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Central Bank Research Hub Index - F: finance-fire



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fables - factor | factoria - failure | failures - feasible | features - feldstei | female - finality | finance - fire | firing - firm | firmly - firms´ | first - floor | floors - flows | fluctati - force | forces - found | foundati - franc | france - fresh | freshman - fully | fuming - funded | funding - fussing | future - fx

Stress Testing and Corporate

  Finance , by Olivier de Bandt, Catherine Bruneau and Widad El Amri (Bank of France Working Papers Nr 203)Abstract
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Life-cycle patterns of interest rate markups in small firm   finance , by Moshe Kim, Eirik Gaard Kristiansen and Bent Vale (Central Bank of Norway Working Papers 2007/04)Abstract
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Credit market competition, collateral and firms'   finance , by Gabriel Jiménez, Vicente Salas and Jesús Saurina (Bank of Spain Working Papers 0612)Abstract
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Communicating Policy Options at the Zero BoundForthcoming in: Journal of International Money and   Finance , by Lukas Burkhard and Andreas M. Fischer (Swiss National Bank Working Papers 2007-12)Abstract

Why 'Basel II' May Need a Leverage Ratio RestrictionForthcoming in: Journal of Banking and   Finance , by Jürg M. Blum (Swiss National Bank Working Papers 2007-04)Abstract

The nature of credit risk in project   finance , by Marco Sorge (Bank for International Settlements Quarterly Review 0412h)Abstract
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The term structure of credit spreads in project   finance , by Marco Sorge and Blaise Gadanecz (Bank for International Settlements Working papers 159)Abstract
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The McKenna Rule and U.K. World War I   Finance , by James M. Nason and Shaun P. Vahey (Atlanta Fed Working papers 2007-03)Abstract
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The role of government-supported housing   finance agencies in Asia, by Eric Chan, Michael Davies and Jacob Gyntelberg (Bank for International Settlements Quarterly Review 0612h)Abstract

Housing   finance agencies in Asia, by Michael Davies, Jacob Gyntelberg and Eric Chan (Bank for International Settlements Working papers 241)Abstract
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  Finance and growth in a bank-based economy: is it quantity or quality that matters?, by Michael Koetter, Michael Wedow (Deutsche Bundesbank Banking Supervision Discussion Papers 200602)Full text

  Finance and growth in the EU: new evidence from the liberalisation and harmonisation of the banking industry, by Diego Romero De Ávila (European Central Bank Working papers 266)Full text

  Finance and growth: a macroeconomic assessment of the evidence from a European angle, by Elias Papaioannou (European Central Bank Working papers 787)Full text

Further evidence on the link between   finance and growth: An international analysis of community banking and economic performance, by Allen N. Berger - Iftekhar Hasan - Leora F. Klapper (Bank of Finland Discussion Papers 2004/08)Abstract
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Further Evidence on the Link between   Finance and Growth: An International Analysis of Community Banking and Economic Performance, by Allen N. Berger, Iftekhar Hasan, and Leora F. Klapper (Federal Reserve Board FEDS series 2003-47)Abstract
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  Finance and Growth: New Evidence and Policy Analyses for Chile, by Ross Levine, María Carkovic (Central Bank of Chile Working Papers 157)Abstract
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Issues in Central Bank   Finance and Independence, by Peter Stella and Ĺke Lonnberg (Atlanta Fed Working papers 2008-13)Abstract
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Risk sharing,   finance and institutions in international portfolios, by Marcel Fratzscher and Jean Imbs (European Central Bank Working papers 826)Full text

Modeling Bond Yields in   Finance and Macroeconomics, by Francis X. Diebold, Monika Piazzesi and Glenn D. Rudebusch (San Francisco Fed Working Papers 2005-04)Full text

The Resolution of International Financial Crises: Private   Finance and Public Funds, by Haldane, Andy and Mark Kruger (Bank of Canada Working papers 2001-20)Abstract
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Pension fund   finance and sponsoring companies: empirical evidence on theoretical hypotheses, by E. Philip Davis, Sybille Grob and Leo de Haan (Netherlands Bank DNB Working Papers 158)Full text

