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On the origins of the BIS macro-prudential approach to financial stability: Alexandre Lamfalussy and financial fragility

Working Paper N° 176


Pockets of risk in the Belgian mortgage market: Evidence from the Household Finance and Consumption Survey (HFCS)

Working Paper N° 332


The BIS and the Latin American debt crisis of the 1980s

Working Paper N° 247


Unemployment risk and over-indebtedness: A micro-econometric perspective

Working Paper N° 294