BIS Quarterly Review
2000 - 2024
Current editor(s): Christian Upper From Bank for International Settlements Contact information at EDIRC. Bibliographic data for series maintained by Martin Fessler (). Access Statistics for this journal.
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2024, month December
- Large language models: a primer for economists
- Byeungchun Kwon, Taejin Park, Fernando Perez-Cruz and Phurichai Rungcharoenkitkul
- Monetary policy and housing markets: insights using a novel measure of housing supply elasticity
- Ryan Niladri Banerjee, Denis Gorea, Deniz Igan and Gabor Pinter
- Targeted Taylor rules: monetary policy responses to demand- and supply-driven inflation
- Boris Hofmann, Cristina Manea and Benoit Mojon
- International finance through the lens of BIS statistics: the geography of banks' operations
- Bryan Hardy, Patrick McGuire and Goetz von Peter
2024, month September
- Shifting landscapes: life insurance and financial stability
- Fabian Garavito, Ulf Lewrick, Tomas Stastny and Karamfil Todorov
- Deconstructing global trade: the role of geopolitical alignment
- Han Qiu, Fan Dora Xia and James Yetman
- The US dollar and capital flows to EMEs
- R. Gaston Gelos, Pietro Patelli and Ilhyock Shim
- International finance through the lens of BIS statistics: bank exposures and country risk
- Bryan Hardy, Patrick McGuire and Goetz von Peter
2024, month June
- International finance through the lens of BIS statistics: the global reach of currencies
- Patrick McGuire, Goetz von Peter and Sonya Zhu
2024, month March
- Quo vadis, r*? The natural rate of interest after the pandemic
- Gianluca Benigno, Boris Hofmann, Galo Nuño Barrau and Damiano Sandri
- Fast payments: design and adoption
- Jon Frost, Priscilla Koo Wilkens, Anneke Kosse, Vatsala Shreeti and Carolina Velásquez
- Sectoral price dynamics in the last mile of post-Covid-19 disinflation
- Pongpitch Amatyakul, Deniz Igan and Marco Lombardi
- Towards liquid and resilient government debt markets in EMEs
- Bernardus F Nazar Van Doornik, Jon Frost, Rafael Guerra, Alexandre Tombini and Christian Upper
- International finance through the lens of BIS statistics: residence vs nationality
- Patrick McGuire, Goetz von Peter and Sonya Zhu
2023, month December
- Global liquidity: a new phase?
- Bryan Hardy and Goetz von Peter
- Liquid assets at CCPs and systemic liquidity risks
- Iñaki Aldasoro, Fernando Avalos and Wenqian Huang
- Who borrows from money market funds?
- Iñaki Aldasoro and Sebastian Doerr
- Buy now, pay later: a cross-country analysis
- Giulio Cornelli, Leonardo Gambacorta and Livia Pancotto
- Labour markets: what explains the resilience?
