Contact information of Bank for International Settlements
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:bis:bisbpc. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Christian Beslmeisl (email available below). General contact details of provider: https://edirc.repec.org/data/bisssch.html .
Content
2018
2017
- 1-1 Foreword
In: Financial systems and the real economy
by Ilhyock Shim
- 1-3 Opening remarks
In: Financial systems and the real economy
by Abdul Rasheed Ghaffour
- 1-5 Macroprudential frameworks, implementation and relationship with other policies
In: Macroprudential frameworks, implementation and relationship with other policies
by Christian Upper
- 5-14 What is macroprudential policy for? Making it safe for central bankers
In: Financial systems and the real economy
by Paul Tucker
- 7-24 Macroprudential frameworks: objectives, decisions and policy interactions
In: Macroprudential frameworks, implementation and relationship with other policies
by Agustín Villar
- 15-34 Credit growth and macroprudential policies: preliminary evidence on the firm level
In: Financial systems and the real economy
by Meghana Ayyagari & Thorsten Beck & Maria Soledad Martinez Peria
- 25-47 Macroprudential frameworks: implementation and effectiveness
In: Macroprudential frameworks, implementation and relationship with other policies
by Yavuz Arslan and Christian Upper
- 35-38 Comments on “Credit growth and macroprudential policies: preliminary evidence on the firm level”
In: Financial systems and the real economy
by Jae-Ha Park
- 39-59 Household credit, growth and inequality in Malaysia: does the type of credit matter?
In: Financial systems and the real economy
by Jiaming Soh & Amanda Chong & Kue-Peng Chuah
- 49-56 Macroprudential frameworks: communication
In: Macroprudential frameworks, implementation and relationship with other policies
by Nikhil Patel
- 57-63 Macroprudential frameworks: cross-border issues
In: Macroprudential frameworks, implementation and relationship with other policies
by Nikhil Patel
- 61-64 Comments on "Household credit, growth and inequality in Malaysia: does the type of credit matter?"
In: Financial systems and the real economy
by Yongheng Deng
- 65-75 Macroprudential policy framework, implementation and relationships with other policies
In: Macroprudential frameworks, implementation and relationship with other policies
by Central Bank of Argentina
- 65-94 Corporate leverage in emerging Asia
In: Financial systems and the real economy
by Vidhan Goyal & Frank Packer
- 77-86 Macroprudential policy in Brazil
In: Macroprudential frameworks, implementation and relationship with other policies
by Maurício Costa de Moura and Fernanda Martins Bandeira
- 87-98 Macroeconomic and financial volatility and macroprudential policies in Chile
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Rodrigo Cifuentes, Sebastián Claro and Alejandro Jara
- 95-99 Comments on "Corporate leverage in emerging Asia"
In: Financial systems and the real economy
by Dragon Yongjun Tang
- 99-102 Macroprudential goals, implementation and cross-border communication
In: Macroprudential policy frameworks, implementation and relationships with other policies
by The People’s Bank of China
- 101-123 Foreign banks and credit conditions in EMEs
In: Financial systems and the real economy
by Torsten Ehlers & Patrick McGuire
- 103-128 The macroprudential policy framework in Colombia
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Hernando Vargas, Pamela Cardozo and Andrés Murcia
- 107-218 Assessing the impact of macroprudential tools: the case of Israel
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Nadine Baudot-Trajtenberg, Nitzan Tzur-Ilan and Roi Frayberg
- 125-128 Comments on "Foreign banks and credit conditions in EMEs"
In: Financial systems and the real economy
by Glenn Hoggarth
- 129-140 Should monetary policy pay attention to house prices? The Czech National Bank’s approach
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Mojmír Hampl and Tomáš Havránek
- 129-144 Household credit in Asia-Pacific
In: Financial systems and the real economy
by Moritz Schularick & Ilhyock Shim
- 141-152 Hong Kong’s property market and macroprudential measures
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Hong Kong Monetary Authority
- 145-151 Comments on "Household credit in Asia-Pacific"
In: Financial systems and the real economy
by Woon-Gyu Choi
- 153-168 Rich debt, poor debt: assessing household indebtedness and debt repayment capacity
In: Financial systems and the real economy
by Muhamad Shukri Abdul Rani & Siti Hanifah Borhan Nordin & Chin Ching Lau & Sheng Ling Lim & Zhen Shing Siow
- 153-178 Regionally-differentiated debt cap rules: a Hungarian perspective
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Péter Fáykiss, Márton Nagy and Anikó Szombati
- 169-173 Comments on "Rich debt, poor debt: assessing household indebtedness and debt repayment capacity"
In: Financial systems and the real economy
by Sock-Yong Phang
- 175-176 Balancing policy objectives in Asia: leverage vs long-term economic growth
In: Financial systems and the real economy
by Deepak Mohanty
- 177-182 Credit build-up and financial stability issues: do we know enough to calibrate appropriate intervention?
