Content
2012, Volume 52, Issue 2
- 147-153 Considering the continuity of payments for customers in a bank’s recovery or resolution
by Emma Carter - 160-162 A review of the work of the London Foreign Exchange Joint Standing Committee in 2011
by Bank of England
2012, Volume 52, Issue 1
- 6-18 Markets and operations: 2012 Q1
by Richard Windram & Olaf Weeken - 20-30 What might be driving the need to rebalance in the United Kingdom?
by Stuart Berry & Matthew Corder & Richard Williams - 31-38 Agents’ Special Surveys since the start of the financial crisis
by Thomas Belsham & Simon Caunt & Iain Duff - 39-47 What can the oil futures curve tell us about the outlook for oil prices?
by Dan Nixon & Tom Smith - 48-56 Quantitative easing and other unconventional monetary policies: Bank of England conference summary
by Michael Joyce - 57-66 The Bank of England’s Special Liquidity Scheme
by Sarah John & Matt Roberts & Olaf Weeken - 78-80 Monetary Policy Roundtable
by Lindsey Fowler
2011, Volume 51, Issue 4
- 280-291 Markets and operations: 2011 Q4
by Richard Windram & Olaf Weeken - 294-304 Understanding recent developments in UK external trade
by Kishore Kamath & Varun Paul - 305-318 The financial position of British households: evidence from the 2011 NMG Consulting survey
by Kishore Kamath & Kate Reinold & Mette Nielsen & Amar Radia - 319-330 Going public: UK companies’ use of capital markets
by Aashish Pattani & Giuseppe Vera & James Wackett - 331-340 Trading models and liquidity provision in OTC derivatives markets
by Nick Smyth & Anne Wetherilt
2011, Volume 51, Issue 3
- 184-198 Markets and operations: 2011 Q3
by Olaf Weeken - 200-212 The United Kingdom’s quantitative easing policy: design, operation and impact
by Michael Joyce & Matthew Tong & Robert Woods - 213-223 Bank resolution and safeguarding the creditors left behind
by Geoffrey Davies & Marc Dobler - 224-233 Developments in the global securities lending market
by Matthew Dive & Ronan Hodge & Catrin Jones & James Purchase - 234-246 Measuring financial sector output and its contribution to UK GDP
by Stephen Burgess - 247-252 The Money Market Liaison Group Sterling Money Market Survey
by Ben Westwood - 258-260 Monetary Policy Roundtable
by MA Publications
2011, Volume 51, Issue 2
- 86-98 Markets and operations: 2011 Q2
by Richard Windram & Olaf Weeken - 100-110 Assessing the risk to inflation from inflation expectations
by Clare Macallan & Tim Taylor & Tom O'Grady - 111-115 International evidence on inflation expectations during Sustained Off-Target Inflation episodes
by Matthew Corder & Daniel Eckloff - 116-118 Public attitudes to monetary policy and satisfaction with the Bank
by Sally Hills & Clare Macallan - 119-126 The use of foreign exchange markets by non-banks
by James O'Connor & James Wackett & Robert Zammit - 127-133 Housing equity withdrawal since the financial crisis
by Kate Reinold - 134-140 Using internet search data as economic indicators
by Nick McLaren & Rachana Shanbhogue - 158-162 A review of the work of the London Foreign Exchange Joint Standing Committee in 2010
by Lindsey Fowler
2011, Volume 51, Issue 1
- 6-19 Markets and operations: 2011 Q1
by Richard Windram & Olaf Weeken - 22-35 Understanding the recent weakness in broad money growth
by Jonathan Bridges & Neil Rossiter & Ryland Thomas - 36-42 Understanding labour force participation in the United Kingdom
by Andrew Benito & Philip Bunn - 43-48 Global imbalances: the perspective of the Bank of England
by Mervyn King - 49-56 China's changing growth pattern
by Ed Dew & Jeremy Martin & Julia Giese & Gabriele Zinna - 64-66 Monetary Policy Roundtable
by Karen Mayhew
2010, Volume 50, Issue 4
- 242-256 Markets and operations: 2010 Q4
by Olaf Weeken - 258-266 The history of the Quarterly Bulletin
by Richard Windram & John Footman - 267-276 Index of articles 1960-2010
by Richard Windram - 277-291 The UK recession in context — what do three centuries of data tell us?
