Financial market data for international financial stability /
Material type:
TextPublication details: London Bank of England 1999ISBN: - 1857301226
- 332.6 FIN
- HG3891
| Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | |
|---|---|---|---|---|---|---|---|---|
Monograph & others
|
CBN HQ Library General Stacks | Non-fiction | 332.6 FIN (Browse shelf(Opens below)) | c.1 | Available | 31008100079280 |
Includes bibliographical references
This report contributes to the debate about financial market data for international financial stability in four ways: by setting out a list of data series identified by users of data as being needed for the monitoring of international financial stability; by examining existing frameworks to see the extent these meet data requirements; establishing the gaps in these frameworks and how they might be filled; and investigating specific issues relating to banking indicators and to the measurement of repurchase agreement and derivative activity. Issues such as why and how financial instability occurs are explored in the "Lecture Series" attachment.
osc 05/08/16
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