Content
2014
- 171-174 Comments on Eric Girardin, Sandrine Lunven and Guonan Ma's paper
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Dong He - 171-183 What have we learnt about the international transmission of monetary policy in recent years? Perspectives from Hong Kong SAR
In: The transmission of unconventional monetary policy to the emerging markets
by Hong Kong Monetary Authority - 175-178 Closing remarks
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Stephen G Cecchetti - 181-191 How anchored are inflation expectations in Asia? Evidence from surveys of professional forecasters
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Aaron Mehrotra & James Yetman - 185-196 Short-rate expectations and term premia: experiences from Hungary and other emerging market economies
In: The transmission of unconventional monetary policy to the emerging markets
by Dániel Horváth & Péter Kálmán & Zalán Kocsis & Imre Ligeti - 197-213 The transmission mechanism and policy responses to global monetary developments: the Indonesian experience
In: The transmission of unconventional monetary policy to the emerging markets
by Perry Warjiyo - 215-227 The international transmission of monetary policy: Korea's experience
In: The transmission of unconventional monetary policy to the emerging markets
by Jun Il Kim - 229-240 Spillovers from global monetary conditions: recent experience and policy responses in Malaysia
In: The transmission of unconventional monetary policy to the emerging markets
by Sukhdave Singh - 241-264 Global policy spillovers and Peru’s monetary policy: inflation targeting, foreign exchange intervention and reserve requirements
In: The transmission of unconventional monetary policy to the emerging markets
by Renzo Rossini & Adrián Armas & Zenón Quispe - 265-283 What have emerging market central banks learned about the international transmission of monetary policy in recent years? The Philippine case
In: The transmission of unconventional monetary policy to the emerging markets
by Diwa C Gunigundo - 285-295 Changing patterns in the dependence of long-term rates between Poland and major financial centres
In: The transmission of unconventional monetary policy to the emerging markets
by Michal Adam & Witold Kozinski & Michal Markun - 297-303 Monetary policy in Russia: Recent challenges and changes
In: The transmission of unconventional monetary policy to the emerging markets
by Central Bank of the Russian Federation - 305-307 What have central banks from EMEs learnt about the international transmission of monetary policy in recent years?
In: The transmission of unconventional monetary policy to the emerging markets
by Saudi Arabian Monetary Agency - 309-320 What have central banks from emerging market economies learnt about the international transmission of monetary policy in recent years?
In: The transmission of unconventional monetary policy to the emerging markets
by Jacqueline Loh - 321-331 The international transmission of monetary policy - lessons learnt in South Africa
In: The transmission of unconventional monetary policy to the emerging markets
by South African Reserve Bank - 333-345 The international transmission of monetary policy in recent years: Thailand's perspectives
In: The transmission of unconventional monetary policy to the emerging markets
by Don Nakornthab - 347-359 Cross-border portfolio flows and the role of macroprudential policies: experiences from Turkey
In: The transmission of unconventional monetary policy to the emerging markets
by Salih Fendoglu & Mustafa Kilinc & Mehmet Yörükoglu - 77-01 Foreword
In: Globalisation, inflation and monetary policy in Asia and the Pacific
by Frank Packer & Aaron Mehrotra
2013
- 1-1 Welcoming remarks
In: Sovereign risk: a world without risk-free assets?
by Jaime Caruana - 1-1 Introduction of the policy panel
In: Sovereign risk: a world without risk-free assets?
by Jaime Caruana - 1-1 Foreword
In: Sovereign risk: a world without risk-free assets?
by Jaime Caruana - 1-2 Measuring economic slack in emerging Asian economies
In: Globalisation and inflation dynamics in Asia and the Pacific
by Dong He - 1-2 Foreword
In: Central bank finances
by Jaime Caruana - 01-10 Market volatility and foreign exchange intervention in EMEs: what has changed?
