Content
2024
- 95 Anatomy of the VIX spike in August 2024
by Karamfil Todorov & Grigory Vilkov - 94 Evidence of nearshoring in the Americas?
by Ana Aguilar & Julian Caballero & Jon Frost & Alejandro Parada - 93 Productivity in the post-pandemic world: old trend or new path?
by Deniz Igan & Tom Rosewall & Phurichai Rungcharoenkitkul - 92 Central clearing in government bond markets: keeping the "safe asset" safe?
by Matteo Aquilina & Martin Scheicher & Andreas Schrimpf - 91 Credit and resource allocation in EMEs: taking stock of two decades of falling interest rates
by Ryan Niladri Banerjee & Aaron Mehrotra & Fabrizio Zampolli - 90 The market turbulence and carry trade unwind of August 2024
by Matteo Aquilina & Marco Jacopo Lombardi & Andreas Schrimpf & Vladyslav Sushko - 89 Housing costs: a final hurdle in the last mile of disinflation?
by Ryan Niladri Banerjee & Denis Gorea & Deniz Igan & Gabor Pinter - 88 Resilience in emerging markets: what makes it, what could shake it?
by Bryan Hardy & Deniz Igan & Enisse Kharroubi - 87 Next generation correspondent banking
by Rodney Garratt & Priscilla Koo Wilkens & Hyun Song Shin - 86 Survey evidence on gen AI and households: job prospects amid trust concerns
by Iñaki Aldasoro & Olivier Armantier & Sebastian Doerr & Leonardo Gambacorta & Tommaso Oliviero - 85 From financial inclusion to financial health
by Carlos Cantú & Jon Frost & Tirupam Goel & Jermy Prenio - 84 Artificial intelligence in central banking
by Douglas Kiarelly Godoy de Araujo & Sebastian Doerr & Leonardo Gambacorta & Bruno Tissot - 83 Testing the cognitive limits of large language models
by Fernando Perez-Cruz & Hyun Song Shin
2023
- 82 The contribution of monetary policy to disinflation
by Pongpitch Amatyakul & Fiorella De Fiore & Marco Jacopo Lombardi & Benoit Mojon & Daniel Rees - 81 Interest rate risk of non-financial firms: who hedges and does it help?
by Ryan Niladri Banerjee & Julián Caballero & Enisse Kharroubi & Renée Spigt & Egon Zakrajsek - 80 Monetary policy, financial conditions and real activity: is this time different?
by Fernando Avalos & Deniz Igan & Cristina Manea & Richhild Moessner - 79 Lessons from recent experiences on exchange rates, capital flows and financial conditions in EMEs
by Pietro Patelli & Jimmy Shek & Ilhyock Shim - 78 Mapping the realignment of global value chains
by Han Qiu & Hyun Song Shin & Leanne Si Ying Zhang - 77 Margins and liquidity in European energy markets in 2022
by Fernando Avalos & Wenqian Huang & Kevin Tracol - 76 The oracle problem and the future of DeFi
by Chanelle Duley & Leonardo Gambacorta & Rodney Garratt & Priscilla Koo Wilkens - 75 Disinflation milestones
by Benoit Mojon & Gabriela Nodari & Stefano Siviero - 74 The changing nexus between commodity prices and the dollar: causes and implications
by Boris Hofmann & Deniz Igan & Daniel Rees - 73 Stablecoins versus tokenised deposits: implications for the singleness of money
by Rodney Garratt & Hyun Song Shin - 72 The tokenisation continuum
by Iñaki Aldasoro & Sebastian Doerr & Leonardo Gambacorta & Rodney Garratt & Koo Wilkens - 71 Fiscal and monetary policy in emerging market economies: what are the risks and policy trade-offs?
by Ana Aguilar & Carlos Cantú & Rafael Guerra - 70 Private debt, monetary policy tightening and aggregate demand
by Miguel Ampudia & Fiorella De Fiore & Enisse Kharroubi & Cristina Manea - 69 Crypto shocks and retail losses
by Giulio Cornelli & Sebastian Doerr & Jon Frost & Leonardo Gambacorta - 68 Why are central banks reporting losses? Does it matter?
by Sarah Bell & Michael Chui & Tamara Gomes & Paul Moser-Boehm & Albert Pierres Tejada - 67 Does money growth help explain the recent inflation surge?
