Content
2026
- 47 Literature review on non-maturity deposit stability: Established factors and recent developments
by Bank for International Settlements
2025
- 46 Bank capital and balance sheet management during times of distress: international evidence (July 2025, revised August 2025)
by Bank for International Settlements - 45 Lessons on supervisory effectiveness - a literature review
by Bank for International Settlements
2024
- 44 Novel risks, mitigants and uncertainties with permissionless distributed ledger technologies
by Bank for International Settlements - 43 Literature review on financial technology and competition for banking services
by Bank for International Settlements - 42 Banks' window-dressing of the G-SIB framework: causal evidence from a quantitative impact study
by Bank for International Settlements - 41 G-SIB denominators and scores dynamics: a ten-year assessment
by Bank for International Settlements
2023
- 40 The effects of climate change-related risks on banks: a literature review
by Bank for International Settlements
2021
- 39 The procyclicality of loan loss provisions: a literature review
by Bank for International Settlements - 38 Assessing the impact of Basel III: Evidence from macroeconomic models: literature review and simulations
by Bank for International Settlements
2019
- 37 The costs and benefits of bank capital - a review of the literature
by Bank for International Settlements - 36 Towards a sectoral application of the countercyclical capital buffer
by Bank for International Settlements - 35 Survey on the interaction of regulatory instruments: results and analysis
by Bank for International Settlements - 34 An examination of initial experience with the global systemically important bank framework
by Bank for International Settlements
2018
- 33 Survey on the interaction of regulatory instruments: results and analysis
by Bank for International Settlements - 32 Towards a sectoral application of the countercyclical capital buffer: A literature review
by Bank for International Settlements
2017
- 31 The interplay of accounting and regulation and its impact on bank behaviour
by Bank for International Settlements
2016
- 30 Literature review on integration of regulatory capital and liquidity instruments
by Bank for International Settlements
2015
- 29 Making supervisory stress tests more macroprudential: Considering liquidity and solvency interactions and systemic risk
by Bank for International Settlements - 28 The interplay of accounting and regulation and its impact on bank behaviour: Literature review
by Bank for International Settlements
2014
- 27 Impact and implementation challenges of the Basel framework for emerging market, developing and small economies
by Bank for International Settlements - 26 Foundations of the standardised approach for measuring counterparty credit risk exposures
by Bank for International Settlements
2013
- 25 Literature review of factors relating to liquidity stress - extended version
by Bank for International Settlements - 24 Liquidity stress testing: a survey of theory, empirics and current industry and supervisory practices
by Bank for International Settlements - 23 The Proposed Revised Ratings-Based Approach
by Bank for International Settlements - 22 Foundations of the Proposed Modified Supervisory Formula Approach
by Bank for International Settlements
2012
- 21 Models and tools for macroprudential analysis
by Bank for International Settlements - 20 The policy implications of transmission channels between the financial system and the real economy
by Bank for International Settlements
2011
- 19 Messages from the academic literature on risk measurement for the trading book
by Bank for International Settlements - 18 The transmission channels between the financial and real sectors: a critical survey of the literature
by Bank for International Settlements
2010
- 17 Vendor models for credit risk measurement and management
by Bank for International Settlements
2009
- 16 Findings on the interaction of market and credit risk
by Bank for International Settlements
2006
- 15 Studies on credit risk concentration: an overview of the issues and a synopsis of the results from the Research Task Force project
by Bank for International Settlements
2005
- 14 Studies on the Validation of Internal Rating Systems (revised)
by Bank for International Settlements
2004
- 13 Bank Failures in Mature Economies
by Bank for International Settlements
2003
- 12 Markets for Bank Subordinated Debt and Equity in Basel Committee Member Countries
by Bank for International Settlements
2002
- 11 Second Working Paper on the Treatment of Asset Securitisations
by Bank for International Settlements
2001
- 10 Treatment of Asset Securitisations
by Bank for International Settlements - 09 Internal Ratings-Based Approach to Specialised Lending Exposures
by Bank for International Settlements - 08 Regulatory Treatment of Operational Risk
by Bank for International Settlements - 07 Pillar 3 - Market Discipline
by Bank for International Settlements - 06 Risk Sensitive Approaches for Equity Exposures in the Banking Book for IRB Banks
by Bank for International Settlements - 05 IRB Treatment of Expected Losses and Future Margin Income
by Bank for International Settlements
2000
- 04 Supervisory risk assessment and early warning systems
by Bank for International Settlements - 03 Credit ratings and complementary sources of credit quality information
by Bank for International Settlements
1999
- 02 Supervisory lessons to be drawn from the Asian crisis
by Bank for International Settlements - 01 Capital requirements and bank behaviour: the impact of the Basel Accord
by Bank for International Settlements
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