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List of Reports & Research Papers 1997

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Table : List of Reports & Research Papers 1997
Date Title
Dec.  1, 1997 Inflation Measures for Monetary Policy: Measuring the Underlying Inflation Trend and Its Implication for Monetary Policy Implementation
Dec.  1, 1997 A New Framework for Measuring the Credit Risk of a Portfolio: The "ExVaR" Model
Dec.  1, 1997 Is Japan Special? Monetary Linkages and Price Stability
Dec.  1, 1997 Financial Repression and Capital Mobility: Why Capital Flows and Covered Interest Rate Differentials Fail to Measure Capital Market Integration
Dec.  1, 1997 Financial Market Grobalization: Present and Future
Nov. 28, 1997 On the Relationship between Monetary Aggregates and Economic Activities in Japan: A Study Focusing on Long-Term Equilibrium Relationships
Nov. 28, 1997 Profits and Balance-Sheet Developments of Japanese Banks in Fiscal 1996
Nov.  1, 1997 The Gold and Silver Wraps of the Edo Period - A Unique Form of Gold and Silver Coins -
Sep.  1, 1997 A New Approach to the Estimation of Stochastic Differential Equations with an Application to the Japanese Interest Rates
Sep.  1, 1997 The EaR Model and the Expanded VaR Model: An Application to Bond Portfolios
Aug.  1, 1997 A Strength Evaluation of the Data Encryption Standard
Aug.  1, 1997 Vertical Integration in Japan: Speculations from Tax Law and Civil Procedure
Aug.  1, 1997 Inflation Measures for Monetary Policy: Measuring Underlying Inflation Trend and Its Implication for Monetary Policy Implementation
Jun.  1, 1997 An Electronic Money Scheme -- A Proposal for a New Electronic Money Scheme which is both Secure and Convenient
May   1, 1997 Indexed Bonds and Monetary Policy: The Real Interest Rate and the Expected Rate of Inflation
May   1, 1997 Markup Pricing and Monetary Policy: A Reexamination of the Effectiveness of Monetary Policy under Imperfect Competition
May   1, 1997 Money and Debt in the Structure of Payments
May   1, 1997 Inflation and Central Bank Independence: Is Japan Really an Outlier?
Mar.  1, 1997 Financial Repression and Capital Mobility: Why Capital Flows and Covered Interest Rate Differentials Fail to Measure Capital Market Integration
Feb. 28, 1997 Risk Disclosure by Financial Institutions
Feb.  1, 1997 A New Framework for Measuring the Credit Risk of a Prtfolio -"ExVaR" Model-
Feb.  1, 1997 Markup Pricing and Monetary Policy: A Reexamination of the Effectiveness of Monetary Policy Under Imperfect Competition