In: Sovereign risk: a world without risk-free assets?
by Madhusudan Mohanty - 1-26 Rating agencies and sovereign risk: Moderator’s introduction
In: Sovereign risk: a world without risk-free assets?
by Carlos Hamilton Araújo - 2-5 Panel remarks
In: Sovereign risk: a world without risk-free assets?
by William C Dudley - 3-4 Overview and conclusions
In: Central bank finances
by Bank for International Settlements - 3-8 Moving towards probability forecasting
In: Globalisation and inflation dynamics in Asia and the Pacific
by Shaun P Vahey & Elizabeth C Wakerly - 5-6 Introduction
In: Central bank finances
by Bank for International Settlements - 6-9 Panel remarks
In: Sovereign risk: a world without risk-free assets?
by Már Guðmundsson - 7-18 Part A: Preliminaries: understanding central bank finances
In: Central bank finances
by Bank for International Settlements - 9-19 Chronic deflation in Japan
In: Globalisation and inflation dynamics in Asia and the Pacific
by Kenji Nishizaki & Toshitaka Sekine & Yuichi Ueno & Yuko Kawai - 10-18 Panel remarks
In: Sovereign risk: a world without risk-free assets?
by Patrick Honohan - 11-23 The exchange rate, real economy and financial markets
In: Sovereign risk: a world without risk-free assets?
by Blaise Gadanecz & Aaron Mehrotra - 19-25 Do good sovereigns default? Lessons of history
In: Sovereign risk: a world without risk-free assets?
by Marc Flandreau - 19-42 Part B: What financial resources do central banks have?
In: Central bank finances
by Bank for International Settlements - 23-24 How important are inflation expectations in driving Asian inflation?
In: Globalisation and inflation dynamics in Asia and the Pacific
by Diwa Guinigundo - 25-38 Capital flow dynamics and FX intervention
In: Sovereign risk: a world without risk-free assets?
by Torsten Ehlers & Elod Takáts - 25-40 Forecast disagreement and the anchoring of inflation expectations in the Asia-Pacific Region
In: Globalisation and inflation dynamics in Asia and the Pacific
by Pierre L Siklos - 27-33 Ratings and regulation
In: Sovereign risk: a world without risk-free assets?
by Richard Cantor - 34-38 Sovereign credit ratings: help or hindrance?
In: Sovereign risk: a world without risk-free assets?
by John Kiff - 39-49 On sovereign ratings: observations and implications
In: Sovereign risk: a world without risk-free assets?
by Andrew Powell - 39-54 Impact of foreign exchange interventions on exchange rate expectations
In: Sovereign risk: a world without risk-free assets?
by Ken Miyajima & Carlos Montoro - 41-63 How important are inflation expectations in driving Asian inflation?
In: Globalisation and inflation dynamics in Asia and the Pacific
by Jun Il Kim & Jungick Lee - 43-63 Part C: What level of financial resources do central banks need?
In: Central bank finances
by Bank for International Settlements - 50-62 Sovereign debt: financial market over-reliance on credit rating agencies
In: Sovereign risk: a world without risk-free assets?
by Donato Masciandaro - 55-74 Central bank views on foreign exchange intervention
In: Sovereign risk: a world without risk-free assets?
by Madhusudan Mohanty & Bat-el Berger - 63-64 Financial markets without a risk-free sovereign: Moderator’s introduction
In: Sovereign risk: a world without risk-free assets?
by Harold James - 65-72 Reflections on the meaning of "risk free"
In: Sovereign risk: a world without risk-free assets?
by Peter Fisher - 65-72 Part D: Assessing the appropriate amount of financial resources - a framework
In: Central bank finances
by Bank for International Settlements - 67-69 Understanding commodity price cycles in emerging Asia and their implications for monetary policy
In: Globalisation and inflation dynamics in Asia and the Pacific
by Rhys Mendes - 71-77 Commodity price movements and monetary policy in Asia
In: Globalisation and inflation dynamics in Asia and the Pacific
by Changyong Rhee & Hangyong Lee - 73-78 Risk-free assets in financial markets
In: Sovereign risk: a world without risk-free assets?
by Alberto Giovannini - 75-80 Recent developments in the BRL market
In: Sovereign risk: a world without risk-free assets?
by Central Bank of Brazil - 79-81 Financial markets without a risk-free sovereign
In: Sovereign risk: a world without risk-free assets?
by Hiroshi Nakaso - 79-83 Annex 1: Central bank accounting policies
In: Central bank finances
by Bank for International Settlements - 79-90 Theoretical notes on commodity prices and monetary policy
In: Globalisation and inflation dynamics in Asia and the Pacific
by Paolo Pesenti - 81-93 Exchange rate policy and exchange rate interventions: the Chilean experience
In: Sovereign risk: a world without risk-free assets?