by Claudio Borio & Boris Hofmann & Egon Zakrajšek - 66 Addressing the risks in crypto: laying out the options
by Matteo Aquilina & Jon Frost & Andreas Schrimpf
2022
- 65 London as a financial centre since Brexit: evidence from the 2022 BIS Triennial Survey
by Jakub Demski & Robert N McCauley & Patrick McGuire - 64 Energy markets: shock, economic fallout and policy response
by Fernando Avalos & Adam Cap & Deniz Igan & Enisse Kharroubi & Gabriela Nodari - 63 "Front-loading" monetary tightening: pros and cons
by Paolo Cavallino & Giulio Cornelli & Peter Hördahl & Egon Zakrajsek - 62 Global exchange rate adjustments: drivers, impacts and policy implications
by Boris Hofmann & Aaron Mehrotra & Damiano Sandri - 61 Global supply chain disruptions: evolution, impact, outlook
by Deniz Igan & Phurichai Rungcharoenkitkul & Koji Takahashi - 60 Inflation indicators amid high uncertainty
by Fiorella De Fiore & Marco Jacopo Lombardi & Daniel Rees - 59 Hard or soft landing?
by Frederic Boissay & Fiorella De Fiore & Enisse Kharroubi - 58 Miners as intermediaries: extractable value and market manipulation in crypto and DeFi
by Raphael Auer & Jon Frost & Jose María Vidal Pastor - 57 DeFi lending: intermediation without information?
by Sirio Aramonte & Sebastian Doerr & Wenqian Huang & Andreas Schrimpf - 56 Blockchain scalability and the fragmentation of crypto
by Frederic Boissay & Giulio Cornelli & Sebastian Doerr & Jon Frost - 55 Rising household inflation expectations: what are the communication challenges for central banks?
by Fiorella De Fiore & Tirupam Goel & Deniz Igan & Richhild Moessner - 54 Commodity market disruptions, growth and inflation
by Deniz Igan & Emanuel Kohlscheen & Gabriela Nodari & Daniel Rees - 53 Are major advanced economies on the verge of a wage-price spiral?
by Frederic Boissay & Fiorella De Fiore & Deniz Igan & Albert Pierres Tejada & Daniel Rees - 52 Central banks, the monetary system and public payment infrastructures: lessons from Brazil's Pix
by Angelo Duarte & Jon Frost & Leonardo Gambacorta & Priscilla Koo Wilkens & Hyun Song Shin - 51 Anchoring of inflation expectations: has past progress paid off?
by Tirupam Goel & Kostas Tsatsaronis - 50 Housing market risks in the wake of the pandemic
by Deniz Igan & Emanuel Kohlscheen & Phurichai Rungcharoenkitkul
2021
- 49 Interoperability between payment systems across borders
by Codruta Boar & Stijn Claessens & Anneke Kosse & Ross Leckow & Tara Rice - 48 Bottlenecks: causes and macroeconomic implications
by Daniel Rees & Phurichai Rungcharoenkitkul - 47 Labour markets and inflation in the wake of the pandemic
by Frederic Boissay & Emanuel Kohlscheen & Richhild Moessner & Daniel Rees - 46 Could corporate credit losses turn out higher than expected?
by Mikael Juselius & Nikola Tarashev - 45 Regulating big techs in finance
by Agustín Carstens & Stijn Claessens & Fernando Restoy & Hyun Song Shin - 44 Covid-19 and bank resilience: where do we stand?
by Yuuki Ikeda & Will Kerry & Ulf Lewrick & Christian Schmieder - 43 Global reflation ?
by Flora Budianto & Giovanni Lombardo & Benoit Mojon & Daniel Rees - 42 Whom do consumers trust with their data? US survey evidence
by Olivier Armantier & Sebastian Doerr & Jon Frost & Andreas Fuster & Kelly Shue - 41 Futures-based commodity ETFs when storage is constrained
by Sirio Aramonte & Karamfil Todorov - 40 Liquidity to solvency: transition cancelled or postponed?
by Ryan Niladri Banerjee & Joseph Noss & Jose María Vidal Pastor - 39 Liquidity management and asset sales by bond funds in the face of investor redemptions in March 2020
by Andreas Schrimpf & Ilhyock Shim & Hyun Song Shin - 38 Covid-19 bank dividend payout restrictions: effects and trade-offs
by Bryan Hardy - 37 Covid-19 and cyber risk in the financial sector
by Iñaki Aldasoro & Jon Frost & Leonardo Gambacorta & David Whyte - 36 E-commerce in the pandemic and beyond
by Viviana Alfonso C & Codruta Boar & Jon Frost & Leonardo Gambacorta & Jing Liu
2020
- 35 The recession-mortality nexus and Covid-19
by Sebastian Doerr & Boris Hofmann - 34 Central bank swap lines and cross-border bank flows
by Iñaki Aldasoro & Christian Cabanilla & Piti Disyatat & Torsten Ehlers & Patrick McGuire & Goetz von Peter - 33 What comes next? Recovery from an uneven recession
by Daniel Rees - 32 Monetary policy response in emerging market economies: why was it different this time?