  Finance and the Business Cycle: a Kalman Filter Approach with Markov Switching, by Ryan A. Compton and Jose Ricardo da Costa e Silva (Central Bank of Brazil Working Papers 097)Abstract
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Health Care   Finance and the Early Adoption of Hospital Information Systems, by Ron Borzekowski (Federal Reserve Board FEDS series 2002-41)Abstract
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Banks' equity stakes in borrowing firms: A corporate   finance approach, by Jukka Vauhkonen (Bank of Finland Discussion Papers 2003/13)Abstract
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  Finance as a Barrier to Entry: Bank Competition and Industry Structure in Local U.S. Markets, by Nicola Cetorelli , Philip Strahan (Chicago Fed Working papers WP-2004-04)Abstract
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International   Finance Center: Its Conditions and Effects, by Sangyong Joo (The Bank of Korea Economic Papers 54)Abstract
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Economic reactions to public   finance consolidation: A survey of the literature, by Maria Gabriella Briotti (European Central Bank Occasional papers 38)Full text

  Finance Constraints and Inventory Investment: Empirical Tests with Panel Data, by Rose Cunningham (Bank of Canada Working papers 2004-38)Abstract
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Corporate   finance in the euro area - including background material, by Task Force of the Monetary Policy Committee of the ESCB (European Central Bank Occasional papers 63)Full text

Prime or not so prime? An exploration of US housing   finance in the new century, by Allen Frankel (Bank for International Settlements Quarterly Review 0603f)Abstract
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Financial Intermediation Theory and Implications for the Sources of Value in Structured   Finance Markets, by Janet Mitchell (National Bank of Belgium Working Papers 071)Abstract
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The structure of housing   finance markets and house prices in Asia, by Haibin Zhu (Bank for International Settlements Quarterly Review 0612g)Abstract

Imperfect information, macroeconomic dynamics and the yield curve: an encompassing macro-   finance model, by Hans Dewachter (National Bank of Belgium Working Papers 144)Abstract
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The Default Rate and Price of Capital in a Costly External   Finance Model, by Juan Pablo Medina (Central Bank of Chile Working Papers 297)Abstract
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Bubbles and crashes in a behavioural   finance model, by Paul De Grauwe and Marianna Grimaldi (Sveriges Riksbank Working Papers No164)Abstract
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A Macro-   Finance Model of the Term Structure, Monetary Policy, and the Economy, by Glenn D. Rudebusch and Tao Wu (San Francisco Fed Working Papers 2003-17)Full text

Challenges in macro-   finance modeling, by Don H Kim (Bank for International Settlements Working papers 240)Abstract
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Challenges in Macro-   Finance Modeling, by Don Kim (Federal Reserve Board FEDS series 2008-06)Abstract

The Role of Debt and Equity   Finance over the Business Cycle, by Francisco Covas and Wouter J. den Haan (Bank of Canada Working papers 2006-45)Abstract
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Low Nominal Interest Rates: A Public   Finance Perspective, by by Noritaka Kudoh (IJCB International Journal of Central Banking 07q2a3)Abstract
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The Bond Yield "Conundrum" from a Macro-   Finance Perspective, by Rudebusch, Swanson, Wu (San Francisco Fed Working Papers 2006-16)Full text

The Recent Shift in Term Structure Behavior from a No-Arbitrage Macro-   Finance Perspective, by Glenn Rudebusch and Tao Wu (San Francisco Fed Working Papers 2004-25)Full text

History of   finance research and education in Finland: the first thirty years, by Mika Vaihekoski (Bank of Finland Discussion Papers 2008/18)Abstract
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Should quarterly government   finance statistics be used for fiscal surveillane in Europe?, by Diego J. Pedregal and Javier J. Pérez (European Central Bank Working papers 937)Full text

Fiscal Sustainability - Definition, Indicators and Assessment of Czech Public   Finance Sustainability, by Aleš Krejdl (Czech National Bank Working papers 2006/03)Abstract

An affine macro-   finance term structure model for the euro area, by Wolfgang Lemke (Deutsche Bundesbank Discussion Papers 200713)Full text

