Content
2005
- 40-55 Foreign exchange market intervention: methods and tactics
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by David Archer - 40-63 The impact of financial variables on firms’ real decisions: evidence from Spanish firm-level data
In: Investigating the relationship between the financial and real economy
by Ignacio Hernando & Carmen Martínez-Carrascal - 42-62 The asset price bubble in Japan in the 1980s: lessons for financial and macroeconomic stability
In: Real estate indicators and financial stability
by Shigenori Shiratsuka - 56-81 Intervention: what are the domestic consequences?
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by M S Mohanty & Philip Turner - 59-80 Globalisation and monetary operations in emerging economies
In: Globalisation and monetary policy in emerging markets
by John Hawkins - 63-69 Obtaining real estate data: criteria, difficulties and limitations
In: Real estate indicators and financial stability
by Stephan V Arthur - 64-80 Financial constraints and real activity: a non-structural approach using UK survey data
In: Investigating the relationship between the financial and real economy
by Ulf von Kalckreuth - 70-90 Performance measurement and real estate lending risk
In: Real estate indicators and financial stability
by Rupert Nabarro & Tony Key - 81-90 Local complications of global economic integration: privatisation receipts and volatile export earnings
In: Globalisation and monetary policy in emerging markets
by Dubravko Mihaljek - 82-96 Survey of central banks’ views on effects of intervention
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Dubravko Mihaljek - 82-105 A note on the recent behaviour of Japanese banks
In: Investigating the relationship between the financial and real economy
by Nobuo Inaba & Takashi Kozu - 91-97 International capital flows in Argentina
In: Globalisation and monetary policy in emerging markets
by Pedro Lacoste - 91-111 The availability and usefulness of real estate data in eastern Asia - a user’s perspective
In: Real estate indicators and financial stability
by Boaz Boon - 97-113 The effectiveness of foreign exchange intervention in emerging market countries
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Piti Disyatat & Gabriele Galati - 98-108 Brazil’s stress test of inflation targeting
In: Globalisation and monetary policy in emerging markets
by Afonso S Bevilaqua & Eduardo Loyo - 106-127 Non-performing loans and the real economy: Japan’s experience
In: Investigating the relationship between the financial and real economy
by Nobuo Inaba & Takashi Kozu & Toshitaka Sekine & Takashi Nagahata - 109-123 Monetary policy and financial integration: the case of Chile
In: Globalisation and monetary policy in emerging markets
by Rodrigo Cifuentes & Jorge Desormeaux - 112-123 Housing valuations: no bubble apparent
In: Real estate indicators and financial stability
by Kathleen Stephansen & Maxine Koster - 114-118 Foreign exchange intervention in Argentina: motives, techniques and implications
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Claudio Irigoyen - 119-126 Provision of FX hedge by the public sector: the Brazilian experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Afonso Bevilaqua & Rodrigo Azevedo - 124-127 Challenges to China’s monetary policy
In: Globalisation and monetary policy in emerging markets
by People’s Bank of China - 124-138 Real estate indicators in Hong Kong SAR
In: Real estate indicators and financial stability
by Kelvin Fan & Wensheng Peng - 127-138 Flexible exchange rate regime and forex intervention
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by José De Gregorio & Andrea Tokman R - 128-140 Capital controls and foreign exchange market intervention in Colombia
In: Globalisation and monetary policy in emerging markets
by José Darío Uribe - 128-145 The bank lending channel in Chile
In: Investigating the relationship between the financial and real economy
by Rodrigo Alfaro & Carlos García & Alejandro Jara & Helmut Franken - 139-148 Real estate price index: a model for the Philippines
In: Real estate indicators and financial stability
by Estrella V Domingo & Reynaldo F Fulleros - 139-149 Foreign exchange market intervention in Colombia
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by José Darío Uribe & Jorge Toro - 141-149 Conducting monetary policy in a small open economy under globalised capital markets: the experience of the Czech Republic
In: Globalisation and monetary policy in emerging markets
by Jiri Böhm & Vladimir Zdarsky - 146-165 Welfare analysis of non-fundamental asset price and investment shocks: implications for monetary policy
In: Investigating the relationship between the financial and real economy
by Frank Smets & Raf Wouters - 149-170 The Absa residential property market database for South Africa - key data trends and implications
