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Financial Stability Review
Contents, Issue 02
Spring 1997

Each article has been loaded as a separate PDF file; click on the appropriate heading to access the file.

Covers and contents page (122k)
   
Article 1
Financial Sector Issues (104k)
   
Article 2
The Efficiency of Regulation (86k)
Andrew Winckler 
   
Article 3
Modelling and Pricing Credit Risk (123k)
Lyndon Nelson 
   
Article 4
Remuneration and Risk (94k)
Daniel Davies
   
Article 5
Operational Risk Management: Where to Start? (124k)
Jeff Thompson and Chris Frost of Price Waterhouse
   
Article 6
Fraud: a Personal View (190k)
Ian Watt
   
Article 7
UK Mortgage Margins (111k)
Niall Gallagher and Alistair Milne
   
Article 8
Beyond Glass-Steagall: Regulatory Change in the United States (117k)
Peter Brierley
   
Article 9
Lloyd's: Current Developments and the Challenges Ahead (111k)
Stephen Walton of the Department of Trade of Industry
   
Article 10
Credit Exposure in OTC Derivatives: a Risk Management Challenge (158k)
Andrew White
   
Article 11
Regulation and Market Design: the Stock Exchange's Order Book (114k)
John Whitmore
   
Article 12
Regulatory Developments (117k)

 

Key Resources

Memorandum of Understanding between HM Treasury, the Bank of England and the Financial Services Authority
Download PDF (50k)

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