In: Financial systems and the real economy
by Johnny Noe E Ravalo
- 179-187 Macroprudential frameworks, implementation, and relationship with other policies
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Reserve Bank of India
- 189-205 Indonesia: the macroprudential framework and the central bank’s policy mix
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Perry Warjiyo
- 219-229 Macroprudential frameworks, implementation and relationship with other policies in Korea
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Ho Soon Shin, Jung Yeoun Lee, Jungmin Park
- 231-238 Macroprudential frameworks: Implementation, and relationship with other policies – Malaysia
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Central Bank of Malaysia
- 239-255 On the relationship between macroprudential policy and other policies
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Manuel Ramos-Francia and Santiago García-Verdú
- 257-275 Implementation of macroprudential policy in Peru
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Renzo G Rossini and Zenón Quispe
- 277-288 Macroprudential frameworks, implementation, and communication strategies – The Philippines
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Diwa C Guinigundo
- 289-303 Institutional and operational aspects of macroprudential policy in central and eastern European EU member states
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Piotr Szpunar
- 305-319 The macroprudential policy framework in Russia
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Elizaveta Danilova and Maxim Morozov
- 321-327 Macroprudential policies: A Singapore case study
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Monetary Authority of Singapore
- 329-337 Macroprudential frameworks, implementation and relationships with other policies
In: Macroprudential policy frameworks, implementation and relationships with other policies
by South African Reserve Bank
- 339-348 Macroprudential framework – the case of Thailand
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Bank of Thailand
- 349-364 Financial stability and macroprudential policy in Turkey
In: Macroprudential policy frameworks, implementation and relationships with other policies
by Murat Uysal
2016
- 1-1 Macroprudential policies and integrated inflation targeting
In: Macroprudential policy
by Luiz Awazu Pereira da Silva
- 1-1 Analysing the effectiveness of macroprudential tools
In: Macroprudential policy
by José Viñals
- 1-1 Foreword
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Frank Packer & James Yetman
- 1-5 The challenges of expanding the boundaries of monetary policy
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Agus D W Martowardojo
- 1-8 Inflation mechanisms, expectations and monetary policy - Overview
In: Inflation mechanisms, expectations and monetary policy
by Christian Upper
- 1-15 Macroprudential regulation: history, theory and policy
In: Macroprudential policy
by Turalay Kenç
- 7-16 Measuring the effects of monetary policy on house prices and the economy
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by John C Williams
- 9-21 Measuring inflation
In: Inflation mechanisms, expectations and monetary policy
by Nikhil Patel & Agustín Villar
- 17-25 Credit cycles and macroprudential policy framework in emerging countries
In: Macroprudential policy
by Salih Fendoglu
- 17-28 Maintaining price and financial stability by monetary and macroprudential policy - evidence from Asia and the Pacific
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Soyoung Kim & Aaron Mehrotra
- 23-40 The inflation process
In: Inflation mechanisms, expectations and monetary policy
by Yavuz Arslan & Martina Jašová & Elod Takáts
- 27-38 Monetary and macroprudential policies – exploring interactions
In: Macroprudential policy
by Erlend Nier & Heedon Kang
- 29-32 Comments on "Maintaining price and financial stability by monetary and macroprudential policy - evidence from Asia and the Pacific"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Kazuo Momma
- 33-58 A comparison of liquidity management tools in seven Asian economies
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Ken Kuttner & James Yetman
- 39-44 Macroprudential Policies and the Lucas Critique
In: Macroprudential policy
by Bálint Horváth & Wolf Wagner
- 41-67 Inflation expectations and monetary policy
In: Inflation mechanisms, expectations and monetary policy
by Ricardo Sousa & James Yetman
- 45-48 Cross-border spillovers from macroprudential policy in the euro area
In: Macroprudential policy
by Luca Nocciola & Dawid Zochowski
- 49-56 Banking de-globalisation: a consequence of monetary and regulatory policies?