- Bernardus Doornik, Deniz Igan and Enisse Kharroubi
2023, month September
- Bank positions in FX swaps: insights from CLS
- Pēteris Kloks, Patrick McGuire, Angelo Ranaldo and Vladyslav Sushko
- Interest rate risk management by EME banks
- Julián Caballero, Alexis Maurin, Philip Wooldridge and Fan Dora Xia
- Unpacking international banks' deposit funding
- Bryan Hardy and Sonya Zhu
- CP and CDs markets: a primer
- Matteo Aquilina, Andreas Schrimpf and Karamfil Todorov
2023, month March
- Prudential policy and financial dominance: exploring the link
- Frederic Boissay, Claudio Borio, Cristina Leonte and Ilhyock Shim
- Commodity prices, the dollar and stagflation risk
- Boris Hofmann, Taejin Park and Albert Pierres Tejada
- Global supply chain interdependence and shock amplification - evidence from Covid lockdowns
- Sally Chen, Eric Tsang and Leanne (Si Ying) Zhang
- Covid, central banks and the bank-sovereign nexus
- Bryan Hardy and Sonya Zhu
2022, month December
- Foreword: OTC foreign exchange and interest rate derivatives markets through the prism of the Triennial Survey
- Patrick McGuire, Andreas Schrimpf and Nikola Tarashev
- The post-Libor world: a global view from the BIS derivatives statistics
- Wenqian Huang and Karamfil Todorov
- The global foreign exchange market in a higher-volatility environment
- Mathias Drehmann and Vladyslav Sushko
- The internationalisation of EME currency trading
- Julian Caballero, Alexis Maurin, Philip Wooldridge and Fan Dora Xia
- Dollar debt in FX swaps and forwards: huge, missing and growing
- Claudio Borio, Robert McCauley and Patrick McGuire
- FX settlement risk: an unsettled issue
- Marc Glowka and Thomas Nilsson
2022, month September
- Commodity markets: shocks and spillovers
- Fernando Avalos and Wenqian Huang
- Under pressure: market conditions and stress
- Iñaki Aldasoro, Peter Hördahl and Sonya Zhu
- Sovereigns and sustainable bonds: challenges and new options
- Gong Cheng, Torsten Ehlers and Frank Packer
- Borrower vulnerabilities, their distribution and credit losses
- Ryan Banerjee, Francesco Franceschi and Stéphane Riederer
- Bank funding: evolution, stability and the role of foreign offices
- John Caparusso and Bryan Hardy
2022, month June
- The outsize role of cross-border financial centres
- Pamela Pogliani, Goetz von Peter and Philip Wooldridge
2022, month March
- Global growth: drivers and post-pandemic prospects
- Gabriela Nodari, Daniel Rees and Phurichai Rungcharoenkitkul
- Global banks' local presence: a new lens
- Iñaki Aldasoro, John Caparusso and Yingyuan Chen
- Non-bank lenders in the syndicated loan market
- Iñaki Aldasoro, Sebastian Doerr and Haonan Zhou
2021, month December
- DeFi risks and the decentralisation illusion
- Sirio Aramonteand, Wenqian Huang and Andreas Schrimpf
- Open-ended bond funds: systemic risks and policy implications
- Ulf Lewrick and Stijn Claessens
- Outward portfolio investment and dollar funding in emerging Asia
- Patrick McGuire, Ilhyock Shim, Hyun Song Shin and Vladyslav Sushko
- The rise of private markets
- Sirio Aramonte and Fernando Avalos
- Achievements and challenges in ESG markets
- Michela Scatigna, Fan Dora Xia, Anna Zabai and Omar Zulaica
2021, month September
- Monetary policy, relative prices and inflation control: flexibility born out of success
- Claudio Borio, Piti Disyatat, Fan Dora Xia and Egon Zakrajšek
- Funding for fintechs: patterns and drivers
- Giulio Cornelli, Sebastian Doerr, Lavinia Franco and Jon Frost
- Covid-19 policy measures to support bank lending
- Catherine Casanova, Bryan Hardy and Mert Onen
- Seven decades of international banking
- Robert McCauley, Patrick McGuire and Philip Wooldridge
2021, month June
- Corporate debt: post-GFC through the pandemic
- Iñaki Aldasoro, Bryan Hardy and Nikola Tarashev
- Enhancing the BIS government bond statistics
- Bilyana Bogdanova, Tracy Chan, Kristina Micic and Goetz von Peter
2021, month March
- Investor size, liquidity and prime money market fund stress
- Fernando Avalos and Fan Dora Xia
- Dollar funding of non-US banks through Covid-19
- Iñaki Aldasoro, Egemen Eren and Wenqian Huang
- The anatomy of bond ETF arbitrage
- Karamfil Todorov
- How much stress could Covid put on corporate credit? Evidence using sectoral data
- Benoit Mojon, Daniel Rees and Christian Schmieder
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