Bank   finance versus bond finance: what explains the differences between US and Europe?, by Fiorella De Fiore and Harald Uhlig (European Central Bank Working papers 547)Full text

Agency problems in structured   finance - a case study of European CLOs, by Joachim Keller (National Bank of Belgium Working Papers 137)Abstract
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A disaggregated framework for the analysis of structural developments in public

  finances , by Jana Kremer, Claudia Rodrigues Braz, Teunis Brosens, Geert Langenus, Sandro Momigliano, Mikko Spolander (Deutsche Bundesbank Discussion Papers 200605)Full text

A disaggregated framework for the analysis of structural developments in public   finances , by Jana Kremer, Cláudia Rodrigues Braz, Teunis Brosens, Geert Langenus (European Central Bank Working papers 579)Full text

A disaggregated framework for the analysis of structural developments in public   finances , by Jana Kremer, Cláudia Braz, Teunis Brosens, Geert Langenus, Sandro Momigliano, Mikko Spolander (Bank of Portugal Working papers 2006-07)Abstract
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The use of alternative employment arrangements by small businesses: Evidence from the 2003 Survey of Small Business   Finances , by Traci L. Mach and John A. Holmes (Federal Reserve Board FEDS series 2008-45)Abstract
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Banking Market Definition: Evidence from the Survey of Consumer   Finances , by Dean F. Amel, Arthur B. Kennickell, and Kevin B. Moore (Federal Reserve Board FEDS series 2008-35)Abstract
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Choice of Mortgage Contracts: Evidence from the Survey of Consumer   Finances , by Brahima Coulibaly and Geng Li (Federal Reserve Board FEDS series 2007-50)Abstract

Alternative Methods of Unit Nonresponse Weighting Adjustments: An Application from the 2003 Survey of Small Business   Finances , by Lieu N. Hazelwood, Traci L. Mach, and John D. Wolken (Federal Reserve Board FEDS series 2007-10)Abstract
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The Replacement Demand for Motor Vehicles: Evidence from the Survey of Consumer   Finances , by Ana Aizcorbe, Martha Starr, and James T. Hickman (Federal Reserve Board FEDS series 2003-44)Abstract
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401(k)s and Household Saving: New Evidence from the Survey of Consumer   Finances , by Karen M. Pence (Federal Reserve Board FEDS series 2002-6)Abstract
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The Mismatch Between Life Insurance Holdings and Financial Vulnerabilities: Evidence from the Survey of Consumer   Finances , by B. Douglas Bernheim, Katherine Grace Carman, Jagadeesh Gokhale, and Laurence J. Kotlikoff (Cleveland Fed Working papers WP02-01)Full text

Sustainability of public   finances and automatic stabilisation under a rule of budgetary discipline, by José Marín (European Central Bank Working papers No.193)Full text

Quality of public   finances and growth, by António Afonso, Werner Ebert (European Central Bank Working papers 438)Full text

Public   finances and long-term growth in Europe - evidence from a panel data analysis, by Diego Romero de Ávila and Rolf Strauch (European Central Bank Working papers No.246)Full text

Reading, Writing, and Raisinets: Are School   Finances Contributing to Children's Obesity?, by Patricia M. Anderson, Kristin Butcher (Chicago Fed Working papers WP-2004-16)Abstract
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Fiscal rules and sustainability of public   finances in an endogenous growth model, by Barbara Annicchiarico and Nicola Giammarioli (European Central Bank Working papers 381)Full text

Integrating the   finances of East Asia, by Robert N McCauley, Sans-Sau Fung, Blaise Gadanecz (Bank for International Settlements Quarterly Review 0212h)Full text

3-step analysis of public   finances sustainability: the case of the European Union, by António Afonso and Christophe Rault (European Central Bank Working papers 908)Full text

Wealth effects on consumption: microeconometric estimates from the Spanish survey of household   finances., by Olympia Bover (Bank of Spain Working Papers 0522)Abstract
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Starting Small and Ending Big -- The Effect of Monetary Incentives on Response Rates in the 2003 Survey of Small Business   Finances: An Observational Experiment, by Traci L. Mach, Lieu N. Hazelwood, and John D. Wolken (Federal Reserve Board FEDS series 2008-26)Abstract
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Legal-Political Factors and the Historical Evolution of the