In: Real estate indicators and financial stability
by Christo Luüs - 150-155 The recent appreciation of the Hong Kong dollar
In: Globalisation and monetary policy in emerging markets
by Research Department - 150-161 Forex interventions: the Czech experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Tomas Holub - 156-160 Monetary policy issues in Hungary on the eve of EU membership
In: Globalisation and monetary policy in emerging markets
by Gergely Kiss - 161-170 Globalisation, financial markets and the operation of monetary policy in India
In: Globalisation and monetary policy in emerging markets
by Rakesh Mohan - 162-170 Foreign exchange market operations: the recent experience of Hong Kong
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Peter Pang - 166-176 Productivity, monetary policy and financial indicators
In: Investigating the relationship between the financial and real economy
by Arturo Estrella - 171-175 Indonesian policy on non-residents’ participation in the money market: the restriction of rupiah transactions by non-residents and foreign currency credit offered by banks to non-residents
In: Globalisation and monetary policy in emerging markets
by Hartadi A Sarwono - 171-176 Defending the strong side of the band - the Hungarian experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Zsolt Ersek - 171-183 New quality adjusted price indexes for non-residential structures Book-title: Real estate indicators and financial stability
In: Real estate indicators and financial stability
by Bruce Grimm - 176-185 Globalisation and its effects on monetary policy: the case of Israel
In: Globalisation and monetary policy in emerging markets
by Meir Sokoler - 177-187 Foreign exchange intervention and policy: Bank Indonesia experiences
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Bank Indonesia - 177-192 The term structure as a predictor of real activity and inflation in the euro area: a reassessment
In: Investigating the relationship between the financial and real economy
by Jesús Crespo Cuaresma & Ernest Gnan & Doris Ritzberger-Grünwald - 184-196 Real estate prices and CNB monetary policy
In: Real estate indicators and financial stability
by Ivan Matalík & Michaela Skolkova & Jan Syrovatka - 186-208 The effects of financial globalization on the Korean financial markets and monetary policy
In: Globalisation and monetary policy in emerging markets
by Kyuyung Chung - 188-195 Approaching a decade of no foreign exchange intervention - lessons from Israel
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Meir Sokoler - 193-205 Extracting growth and inflation expectations from financial market data
In: Investigating the relationship between the financial and real economy
by Lauri Kajanoja - 196-208 Foreign exchange intervention and foreign exchange market development in Korea
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Gwang-Ju Rhee & Eun Mo Lee - 197-211 Residential real estate price indices as financial soundness indicators: methodological issues
In: Real estate indicators and financial stability
by Bradford Case & Susan Wachter - 206-227 Forecasting aggregate investment in the euro area: do indicators of financial conditions help?
In: Investigating the relationship between the financial and real economy
by Marie Diron & Maria Cruz Manzano & Thomas Westermann - 209-215 Globalisation and the operation of monetary policy in Malaysia
In: Globalisation and monetary policy in emerging markets
by Latifah Merican Cheong - 209-230 Central banking intervention under a floating exchange rate regime: ten years of Mexican experience
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by José Julián Sidaoui - 212-227 A comparison of UK residential house price indices
In: Real estate indicators and financial stability
by Robert Wood - 216-229 Policies for international reserve accumulation under a floating exchange rate regime:the experience of Mexico (1995-2003)
In: Globalisation and monetary policy in emerging markets
by José Julián Sidaoui - 227-231 Methodological issues regarding residential real estate prices
In: Real estate indicators and financial stability
by Paul Hilbers - 228-252 Assessing the predictive power of measures of financial conditions for macroeconomic variables
In: Investigating the relationship between the financial and real economy
by William English & Kostas Tsatsaronis & Edda Zoli - 230-241 Challenges of financial globalisation and dollarisation for monetary policy: the case of Peru
In: Globalisation and monetary policy in emerging markets
by Julio Velarde - 231-241 The Reserve Bank of New Zealand’s new foreign exchange intervention policy
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Kelly Eckhold & Chris Hunt - 232-242 US commercial real estate indices: transaction-based and constant-liquidity indices
In: Real estate indicators and financial stability