by Sebastián Claro & Claudio Soto - 82-85 Risk-free assets: an unreachable dream or a must
In: Sovereign risk: a world without risk-free assets?
by Sergey Storchak - 85-87 Annex 2: Components of selected distribution schemes
In: Central bank finances
by Bank for International Settlements - 86-87 Think the unthinkable on US debt
In: Sovereign risk: a world without risk-free assets?
by Robert Jenkins - 88-104 The role of markets in sovereign debt crisis detection, prevention and resolution
In: Sovereign risk: a world without risk-free assets?
by Hung Q Tran - 93-98 Global slack as a determinant of US inflation
In: Globalisation and inflation dynamics in Asia and the Pacific
by Enrique Martinez-Garcia & Mark A Wynne - 95-125 Foreign exchange intervention in Colombia
In: Sovereign risk: a world without risk-free assets?
by Hernando Vargas & Andrés González & Diego Rodríguez - 99-108 Inflation and globalisation: a modelling perspective
In: Globalisation and inflation dynamics in Asia and the Pacific
by Charles Engel - 105-106 Legal perspectives on sovereign debt: Moderator’s introduction
In: Sovereign risk: a world without risk-free assets?
by Diego Devos - 107-111 Sovereign debt restructurings: the legal context
In: Sovereign risk: a world without risk-free assets?
by Lee Buchheit - 111-112 Globalisation of inflation and its implications for monetary policy
In: Globalisation and inflation dynamics in Asia and the Pacific
by Sukhdave Singh - 112-120 Legal perspectives on sovereign default
In: Sovereign risk: a world without risk-free assets?
by Antonio Sáinz de Vicuña - 113-118 The globalisation of inflation: a view from the cross section
In: Globalisation and inflation dynamics in Asia and the Pacific
by Raphael A Auer & Philip Sauré - 119-128 Inflation and financial globalisation
In: Globalisation and inflation dynamics in Asia and the Pacific
by Michael B Devereux - 121-128 The pari passu clause in sovereign debt instruments: developments in recent litigation
In: Sovereign risk: a world without risk-free assets?
by Rodrigo Olivares-Caminal - 127-143 Foreign exchange interventions as an (un)conventional monetary policy tool
In: Sovereign risk: a world without risk-free assets?
by Lubomír Lízal & Jirí Schwarz - 129-129 Risk managers on default probability for prime sovereigns
In: Sovereign risk: a world without risk-free assets?
by Øystein Olsen - 130-135 Risk management in the face of risky sovereign debt: four observations
In: Sovereign risk: a world without risk-free assets?
by Thomas C Wilson - 131-135 European crisis and its implications for global inflation dynamics
In: Globalisation and inflation dynamics in Asia and the Pacific
by Athanasios Orphanides - 136-138 Reserve management and the use of ratings at the Swiss National Bank
In: Sovereign risk: a world without risk-free assets?
by Jean-Pierre Danthine - 139-141 East Asia and Australia monetary policy
In: Globalisation and inflation dynamics in Asia and the Pacific
by Adam Cagliarini - 139-153 Sovereign risk in bank regulation and supervision: Where do we stand?
In: Sovereign risk: a world without risk-free assets?
by Hervé Hannoun - 143-148 The adjustment of China’s monetary policy stance in the face of global volatility
In: Globalisation and inflation dynamics in Asia and the Pacific
by Wang Yu - 145-154 Monetary operations under the Currency Board system: the experience of Hong Kong
In: Sovereign risk: a world without risk-free assets?
by Hong Kong Monetary Authority - 149-159 Indonesia’s monetary policy: coping with volatile commodity prices and capital inflows
In: Globalisation and inflation dynamics in Asia and the Pacific
by Perry Warjiyo - 155-168 Foreign currency tenders in Hungary: a tailor-made instrument for a unique challenge
In: Sovereign risk: a world without risk-free assets?
by Csaba Balogh & Áron Gereben & Ferenc Karvalits & György Pulai - 161-170 The impact of external shocks on inflation dynamics in CESEE
In: Globalisation and inflation dynamics in Asia and the Pacific
by Doris Ritzberger-Grünwald - 169-176 Intervention in foreign exchange markets: the approach of the Reserve Bank of India
In: Sovereign risk: a world without risk-free assets?
by Reserve Bank of India - 173-179 The future of inflation targeting?