In: Macroprudential policy
by Kristin Forbes & Dennis Reinhardt & Tomasz Wieladek
- 57-62 External shocks, the exchange rate and macroprudential policy
In: Macroprudential policy
by Philip Turner
- 59-61 Comments on "A comparison of liquidity management tools in seven Asian economies"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Martin Bodenstein
- 63-68 Capital flows, credit cycles and macroprudential policy
In: Macroprudential policy
by Yusuf Soner Baskaya & Julian di Giovanni & Sebnem Kalemli-Ozcan & Jose-Luis Peydro & Mehmet Fatih Ulu
- 63-149 A spectral perspective on natural interest rates in Asia-Pacific: changes and possible drivers
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Feng Zhu
- 69-73 Macroprudential policies in a commodity exporting economy
In: Macroprudential policy
by Andrés González & Franz Hamann & Diego Rodríguez
- 69-83 The transition to inflation targeting in an emerging economy: selected issues
In: Inflation mechanisms, expectations and monetary policy
by Horacio Aguirre & Mauro Alessandro & Lucas Llach
- 75-84 Managing systemic risks in the Croatian economy
In: Macroprudential policy
by Boris Vujcic & Mirna Dumicic
- 85-91 Why is inflation so high and volatile in Brazil? A primer
In: Inflation mechanisms, expectations and monetary policy
by Tony Volpon
- 85-93 Macroprudential policy regulation: some continuing challenges
In: Macroprudential policy
by Manuel Ramos-Francia & Santiago García-Verdú
- 93-116 The evolution of inflation in Chile since 2000
In: Inflation mechanisms, expectations and monetary policy
by Alberto Naudon & Joaquín Vial
- 95-102 The use and effectiveness of macroprudential policies
In: Macroprudential policy
by Eugenio Cerutti & Stijn Claessens & Luc Laeven
- 103-116 Financial development and the effectiveness of macroprudential measures
In: Macroprudential policy
by Yusuf Soner Baskaya & Turalay Kenç & Ilhyock Shim & Philip Turner
- 117-121 An underlying inflation gauge (UIG) for China
In: Inflation mechanisms, expectations and monetary policy
by The People's Bank of China
- 117-122 Macroprudential measures for addressing housing sector risks
In: Macroprudential policy
by Dong He & Erlend Nier & Heedon Kang
- 123-139 Turkey's experience with macroprudential policy
In: Macroprudential policy
by Hakan Kara
- 123-151 Inflation expectations and a model-based core inflation measure in Colombia
In: Inflation mechanisms, expectations and monetary policy
by Hernando Vargas-Herrera
- 141-146 The macroprudential policy framework in New Zealand
In: Macroprudential policy
by David Hargreaves
- 147-156 A liquidity-based approach to macroprudential policy
In: Macroprudential policy
by Jean-Pierre Landau
- 151-156 Comments on "A spectral perspective on natural interest rates in Asia-Pacific: changes and possible drivers"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Solikin M Juhro
- 153-167 Impact of the CNB's exchange rate commitment: pass-through to inflation
In: Inflation mechanisms, expectations and monetary policy
by Michal Skořepa & Vladimír Tomšík & Jan Vlcek
- 157-188 Managing monetary and financial stability in a dynamic global environment: Bank Indonesia s policy perspectives
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Juda Agung & Solikin M Juhro & Harmanta & Tarsidin
- 169-177 Inflation mechanism and monetary policy: perspectives from Hong Kong
In: Inflation mechanisms, expectations and monetary policy
by Lillian Cheung & Kevin Chow & Michael Cheng & Philip Ng
- 179-191 Fixing an impaired monetary transmission mechanism: the Hungarian experience
In: Inflation mechanisms, expectations and monetary policy
by Péter Gábriel & György Molnár & Judit Várhegyi
- 189-191 Comments on "Managing monetary and financial stability in a dynamic global environment: Bank Indonesia s policy perspectives"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Iikka Korhonen
- 193-203 Inflation mechanisms, expectations and monetary policy in Indonesia
In: Inflation mechanisms, expectations and monetary policy
by Hendar
- 193-205 Monetary independence in a financially integrated world: what do measures of interest rate co-movement tell us?