  Finance-Growth Link, by Michael D. Bordo and Peter L. Rousseau with comments by Thorvaldur Gylfason and by Pierre Siklos (Austrian National Bank Working Papers WP107)Abstract
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Does Credit Supply Affect Small-Firm   Finance?, by Tara Rice and Philip E. Strahan (Federal Reserve Board FEDS series 2008-54)Abstract
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  Finance, uncertainty and investment, by Marcel Gérard and Frédéric Verschueren (National Bank of Belgium Working Papers 026)Full text

Dependence on external   finance: an inherent industry characteristic?, by George M. von Furstenberg, Ulf von Kalckreuth (Deutsche Bundesbank Discussion Papers 200630)Full text

Structured   finance: complexity, risk and the use of ratings, by Ingo Fender and Janet Mitchell (Bank for International Settlements Quarterly Review 0506f)Abstract
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Law or   finance: Evidence from Finland, by Ari Hyytinen - Iikka Kuosa - Tuomas Takalo (Bank of Finland Discussion Papers 2002/08)Abstract
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Determinants of Access to External   Finance: Evidence from Spanish Firms, by Lago Gonzales, Lopez, Saurina (San Francisco Fed Working Papers 2007-22)Full text

Bank loans versus bond   finance: implications for sovereign debtors, by Misa Tanaka (Bank of England Working papers 267)Abstract
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Housing and Housing   Finance: The View from Australia and Beyond, by Luci Ellis (Reserve Bank of Australia Research Discussion Papers RDP2006-12)Abstract
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China's and India's roles in global trade and   finance: twin titans for the new millennium?, by Matthieu Bussičre and Arnaud Mehl (European Central Bank Occasional papers 80)Full text

Bank finance versus bond   finance: what explains the differences between US and Europe?, by Fiorella De Fiore and Harald Uhlig (European Central Bank Working papers 547)Full text

  Financial Acceleration of Booms and Busts, by (DNB) (Netherlands Bank DNB Working Papers 035)Full text

Monetary Policy in an Estimated DSGE Model with a   Financial Accelerator, by Ian Christensen and Ali Dib (Bank of Canada Working papers 2006-09)Abstract
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External constraints on monetary policy and the   financial accelerator, by Mark Gertler, Simon Gilchrist and Fabio M Natalucci (Bank for International Settlements Working papers 139)Abstract
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House prices, consumption, and monetary policy: a   financial accelerator approach, by Kosuke Aoki, James Proudman and Gertjan Vlieghe (Bank of England Working papers 169)Abstract
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The role of corporate balance sheets and bank lending policies in a   financial accelerator framework, by Simon Hall and Anne Vila Wetherilt (Bank of England Working papers 166)Abstract
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The   Financial Accelerator from a Business Cycle Accounting Perspective., by Antón Sarabia Arturo (Bank of Mexico Working Papers 2007-06)Full text

Monetary policy and the   financial accelerator in a monetary union, by Simon Gilchrist (European Central Bank Working papers No.175)Full text

Housing Wealth and Household Indebtedness: Is there a Household ‘   Financial Accelerator'?, by Richard Disney, Sarah Bridges, John Gathergood (Czech National Bank Working papers 2006/12)Abstract
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What Can We Learn about   Financial Access from U.S. Immigrants?, by Una Okonkwo Osili, Anna Paulson (Chicago Fed Working papers WP-2006-25)Abstract
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Transparency,   Financial Accounting Information, and Corporate Governance, by Robert M. Bushman and Abbie J. Smith (New York Fed Economic policy review 0304bush)Abstract
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Wealth Effects out of   Financial and Housing Wealth: Cross Country and Age Group Comparisons, by Sierminska, Takhtamanova (San Francisco Fed Working Papers 2007-01)Full text

