This series contains documents within the YPFS Resource Library. Audio and video resources are also available.

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Documents from 2008

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Circular 3427 from the Banco Central do Brasil – BCB, Dated December 19, 2008, Banco Central do Brasil/Central Bank of Brazil

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Resolution 3,656, from the National Monetary Council – CMN, Dated December 17, 2008, Banco Central do Brasil/Central Bank of Brazil: National Monetary Council

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Concessão de Garantia Pessoal do Estado, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank

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Guarantee granted by the State, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank

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Guarantees granted by the State, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank

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Utilização de garantias do Estado, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank

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Financial Sustainability Report, Banco de Espana/Central Bank of Spain

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Inflation Report, Banco de la Repºblica/ Bank of the Republic (Colombia)

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Boletim Economico, Banco de Portugal/Central Bank of Portugal

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Unemployment Duration in the Portuguese Labour Market, Banco de Portugal/Central Bank of Portugal and Pedro Portugal

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Banco Espírito Santo informa sobre a utilização de garantias do Estado, Banco Espirito Santo

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Banco Espírito Santo informa sobre garantia do Estado Português, Banco Espirito Santo

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Banco Espírito Santo informs about the Portuguese State guarantee, Banco Espirito Santo

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Emissão de d­vida ao abrigo das garantias previstas na lei n.º 60-A/2008, de 20/10, Banco Santander

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Liquidity crisis: where has all the money gone?, Tamal Bandyopadhyay

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Managing the Risks of Broker-Dealer Insolvency, Mark I. Bane, Timothy W. Diggins, Leigh R. Fraser, Steven T. Hoort, Christopher A. Klien, Richard Marshall, Dwight W. Quayle, and Keith H. Wofford

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BANIF SGPS S.A.: COMUNICADO, Banif Financial Group

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INFORMAÇÃO SOBRE GARANTIA DO ESTADO PORTUGUÊS, Banif Financial Group

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OTC derivatives market activity in the first half of 2008, Bank for International Settlements (BIS)

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Bank Indonesia Amends Regulation Regarding The Liquidity Facility For Commercial Banks, Bank Indonesia

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Bank Indonesia Regulation No. 10/25/PBI/2008 "Concerning Amendment to Bank Indonesia Regulation No. 10/19/PBI/2008 about Minimum Reserve Requirements for Commercial Banks", Bank Indonesia

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Bank Indonesia Regulation No. 10/26/PBI/2008 "Concerning Short-Term Financing Facility to Commercial Banks", Bank Indonesia

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Bank Indonesia Regulation No. 10/27/PBI/2008 "Concerning Second Amendment to Bank Indonesia Regulation No. 6/9/PBI/2004", Bank Indonesia

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Bank Indonesia Regulation No. 10/29/PBI/2008 "Concerning Intraday Liquidity Facility for Commercial Banks", Bank Indonesia

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Bank Indonesia Regulation No. 10/30/PBI/2008. "Amendment of Short-Term Funding Facility for Commercial Banks", Bank Indonesia

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Bank Indonesia Regulation No. 10/31/PBI/2008 "Concerning Emergency Liquidity Assistance for Commercial Banks", Bank Indonesia

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FAQs Regarding Bank Indonesia Regulation No. 10/26/PBI/2008 "Concerning Short-Term Financing Facility to Commercial Banks", Bank Indonesia

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PERATURAN BANK INDONESIA NOMOR: 10/15/PBI/2008 TENTANG KEWAJIBAN PENYEDIAAN MODAL MINIMUM BANK UMUM, Bank Indonesia

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PERATURAN BANK INDONESIA NOMOR: 10/ 35 /PBI/2008 TENTANG FASILITAS PENDANAAN JANGKA PENDEK BAGI BANK PERKREDITAN RAKYAT, Bank Indonesia

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Press Statement, Bank Indonesia

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Q&A Regarding the Takeover of Bank Century, Bank Indonesia

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Takeover of Bank Century By Deposit Insurance Corporation (DIC), Bank Indonesia

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The Latest National Banking Development, Bank Indonesia

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Malaysia Takes Pre-emptive Measures, Bank Negara Malaysia/Central Bank of Malaysia

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Monetary Policy Statement, Bank Negara Malaysia/Central Bank of Malaysia

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Nisbah Keperluan Berkanun dan Nisbah Mudah Tunai -Statutory Reserve Requirement and Liquidity Ratio 2.26, Bank Negara Malaysia/Central Bank of Malaysia

