Financial Stability Review
Contents, Issue 14
26 June 2003
| Complete book (2.9M). | |
| Financial Stability Themes and Issues (501k) | |
| Covers and contents page (411k) | |
| 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 eight sections. Overview (103k) International Financial Markets (239k) The USA (104k) Europe (78k) Japan (82k) Emerging Market Economies (106k) The UK Environment (144k) The UK Financial System (124k) |
|
| Article 2 | |
| Strengthening Financial Infrastructure (557k) | |
| Article 3 | |
| Assessing
the strength of UK banks through macroeconomic stress tests
(114k) Glenn Hoggarth, Financial Industry and Regulation Division and John Whitley, Domestic Finance Division, Bank of England |
|
| Article 4 | |
| Predicting
default among UK companies: a Merton approach
(105k) Merxe Tudela and Garry Young, Domestic Finance Division, Bank of England |
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| Article 5 | |
| A
statistical overview of CHAPS Sterling (103k)
Kevin James, Market Infrastructure Division, Bank of England |
|
| Article 6 | |
| Moral
hazard: how does IMF lending affect affect debtor and creditor
incentives? (107k) Andrew Haldane and Ashley Taylor , International Finance Division, Bank of England |
|
| Article 7 | |
| Market
discipline and financial stability: some empirical evidence
(85k) Ursel Baumann and Erlend Nier, 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) |
