Financial Stability Review
Contents, Issue 07
26 November 1999
Each article has been loaded as a separate PDF file; click on the appropriate heading to access the file.
| Covers and contents page (53k) | |
| Article 1 | |
| The
Financial Stability Conjuncture and Outlook (871k) The next in a regular series of articles produced by the Bank's Financial Stability area which surveys recent and prospective developments. |
|
| Article 2 | |
| Counterparty
credit risk in wholesale payment and settlement systems
(235k) Bob Hills and David Rule, Market Infrastructure Division, Bank of England |
|
| Article 3 | |
| Emerging
economy bond indices and financial stability (153k)
Alastair Cunningham, International Finance Division, Bank of England |
|
| Article 4 | |
| The
nature of credit risk: the effect of maturity, type of obligor,
and country of domicile (197k) Patricia Jackson and William Perraudin, Regulatory Policy Division, Bank of England |
|
| Article 5 | |
| Risk
management with interdependent choice (319k) Hyun Song Shin, Nuffield College, Oxford and Stephen Morris, Yale University |
|
| Article 6 | |
| Lender
of last resort: a review of the literature (199k) Xavier Freixas, Universitat Pompeu Fabra, Barcelona; Curzio Giannini, Banca d'Italia; Glenn Hoggarth and Farouk Soussa, Regulatory Policy Division, Bank of England |
|
| Article 7 | |
| Corporate
workouts, the London Approach and financial stability
(134k) Peter Brierley and Gertjan Vlieghe, Domestic Finance Division, Bank of England |
|
| Article 8 | |
| Private
sector involvement in financial crisis: analytics and public
policy approaches (203k) Andy Haldane, International Finance Division, Bank of England |
|
| Article 9 | |
| Reforming
the international financial system: the middle way
(598k) Mervyn King, Deputy Governor, Bank of England |
|
Key Resources
| Memorandum of Understanding between HM Treasury,
the Bank of England and the Financial Services Authority
Download PDF (50k) |
