Panel Proceedings and Related Materials
Topic
Quantitative and qualitative easing – its performance and outlook
Panelists
         Mr. Yukio Egawa, Chief Strategist, Research Division, Shinsei Securities
         
         Mr. Shinichi Fukuda, Professor, Graduate School of Economics, University of Tokyo
         
         Mr. Kaoru Hosono, Professor, Faculty of Economics, Gakushuin University (Absent)
         
         Mr. Izuru Kato, President, Chief Economist, Totan Research
         
         Mr. Yukinobu Kitamura, Professor, Institute of Economic Research, Hitotsubashi University
         
         Mr. Takashi Kozu, Chief Research Fellow, Ricoh Institute of Sustainability and Business
         
         Ms. Naoko Nemoto, Managing Director, Standard and Poor’s
         
         Ms. Yuri Okina, Vice Chairman of the Institute, Japan Research Institute
         
         Mr. Amane Oshima, Managing Executive Officer (Joint Head of Markets Unit), Mizuho Bank
         
         Ms. Miyako Suda, Special Advisor, The Canon Institute for Global Studies
         
         Mr. Hajime Takata, Managing Executive Officer and Chief Economist, Mizuho Research Institute
         
         Mr. Katsuyuki Tokushima, Chief Pension Consultant, NLI Research Institute
         
         Mr. Kazuto Uchida, Executive Officer and General Manager, Credit Policy & Planning Division, Bank of Tokyo-Mitsubishi UFJ
         
         Mr. Toshiaki Watanabe, Professor, Institute of Economic Research, Hitotsubashi University
         
         Mr. Noriyuki Yanagawa, Professor, Graduate School of Economics, University of Tokyo (Absent)
        
Organizer of the Financial Markets Panel
Tetsuya Inoue, Mr., General Manager, Financial Technology and Market Research Department, Nomura Research Institute
Secretary to the Financial Markets Panel
Katsutoshi Takehana, Researcher, Financial Technology and Market Research Department, Nomura Research Institute
Issues for discussion
- Effects of QQE on economy: its mechanisms
- Impact on financial market functions, with focus on JGB markets
- BOJ balance sheet management and implications