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Biblioteca BCRP

PUBLICACIONES DEL BIS (2006)

Working Papers - last 12 months

 
Dec 2006
No.222
An equilibrum model of "global imbalances" and low interest rates
by Ricardo J Caballero, Emmanuel Farhi and Pierre-Olivier Gourinchas
Dec 2006
No.221
Phoenix miracles in emerging markets: recovering without credit from systemic financial crises
by Guillermo A Calvo, Alejandro Izquierdo and Ernesto Talvi
Dec 2006
No.220
Financial globalisation, governance and the evolution of the home bias
by Bong-Chan Kho, René M Stulz and Francis E Warnock
Dec 2006
No.219
Democracy and globalisation
by Barry Eichengreen and David Leblang
Oct 2006
No.218
The euro as a reserve currency: a challenge to the pre-eminence of the US dollar?
by Gabriele Galati and Philip D. Wooldridge
Oct 2006
No.217
Estimation of Asian effective exchange rates: a technical note
by San Sau Fung, Marc Klau, Guonan Ma and Robert N. McCauley
Sep 2006
No.216
Monetary and prudential policies at a crossroads? New challenges in the new century
by Claudio E. V. Borio
Sep 2006
No.215
Devaluations, output and the balance sheet effect: a structural econometric analysis
by Camilo E Tovar
Sep 2006
No.214
The pricing of portfolio credit risk
by Nikola A. Tarashev and Haibin Zhu
Aug 2006
No.213
Risk in financial reporting: status, challenges and suggested directions
by Claudio E. V. Borio and Kostas Tsatsaronis
Aug 2006
No.212
Risk and liquidity in a system context
by Hyun Song Shin
Aug 2006
No.211
Do accounting changes affect the economic behaviour of financial firms?
by Anne Beatty
Aug 2006
No.210
Institution-specific value
by Ken Peasnell
Aug 2006
No.209
Fair value accounting for financial instruments: some implications for bank regulation
by Wayne Landsman
Aug 2006
No.208
Including estimates of the future in today's financial statements
by Mary Barth
Jun 2006
No.207
The price impact of rating announcements: which announcements matter?
by Marian Micu, Eli M Remolona and Philip D. Wooldridge
May 2006
No.206
Dynamic prudential regulation: Is prompt corrective action optimal?
by Ilhyock Shim
Apr 2006
No.205
Is price stability enough?
by William R. White
Apr 2006
No.204
Monetary policy regimes and macroeconomic outcomes: Hong Kong and Singapore
by Stefan Gerlach and Petra Gerlach-Kristen
Mar 2006
No.203
Macro factors in the term structure of credit spreads
by Jeffery D. Amato and Maurizio Luisi
Mar 2006
No.202
Time-varying exchange rate pass-through: experiences of some industrial countries
by Toshitaka Sekine
Feb 2006
No.201
Central banks, governments and the European monetary unification process
by Alexandre Lamfalussy
Feb 2006
No.200
The future of central bank cooperation
by Beth A Simmons
Feb 2006
No.199
Architects of stability? International cooperation among financial supervisors
by Ethan B Kapstein
Feb 2006
No.198
Almost a century of central bank cooperation
by Richard N Cooper
Feb 2006
No.197
One hundred and thirty years of central bank cooperation: a BIS perspective
by Claudio E. V. Borio and Gianni Toniolo
Feb 2006
No.196
The evolving inflation process: an overview
by Gabriele Galati and William R. Melick
Feb 2006
No.195
Interpreting Euro area inflation at high and low frequencies
by Katrin Assenmacher-Wesche and Stefan Gerlach
Feb 2006
No.194
Output gaps and inflation in Mainland China
by Stefan Gerlach and Wensheng Peng
Jan 2006
No.193
Procyclicality in the financial system: do we need a new macrofinancial stabilisation framework?
by William R. White
  

BIS Papers

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Dec 2006
No.32
Financial Globalisation
Dec 2006
No.31
Monetary policy in Asia: approaches and implementation
Nov 2006
No.30
Asian bond markets: issues and prospects
Aug 2006
No.29
The recent behaviour of financial market volatility
Aug 2006
No.28
The banking system in emerging economies: how much progress has been made?
Feb 2006
No.27
Past and future of central bank cooperation: policy panel discussion
Feb 2006
No.26
Developing corporate bond markets in Asia
  

BIS 76th Annual Report

26 June 2006

The 76th Annual Report of the Bank for International Settlements for the financial year which began on 1 April 2005 and ended on 31 March 2006 was submitted to the Bank's Annual General Meeting held in Basel on 26 June 2006.76th Annual Report, an overview

