Central Bank Research Hub - Series: Bank for International Settlements BIS papers

Papers by year: All | 2016 | 2014 | 2012

Title Author(s)

Maintaining price and financial stability by monetary and macroprudential policy - evidence from Asia and the Pacific

Paper: 88a, 10.10.2016

JEL: E58, E61

A comparison of liquidity management tools in seven Asian economies

Paper: 88c, 10.10.2016

JEL: C32, E52, G21

A spectral perspective on natural interest rates in Asia-Pacific: changes and possible drivers

Paper: 88e, 10.10.2016

JEL: E43, E44, E52, F62, J11

Monetary independence in a financially integrated world: what do measures of interest rate co-movement tell us?

Paper: 88i, 10.10.2016

JEL: E52, F42, G15, O57

External shocks, the exchange rate and macroprudential policy

Paper: 86i, 07.09.2016

Financial development and the effectiveness of macroprudential measures

Paper: 86o, 07.09.2016

Rethinking the lender of last resort: workshop summary

Paper: 79a, 01.09.2014

The lender of last resort and modern central banking: principles and reconstruction

Paper: 79b, 01.09.2014

Central banks as lenders of last resort: experiences during the 2007-10 crisis and lessons for the future

Paper: 79c, 01.09.2014

JEL: E58, F31, N1

Towards an international lender of last resort

Paper: 79l, 01.09.2014

The transmission of unconventional monetary policy to the emerging markets - An overview

Paper: 78a, 28.08.2014

JEL: E52, F31, F42, G12, G15

Market volatility and foreign exchange intervention in EMEs: what has changed?

Paper: 73a, 29.07.2014

The exchange rate, real economy and financial markets

Paper: 73b, 29.07.2014

JEL: E23, F31, O16, O40

Capital flow dynamics and FX intervention

Paper: 73c, 29.07.2014

JEL: F31, G11, G15

Impact of foreign exchange interventions on exchange rate expectations

Paper: 73d, 29.07.2014

JEL: D84, E58, F31

Central bank views on foreign exchange intervention

Paper: 73e, 29.07.2014

JEL: E52, E58, F31

Real globalisation and price spillovers in Asia and the Pacific

Paper: 77f, 14.04.2014

JEL: E31, F14, F62

Responding to exchange rates in a globalised world

Paper: 77h, 14.03.2014

JEL: E58, F62

Has Asian emerging market monetary policy been too procyclical when responding to swings in commodity prices?

Paper: 77j, 14.03.2014

JEL: E31, E52, F42, F68, Q43

Inflation and China's monetary policy reaction function: 2002-2013

Paper: 77l, 14.03.2014

JEL: E52, E58, O11, O52

How anchored are inflation expectations in Asia? Evidence from surveys of professional forecasters

Paper: 77o, 14.03.2014

The role of central banks in macroeconomic and financial stability

Paper: 76a, 13.02.2014

JEL: E52, E58, F34

Financial stability objectives and arrangements - what's new?

Paper: 76e, 13.02.2014

Introduction - Challenges related to capital flows: Latin American perspectives

Paper: 68a, 04.12.2012

Lessons on the "impossible trinity"

Paper: 68e, 04.12.2012

Fiscal policy, public debt and monetary policy in EMEs: an overview

Paper: 67a, 30.11.2012

Is monetary policy constrained by fiscal policy?

Paper: 67b, 30.11.2012

Developments of domestic government bond markets in EMEs and their implications

Paper: 67c, 30.11.2012

Central bank and government debt management-issues for monetary policy

Paper: 67d, 30.11.2012

Key facts on central bank balance sheets in Asia and the Pacific

Paper: 66c, 16.11.2012

Expanding central bank balance sheets in emerging Asia: a compendium of risks and some evidence

Paper: 66d, 16.11.2012

Central bank balance sheets and foreign exchange rate regimes: understanding the nexus in Asia

Paper: 66e, 16.11.2012

On the use of sterilisation bonds in emerging Asia

Paper: 66f, 16.11.2012

Threat of fiscal dominance? - workshop summary

Paper: 65a, 06.06.2012

Government debt management and monetary policy in Britain since 1919

Paper: 65b, 06.06.2012

Keynes's monetary theory of interest

Paper: 65c, 06.06.2012

Thoughts on policies and the policy framework after a financial crisis

Paper: 65d, 06.06.2012

Sovereign debt management as an instrument of monetary policy: an overview

Paper: 65f, 06.06.2012

Monetary policy and the natural rate of interest

Paper: 65g, 06.06.2012

Is the standard micro portfolio approach to sovereign debt management still appropriate?

Paper: 65i, 06.06.2012

Sovereign debt management and fiscal vulnerabilities

Paper: 65j, 06.06.2012

Debt management and optimal fiscal policy with long bonds

Paper: 65k, 06.06.2012

Interactions between sovereign debt management and monetary policy under fiscal dominance and financial instability

Paper: 65l, 06.06.2012

The effectiveness of the Federal Reserve's Maturity Extension Program - Operation Twist 2: the portfolio rebalancing channel and public debt management

Paper: 65n, 06.06.2012

The financial crisis and the changing dynamics of the yield curve

Paper: 65o, 06.06.2012

The financial market impact of UK quantitative easing

Paper: 65p, 06.06.2012

Papers by year: All | 2016 | 2014 | 2012