by Donald R Haurin - 242-254 Forex interventions in Peru: 2002-2004
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Adrián Armas - 242-259 The composition and management of capital flows in the Philippines
In: Globalisation and monetary policy in emerging markets
by Amando M Tetangco, Jr - 243-254 Going where the data is
In: Real estate indicators and financial stability
by Jon Southard - 253-272 Linking real activity and financial markets: the first steps towards a small estimated model for Canada
In: Investigating the relationship between the financial and real economy
by Céline Gauthier & Fuchun Li - 255-256 Introduction to Session VI on 'Hedonic real estate price indices'
In: Real estate indicators and financial stability
by Marc Prud'Homme - 255-264 Exchange rate policy and foreign exchange interventions in Poland
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Jerzy Pruski & Piotr Szpunar - 257-270 Housing stock in Brazil: estimation based on a hedonic price model
In: Real estate indicators and financial stability
by Luis Otavio Reiff & Ana Luiza Barbosa - 260-262 Globalisation, financial markets and the operation of monetary policy: the experience of Saudi Arabia
In: Globalisation and monetary policy in emerging markets
by Muhammad Al-Jasser & Ahmed Banafe - 263-268 The impact of globalisation on the formulation and implementation of monetary policy in Singapore
In: Globalisation and monetary policy in emerging markets
by Ong Chong Tee - 265-272 Foreign exchange intervention in Saudi Arabia
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Muhammad Al-Jasser & Muhammad Ahmed Banafe - 269-274 Globalisation, financial markets and the operation of monetary policy: the case of Thailand
In: Globalisation and monetary policy in emerging markets
by Thirachai Phuvanatnaranubala - 271-287 Hedonic housing price indexes: the French experience
In: Real estate indicators and financial stability
by Anne Laferrere - 273-275 South Africa: official foreign exchange operations
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by South African Reserve Bank - 273-298 Interactions between business cycles, financial cycles and monetary policy: stylised facts
In: Investigating the relationship between the financial and real economy
by Sanvi Avouyi-Dovi & Julien Matheron - 275-279 High public debt, multiple equilibria and inflation targeting in Turkey
In: Globalisation and monetary policy in emerging markets
by Fatih Özatay - 276-282 Foreign exchange policy and intervention in Thailand
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Financial Markets Operations Group - 283-291 Monetary and exchange rate policies in the post-crisis period in Turkey
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Fatih Özatay - 288-307 Euro area residential property prices: the aggregation of non-harmonised national data
In: Real estate indicators and financial stability
by Henning Ahnert & Adrian Page - 292-300 Foreign exchange intervention in Venezuela
In: Foreign exchange market intervention in emerging markets: motives, techniques and implications
by Iván Giner & Omar Mendoza - 299-327 Business cycle, credit risk and economic capital determination by commercial banks
In: Investigating the relationship between the financial and real economy
by Alexis Derviz & Narcisa Kadlcáková - 308-322 Experience with construction composite asset price indices
In: Real estate indicators and financial stability
by Stephan V Arthur - 323-335 Aggregation bias and the repeat sales price index
In: Real estate indicators and financial stability
by Anthony Pennington-Cross - 328-360 A simplified credit risk model for supervisory purposes in emerging markets
In: Investigating the relationship between the financial and real economy
by Javier Márquez Diez-Canedo - 336-339 Comments on session 'Aggregation issues', David Fenwick, Chair, with three papers
In: Real estate indicators and financial stability
by Robert J Shiller - 340-351 Fair valuation of real estate
In: Real estate indicators and financial stability
by Elvin Fernandez - 352-358 CMBS loan losses: property type highlights and trends
In: Real estate indicators and financial stability
by Mary O'Rourke & Susan Merrick - 359-367 US commercial real estate indices: the NCREIF property index
In: Real estate indicators and financial stability
by Jeffrey D Fisher - 361-391 Lending decisions, procyclicality and the New Basel Capital Accord
In: Investigating the relationship between the financial and real economy
by Fabrizio Fabi & Sebastiano Laviola & Paolo Marullo Reedtz - 392-408 Macro stress tests of UK banks
In: Investigating the relationship between the financial and real economy
by Glenn Hoggarth & Andrew Logan & Lea Zicchino - 409-430 Monetary and financial stability in Norway: what can we learn from macroeconomic stress tests?
