BIS(国际清算银行)5月8号到22号的论文和报告,共八份,全是pdf格式的,内容如下:
Policy lessons from the recent financial market turmoil 05.08 12页
Erkki Liikanen:The euro, integration & growth 05.16 5页
Axel A Weber:Central banks & globalisation 05.22 4页
Prospects for recovery & repair of mortgage markets 05.22 6页
Svein Gjedrem:The conduct of monetary policy 05.22 16页
T T Mboweni:Monetary policy, inflation targeting & inflation pressures 05.22 5页
Y V Reddy:Indian economy – prospects for growth with stability 05.22 4页
还有一篇论文:BIS-FX reserve management:trends & challenges,36页,目录如下:
Foreword.......................................................................................................................... iii
1. Introduction...............................................................................................................1
2. Trends ......................................................................................................................2
2.1 An increased focus on returns ........................................................................2
2.2 A more structured approach to decision-making.............................................7
2.3 Strengthened risk management ......................................................................9
2.3.1 Financial risks ........................................................................................9
2.3.2 Operational risk....................................................................................12
2.4 Increased public disclosure...........................................................................13
3. The main factors behind the trends........................................................................15
3.1 Reserve accumulation...................................................................................15
3.2 The development of financial know-how and markets ..................................15
3.3 Changes in the external governance environment........................................17
4. Challenges .............................................................................................................17
4.1 What risk-return balance? .............................................................................18
4.2 Which numeraire? .........................................................................................21
4.3 How much public disclosure?........................................................................23
5. Conclusion..............................................................................................................25
References ......................................................................................................................26
Previous volumes in this series .......................................................................................31
- BIS-Axel A Weber:Central banks & globalisation.pdf
- BIS-Prospects for recovery & repair of mortgage markets.pdf
- BIS-Erkki Liikanen:The euro, integration & growth.pdf
- BIS-Svein Gjedrem:The conduct of monetary policy.pdf
- BIS-FX reserve management:trends & challenges.pdf
- BIS-T T Mboweni:Monetary policy, inflation targeting & inflation pressures.pdf
- BIS-Policy lessons from the recent financial market turmoil.pdf
- BIS-Y V Reddy:Indian economy – prospects for growth with stability.pdf