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Insights aims to present internal analysis in a clear and engaging way, making important and topical issues more accessible and open to discussion beyond the Bank

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Bank Rate expectations in the UK curve following the war in Iran

Monitoring risks and safeguard financial stability.

Gilt edged resilience: strengthening liquidity provision in the repo market

Working together to enhance the resilience of our most important market.

Making scenarios add up: spanning risks with scenario synthesis

How Bank staff are using statistical tools to assess whether economic scenarios capture the main risks to the economic outlook.

From Mayfair to the Caymans: mapping and quantifying non-bank default risk in UK markets

Monitoring risks and safeguard financial stability.

The second Macro Modelling for Monetary Policy Forum: continuing the dialogue in Leeds

How Bank staff are developing macroeconomic models and engaging with external experts across the UK.

What drives differences in commercial banks’ product level returns?

How incentives vary across lending segments.

The MPC's remit and trade-off management

Supply shocks, inflation and output.

Looking at policy holistically: the case of securitisation

Finding the middle ground.

Mind the gap: a UK microprudential perspective on general insurance protection gaps

Understanding the PRA’s role in insurance affordability and availability

This time it's personal: the rise of dynamic, personalised pricing and what it means for inflation

How personalised pricing is influencing inflation and shaping the future of price-setting for everyone.

Global imbalances are back

Large, persistent current account imbalances are a cause for concern

Resilience and readiness across the Sterling Monetary Framework

An update on the Bank of England’s transition to a repo-led, demand-driven system and the recalibration of the Discount Window Facility

Planning to fail – what resolution is and why it matters

Creating a resolution regime for the UK's global financial system.