In: Investigating the relationship between the financial and real economy
by Snorre Evjen & Arild J Lund & Kjersti Haare Morka & Kjell B Nordal & Ingvild Svendsen - 431-449 Measuring and forecasting stress in the banking sector: evidence from Switzerland
In: Investigating the relationship between the financial and real economy
by Elke Hanschel & Pierre Monnin - 450-480 Sectoral fragility: factors and dynamics
In: Investigating the relationship between the financial and real economy
by Ivan Alves - 481-497 Macroeconomic conditions and banking performance in Hong Kong SAR: a panel data study
In: Investigating the relationship between the financial and real economy
by Stefan Gerlach & Wensheng Peng & Chang Shu
2003
- 1-6 Introduction
In: China's capital account liberalisation: international perspective
by Guonan Ma & Robert McCauley - 1-9 Fiscal issues and central banking in emerging economies: an overview
In: Fiscal issues and central banking in emerging economies
by Ramon Moreno - 1-59 A tale of two perspectives: old or new challenges for monetary policy?
In: Monetary policy in a changing environment
by Claudio Borio & William English & Andrew Filardo - 4-42 Economic aspects of regional currency areas and the use of foreign currencies
In: Regional currency areas and the use of foreign currencies
by John Hawkins & Paul Masson - 7-11 Summary
In: China's capital account liberalisation: international perspective
by Wang Yungui & Xie Yuelan - 10-37 Fiscal positions in emerging econimies: central banks' perspective
In: Fiscal issues and central banking in emerging economies
by Dubravko Mihaljek & Bruno Tissot - 12-13 Welcome speech: gradually and steadily promoting China’s capital account liberalisation
In: China's capital account liberalisation: international perspective
by Ma Delun - 14-18 Capital account liberalisation in China: international perspectives
In: China's capital account liberalisation: international perspective
by André Icard - 19-24 Capital account management and its outlook in China
In: China's capital account liberalisation: international perspective
by Zhang Xiaopu - 25-34 Opening China’s capital account amid ample dollar liquidity
In: China's capital account liberalisation: international perspective
by Guonan Ma & Robert McCauley - 35-57 Capital account liberalisation: the Japanese experience and implications for China
In: China's capital account liberalisation: international perspective
by Mitsuhiro Fukao - 38-70 Countercyclical fiscal policy and central banks
In: Fiscal issues and central banking in emerging economies
by M S Mohanty & Michela Scatigna - 43-58 Regional currency areas: a few lessons from the experiences of the Eurosystem and the CFA franc zone
In: Regional currency areas and the use of foreign currencies
by Marc-Olivier Strauss-Kahn - 58-61 Several observations on capital flows in Japan
In: China's capital account liberalisation: international perspective
by Richard Koo - 59-61 The currency board and monetary stability in Bosnia and Herzegovina
In: Regional currency areas and the use of foreign currencies
by Dragan Kovacevic - 60-80 Searching for the natural rate of interest: a euro area perspective
In: Monetary policy in a changing environment
by Jesus Crespo-Cuaremsa & Ernest Gnan & Doris Ritzberger-Gruenwald - 61-78 Shadowing the euro: Bulgaria’s monetary policy five years on
In: Regional currency areas and the use of foreign currencies
by Kalin Hristov & Martin Zaimov - 62-74 The experience of Italian banks: from strict controls to full liberalisation
In: China's capital account liberalisation: international perspective
by Antonello Biagioli - 71-83 Central bank balance sheets and fiscal operations
In: Fiscal issues and central banking in emerging economies
by John Hawkins - 75-92 Liberalising the capital account without losing balance: lessons from Korea
In: China's capital account liberalisation: international perspective
by Yoon Je Cho & Robert N McCauley - 79-98 Monetary policy and management of capital flows in a situation of high euroisation - the case of Croatia
In: Regional currency areas and the use of foreign currencies
by Boris Vujcic - 81-105 Inflation, relative prices and nominal rigidities
In: Monetary policy in a changing environment
by Luc Aucremanne & Guy Brys & Peter J Rousseeuw & Anja Struyf & Mia Hubert - 84-97 Are there reasons to doubt fiscal sustainability in Brazil?
