Monetary policy and liberalisation in Poland, Russia and the United Kingdom
|
1996 |
Allen, William A. |
The emerging framework of bank regulation and capital control
|
1996 |
Alworth, Julian |
Does the Paris warrants market present a systemic risk?
|
1996 |
Caillet, Bruno |
Measuring value-at-risk for mortgage backed securities
|
1996 |
Jakobsen, Svend |
Institutional investors, unstable financial markets and monetary policy
|
1996 |
Davis, E. Philip |
The changing structure of financial institutions and markets : a central bank perspective
|
1996 |
Crockett, Andrew |
Volatility is here to stay : some thoughts on its implications
|
1996 |
Lusser, Markus |
Internal organisation of risk control and management in a bank with large international operations
|
1996 |
Gumerlock, Robert S. |
Currency exposure management within Philips
|
1996 |
Ronner, Arjen E. |
Central banking and market volatility : the Marjolin lecture
|
1996 |
Raymond, Robert J. |
Is central bank intervention effective in stabilizing exchange rates?
|
1996 |
Weber, Axel A. |
Volatility and risk in integrated financial systems : measurement, transmission and policy implications
|
1996 |
Kearney, Colm |
Has financial risk really worsened?
|
1996 |
Goodhart, Charles A. E. |
Volatility, international trade and capital flows
|
1996 |
Stokman, Ad C. J. |
Asset liability management in retail banking
|
1996 |
Lewis, Mervyn |
The anatomy of the Bond Market Turbulence of 1994
|
1996 |
Borio, Claudio E. V. |
Financial innovations and the incidence of risk in the financial system
|
1996 |
Hellwig, Martin |