Financial Stability Report > Financial Stability Review, June 2004
 

Financial Stability Review, June 2004

28 June 2004
Complete book (2.9 M).
   
Financial Stability Themes and Issues (840k)
   
Covers and contents page (112k)
   
Article 1
The Financial Stability Conjuncture and Outlook   The latest in a regular series of articles produced by the Bank's Financial Stability area which surveys recent and prospective developments. In order to make this article easier to download it has been split into three sections.
Overview   (90k)
Introduction (32k)
Credit Risk (364k)
UK Household Sector Credit Risks
UK Corporate Credit Risks
The United States
Europe
Japan
Emerging Market Economies
Risks in the International Financial System (220k)
International Financial Markets
Hedge Funds and Leverage
Major Financial Institutions
UK-owned Banks and International Capital Markets
The Robustness of the UK Financial System(112k)
Market Assessment
Profitability and Capitalisation
Liquidity
Links Between Financial Institutions
   
Article 2
Strengthening Financial Infrastructure  (84k)
   
Article 3
Financial Stablity and Macroeconomic Models (207k)
Andrew Haldane, Victoria Saporta, Market Infrastructure Division, Simon Hall and Misa Tanaka, International Finance Division, Bank of England
   
Article 4
  Understanding Capital Flows to Emerging Market Economies (196k)
Gianluigi Ferrucci, International Economic Analysis Division, Bank of England, Valerie Herzberg, European Commission, Farouk Soussa, International Finance Division, Bank of England and Ashley Taylor, London School of Economics 
   
Article 5
Structured Note Markets: Products, Participants and Links to Wholesale Derivatives Markets (188k)
David Rule and Adrian Garratt, Sterling Markets Division and Ole Rummel, Foreign Exchange Division, Bank of England
   
Article 6
Accounting and Financial Stability (104k)
Ian M Michael , Financial Industry and Regulation Division, Bank of England
   
Article 7
Banking Concentration in the UK (88k)
Andrew Logan, Financial Industry and Regulation Division, Bank of England
   
Article 8
Assessing Operational Risk in CHAPS Sterling: a Simulation Approach (199k)
Paul Bedford, Stephen Millard and Jing Yang, Market Infrastructure Division, Bank of England

 

Key Resources

Memorandum of Understanding between HM Treasury, the Bank of England and the Financial Services Authority
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