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Financial Stability Review
Contents, Issue 13
12 December 2002

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

Financial Stability Themes and Issues (528k)
   
Covers and contents page (105k)
   
Article 1
The Financial Stability Conjuncture and Outlook Overview (148k)
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 eight sections.
Global Market Developments (131k)
The United States (135k)
Europe (111k)
Japan (86k)
Emerging Market Economies (152k)
The International Financial System (151k)
The UK Environment (154k)
The UK Financial System (130k)
   
Article 2
Strengthening Financial Infrastructure (144k)
   
Article 3
Bank Capital: Basel II Developments (87k)
Patricia Jackson, Head, Financial Industry and Regulation Division, Bank of England
   
Article 4
The Impact of the New Basel Accord on the Supply of Capital to Emerging Market Economies (68k)
Simon Hayes and Victoria Saporta, International Finance Division, and David Lodge, Financial Industry and Regulation Division, Bank of England
   
Article 5
Fallacies About the Effects of Market Risk Management Systems (161k)
Philippe Jorion, Professor of Finance, University of California at Irvine
   
Article 6
Dynamic Provisioning: Issues and Application (83k)
Fiona Mann and Ian Michael, Financial Industry and Regulation Division, Bank of England
   
Article 7
Renewing Confidence in the Markets (52k)
Sir David Tweedie, Chairman, International Accounting Standards Board
   
Article 8
Is There Still Magic in Corporate Earnings? (123k)
Fabio Cortes and Ian W Marsh, G10 Financial Surveillance Division, and Michael Lyon, Domestic Finance Division, Bank of England
   
Article 9
The Economics of Insolvency Law: Conference Summary (51k)
Bethany Blowers, Domestic Finance Division, Bank of England
   
Article 10
Fixing Financial Crises (55k)
Andrew G Haldane, International Finance Division, Bank of England
   
Article 11
Modelling Risk in Central Counterparty Clearing Houses: A Review (116k)
Raymond Knott and Alastair Mills, Market Infrastructure Division, Bank of England
   
Article 12
UK Interbank Exposures: Systemic Risk Implications (95k)
Simon Wells, Financial Industry and Regulation Division, Bank of England

Key Resources

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

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