In: Globalisation and inflation dynamics in Asia and the Pacific
by John McDermott - 177-187 Indonesia: stabilizing the exchange rate along its fundamental
In: Sovereign risk: a world without risk-free assets?
by Perry Warjiyo - 181-184 Property prices, inflation, and policy challenges in Hong Kong
In: Globalisation and inflation dynamics in Asia and the Pacific
by Dong He - 185-187 Monetary policy frameworks in Asia-Pacific: beyond inflation targeting
In: Globalisation and inflation dynamics in Asia and the Pacific
by Sukhdave Singh - 189-204 Rethinking exchange rate policy in a small open economy: the Israeli experience during the great recession
In: Sovereign risk: a world without risk-free assets?
by Karnit Flug & Amir Shpitzer - 205-213 Foreign exchange market developments and intervention in Korea
In: Sovereign risk: a world without risk-free assets?
by Sangdai Ryoo & Taeyong Kwon & Hyejin Lee - 215-222 Foreign exchange intervention in Malaysia
In: Sovereign risk: a world without risk-free assets?
by Norzila Abdul Aziz - 223-242 Interventions and expected exchange rates in emerging market economies
In: Sovereign risk: a world without risk-free assets?
by Santiago García-Verdú & Manuel Ramos-Francia - 243-262 Foreign exchange intervention in Peru
In: Sovereign risk: a world without risk-free assets?
by Renzo Rossini & Zenon Quispe & Enrique Serrano - 263-277 A note on the effectiveness of intervention in the foreign exchange market: the case of the Philippines
In: Sovereign risk: a world without risk-free assets?
by Diwa C Guinigundo - 279-291 To what extent can central banks influence exchange rates with foreign exchange interventions? The case of Poland
In: Sovereign risk: a world without risk-free assets?
by Michal Adam & Witold Kozinski & Janusz Zielinski - 293-299 The history of the Bank of Russia's exchange rate policy
In: Sovereign risk: a world without risk-free assets?
by Central Bank of the Russian Federation - 301-306 Foreign exchange intervention in Saudi Arabia
In: Sovereign risk: a world without risk-free assets?
by Abdulrahman A Al-Hamidy & Ahmed Banafe - 307-315 An exchange-rate-centred monetary policy system: Singapore's experience
In: Sovereign risk: a world without risk-free assets?
by Ong Chong Tee - 317-323 Note on the foreign exchange market operations of the South African Reserve Bank
In: Sovereign risk: a world without risk-free assets?
by Daniel Mminele - 325-333 Foreign exchange policy and intervention under inflation targeting in Thailand
In: Sovereign risk: a world without risk-free assets?
by Bank of Thailand - 335-352 Alternative tools to manage capital flow volatility
In: Sovereign risk: a world without risk-free assets?
by Koray Alper & Hakan Kara & Mehmet Yörükoglu - 353-357 Foreign exchange intervention by emerging market economies: issues and implications
In: Sovereign risk: a world without risk-free assets?
by Saif Hadef Al Shamsi
2012
- 1-1 Welcome remarks
In: Are central bank balance sheets in Asia too large?
by Prasarn Trairatvorakul - 1-2 Welcoming remarks
In: Weathering financial crises: bond markets in Asia and the Pacific
by Masaaki Shirakawa - 1-3 Welcoming remarks
In: Weathering financial crises: bond markets in Asia and the Pacific
by Jaime Caruana - 1-3 Welcome remarks
In: Property markets and financial stability
by Andrew Khoo - 1-4 Introduction - Challenges related to capital flows: Latin American perspectives
In: Challenges related to capital flows: Latin American perspectives
by Ramon Moreno - 1-8 Financial regulation for growth, equity and stability in the post-crisis world
In: Financial sector regulation for growth, equity and stability
by Duvvuri Subbarao - 1-9 Fiscal policy, public debt and monetary policy in EMEs: anoverview
In: Fiscal policy, public debt and monetary policy in emerging market economies
by M S Mohanty - 1-12 Threat of fiscal dominance? Workshop summary
In: Threat of fiscal dominance?
by Richhild Moessner & Philip Turner - 2-9 Why central bank balance sheets matter
In: Are central bank balance sheets in Asia too large?