Asset prices,   financial and monetary stability: exploring the nexus, by Claudio Borio and Philip Lowe (Bank for International Settlements Working papers 114)Abstract
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  Financial and Real Integration, by Scott L. Baier and Gerald P. Dwyer Jr. (Atlanta Fed Working papers 2008-14)Abstract
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International Financial Crises, Lender of Last Resort and New International   Financial Architecture, by Esteban Jadresic , Klaus Schmidt-Hebbel , Rodrigo Valdés (Central Bank of Chile Working Papers 212)Abstract
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Quantitative Monetary Easing and Risk in   Financial Asset Markets, by Takeshi Kimura and David Small (Federal Reserve Board FEDS series 2004-57)Abstract
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What Do   Financial Asset Prices Say About the Housing Market?, by J. Benson Durham (Federal Reserve Board FEDS series 2006-32)Abstract
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Measuring   Financial Asset Return and Volatility Spillovers, with Application to Global Equity Markets, by Francis X. Diebold (Philadelphia Fed Working Papers 08-16)Full text

Hierarchical Markov normal mixture models with applications to   financial asset returns, by John Geweke and Gianni Amisano (European Central Bank Working papers 831)Full text

Effects of   Financial Autarky and Integration: The Case of the South Africa Embargo, by Brahima Coulibaly (Federal Reserve Board International Financial Discussion Papers 2005-839)Abstract
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Corporate debt and   financial balance sheet adjustment: a comparison of the United States, the United Kingdom, France and Germany, by Peter Gibbard and Ibrahim Stevens (Bank of England Working papers 317)Abstract
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  Financial behaviour of Dutch pension funds: a disaggregated approach, by Jan Kakes (Netherlands Bank DNB Working Papers 108)Full text

Offshore   Financial Centers: Parasites or Symbionts?, by Spiegel, Rose (San Francisco Fed Working Papers 2005-05)Full text

Economic evaluation of bank exit regimes in US, EU and Japanese   financial centres, by Peik Granlund (Bank of Finland Discussion Papers 2003/05)Abstract
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Bank exit legislation in US, EU and Japanese   financial centres, by Peik Granlund (Bank of Finland Discussion Papers 2002/25)Abstract
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Hong Kong as An International   Financial Centre: Measuring its Position and Determinants, by Lillian Cheung and Vincent Yeung (Hong Kong Monetary Authority Working Papers WP07_14)Abstract
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The   Financial Clutch: An Alternative Mechanism of Banking Amplification, by Elías Albagli (Central Bank of Chile Working Papers 207)Abstract
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The Challenges of Risk Management in Diversified   Financial Companies, by Christine M. Cumming and Beverly J. Hirtle (New York Fed Economic policy review 0103cumm)Abstract
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  Financial conditions indexes, by David Mayes - Matti Virén (Bank of Finland Discussion Papers 2001/17)Abstract
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  Financial Conditions Indexes for Canada, by Céline Gauthier, Christopher Graham, and Ying Liu (Bank of Canada Working papers 2004-22)Abstract
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Regulating   Financial Conglomerates, by Xavier Freixas, Gyöngyi Lóránth, Alan D. Morrison and Hyun Song Shin (National Bank of Belgium Working Papers 054)Full text

Capital adequacy regulation and   financial conglomerates, by Ville Mälkönen (Bank of Finland Discussion Papers 2004/10)Abstract
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Borrowers' Financial Constraints and the Transmission of Monetary Policy: Evidence from   Financial Conglomerates, by Adam B. Ashcraft and Murillo Campello (New York Fed Staff reports 153)Abstract
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Do   financial conglomerates create or destroy value? Evidence for the EU, by Iman van Lelyveld en Klaas Knot (Netherlands Bank DNB Working Papers 174)Full text

The efficiency implications of   financial conglomeration, by Ville Mälkönen (Bank of Finland Discussion Papers 2004/17)Abstract
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Understanding   Financial Consolidation, by Roger W. Ferguson, Jr. (New York Fed Economic policy review 0205ferg)Full text

  Financial consolidation and liquidity: prudential regulation and/or competition policy?, by Patrick Van Cayseele (National Bank of Belgium Working Papers 050)Full text

  Financial Consolidation and Monetary Policy, by William B. English (New York Fed Economic policy review 0205engl)Full text

