Working Papers

Working Papers by year

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Working Papers - last 12 months

Dec 2007
No 240

Challenges in macro-finance modeling

by Don H Kim


Dec 2007
No 239

Spanned stochastic volatility in bond markets: a reexamination of the relative pricing between bonds and bond options

by Don H Kim


Nov 2007
No 238

Bank size, credit and the sources of bank market risk

by Ryan Stever


Oct 2007
No 237

Change and constancy in the financial system: implications for financial distress and policy

by Claudio E V Borio


Sep 2007
No 236

Determinants of house prices in central and eastern Europe

by Balázs Égert and Dubravko Mihaljek


Aug 2007
No 235

Regulatory discretion and banks' pursuit of "safety in similarity"

by Ryan Stever and James A Wilcox


Aug 2007
No 234

Using counterfactual simulations to assess the danger of contagion in interbank markets

by Christian Upper


Aug 2007
No 233

Do China's capital controls still bind? Implications for monetary autonomy and capital liberalisation

by Guonan Ma and Robert N. McCauley


Jul 2007
No 232

Capital regulation and banks' financial decisions

by Haibin Zhu


Jul 2007
No 231

The global upward trend in the profit share

by Luci Ellis and Kathryn Smith


Jun 2007
No 230

Modelling and calibration errors in measures of portfolio credit risk

by Nikola A. Tarashev and Haibin Zhu


Jun 2007
No 229

Distress selling and asset market feedback

by Ilhyock Shim and Goetz von Peter


May 2007
No 228

Inflation risk premia in the term structure of interest rates

by Peter Hördahl and Oreste Tristani


May 2007
No 227

Globalisation and inflation: New cross-country evidence on the global determinants of domestic inflation

by Claudio E V Borio and Andrew Filardo


Mar 2007
No 226

Growth dynamics: the myth of economic recovery

by Valerie Cerra and Sweta Chaman Saxena


Feb 2007
No 225

Economic reforms and exchange rate pass-through to domestic prices in India

by Jeevan K Khundrakpam


Jan 2007
No 224

The tail wags the dog: time-varying information shares in the Bund market

by Christian Upper and Thomas Werner


Jan 2007
No 223

What explains the US net income balance?

by Alexandra Heath


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