by Ryland Thomas & Sally Hills & Nicholas Dimsdale - 292-301 The Bank's money market framework
by Roger Clews & Chris Salmon & Olaf Weeken - 302-310 Managing the circulation of banknotes
by Helen Allen & Andrew Dent - 311-320 Understanding the weakness of bank lending
by Venetia Bell & Garry Young - 321-332 Evolution of the UK banking system
by Richard Davies & Peter Richardson & Vaiva Katinaite & Mark Manning - 333-345 The financial position of British households: evidence from the 2010 NMG Consulting survey
by Mette Nielsen & Silvia Pezzini & Kate Reinold & Richard Williams - 354-365 The foreign exchange and over-the-counter interest rate derivatives markets in the United Kingdom
by Tristan Broderick & Chris Cox - 366-377 Global finance after the crisis
by Alan M Taylor
2010, Volume 50, Issue 3
- 158-170 Markets and operations: 2010 Q3
by Darren Pain & Olaf Weeken - 172-182 Understanding the price of new lending to households
by Richard Button & Silvia Pezzini & Neil Rossiter - 183-189 Interpreting the world trade collapse
by Silvia Domit & Tamarah Shakir - 190-198 What can we learn from surveys of business expectations?
by Tracy Wheeler - 199-204 Residential property auction prices
by Matthew Corder & Kate Reinold - 214-218 Chief Economists' Workshop: state-of-the-art modelling for central banks
by Andy Blake & Celine Gondat-Larralde - 219-222 Monetary Policy Roundtable
by MA Publications
2010, Volume 50, Issue 2
- 78-91 Markets and operations: 2010 Q2
by Darren Pain - 94-103 Collateral risk management at the Bank of England
by Sarah Breeden & Richard Whisker - 104-114 The impact of the financial crisis on supply
by Andrew Benito & Katharine Neiss & Simon Price & Lukasz Rachel - 115-123 Public attitudes to inflation and monetary policy
by Alina Barnett & Clare Macallan & Silvia Pezzini - 136-140 A review of the work of the London Foreign Exchange Joint Standing Committee in 2009
by Lindsey Fowler
2010, Volume 50, Issue 1
- 6-21 Markets and operations: 2010 Q1
by Olaf Weeken - 24-33 Interpreting equity price movements since the start of the financial crisis
by Mika Inkinen & Marco Stringa & Kyriaki Voutsinou - 34-42 The Bank's balance sheet during the crisis
by Michael Cross & Paul Fisher & Olaf Weeken - 43-50 Changes in output, employment and wages during recessions in the United Kingdom
by Renato Faccini & Christopher Hackworth - 56-58 Monetary Policy Roundtable
by MA Publications
2009, Volume 49, Issue 4
- 258-271 Markets and operations 2009 Q4
by Darren Pain - 274-285 The financial position of British households: evidence from the 2009 NMG survey
by Tomas Hellebrandt & Silvia Pezzini & Jumana Saleheen & Richard Williams - 286-292 Accounting for the stability of the UK terms of trade
by Conall Mac Coille & Karen Mayhew & Kenny Turnbull - 293-296 Recent developments in pay settlements
by Chris Hackworth
2009, Volume 49, Issue 3
- 154-175 Markets and operations - 2009 Q3
by Darren Pain & Olaf Weeken - 178-190 Global imbalances and the financial crisis
by Mark Astley & Julia Giese & Michael Hume & Chris Kubelec - 191-201 Household saving
by Stuart Berry & Richard Williams & Matthew Waldron - 202-214 Interpreting recent movements in sterling
by Mark Astley & James Smith & Darren Pain - 215-225 What can be said about the rise and fall in oil prices?
by Victoria Saporta & Matt Trott & Merxe Tudela - 226-231 Bank of England Systemic Risk Survey
by Sarah Burls - 238-240 Monetary Policy Roundtable
by Mark Astley