euro interest rate swap market

Paper: 0303f, 01.01.2004

Volatility and derivatives turnover: a tenuous relationship

Paper: 0303g, 01.01.2004

Assessing the risk of banking crises

Paper: 0212e, 01.01.2004

Settlement risk in foreign exchange markets and CLS Bank

Paper: 0212f, 01.01.2004

Interest rate risk and bank net interest margins

Paper: 0212g, 01.01.2004

Integrating the finances of East Asia

Paper: 0212h, 01.01.2004

Housing markets and economic growth: lessons from the US refinancing boom

Paper: 0209e, 01.01.2004

Explaining changes in house prices

Paper: 0209f, 01.01.2004

The case of the missing commercial real estate cycle

Paper: 0209g, 01.01.2004

Rising foreign currency liquidity of banks in China

Paper: 0209h, 01.01.2004

The changing information content of market interest rates

Paper: 0206e, 01.01.2004

What┬┐s behind the liquidity spread? On-the-run and off-the-run US Treasuries in autumn 1998

Paper: 0206f, 01.01.2004

Positive feedback trading in the US Treasury market

Paper: 0206g, 01.01.2004

Globalising international banking

Paper: 0203e, 01.01.2004

International bank lending to emerging market countries: explaining the 1990s roller coaster

Paper: 0203f, 01.01.2004

Do syndicated credits anticipate BIS consolidated banking data?

Paper: 0203g, 01.01.2004

Uses of the BIS statistics: an introduction

Paper: 0203h, 01.01.2004

Why has global FX turnover declined? Explaining the 2001 triennial survey

Paper: 0112e, 01.01.2004

The emergence of new benchmark yield curves

Paper: 0112f, 01.01.2004

The impact of transatlantic M&A activity on the dollar/euro exchange rate

Paper: 0112g, 01.01.2004

To provision or not to provision

Paper: 0109e, 01.01.2004

Analysing the growth of Taiwanese deposits in foreign currency

Paper: 0109f, 01.01.2004

Collateral in wholesale financial markets

Paper: 0109g, 01.01.2004

Is there a "Nasdaq effect" in emerging equity markets?

Paper: 0106e, 01.01.2004

Do macro announcements still drive the US bond market?

Paper: 0106f, 01.01.2004

Stress testing in practice: a survey of 43 major financial institutions

Paper: 0106g, 01.01.2004

Benchmark tipping in the money and bond markets

Paper: 0103e, 01.01.2004

Implementing international standards for stronger financial systems

Paper: 0103f, 01.01.2004

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