In: Fiscal issues and central banking in emerging economies
by Ilan Goldfajn - 93-98 Singapore’s policy of non-internationalisation of the Singapore dollar and the Asian dollar market
In: China's capital account liberalisation: international perspective
by Ong Chong Tee - 98-106 Fiscal rule and central bank issues in Chile
In: Fiscal issues and central banking in emerging economies
by Jorge Marshall - 99-103 France’s experience of exchange controls and liberalisation
In: China's capital account liberalisation: international perspective
by Françoise Drumetz - 99-104 Malta’s exchange rate arrangements - a medium-term perspective
In: Regional currency areas and the use of foreign currencies
by David Pullicino & Alfred Demarco - 104-116 Global integration and capital account liberalisation in South Africa
In: China's capital account liberalisation: international perspective
by James H Cross - 105-107 The Gulf Cooperation Council monetary union: a Bahraini perspective
In: Regional currency areas and the use of foreign currencies
by Khalid Al-Bassam - 106-133 Inflation targeting in Brazil: lessons and challenges
In: Monetary policy in a changing environment
by André Minella & Paulo Springer de Freitas & Ilan Goldfajn & Marcelo Kfoury Muinhos - 107-108 China's monetary and fiscal policy
In: Fiscal issues and central banking in emerging economies
by Li Ruogu - 108-114 Monetary policy in Qatar and Qatar's attitude towards the proposed single currency for the Gulf Cooperation Council
In: Regional currency areas and the use of foreign currencies
by Fahad Faisal Al-Thani - 109-121 Fiscal issues and central banks in emerging markets: the case of Colombia
In: Fiscal issues and central banking in emerging economies
by José Dario Uribe & Luis Ignacio Lozano - 116-120 A common currency area for the Gulf region
In: Regional currency areas and the use of foreign currencies
by Muhammad Al-Jasser & Abdulrahman Al-Hamidy - 117-122 Liberalisation and management of the private non-bank corporate capital account: the Philippine experience
In: China's capital account liberalisation: international perspective
by Celia M Gonzalez - 120-121 Concrete steps towards the establishment of a monetary union for the Gulf Cooperation Council countries
In: Regional currency areas and the use of foreign currencies
by Mohammed Ali Bin Zayed Al Falasi - 122-127 Botswana's exchange rate policy
In: Regional currency areas and the use of foreign currencies
by Kealeboga Masalila & Oduetse Motshidisi - 122-130 Fiscal issues and central bank policy in the Czech Republic
In: Fiscal issues and central banking in emerging economies
by Ivan Matalik & Michal Slavik - 123-140 Operationalising capital account liberalisation: the Indian experience
In: China's capital account liberalisation: international perspective
by Gopalaraman Padmanabhan - 128-133 Regional currency areas and the use of foreign currencies: Lesotho's experience
In: Regional currency areas and the use of foreign currencies
by Tabo Foulo - 131-139 The fiscal deficit and macroeconomic stability in Hong Kong SAR
In: Fiscal issues and central banking in emerging economies
by Wensheng Peng & Jiming Ha & Cynthia Leung & Kelvin Fan - 134-139 South Africa's experience of regional currency areas and the use of foreign currencies
In: Regional currency areas and the use of foreign currencies
by Lambertus van Zyl - 134-146 Inflation persistence and costly market share adjustment: a preliminary analysis
In: Monetary policy in a changing environment
by Robert Amano & Scott Hendry - 140-144 Regional currency areas and use of foreign currencies: the experience of West Africa
In: Regional currency areas and the use of foreign currencies
by Michael Ojo - 140-145 Calculating the fiscal stance at the Magyar Nemzeti Bank
In: Fiscal issues and central banking in emerging economies
by Gabor P Kiss - 141-151 An overview of the Taiwanese qualified foreign institutional investor system
In: China's capital account liberalisation: international perspective
by Karen Lu - 145-150 Regional currency areas: lessons from the West African sub-region and Nigeria's policy stance
In: Regional currency areas and the use of foreign currencies
by Ernest Ebi - 146-153 Fiscal issues and central banks in emerging markets: an Indian perspective
In: Fiscal issues and central banking in emerging economies
by Rakesh Mohan - 147-157 Assessing future inflation in inflation targeting: forecasts or simulations?
