This series contains documents within the YPFS Resource Library. Audio and video resources are also available.
Documents from 2008
Circular 3427 from the Banco Central do Brasil – BCB, Dated December 19, 2008, Banco Central do Brasil/Central Bank of Brazil
Resolution 3,656, from the National Monetary Council – CMN, Dated December 17, 2008, Banco Central do Brasil/Central Bank of Brazil: National Monetary Council
Concessão de Garantia Pessoal do Estado, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank
Guarantee granted by the State, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank
Guarantees granted by the State, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank
Utilização de garantias do Estado, Banco Comercial Portugues (BCP)/ Portuguese Commercial Bank
Financial Sustainability Report, Banco de Espana/Central Bank of Spain
Inflation Report, Banco de la Repºblica/ Bank of the Republic (Colombia)
Boletim Economico, Banco de Portugal/Central Bank of Portugal
Unemployment Duration in the Portuguese Labour Market, Banco de Portugal/Central Bank of Portugal and Pedro Portugal
Banco Espírito Santo informa sobre a utilização de garantias do Estado, Banco Espirito Santo
Banco Espírito Santo informa sobre garantia do Estado Português, Banco Espirito Santo
Banco Espírito Santo informs about the Portuguese State guarantee, Banco Espirito Santo
Emissão de dvida ao abrigo das garantias previstas na lei n.º 60-A/2008, de 20/10, Banco Santander
Liquidity crisis: where has all the money gone?, Tamal Bandyopadhyay
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
BANIF SGPS S.A.: COMUNICADO, Banif Financial Group
INFORMAÇÃO SOBRE GARANTIA DO ESTADO PORTUGUÊS, Banif Financial Group
OTC derivatives market activity in the first half of 2008, Bank for International Settlements (BIS)
Bank Indonesia Amends Regulation Regarding The Liquidity Facility For Commercial Banks, Bank Indonesia
Bank Indonesia Regulation No. 10/26/PBI/2008 "Concerning Short-Term Financing Facility to Commercial Banks", Bank Indonesia
Bank Indonesia Regulation No. 10/27/PBI/2008 "Concerning Second Amendment to Bank Indonesia Regulation No. 6/9/PBI/2004", Bank Indonesia
Bank Indonesia Regulation No. 10/29/PBI/2008 "Concerning Intraday Liquidity Facility for Commercial Banks", Bank Indonesia
Bank Indonesia Regulation No. 10/30/PBI/2008. "Amendment of Short-Term Funding Facility for Commercial Banks", Bank Indonesia
Bank Indonesia Regulation No. 10/31/PBI/2008 "Concerning Emergency Liquidity Assistance for Commercial Banks", Bank Indonesia
FAQs Regarding Bank Indonesia Regulation No. 10/26/PBI/2008 "Concerning Short-Term Financing Facility to Commercial Banks", Bank Indonesia
PERATURAN BANK INDONESIA NOMOR: 10/15/PBI/2008 TENTANG KEWAJIBAN PENYEDIAAN MODAL MINIMUM BANK UMUM, Bank Indonesia
PERATURAN BANK INDONESIA NOMOR: 10/ 35 /PBI/2008 TENTANG FASILITAS PENDANAAN JANGKA PENDEK BAGI BANK PERKREDITAN RAKYAT, Bank Indonesia
Press Statement, Bank Indonesia
Q&A Regarding the Takeover of Bank Century, Bank Indonesia
Takeover of Bank Century By Deposit Insurance Corporation (DIC), Bank Indonesia
The Latest National Banking Development, Bank Indonesia
Malaysia Takes Pre-emptive Measures, Bank Negara Malaysia/Central Bank of Malaysia
Monetary Policy Statement, Bank Negara Malaysia/Central Bank of Malaysia
Nisbah Keperluan Berkanun dan Nisbah Mudah Tunai -Statutory Reserve Requirement and Liquidity Ratio 2.26, Bank Negara Malaysia/Central Bank of Malaysia
Bank of America Corporation Form 8-K, Bank of America
Bank of America Form 8-K, Bank of America Corporation/ Bank of America Merrill Lynch
15 October Term PRA Auction, Bank of Canada/Central Bank of Canada/La Banque du Canada
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
Bank of Canada Act (from 2008-08-05 to 2012-05-23), Bank of Canada/Central Bank of Canada/La Banque du Canada
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
Bank of Canada Announces Details of its 30 Day Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
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
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
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
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Bank of Canada Announces Term PRA Transactions, Bank of Canada/Central Bank of Canada/La Banque du Canada
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
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
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
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
Canada Gazette, Vol. 142, No. 30, Bank of Canada/Central Bank of Canada/La Banque du Canada
Monetary Policy Report - October 2008, Bank of Canada/Central Bank of Canada/La Banque du Canada
Policy for buying and selling securities, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 10 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 15 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 19 November 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 1 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 22 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 24 November 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results for the 29 December 2008 Term Loan Facility, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 12 June 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 15 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 17 April 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 1 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 20 March 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
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
Results of the 29 May 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
Results of the 3 April 2008 Term PRA Transaction, Bank of Canada/Central Bank of Canada/La Banque du Canada
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
The Implementation of Monetary Policy in Canada, Bank of Canada/Central Bank of Canada/La Banque du Canada
Annual Report and Accounts 2008, Bank of England
Bank of England Accounts 2008, Bank of England
Bank of England Annual Report 2008, Bank of England
Financial Stability Report October 2008, Bank of England
Recapitalisation of the UK Banking System, Bank of England
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
Bank of England Market Notice: Extended Collateral Long-Term Repo Operations (10/03/08), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Extended Collateral Long-Term Repo Operations (11/14/2008), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Extended-Collateral Long-Term Repo Operations (12/15/08), Bank of England/Central Bank of the United Kingdom
Bank of England Market Notice: Operational Standing Lending and Deposit Facilities; Discount Window Facility, Bank of England/Central Bank of the United Kingdom
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
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
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
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
Bank of England Reduces Bank Rate by 0.5 Percentage Points to 4.5%, Bank of England/Central Bank of the United Kingdom
Bank of England Wednesday, the 15th of October 2008 Consolidated Statement, Bank of England/Central Bank of the United Kingdom
Bank of England Wednesday, the 24th of September 2008 Consolidated Statement, Bank of England/Central Bank of the United Kingdom
Bradford and Bingley Plc Statement by the Chancellor, Bank of England/Central Bank of the United Kingdom
Extended collateral three month long-term repo (10/17/08), Bank of England/Central Bank of the United Kingdom
Extended Collateral Three Month Long-Term Repo (10/24/08), Bank of England/Central Bank of the United Kingdom
Financial Stability Report Summary, Bank of England/Central Bank of the United Kingdom
Long-Term Repo Open Market Operation (04/08/08), Bank of England/Central Bank of the United Kingdom
Long-Term Repo Open Market Operations (05/13/08), Bank of England/Central Bank of the United Kingdom
Long-Term Repo Operations: Market Notice (03/11/08), Bank of England/Central Bank of the United Kingdom