The following topics will be covered: • the role of liquidity forecasting in open market operations; • an analysis of the central bank’s balance sheet, including currency in circulation, government balances and net foreign assets; • the appropriate degree of publication of the liquidity forecast; • a detailed review of how liquidity forecasting is conducted in the United Kingdom; and • an introduction to software packages used in forecasting banknotes in circulation, and practical exercises, some of which will use participants’ country data. [gemäß den Informationen des Anbieters - according to site editor's information] The website is no longer available.
|Event dates:||2009-09-07 – 2009-09-11|
|Organizers:||Centre for Central Banking Studies (CCBS), Bank of England|
|Classification:||E4 - Money and Interest Rates ; E5 - Monetary Policy, Central Banking and the Supply of Money and Credit|
|Event type:||Seminare, Summer Schools, Symposien, Workshops; Seminars, Summer Schools, Symposiums, Workshops|