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What can BIS statistics tell us about the risks of crises in emerging markets?

In: Research on global financial stability: the use of BIS international financial statistics

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Author Info

  • Ramon Moreno

    (Bank for International Settlements)

  • Karsten von Kleist

    (Bank for International Settlements)

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File URL: http://www.bis.org/publ/cgfs29a.pdf
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This chapter was published in:

  • Bank for International Settlements, 2007. "Research on global financial stability: the use of BIS international financial statistics," CGFS Papers, Bank for International Settlements, number 29, July.
    This item is provided by Bank for International Settlements in its series CGFS Papers chapters with number 29-02.

    Handle: RePEc:bis:biscgc:29-02

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    1. Fratzscher, Marcel & Matthieu Bussiere, 2003. "Towards A New Early Warning System of Financial Crises," Royal Economic Society Annual Conference 2003 81, Royal Economic Society.
    2. Glick, Reuven & Rose, Andrew K., 1999. "Contagion and trade: Why are currency crises regional?," Journal of International Money and Finance, Elsevier, vol. 18(4), pages 603-617, August.
    3. Morris Goldstein & Philip Turner, 2004. "Controlling Currency Mismatches in Emerging Markets," Peterson Institute Press: All Books, Peterson Institute for International Economics, number 373, July.
    4. International Monetary Fund, 1999. "Sources of Contagion," IMF Working Papers 99/146, International Monetary Fund.
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    Cited by:
    1. Delphine Lahet, 2009. "Les Banques Étrangères En Asie Du Sud-Est : Le Rôle Des Local Claims," Working Papers hal-00616577, HAL.
    2. Bank for International Settlements, 2008. "Monetary and financial stability implications of capital flows in Latin America and the Caribbean," BIS Papers, Bank for International Settlements, number 43, 8.

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