by Jaime Caruana - 5-6 Welcome remarks
In: Property markets and financial stability
by Frank Packer - 5-8 Global factors and monetary policy in emerging economies
In: Challenges related to capital flows: Latin American perspectives
by José Darío Uribe E - 5-14 Development of Asia-Pacific corporate bond and securitisation markets
In: Weathering financial crises: bond markets in Asia and the Pacific
by Ilhyock Shim - 7-18 The first sub-prime mortgage crisis and its aftermath
In: Property markets and financial stability
by Timothy J Riddiough - 9-13 Living with capital inflows
In: Challenges related to capital flows: Latin American perspectives
by José De Gregorio - 9-19 Financial and real sector interactions: enter the sovereign "ex machina"
In: Financial sector regulation for growth, equity and stability
by Jaime Caruana - 10-29 Key facts on central bank balance sheets in Asia and the Pacific
In: Are central bank balance sheets in Asia too large?
by Andrew Filardo & James Yetman - 11-30 Is monetary policy constrained by fiscal policy?
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Carlos Montoro & Elöd Takats & James Yetman - 14-18 Challenges for emerging market economies
In: Challenges related to capital flows: Latin American perspectives
by José Sidaoui - 15-34 Weathering financial crisis: domestic bond markets in EMEs
In: Weathering financial crises: bond markets in Asia and the Pacific
by Philip Turner - 15-50 Government debt management and monetary policy in Britain since 1919
In: Threat of fiscal dominance?
by William A Allen - 19-21 Lessons on the "impossible trinity"
In: Challenges related to capital flows: Latin American perspectives
by Ramon Moreno - 19-24 Welcome remarks
In: Commercial real estate loan performance at failed US banks
by Andrew Felton & Joseph B Nichols - 21-27 Overview
In: Financial sector regulation for growth, equity and stability
by Usha Thorat - 22-26 Capital controls: what have we learned?
In: Challenges related to capital flows: Latin American perspectives
by Charles Engel - 25-28 Discussant remarks on Andrew Felton and Joseph B Nichols’ paper Commercial real estate loan performance at failed US banks
In: Property markets and financial stability
by Ilhyock Shim - 29-37 Financial sector regulation and macroeconomic policy
In: Financial sector regulation for growth, equity and stability
by YV Reddy - 29-38 House prices from magazines, realtors,and the Land Registry
In: Property markets and financial stability
by Chihiro Shimizu & Kiyohiko G Nishimura & Tsutomu Watanabe1 - 30-75 Expanding central bank balance sheets in emerging Asia: a compendium of risk and some evidence
In: Are central bank balance sheets in Asia too large?
by David Cook & James Yetman - 31-50 Developments of domestic government bond markets in EMEs and their implications
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Aaron Mehrotra & Ken Miyajima & Agustin Villar - 35-61 Local currency bond markets and the Asian Bond Fund 2 Initiative
In: Weathering financial crises: bond markets in Asia and the Pacific
by Eric Chan & Michael Chui & Frank Packer & Eli Remolona - 39-40 Summary of the discussion
In: Financial sector regulation for growth, equity and stability
by YV Reddy - 39-41 Discussant remarks on Chihiro Shimizu, Kiyohiko G Nishimura and Tsutomu Watanabe’s paper House prices from magazines, realtors,and the Land Registry
In: Property markets and financial stability
by Yongheng Deng - 41-44 Opening remarks
In: Financial sector regulation for growth, equity and stability
by Andrew Sheng - 43-53 A cluster analysis approach to examining Singapore’s property market
In: Property markets and financial stability
by Chan Lily & Ng Heng Tiong & Rishi Ramchand - 45-84 Financial Sector Regulation and Implications for Growth
In: Financial sector regulation for growth, equity and stability
by Anand Sinha - 51-71 Central bank and government debt management: issues for monetary policy
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Andrew Filardo & Madhusudan Mohanty & Ramon Moreno - 51-81 Keynes’s monetary theory of interest
In: Threat of fiscal dominance?