by Ana Aguilar & Carlos Cantú - 31 Bankruptcies, unemployment and reallocation from Covid-19
by Ryan Niladri Banerjee & Enisse Kharroubi & Ulf Lewrick - 30 The outlook for business bankruptcies
by Ryan Niladri Banerjee & Giulio Cornelli & Egon Zakrajšek - 29 Bonds and syndicated loans during the Covid-19 crisis: decoupled again?
by Tirupam Goel & José María Serena Garralda - 28 Inflation at risk from Covid-19
by Ryan Niladri Banerjee & Aaron Mehrotra & Fabrizio Zampolli - 27 Global banks' dollar funding needs and central bank swap lines
by Iñaki Aldasoro & Torsten Ehlers & Patrick McGuire & Goetz von Peter - 26 Corporate credit markets after the initial pandemic shock
by Sirio Aramonte & Fernando Avalos - 25 Investors' risk attitudes in the pandemic and the stock market: new evidence based on internet searches
by Marlene Amstad & Giulio Cornelli & Leonardo Gambacorta & Dora Xia - 24 Trade credit, trade finance, and the Covid-19 Crisis
by Frederic Boissay & Nikhil Patel & Hyun Song Shin - 23 The fiscal response to the Covid-19 crisis in advanced and emerging market economies
by Enrique Alberola-Ila & Yavuz Arslan & Gong Cheng & Richhild Moessner - 22 How are household finances holding up against the Covid-19 shock?
by Anna Zabai - 21 Central banks' response to Covid-19 in advanced economies
by Paolo Cavallino & Fiorella De Fiore - 20 Central bank bond purchases in emerging market economies
by Yavuz Arslan & Mathias Drehmann & Boris Hofmann - 19 Dealing with Covid-19: understanding the policy choices
by Frederic Boissay & Daniel Rees & Phurichai Rungcharoenkitkul - 18 EME bond portfolio flows and long-term interest rates during the Covid-19 pandemic
by Peter Hördahl & Ilhyock Shim - 17 On health and privacy: technology to combat the pandemic
by Carlos Cantú & Gong Cheng & Sebastian Doerr & Jon Frost & Leonardo Gambacorta - 16 Covid-19 and regional employment in Europe
by Sebastian Doerr & Leonardo Gambacorta - 15 US dollar funding markets during the Covid-19 crisis - the international dimension
by Egemen Eren & Andreas Schrimpf & Vladyslav Sushko - 14 US dollar funding markets during the Covid-19 crisis - the money market fund turmoil
by Egemen Eren & Andreas Schrimpf & Vladyslav Sushko - 13 The CCP-bank nexus in the time of Covid-19
by Wenqian Huang & Előd Takáts - 12 Effects of Covid-19 on the banking sector: the market's assessment
by Iñaki Aldasoro & Ingo Fender & Bryan Hardy & Nikola Tarashev - 11 Releasing bank buffers to cushion the crisis - a quantitative assessment
by Ulf Lewrick & Christian Schmieder & Jhuvesh Sobrun & Elod Takats - 10 Covid-19 and corporate sector liquidity
by Ryan Banerjee & Anamaria Illes & Enisse Kharroubi & José María Serena Garralda - 9 Buffering Covid-19 losses - the role of prudential policy
by Mathias Drehmann & Marc Farag & Nicola Tarashev & Kostas Tsatsaronis - 8 Identifying regions at risk with Google Trends: the impact of Covid-19 on US labour markets
by Sebastian Doerr & Leonardo Gambacorta - 7 Macroeconomic effects of Covid-19: an early review
by Frederic Boissay & Phurichai Rungcharoenkitkul - 6 The recent distress in corporate bond markets: cues from ETFs
by Sirio Aramonte & Fernando Avalos - 5 Emerging market economy exchange rates and local currency bond markets amid the Covid-19 pandemic
by Boris Hofmann & Ilhyock Shim & Hyun Song Shin - 4 The macroeconomic spillover effects of the pandemic on the global economy
by Emanuel Kohlscheen & Benoit Mojon & Daniel Rees - 3 Covid-19, cash, and the future of payments
by Raphael Auer & Giulio Cornelli & Jon Frost - 2 Leverage and margin spirals in fixed income markets during the Covid-19 crisis
by Andreas Schrimpf & Hyun Song Shin & Vladyslav Sushko - 1 Dollar funding costs during the Covid-19 crisis through the lens of the FX swap market
by Stefan Avdjiev & Egemen Eren & Patrick McGuire