76th Annual Report by chapter:  
 Table of contents, letter of transmittal Read (PDF, 11 pages, 53 kb)
I.Introduction: resilience to mounting strains Abstract | Full Text (PDF, 8 pages, 56 kb)
II.The global economy Abstract | Full Text (PDF, 23 pages, 819 kb)
III.Issues in emerging market economies Abstract | Full Text (PDF, 25 pages, 800 kb)
IV.Monetary policy in the advanced industrial economies Abstract | Full Text (PDF, 20 pages, 1842 kb)
V.Foreign exchange markets Abstract | Full Text (PDF, 19 pages, 1472 kb)
VI.Financial markets Abstract | Full Text (PDF, 22 pages, 1487 kb)
VII.The financial sector Abstract | Full Text (PDF, 20 pages, 593 kb)
VIII.Conclusion: coping with risks, today and tomorrow Abstract | Full Text (PDF, 14 pages, 67 kb)
 Organisation, governance and activities of the Bank Abstract | Full Text (PDF, 74 pages, 326 kb)
  

BIS Quarterly Review, December 2006

11 December 2006

Full text and statistical tables:
  • Full text   Read   (PDF, 109 pages, 745 kb)
  • Statistical annex   Read   (PDF,112 pages, 793 kb)
Text by chapter:

International banking and financial market developments 
1.Overview: markets anticipate an orderly slowdown Read (PDF, 13 pages, 182 kb)
2.Highlights of international banking and financial market activity Read (PDF, 12 pages, 110 kb)

Special features 
 Tracking international bank flows Abstract | Full Text (PDF, 14 pages, 136 kb)
 Internationalising a currency: the case of the Australian dollar Abstract | Full Text (PDF, 14 pages, 89 kb)
 The structure of housing finance markets and house prices in Asia Abstract | Full Text (PDF, 15 pages, 102 kb)
 The role of government-supported housing finance agencies in Asia Abstract | Full Text (PDF, 13 pages, 96 kb)
 Corporate credit guarantees in Asia Abstract | Full Text (PDF, 14 pages, 100 kb)

Recent initiatives 
 Recent initiatives by Basel-based committees and the Financial Stability Forum Read (PDF, 7 pages, 61 kb)
  

BIS Quarterly Review, September 2006

11 September 2006

Full text and statistical tables:
  • Full text   Read   (PDF, 104 pages, 931 kb)
  • Statistical annex   Read   (PDF, 113 pages, 1246 kb)
Text by chapter:

International banking and financial market developments 
1.Overview: markets focus on monetary policy Read (PDF, 14 pages, 170 kb)
2.Highlights of international banking and financial market activity Read (PDF, 10 pages, 82 kb)

Special features 
 The changing composition of official reserves Abstract | Full Text (PDF, 14 pages, 98 kb)
 Foreign exchange reserve accumulation in emerging markets: what are the domestic implications? Abstract | Full Text (PDF, 14 pages, 116 kb)
 Forward currency markets in Asia: lessons from the Australian experience Abstract | Full Text (PDF, 12 pages, 69 kb)
 Derivatives activity and monetary policy Abstract | Full Text (PDF, 12 pages, 92 kb)
 150 years of financial market volatility Abstract | Full Text (PDF, 15 pages, 333 kb)

 
 Recent initiatives by Basel-based committees Read (PDF, 5 pages, 55 kb)
 

BIS Quarterly Review, June 2006

12 June 2006

Full text and statistical tables:
  • Full text   Read   (PDF, 88 pages, 597 kb)
  • Statistical annex   Read   (PDF, 113 pages, 729 kb)
Text by chapter:

International banking and financial market developments 
1.Overview: retreat from risky assets Read (PDF, 10 pages, 128 kb)
2.The international banking market Read (PDF, 16 pages, 153 kb)
3.The international debt securities market Read (PDF, 12 pages, 91 kb)
4.Derivatives markets Read (PDF, 12 pages, 110 kb)

Special features 
 Domestic bond markets in Latin America: achievements and challenges Abstract | Full Text (PDF, 14 pages, 95 kb)
 Securitisation in Asia and the Pacific: implications for liquidity and credit risks Abstract | Full Text (PDF, 12 pages, 76 kb)

 
 Recent initiatives by Basel-based committees and the Financial Stability Forum Read (PDF, 7 pages, 53 kb)
  

BIS Quarterly Review, March 2006

6 March 2006

Full text and statistical tables:
  • Full text   Read   (PDF, 114 pages, 904 kb)
  • Statistical annex   Read   (PDF, 113 pages, 735 kb)
Text by chapter:

International banking and financial market developments 
1.Overview: emerging markets soar to historical highs Read (PDF, 14 pages, 164 kb)
2.The international banking market Read (PDF, 16 pages, 128 kb)
3.The international debt securities market Read (PDF, 12 pages, 88 kb)
4.Derivatives markets Read (PDF, 8 pages, 111 kb)

Special features 
 The new BIS effective exchange rate indices Abstract | Full Text (PDF, 16 pages, 129 kb)
 Prime or not so prime? An exploration of US housing finance in the new century Abstract | Full Text (PDF, 12 pages, 110 kb)
 Basket weaving: the euromarket experience with basket currency bonds Abstract | Full Text (PDF, 14 pages, 73 kb)
 Risk premia across asset markets: information from option prices Abstract | Full Text (PDF, 12 pages, 132 kb)

 
 Recent initiatives by Basel-based committees and the Financial Stability Forum Read (PDF, 6 pages, 53 kb)
   

BIS - Other Publications

 

 

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