by Geoff Tily - 55-58 Discussant remarks on Chan Lily, Ng Heng Tiong and Rishi Ramchand’s paper "A clustering analysis approach to examining Singapore’s property market"
In: Property markets and financial stability
by Sock-Yong Phang - 59-67 Welcome remarks
In: Dealing with real estate booms and busts
by Deniz Igan - 69-70 Discussant remarks on Deniz Igan’s paper "Dealing with real estate booms and busts"
In: Property markets and financial stability
by Veronica Cacdac Warnock - 69-70 Discussant remarks on John V Duca, John Muellbauer and Anthony Murphy’s paper "Credit standards and the bubble in US house prices: new econometric evidence"
In: Property markets and financial stability
by Frank Warnock - 71-74 Capital inflows, financial innovation and housing booms
In: Property markets and financial stability
by Filipa Sá & Pascal Towbin & Tomasz Wieladek - 73-89 Fiscal policy, public debt management and government bond markets: issues for central banks
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Miguel angel Pesce - 76-82 Discussant remarks on Filipa Sá, Pascal Towbin and Tomasz Wieladek’s paper "Capital inflows,financial innovation and housing booms"
In: Property markets and financial stability
by Kenneth N Kuttner - 76-110 Central bank balance sheets and foreign exchange rate regimes: understanding the nexus in Asia
In: Are central bank balance sheets in Asia too large?
by Andrew Filardo & Stephen Grenville - 83-89 Credit standards and the bubble in US house prices: new econometric evidence
In: Property markets and financial stability
by John V Duca & John Muellbauer & Anthony Murphy - 83-93 Thoughts on policies and the policy framework after a financial crisis
In: Threat of fiscal dominance?
by Lex Hoogduin & Peter Wierts - 85-87 Summary of the discussion
In: Financial sector regulation for growth, equity and stability
by Anand Sinha - 89-92 Session II: Chair's initial remarks
In: Financial sector regulation for growth, equity and stability
by Stephany Griffith-Jones - 91-93 Comments
In: Threat of fiscal dominance?
by Christophe Chamley - 91-102 Fiscal consolidation and macroeconomic challenges in Brazil
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Carlos Hamilton Araujo & Cyntia Azevedo & Silvio Costa - 93-118 Too big to fail versus too small to be counted
In: Financial sector regulation for growth, equity and stability
by M S Sriram & Vaibhav Chaturvedi - 95-101 Credit conditions and the real economy: the elephant in the room
In: Property markets and financial stability
by Veronica John Muellbauer & Veronica David M Williams - 97-118 Sovereign debt management as an instrument of monetary policy: an overview
In: Threat of fiscal dominance?
by Fabrizio Zampolli - 103-112 Macro policies and public debt in Chile
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Sebastian Claro & Claudio Soto - 111-131 On the use of sterilisation bonds in emerging Asia
In: Are central bank balance sheets in Asia too large?
by Aaron Mehrotra - 113-117 Monetary policy, fiscal policy and public debt management
In: Fiscal policy, public debt and monetary policy in emerging market economies
by People's Bank of China - 119-121 Summary of the discussion
In: Financial sector regulation for growth, equity and stability
by M S Sriram & Vaibhav Chaturvedi - 119-134 Monetary policy and the natural rate of interest
In: Threat of fiscal dominance?
by Matthew Canzoneri & Robert Cumby & Behzad Diba - 119-160 Macroeconomic effects of structural fiscal policy changes in Colombia
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Hernando Vargas & Andrés Gonzalez & Ignacio Lozano - 123-124 Session III: Introductory remarks
In: Financial sector regulation for growth, equity and stability
by John Lipsky - 125-139 Macroprudential policies in EMEs: theory and practice
In: Financial sector regulation for growth, equity and stability
by Philip Turner - 132-159 Central bank balance sheet expansion: Japan's experience
In: Are central bank balance sheets in Asia too large?
by Kazumasa Iwata & Shinji Takenaka - 135-137 Comment
In: Threat of fiscal dominance?
by Stephen Cecchetti - 141-142 Summary of the discussion
In: Financial sector regulation for growth, equity and stability
by Philip Turner - 141-155 Is the standard micro portfolio approach to sovereign debt management still appropriate?