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Enisse Kharroubi & Fabrizio Zampolli
- 205-220 Inflation measurement and inflation expectations: the case of Israel
In: Inflation mechanisms, expectations and monetary policy
by Nadine Baudot-Trajtenberg & Edward (Akiva) Offenbacher
- 207-212 Comments on "Monetary independence in a financially integrated world: what do measures of interest rate co-movement tell us?"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Mardi Dungey
- 213-225 Financial globalisation and monetary independence
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Piti Disyatat & Phurichai Rungcharoenkitkul
- 221-230 Inflation dynamics in the post-crisis period: Korea's experience
In: Inflation mechanisms, expectations and monetary policy
by Min Chang & Changho Choi & Keunhyeong Park
- 227-230 Comments on "Financial globalisation and monetary independence"
In: Expanding the boundaries of monetary policy in Asia and the Pacific
by Paul Mizen
- 231-245 Economic changes, inflation dynamics and policy responses: the Malaysian experience
In: Inflation mechanisms, expectations and monetary policy
by Sukudhew (Sukhdave) Singh
- 247-273 On the costs of deflation: a consumption-based approach
In: Inflation mechanisms, expectations and monetary policy
by Santiago García-Verdú & Manuel Ramos-Francia
- 275-289 Inflation expectations and dollarisation in Peru
In: Inflation mechanisms, expectations and monetary policy
by Renzo Rossini & Marco Vega & Zenón Quispe & Fernando Perez
- 291-302 The role of expectations in inflation dynamics in the Philippines - has it changed following the global financial crisis?
In: Inflation mechanisms, expectations and monetary policy
by Diwa C Guinigundo
- 303-315 Negative bond term premia - a new challenge for Polish conventional monetary policy
In: Inflation mechanisms, expectations and monetary policy
by Juliusz Jabłecki & Andrzej Raczko & Grzegorz Wesołowski
- 317-326 The Bank of Russia's inflation challenge
In: Inflation mechanisms, expectations and monetary policy
by Central Bank of the Russian Federation
- 327-333 Inflation mechanisms, expectations and monetary policy in Saudi Arabia
In: Inflation mechanisms, expectations and monetary policy
by Saudi Arabian Monetary Agency
- 335-343 The inflation process and expectations in Singapore
In: Inflation mechanisms, expectations and monetary policy
by Choy Keen Meng
- 345-348 Inflation mechanisms, expectations and monetary policy
In: Inflation mechanisms, expectations and monetary policy
by South African Reserve Bank
- 349-360 Inflation dynamics and inflation expectations in Thailand
In: Inflation mechanisms, expectations and monetary policy
by Wanicha Direkudomsak
- 361-371 Twin stability problem: joint issue of high current account deficit and high inflation
In: Inflation mechanisms, expectations and monetary policy
by Mustafa Kılınç & Cengiz Tunç & Mehmet Yörükoğlu
- 373-378 Inflation in the United Arab Emirates
In: Inflation mechanisms, expectations and monetary policy
by Central Bank of the United Arab Emirates
2015
2014
- 1-2 Opening remarks
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Zhou Xiaochuan
- 1-3 Foreword
In: Long-term finance: can emerging capital markets help?
by Jaime Caruana
- 1-5 The role of central banks in macroeconomic and financial stability
In: The role of central banks in macroeconomic and financial stability
by Jaime Caruana
- 1-9 Rethinking the lender of last resort: workshop summary
In: Re-thinking the lender of last resort
by Dietrich Domanski & Vladyslav Sushko
- 1-24 The transmission of unconventional monetary policy to the emerging markets - An overview
In: The transmission of unconventional monetary policy to the emerging markets
by Madhusudan Mohanty
- 7-9 Speech by Paul Collier on 11 May 2013
In: The role of central banks in macroeconomic and financial stability
by Paul Collier
- 10-42 The lender of last resort and modern central banking: principles and reconstruction
In: Re-thinking the lender of last resort
by Paul Tucker
- 11-28 Financial integration in Africa: implications for monetary policy and financial stability
In: The role of central banks in macroeconomic and financial stability
by Benedicte Vibe Christensen
- 13-17 Managing Capital Flow Volatility
In: Long-term finance: can emerging capital markets help?
by Eswar Prasad
- 13-20 Towards strong and stable capital markets in emerging market economies
In: Long-term finance: can emerging capital markets help?
by Liliana Rojas-Suarez
- 15-30 Inflation forecasts in Asia and the Pacific: performance, disagreement and spillovers
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Pierre L Siklos
- 19-24 Deleveraging, long-term finance and the G20 agenda
In: Long-term finance: can emerging capital markets help?
by Jean-Pierre Landau
- 25-44 International monetary policy transmission
In: The transmission of unconventional monetary policy to the emerging markets
by Elod Takáts & Abraham Vela
- 29-46 Government debt issuance: issues for central banks
In: The role of central banks in macroeconomic and financial stability
by Stephen Vajs
- 31-34 Comments on Pierre Siklos' paper
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Richard Dennis
- 35-50 Measuring economic slack in Asia and the Pacific
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by James Morley
- 43-75 Central banks as lenders of last resort: experiences during the 2007-10 crisis and lessons for the future
In: Re-thinking the lender of last resort
by Dietrich Domanski & Richhild Moessner & William Nelson
- 45-69 How might EME central banks respond to the influence of global monetary factors?
