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261.
Interpreting TARGET2 balances by
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Publication details: Basel BIS 2012
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262.
Unmitigated disasters? by
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Publication details: Basel BIS 2012
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263.
The financial cycle and macroeconomics by
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264.
Systematic monetary policy and the forward premium puzzle by
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Publication details: Basel BIS 2012
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265.
Financial globalisation and the crisis by
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Publication details: Basel BIS 2012
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266.
Global safe assets by
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267.
Why do firms issue abroad? by
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268.
A dynamic network model of the unsecured interbank lending m by
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Publication details: Basel BIS 2015
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269.
Assessing the CNH-CNY pricing differential by
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Publication details: Basel BIS 2015
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270.
Why do we need both liquidity regulations and a lender of la by
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271.
Financial crisis, US unconventional monetary policy and inte by
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272.
The transmission of monetary policy in EMEs in a changing fi by
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Publication details: Basel BIS 2015
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273.
When is macroprudential policy effective? by
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274.
Global asset allocation shifts by
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275.
Liquidity squeeze, abundant funding and macroeconomic volati by
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276.
Foreign exchange intervention: strategies and effectiveness by
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277.
Prolonged reserves accumulation, credit booms, asset prices by
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278.
Leverage dynamics and the real burden of debt by
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279.
Comparative assessment of macroprudential policies by
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280.
Inflation targeting and financial stability: Providing polic by
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