Dec. 28, 2000 |
Points on International Comparison of the Flow of Funds Accounts |
Dec. 28, 2000 |
Japan's Financial Structure -in View of the Flow of Funds Accounts |
Dec. 1, 2000 |
What Is Systemic Risk? Moral Hazard, Initial Shocks, and Propagation |
Dec. 1, 2000 |
Forecasting Extreme Financial Risk: A Critical Analysis of Practical Methods for the Japanese Market |
Dec. 1, 2000 |
A Simplified Method for Calculating the Credit Risk of Lending Portfolios |
Dec. 1, 2000 |
Research Toward the Practical Application of Liquidity Risk Evaluation Methods |
Dec. 1, 2000 |
Model Risk and Its Control |
Dec. 1, 2000 |
Exploring the Role of Money in Asset Pricing in Japan: Monetary Considerations and Stochastic Discount Factors |
Nov. 30, 2000 |
Profits and Balance-Sheet Developments of Japanese Banks in Fiscal 1999 |
Nov. 1, 2000 |
Asset Prices, Financial Stability, and Monetary Policy: Based on Japan's Experience of the Asset Price Bubble |
Oct. 30, 2000 |
East Asia's Intra- and Inter-Regional Economic Relations; Data Analyses on Trade, Direct Investments and Currency Transactions |
Oct. 30, 2000 |
Insights into a Recent Increase in Foreign Direct Investment in Japan -Theoretical Explanation and Research Based on Actual Developments- |
Oct. 6, 2000 |
Price Developments in Japan -A Review Focusing on the 1990s- |
Oct. 1, 2000 |
The Phillips Curve and Underlying Inflation |
Oct. 1, 2000 |
Is There a Desirable Rate of Inflation? A Theoretical and Empirical Survey |
Oct. 1, 2000 |
The Credit Risk of Japanese Banks during the Bubble Period: A Pilot Study of Macro Stress Simulation |
Sep. 25, 2000 |
Price-Setting Behavior of Japanese Companies -The Results of "Survey of Price-Setting Behavior of Japanese Companies" and Its Analysis- |
Sep. 8, 2000 |
Challenges and Possible Solutions in Enhancing Operational Risk Measurement |
Sep. 1, 2000 |
Monetary Policy, Deflation, and Economic History: Lessons for the Bank of Japan |
Sep. 1, 2000 |
Should Japanese Banks Be Recapitalized? |
Sep. 1, 2000 |
Financial Crises as the Failure of Arbitrage: Implications for Monetary Policy |
Sep. 1, 2000 |
Financial Stability, Deflation, and Monetary Policy |
Sep. 1, 2000 |
Low Inflation, Deflation, and Policies for Future Price Stability |
Sep. 1, 2000 |
Monetary Transmission at Low Inflation: Some Clues from Japan in the 1990s |
Sep. 1, 2000 |
Further Monetary Easing Policies under the Non-negativity Constraints of Nominal Interest Rates: Summary of the Discussion Based on Japan's Experience |
Aug. 24, 2000 |
A Guide to Bank of Japan's Market Operations |
Aug. 9, 2000 |
Internal Risk Based Approach --Evolutionary Approaches to Regulatory Capital Charge for Operational Risk-- |
Aug. 3, 2000 |
Does Japan Save Too Much? Or Do Other Major Countries Save Too Little? International comparison of savings rates from the modified golden rule approach |
Aug. 1, 2000 |
The Zero Bound in an Open Economy:A Foolproof Way of Escaping from a Liquidity Trap |
Aug. 1, 2000 |
Structural Issues in the Japanese Labor Market -An era of variety, equity and efficiency or an era of bipolarization?- |
Aug. 1, 2000 |
A Comparison of National Banks in Japan and the United States between 1872 and 1885 |
Aug. 1, 2000 |
Uncertainty, Monitoring Costs, and Private Banks' Lending Decisions in a Duopolistic Loan Market: A Game-theoretic Real Options Approach |
Aug. 1, 2000 |
THE FOREIGN EXCHANGE ORIGINS OF JAPAN'S ECONOMIC SLUMP AND LOW INTEREST LIQUIDITY TRAP |
Jul. 18, 2000 |