In: The transmission of unconventional monetary policy to the emerging markets
by Blaise Gadanecz & Ken Miyajima & Jörg Urban
- 47-58 Financial stability objectives and arrangements - what's new?
In: The role of central banks in macroeconomic and financial stability
by Serge Jeanneau
- 51-54 Comments on James Morley's paper
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Jun Il Kim
- 57-78 Is inflation (or deflation) "always and everywhere" a monetary phenomenon?
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Masaaki Shirakawa
- 59-75 Macroprudential policies, commodity prices and capital inflows
In: The role of central banks in macroeconomic and financial stability
by Paul Masson
- 71-86 Internationalisation of emerging market currencies
In: The transmission of unconventional monetary policy to the emerging markets
by Guonan Ma & Agustin Villar
- 76-80 Lessons from lender of last resort actions during the crisis: the Federal Reserve experience
In: Re-thinking the lender of last resort
by William Nelson
- 77-81 Government debt issuance and central banks - Kenya's experience
In: The role of central banks in macroeconomic and financial stability
by Central Bank of Kenya
- 81-89 Real globalisation and price spillovers in Asia and the Pacific
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Raphael Auer & Aaron Mehrotra
- 81-92 Lender of last resort operations during the financial crisis: seven practical lessons from the United Kingdom
In: Re-thinking the lender of last resort
by Andrew Hauser
- 83-96 Cross-border expansion of Nigerian banks: has it improved the continent's regulatory and supervisory frameworks?
In: The role of central banks in macroeconomic and financial stability
by Sarah Omotunde Alade
- 87-94 International financial spillovers: policy responses and coordination
In: The transmission of unconventional monetary policy to the emerging markets
by Miguel Angel Pesce
- 91-95 Comments on Raphael Auer and Aaron Mehrotra's paper
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Toshitaka Sekine
- 93-96 Lending of last resort? A European perspective
In: Re-thinking the lender of last resort
by Francesco Papadia
- 95-109 What have central banks in EMEs learned about the international transmission of monetary policy in recent years?
In: The transmission of unconventional monetary policy to the emerging markets
by João Barata R B Barroso & Emanuel W Kohlscheen & Eduardo J A Lima
- 97-105 Lender of last resort: actions, results and lessons from Mexico's experience during the crisis
In: Re-thinking the lender of last resort
by José Julián Sidaoui
- 97-117 Responding to exchange rates in a globalised world
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Michael B Devereux & James Yetman
- 106-107 Lessons from Bank of Japan's experience during the banking crises of the 1990s and the new dimension to LOLR stemming from the global financial crisis
In: Re-thinking the lender of last resort
by Hiroshi Nakaso
- 108-118 Why central banking should be re-imagined
In: Re-thinking the lender of last resort
by Perry Mehrling
- 111-123 Monetary policy independence in Chile
In: The transmission of unconventional monetary policy to the emerging markets
by Sebastián Claro & Luis Opazo
- 119-125 Comments on Michael Devereux and James Yetman's paper
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Ippei Fujiwara
- 119-127 International lender of last resort: some thoughts for the 21st century
In: Re-thinking the lender of last resort
by Jean-Pierre Landau
- 125-127 International monetary policy spillovers and responses
In: The transmission of unconventional monetary policy to the emerging markets
by The People's Bank of China
- 128-130 Can emerging economy central banks be market-makers of last resort?
In: Re-thinking the lender of last resort
by Michael Dooley
- 129-153 Has Asian emerging market monetary policy been too procyclical when responding to swings in commodity prices?
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Andrew Filardo & Marco Jacopo Lombardi
- 129-158 An empirical analysis of the relationship between US and Colombian long-term sovereign bond yields
In: The transmission of unconventional monetary policy to the emerging markets
by Alexander Guarín & José Fernando Moreno & Hernando Vargas
- 131-136 Towards an international lender of last resort
In: Re-thinking the lender of last resort
by Stephen G Cecchetti
- 155-158 Comments on Andrew Filardo and Marco Lombardi's paper
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Luis A V Catão
- 159-169 Evolution of the Czech National Bank's holdings of foreign exchange reserves
In: The transmission of unconventional monetary policy to the emerging markets
by Michal Skorepa & Mojmír Hampl
- 159-170 Inflation and China's monetary policy reaction function: 2002-2013
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Eric Girardin & Sandrine Lunven & Guonan Ma