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Bank of Japan Review Series 2012
No. | Date | Title | Full Text |
---|---|---|---|
12-E-6 | Jun. 4, 2012 | Wrong-way risk in OTC derivatives and its implication for Japan's financial institutions | [PDF 277KB] |
12-E-5 | Jun. 4, 2012 | Correlation risk between stockholdings and loans or bondholdings at Japan's banks | [PDF 319KB] |
12-E-4 | Apr. 23, 2012 | Japan's Flow of Funds Accounts: Main Characteristics and Measures for Enhancement | [PDF 656KB] |
12-E-3 | Apr. 3, 2012 | Recent Developments in U.S. Dollar Funding Costs through FX Swaps | [PDF 606KB] |
12-E-2 | Mar. 2, 2012 | Changes in the Relationship between Currencies and Commodities | [PDF 355KB] |
12-E-1 | Feb. 29, 2012 | Global correlation among government bond markets and Japanese banks' market risk | [PDF 154KB] |