In: Monetary policy in a changing environment
by Michal Skorepa & Viktor Kottlan - 151-151 The ASEAN currency and exchange rate mechanism task force
In: Regional currency areas and the use of foreign currencies
by Ooi Sang Kuang & Sukhdave Singh - 152-153 The use of foreign currencies: the United States perspective
In: Regional currency areas and the use of foreign currencies
by David Howard - 152-162 The Federal Reserve Bank of New York’s experience of managing cross-border migration of US dollar banknotes
In: China's capital account liberalisation: international perspective
by Joseph Botta - 154-157 Fiscal issues and central banks: Indonesia's experience
In: Fiscal issues and central banking in emerging economies
by Anwar Nasution - 158-166 The interaction between fiscal and monetary policy in Israel
In: Fiscal issues and central banking in emerging economies
by Meir Sokoler - 158-191 The role of money in monetary policymaking
In: Monetary policy in a changing environment
by Klaus Masuch & Sergio Nicoletti-Altimari & Massimo Rostagno & Huw Pill - 163-165 Experience of cross-border movements of Deutsche mark banknotes
In: China's capital account liberalisation: international perspective
by Stefan Hardt - 166-177 Offshore use of currency: Hong Kong’s experience
In: China's capital account liberalisation: international perspective
by Wensheng Peng & Joanna Y L Shi - 167-172 The fiscal response to the currency crisis and the challenges ahead - Korea's experience
In: Fiscal issues and central banking in emerging economies
by Chung Kyu Yung - 173-179 Fiscal policy in Malaysia
In: Fiscal issues and central banking in emerging economies
by V Vijayaledchumy - 180-197 Implications of fiscal issues for central banks. Mexico's experience
In: Fiscal issues and central banking in emerging economies
by José Sidaoui - 192-212 The role of financial factors in the transmission of monetary policy
In: Monetary policy in a changing environment
by Laurent Clerk & Christian Pfister - 198-207 Fiscal issues and central banks in emerging markets: the case of Peru
In: Fiscal issues and central banking in emerging economies
by Kurt Burneo Farfan - 208-213 The tax-exempt status of the central bank in the Philippines
In: Fiscal issues and central banking in emerging economies
by Amando M Tetangco Jr - 213-233 The challenges of the "new economy" for monetary policy
In: Monetary policy in a changing environment
by Gilbert Cette & Christian Pfister - 214-217 The monetary and fiscal policy mix in Poland
In: Fiscal issues and central banking in emerging economies
by Marek Rozkrut - 218-223 Budget and tax problems and central banks: Russia's experiences
In: Fiscal issues and central banking in emerging economies
by Oleg Vyugin - 224-229 Assessing the fiscal policy stance in Singapore
In: Fiscal issues and central banking in emerging economies
by Edward Robinson & Angela Phang Seow Jiun - 230-233 The implications of fiscal issues for central banks: the South African experience
In: Fiscal issues and central banking in emerging economies
by Gill Marcus - 234-244 Thailand's recent public debt issues
In: Fiscal issues and central banking in emerging economies
by Yuwawan Rattakul - 234-257 Real long-term interest rates and monetary policy: a cross-country perspective
In: Monetary policy in a changing environment
by Christian Upper & Andreas Worms - 245-259 Some issues in fiscal policy and central banking: the case of Turkey
In: Fiscal issues and central banking in emerging economies
by Sükrü Binay - 258-275 Monetary policy with unobservedpotential output
In: Monetary policy in a changing environment
by Francesco Lippi - 276-312 The effect of the increase in the monetary base of Japan's economy at zero interest rates: an empirical analysis
In: Monetary policy in a changing environment
by Takeshi Kimura & Hiroshi Kobayashi & Jun Muranaga & Hiroshi Ugai - 313-337 Asset price movements and monetary policy in South Korea
In: Monetary policy in a changing environment
by Ho Yeol Lim - 338-354 Fear of floating or fear of inflation? The role of the exchange rate pass-through
In: Monetary policy in a changing environment
by Armando Baqueiro & Alejandro Diaz de Leon & Alberto Torres - 355-367 Financial stability in low-inflation environments
In: Monetary policy in a changing environment
by Jan Kakes & Cees Ullersma - 368-382 Monetary policy in real time: the role of simple rules
In: Monetary policy in a changing environment
by Kjetil Olsen & Jan Fredrik & Oistain Roisland - 398-413 A financial conditions index for Switzerland
In: Monetary policy in a changing environment
by Caesar P Lack - 414-442 The informational content of empirical measures of real interst rate and output gaps for the United Kingdom
In: Monetary policy in a changing environment
by Jens D J Larsen & Jack McKeown - 443-462 Distinguishing trends from cycles in productivity
In: Monetary policy in a changing environment
by James A Kahn & Robert Rich
2002
- 1-12 Bond markets in emerging economies: an overview of policy issues
In: The development of bond markets in emerging economies
by Philip Turner - 1-24 Changes in market functioning and central bank policy: an overview of the issues
In: Market functioning and central bank policy
by Marvin Barth & Eli Remolona & Philip Wooldridge - 13-41 Recent trends in bond markets - The development of bond markets in emerging economies
In: The development of bond markets in emerging economies
by Dubravko Mihaljek & Michela Scatigna & Agustin Villar - 25-42 Implications of declining government debt for financial markets and monetary operations in Australia
In: Market functioning and central bank policy
by Malcolm Edey & Luci Ellis - 42-48 Bond markets and banks in emerging economies
In: The development of bond markets in emerging economies
by John Hawkins - 43-64 The influence of structural changes on market functioning and its implications for monetary policy: a focus on the euro area
In: Market functioning and central bank policy
by Laurent Clerc & Françoise Drumetz & François Haas - 49-80 Improving liquidity in government bond markets: what can be done?
