1. Andrie, A. M., Podpiera, A. M., & Sprincean, N. (2020, December 6). Central bank independence and systemic risk (BOFIT Discussion Papers 13/2020). The Bank of Finland Institute for Economics in Transition (BOFIT). Retrieved June 23, 2020 from: https://www.suomenpankki.fi/en/media-and-publications/publications/.
2. Bangladesh Bank (BB). (2009, October 14). Guidelines on Subordinated debt for inclusion in Regulatory Capital (BRPD Circular No. 13). Banking Regulation and Policy Department, Bangladesh Bank.
3. Bangladesh Bank (BB). (2014, December 21). Guidelines on Risk Based Capital Adequacy (Revised Regulatory Capital Framework for banks in line with Basel III) (BRPD Circular No. 18). Banking Regulation and Policy Department, Bangladesh Bank.
4. Bangladesh Bank (BB). (2019a). Comprehensive framework on the development of the bond market in Bangladesh. Bangladesh Bank. https://www.bb.org.bd/pub/publictn.php.
5. Bangladesh Bank (BB). (2019b). Annual Report 2017–2018. Bangladesh Bank.