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Bank of America Corporation Form 8-K, Bank of America

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Bank of America Form 8-K, Bank of America Corporation/ Bank of America Merrill Lynch

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15 October Term PRA Auction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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As Part of the G7 Action Plan, Bank of Canada Introduces New Measures to Provide Liquidity to the Canadian Financial System, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Act (from 2008-08-05 to 2012-05-23), Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Act - Version of section 18 from 2004-12-15 to 2008-08-04, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Details of its 30 Day Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Further Details of its Term PRA Facility for Private Sector Money Market Instruments, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces New Term PRA Transactions as part of Co-ordinated G10 Central Bank Actions, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Swap Facility with U.S. Federal Reserve as part of Coordinated Central Bank Actions, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Announces Term PRA Transactions, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Initiative to Allow Substitution of Canadian-Dollar Non-Mortgage Loan Portfolio for Current LVTS Collateral, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Introduces Further Measure to Provide Liquidity to the Canadian Financial System, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada lowers overnight rate target by 1/4 percentage point to 2 1/4 per cent, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Bank of Canada Policy for buying and selling securities under subsection 18.1 (1) of the Bank of Canada Act, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Canada Gazette, Vol. 142, No. 30, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Monetary Policy Report - October 2008, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Policy for buying and selling securities, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results for the 10 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results for the 15 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results for the 19 November 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results for the 1 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results for the 22 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results for the 24 November 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results for the 29 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 12 June 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 15 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 17 April 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 1 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 20 March 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 27 October 2008 Term PRA Transaction for Private Sector Money Market Instruments, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 29 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Results of the 3 April 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Terms and Conditions for the Term Purchase and Resale Agreement (PRA) for Private Sector Money Market Instruments, Bank of Canada/Central Bank of Canada/La Banque du Canada

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The Implementation of Monetary Policy in Canada, Bank of Canada/Central Bank of Canada/La Banque du Canada

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Annual Report and Accounts 2008, Bank of England

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Bank of England Accounts 2008, Bank of England

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Bank of England Annual Report 2008, Bank of England

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Financial Stability Report October 2008, Bank of England

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Recapitalisation of the UK Banking System, Bank of England

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Application to Become Counterparties in Bank of England's Commercial Paper Facility, Secured Commercial Paper Facility, Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: Extended Collateral Long-Term Repo Operations (10/03/08), Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: Extended Collateral Long-Term Repo Operations (11/14/2008), Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: Extended-Collateral Long-Term Repo Operations (12/15/08), Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: Operational Standing Lending and Deposit Facilities; Discount Window Facility, Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: Sterling Long-Term Repo Operations; US Dollar Repo Operations; The Special Liquidity Scheme (10/08/08), Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: Sterling Long-Term Repo Operations; US Dollar Repo Operations; The Special Liquidity Scheme (10/08/08), Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: Sterling Long-Term Repo Operations; US Dollar Repo Operations; The Special Liquidity Scheme: Haircuts (10/13/08), Bank of England/Central Bank of the United Kingdom

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Bank of England Market Notice: US Dollar Repo Operations; Extended Collateral Sterling Long-Term Repo Operations (09/26/08), Bank of England/Central Bank of the United Kingdom

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Bank of England Reduces Bank Rate by 0.5 Percentage Points to 4.5%, Bank of England/Central Bank of the United Kingdom

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Bank of England Wednesday, the 15th of October 2008 Consolidated Statement, Bank of England/Central Bank of the United Kingdom

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Bank of England Wednesday, the 24th of September 2008 Consolidated Statement, Bank of England/Central Bank of the United Kingdom

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Bradford and Bingley Plc Statement by the Chancellor, Bank of England/Central Bank of the United Kingdom

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Extended collateral three month long-term repo (10/17/08), Bank of England/Central Bank of the United Kingdom

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Extended Collateral Three Month Long-Term Repo (10/24/08), Bank of England/Central Bank of the United Kingdom

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Financial Stability Report Summary, Bank of England/Central Bank of the United Kingdom

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Long-Term Repo Open Market Operation (04/08/08), Bank of England/Central Bank of the United Kingdom

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Long-Term Repo Open Market Operations (05/13/08), Bank of England/Central Bank of the United Kingdom

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Long-Term Repo Operations: Market Notice (03/11/08), Bank of England/Central Bank of the United Kingdom