In: The development of bond markets in emerging economies
by M S Mohanty - 65-85 Euro area government securities markets: recent developments and implications for market functioning
In: Market functioning and central bank policy
by Roberto Blanco - 81-85 Public debt management and open market operations in Brazil
In: The development of bond markets in emerging economies
by Luiz Fernando Figueiredo & Pedro Fachada & Sérgio Goldenstein - 86-102 Capital markets in Chile: from financial repression to financial deepening
In: The development of bond markets in emerging economies
by Rodrigo Cifuentes & Jorge Desormeaux & Claudio González - 86-109 The effects of bank consolidation on risk capital allocation and market liquidity
In: Market functioning and central bank policy
by Chris D'Souza & Alexandra Lai - 103-114 The costs and benefits of developing debt markets: Hong Kong's experience
In: The development of bond markets in emerging economies
by Guorong Jiang & Nancy Tang & Eve Law - 110-123 How resilient are financial markets to stress? Bund futures and bonds during the 1998 turbulence
In: Market functioning and central bank policy
by Christian Upper & Thomas Werner - 115-116 Developments in the Hungarian debt markets
In: The development of bond markets in emerging economies
by György Sándor - 117-126 Issues and challenges in the development of the debt market in India
In: The development of bond markets in emerging economies
by Y V Reddy - 124-137 Electronic trading in Hong Kong and its impact on market functioning
In: Market functioning and central bank policy
by Guorong Jiang & Nancy Tang & Eve Law - 127-129 The importance of a well developed bond market - an Israeli perspective
In: The development of bond markets in emerging economies
by Meir Sokoler - 130-146 Structural change in the corporate bond market in Korea after the currency crisis
In: The development of bond markets in emerging economies
by Sungmin Kim & Jae Hwan Park - 138-147 Foreign exchange markets in the 1990s: intraday market volatility and the growth of electronic trading
In: Market functioning and central bank policy
by Alain Chaboud & Steven Weinberg - 147-150 The development of debt markets in Malaysia
In: The development of bond markets in emerging economies
by Dato’ Salleh Harun - 148-180 Positive feedback trading under stress: evidence from the US Treasury securities market
In: Market functioning and central bank policy
by Benjamin Cohen & Hyun Song Shin - 151-164 The role of the central bank in developing debt markets in Mexico
In: The development of bond markets in emerging economies
by José Julian Sidaoui - 165-174 The development of debt markets in Peru
In: The development of bond markets in emerging economies
by Marylin Choy - 175-177 Debt market development: challenges for the central bank in Poland
In: The development of bond markets in emerging economies
by Jerzy Stopyra & Anna Trzecińska & Agnieszka Grat - 178-182 The development of debt markets in emerging economies: the Saudi Arabian experience
In: The development of bond markets in emerging economies
by Muhammad S Al-Jasser & Ahmed Banafe - 181-199 The determinants of credit spread changes in the euro area
In: Market functioning and central bank policy
by Michael Boss & Martin Scheicher - 183-189 Debt market development in Singapore
In: The development of bond markets in emerging economies
by Teo Swee Lian