  Financial constraints and capacity adjustment in the United Kingdom: evidence from a large panel of survey data, by Ulf von Kalckreuth and Emma Murphy (Bank of England Working papers 260)Abstract
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Opportunity Costs of Having a Child,   Financial Constraints and Fertility, by Gilbert Cette, Nicolas Dromel and Dominique Méda (Bank of France Working Papers Nr 130)Abstract
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  Financial Constraints and Investment: Assessing the Impact of a World Bank Loan Program on Small and Medium-Sized Enterprises in Sri Lanka, by Varouj Aivazian, Dipak Mazumdar, and Eric Santor (Bank of Canada Working papers 2003-37)Abstract
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  Financial constraints and investment in France and Spain: a comparison using firm level data, by Ignacio Hernando and André Tiomo (Bank of Spain Working Papers 0214)Full text

Borrowers'   Financial Constraints and the Transmission of Monetary Policy: Evidence from Financial Conglomerates, by Adam B. Ashcraft and Murillo Campello (New York Fed Staff reports 153)Abstract
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Methodological alternatives for the analysis of   financial constraints in Argentina., by Pedro Elosegui, Paula Espańol, Demian Panigo, Juan M. Sotes Paladino (Central Bank of Argentina Working Papers 2006/02)Full text

A Tale of Two Surveys: Household Debt and   Financial Constraints in Australia, by Gianni La Cava and John Simon (Reserve Bank of Australia Research Discussion Papers RDP2003-08)Abstract
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The impact of   financial constraints on innovation: What can be learned from a direct measure?, by Frédérique Savignac (Bank of France Working Papers Nr 169)Abstract
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  Financial Constraints, the User Cost of Capital and Corporate Investment in Australia, by Gianni La Cava (Reserve Bank of Australia Research Discussion Papers RDP2005-12)Abstract
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Bank Integration and   Financial Constraints: Evidence from U.S. Firms, by Ricardo Correa (Federal Reserve Board International Financial Discussion Papers 2008-925)Abstract
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Endogenous   Financial Constraints: Persistence and Interest Rate Fluctuations, by Juan Pablo Medina (Central Bank of Chile Working Papers 290)Abstract
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Structural modelling of investment and   financial constraints: Where do we stand?, by Jean-Bernard Chatelain (National Bank of Belgium Working Papers 028)Full text

  Financial Constraint, Firms´ Inventory Investments and the Credit Channels of Monetary Policy, by Sunwoo Shin (The Bank of Korea Economic Papers 31)Abstract
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Managerial Incentives and   Financial Contagion, by Sujit Chakravorti , Anna Ilyina , Subir Lall (Chicago Fed Working papers WP-2003-21)Abstract
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  Financial contagion and tests using instrumental variables, by Andreas Pick (Netherlands Bank DNB Working Papers 139)Full text

  Financial Contracting and the Choice between Private Placement and Publicly Offered Bonds, by Simon Kwan and Willard T. Carleton (San Francisco Fed Working Papers 2004-20)Full text

  Financial contracts and contingent control rights, by Jukka Vauhkonen (Bank of Finland Discussion Papers 2003/14)Abstract
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Netting,   Financial Contracts, and Banks: The Economic Implications, by William Bergman , Robert Bliss , Christian Johnson , George Kaufman (Chicago Fed Working papers WP-2004-02)Abstract
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The Chinese government's new approach to ownership and   financial control of strategic state-owned enterprises, by Mikael Mattlin (Bank of Finland BOFIT Discussion Papers 2007/10)Abstract
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Monetary and   Financial Cooperation among Central Banks in East Asia and the Pacific, by Hans Genberg and Dong He (Hong Kong Monetary Authority Working Papers WP07_15)Abstract
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Currency Mismatches, Balance Sheet Effects and Hedging in Chilean non-   Financial Corporations, by Kevin Cowan, Erwin Hansen, Luis Oscar Herrera (Central Bank of Chile Working Papers 346)Abstract
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The impact of financial position on investment: an anlysis for non-   financial corporations in the euro area., by Carmen Martinez-Carrascal and Annalisa Ferrando (European Central Bank Working papers 943)Full text