Predicting the US Real GDP Growth Using Yield Spreads of Corporate Bonds |
Jul. 14, 2000 |
Measuring Operational Risk in Japanese Major banks |
Jul. 1, 2000 |
Exploring the Role of Money in Asset Pricing in Japan: Does Monetary Consideration Significantly Improve the Empirical Performance of C-CAPM? |
Jun. 8, 2000 |
Economic Growth of NIEs and ASEAN-4 in 1999 and 2000 |
Jun. 8, 2000 |
Increased Labor Productivity and IT Investment in the United States |
Jun. 1, 2000 |
What is Systemic Risk? Moral hazard, initial shocks and propagation |
Jun. 1, 2000 |
Budget Deficits and Inflation: A Theoretical and Empirical Survey |
Jun. 1, 2000 |
Model Risk and Its Control |
Jun. 1, 2000 |
Research Toward the Practical Application of Liquidity Risk Evaluation Methods |
May 19, 2000 |
Financial Market and Macroeconomic Volatility -Relationships and Some Puzzles- |
May 1, 2000 |
Testing the Ex Ante Relationship between Asset and Investment Returns in Japan: An Application of the P-CAPM to Japanese Asset Returns |
May 1, 2000 |
Postal Banking in the United States and Japan: A Comparative Analysis |
May 1, 2000 |
A Theoretical Analysis of Narrow Banking Proposals |
May 1, 2000 |
Prospects for Prudential Policy: Toward Achieving an Efficient and Stable Banking System |
May 1, 2000 |
Policy Responses to the Post-bubble Adjustments in Japan: A Tentative Review |
May 1, 2000 |
The Asset Price Bubble and Monetary Policy: Japan's Experience in the Late 1980s and the Lessons |
May 1, 2000 |
Monetary Policy under Zero Interest Rate ---Viewpoints of Central Bank Economists --- |
May 1, 2000 |
A Simplified Method for Calculating the Credit Risk of Lending Portfolios |
May 1, 2000 |
Credit Ratings and the Japanese Corporate Bond Market |
Apr. 21, 2000 |
The reforms in the Japanese government securities market |
Apr. 17, 2000 |
Forward-looking Models and Monetary Policy in Japan |
Apr. 1, 2000 |
Forecasting Extreme Financial Risk: A Critical Analysis of Practical Methods for the Japanese Market |
Mar. 1, 2000 |
What Happened to Japanese Banks? |
Feb. 29, 2000 |
Small Scale Bayesian VAR Modeling of the Japanese Macro Economy Using the Posterior Information Criterion and Monte Carlo Experiments |
Feb. 15, 2000 |
Does a Decrease in the Real Interest Rate Actually Stimulate Personal Consumption? -An Empirical Study- |
Feb. 8, 2000 |
Testing the Purchasing Power Parity Hypothesis: Re-examination by Additional Variables, Tests with Known Cointegrating Vectors, Monte Carlo Critical Values, and Fractional Cointegration |
Feb. 1, 2000 |
Forum on the Development of Electronic Payment Technologies and Its Implications for Monetary policy: Interim Report |
Feb. 1, 2000 |
Testing the Ex Ante Relationship between Asset and Investment Returns in Japan: An Application of the P-CAPM to the Japanese Asset Returns |
Feb. 1, 2000 |
A Reexamination of Ex Ante Pricing of Currency Risk in the Japanese Stock Market: A Pricing Kernel Approach |
Feb. 1, 2000 |
Prospects for Prudential Policy: Toward Achieving an Efficient and Stable Banking System |
Jan. 31, 2000 |
Monetary Policy Cannot Substitute for Structural Policy |
Jan. 28, 2000 |
The Japanese Employment System |
Jan. 12, 2000 |
Understanding Japan's Financial and Economic Developments Since Autumn 1997 |
Jan. 1, 2000 |
A Note on Hedging Incentives for Managers: An Application of the Principal-Agent Framework to Risk Management |
Jan. 1, 2000 |
Currency Risk Exposure of Japanese Firms with Overseas Production Bases: Theory and Evidence |