In: Threat of fiscal dominance?
by Hans J Blommestein & Anja Hubig - 157-176 Sovereign debt management and fiscal vulnerabilities
In: Threat of fiscal dominance?
by Alessandro Missale - 160-163 Comments on Kazumasa Iwata and Shinji Takenaka's paper "Central bank balance sheets expansion: Japan's experience"
In: Are central bank balance sheets in Asia too large?
by Shinji Takagi - 161-171 Some insights into monetary and fiscal policy interactions in the Czech Republic
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Vladimir Tomsik - 164-167 Mark M Spiegel Comments on Kazumasa Iwata and Shinji Takenaka's paper "Central bank balance sheets expansion: Japan's experience"
In: Are central bank balance sheets in Asia too large?
by Mark M Spiegel - 168-185 Global imbalances and foreign asset expansion by developing-economy central banks
In: Are central bank balance sheets in Asia too large?
by Joseph Gagnon - 173-177 The importance of fiscal prudence under the Linked Exchange Rate System in Hong Kong SAR
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Hong Kong Monetary Authority - 177-212 Debt management and optimal fiscal policy with long bonds
In: Threat of fiscal dominance?
by Elisa Faraglia & Albert Marcet & Andrew Scott - 179-191 The impact of public debt on foreign exchange reserves and central bank profitability: the case of Hungary
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Gergely Baksay & Ferenc Karvalits & Zsolt Kuti - 186-188 Comments on Joseph Gagnon's paper "Global imbalances and foreign asset expansion by developing-economy central banks"
In: Are central bank balance sheets in Asia too large?
by Chris Aylmer - 189-192 Comments on Joseph Gagnon's paper "Global imbalances and foreign asset expansion by developing-economy central banks"
In: Are central bank balance sheets in Asia too large?
by Ooi Sang Kuang - 193-198 Sovereign debt management in India: interaction with monetary policy
In: Fiscal policy, public debt and monetary policy in emerging market economies
by R Gandhi - 193-213 Central Bank balance sheets as policy tools
In: Are central bank balance sheets in Asia too large?
by A Durré & H Pill - 199-203 Fiscal policy, public debt management and government bond markets in Indonesia
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Mr Hendar - 205-215 The interaction between monetary and fiscal policy: insights from two business cycles in Israel
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Kobi Braude & Karnit Flug - 213-237 Interactions between sovereign debt management and monetary policy under fiscal dominance and financial instability
In: Threat of fiscal dominance?
by Hans J Blommestein & Philip Turner - 214-217 Comments on A Durré and H Pill's paper "Central bank balance sheets as policy tools"
In: Are central bank balance sheets in Asia too large?
by Hernando Vargas - 217-232 Public debt and monetary policy in Korea
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Dr Geum Wha Oh - 218-219 Comments on A Durré and H Pill's paper "Central bank balance sheets as policy tools"
In: Are central bank balance sheets in Asia too large?
by Budianto Soenaryo Mukasan - 220-264 International spillovers of central bank balance sheet policies
In: Are central bank balance sheets in Asia too large?
by Qianying Chen & Andrew Filardo & Dong He & Feng Zhu - 233-252 Banco de México and recent developments in domestic public debt markets
In: Fiscal policy, public debt and monetary policy in emerging market economies
by José Sidaoui & Julio Santaella & Javier Pérez - 239-241 Comment
In: Threat of fiscal dominance?
by Richhild Moessner - 245-255 The effectiveness of the Federal Reserve's Maturity Extension Program - Operation Twist 2: the portfolio rebalancing channel and public debt management
In: Threat of fiscal dominance?
by Torsten Ehlers - 253-267 Fiscal policy considerations in the design of monetary policy in Peru
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Renzo Rossini & Zenon Quispe & Jorge Loyola - 257-276 The financial crisis and the changing dynamics of the yield curve
In: Threat of fiscal dominance?
by Morten L Bech & Yvan Lengwiler - 265-284 Comments on Qianying Chen, Andrew Filardo, Dong He and Feng Zhu's paper "The impact of central bank balance sheet policies on the emerging economies"
In: Are central bank balance sheets in Asia too large?
by Jonathan A Batten & Peter G Szilagyi - 269-283 Fiscal policy, public debt management and government bond markets: the case for the Philippines
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Diwa C Guinigundo - 277-304 The financial market impact of UK quantitative easing
In: Threat of fiscal dominance?
by Francis Breedon & Jagjit S Chadha & Alex Waters - 285-287 Comments on Qianying Chen, Andrew Filardo, Dong He and Feng Zhu's paper "International spillovers of central bank balance sheet policies"
In: Are central bank balance sheets in Asia too large?
by Roong Mallikamas - 285-294 A framework for fiscal vulnerability assessment and its application to Poland
In: Fiscal policy, public debt and monetary policy in emerging market economies
by Tomasz Jedrzejowicz & Witold Kozinski