The impact of financial position on investment: an analysis for non-   financial corporations in the euro area (680 KB), by Carmen Martínez-Carrascal and Annalisa Ferrando (Bank of Spain Working Papers 0820)Abstract
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Managing international reserves: how does diversification affect   financial costs?, by Stichander Ramaswamy (Bank for International Settlements Quarterly Review 0806f)Abstract

Emerging Market Economies: The Aftermath of Volatility Contagion in a Selection of Three   Financial Crises, by Felipe Jaque (Central Bank of Chile Working Papers 305)Abstract
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Towards a new early warning system of   financial crises, by Matthieu Bussiere and Marcel Fratzscher (European Central Bank Working papers No.145)Full text

Comparison between Asian, Russian and Turkish   financial crises, by Johanna Lukkarila (Bank of Finland Discussion Papers 2003/03)Abstract
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Phoenix miracles in emerging markets: recovering without credit from systemic   financial crises, by Guillermo A Calvo, Alejandro Izquierdo and Ernesto Talvi (Bank for International Settlements Working papers 221)Abstract
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What have we learned from recent   financial crises and policy responses?, by William R White (Bank for International Settlements Working papers 084)Abstract
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Managing   financial crises in emerging market economies - experience with the involvement of private sector creditors, by International Relations Committee Task Force (European Central Bank Occasional papers 32)Full text

International   Financial Crises, Lender of Last Resort and New International Financial Architecture, by Esteban Jadresic , Klaus Schmidt-Hebbel , Rodrigo Valdés (Central Bank of Chile Working Papers 212)Abstract
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The Resolution of International   Financial Crises: Private Finance and Public Funds, by Haldane, Andy and Mark Kruger (Bank of Canada Working papers 2001-20)Abstract
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Monetary Policy in a   Financial Crisis, by Lawrence J. Christiano , Christopher J. Gust , Jorge Roldos (Chicago Fed Working papers WP-2002-05)Abstract
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Monetary Policy in a   Financial Crisis, by Lawrence J. Christiano, Christopher Gust, and Jorge Roldos (Cleveland Fed Working papers WP02-04)Full text

Corporate Response to Distress: Evidence from the Asian   Financial Crisis, by Mara Faccio, and Rajdeep Sengupta (St Louis Fed Working Papers 2006-044)Full text

Technical Notes on Facts and Myths about the   Financial Crisis of 2008, by Maxim Troshkin (Minneapolis Fed Working Papers WP667)Full text

Myths about the   Financial Crisis of 2008, by Patrick J. Kehoe, V. V. Chari, Lawrence J. Christiano (Minneapolis Fed Working Papers WP666)Full text

Spatial econometric analysis of determinants and strategies of FDI in Russian regions in pre- and post-1998   financial crisis periods, by Svetlana Ledyaeva (Bank of Finland BOFIT Discussion Papers 2007/15)Abstract
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The Asian   Financial Crisis, Uphill Flow of Capital, and Global Imbalances: Evidence from a Micro Study, by Brahima Coulibaly and Jonathan Millar (Federal Reserve Board International Financial Discussion Papers 2008-942)Abstract
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International linkage of the Russian market and the Russian   financial crisis: A multivariate GARCH analysis, by Kashif Saleem (Bank of Finland BOFIT Discussion Papers 2008/08)Abstract
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The Value of Banking Relationships During a   Financial Crisis: Evidence from Failures of Japanese Banks, by Elijah III Brewer , Hesna Genay , William C. Hunter , George Kaufman (Chicago Fed Working papers WP-2002-20)Abstract
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Ten Years from the   Financial Crisis: Managing the Challenges Posed by Capital Flows, by Khor Hoe Ee and Kit Wei Zheng (Monetary Authority of Singapore Staff Papers No. 48)Abstract
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Liquidity and   financial cycles, by Tobias Adrian and Hyun Song Shin (Bank for International Settlements Working papers 256)Abstract
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Liquidity, Monetary Policy, and   Financial Cycles, by Tobias Adrian and Hyun Song Shin (New York Fed Current issues ci14-01)Abstract
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  Financial Cycles and Bankruptcies in the Nordic Countries, by Jan Hansen (Sveriges Riksbank Working Papers No149)