Central Bank Research Hub - Series: Bank of Portugal Working papers

Papers by year: All | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004

Title Author(s)

Banks' corporate control and relationship lending: evidence from retail loans

Paper: 201117, 01.08.2011

International organisations' vs. private analysts' forecasts: an evaluation

Paper: 201120, 13.07.2011

Asset Returns Under Model Uncertainty: Evidence from the euro area, the U.K. and the U.S.

Paper: 201119, 04.07.2011

Money is an experience good: competition and trust in the private provision of money

Paper: 201118, 12.06.2011

On the amplification role of collateral constraints

Paper: 201115, 06.06.2011

Moment conditions model averaging with an application to a forward-looking monetary policy reaction function

Paper: 201116, 01.06.2011

Rational vs. Professional Forecasts

Paper: 201114, 06.05.2011

Structural reforms and macroeconomic performance in the euro area countries: a model-based assessment

Paper: 201113, 06.05.2011

Determinants of the EONIA spread and the financial crisis

Paper: 201112, 03.05.2011

Assessing monetary policy in the euro area: a factor-augmented VAR approach

Paper: 201111, 02.05.2011

Energy content in manufacturing exports: a cross-country analysis

Paper: 201110, 24.04.2011

Price and wage setting in Portugal learning by asking

Paper: 201109, 20.04.2011

Managers' Mobility, Trade Status, and Wages

Paper: 201104, 14.04.2011

Evaluating the strength of identification in DSGE models. An a priori approach

Paper: 201032, 30.03.2011

Choosing Between Time and State Dependence: Micro Evidence on Firms' Price-Reviewing Strategies

Paper: 201106, 15.03.2011

Leaning Against Boom-Bust Cycles in Credit and Housing Prices

Paper: 201108, 15.03.2011

Why Are Some Prices Stickier Than Others? Firm-Data Evidence on Price Adjustment Lags

Paper: 201107, 15.03.2011

Fiscal Consolidation in a Small Euro Area Economy

Paper: 201105, 28.02.2011

Taxation and Globalization

Paper: 201020, 09.02.2011

Time-varying fiscal policy in the U.S.

Paper: 201021, 09.02.2011

Unconventional Fiscal Policy at the Zero Bound

Paper: 201103, 09.02.2011

Is the World Spinning Faster? Assessing the Dynamics of Export Specialization

Paper: 201102, 01.02.2011

What Happens After Default? Stylized Facts on Access to Credit

Paper: 201101, 22.01.2011

Joblessness

Paper: 201033, 11.01.2011

The Hidden Side of Temporary Employment: Fixed-term Contracts as a Screening Device

Paper: 201029, 11.01.2011

Testing for Persistence Change in Fractionally Integrated Models: An Application to World Inflation Rates

Paper: 201030, 11.01.2011

The Sources of Wage Variation: An Analysis Using Matched Employer-Employee Data

Paper: 201025, 11.01.2011

The Reservation Wage Unemployment Duration Nexus

Paper: 201026, 11.01.2011

Forecasting Inflation (and the Business Cycle?) with Monetary Aggregates

Paper: 201024, 11.01.2011

Borrowing Patterns, Bankruptcy and Voluntary Liquidation

Paper: 201027, 09.12.2010

The Instability of Joint Ventures: Learning from Others or Learning to Work with Others

Paper: 201028, 09.12.2010

Fiscal stimulus and exit strategies in a small euro area economy

Paper: 201023, 20.11.2010

Determinants of sovereign bond yield spreads in the euro area in

Paper: 201022, 06.11.2010

Labor Immobility and the Transmission Mechanism of Monetary Policy in a Monetary Union

Paper: 201019, 22.10.2010

Global policy at the Zero Lower Bound in a large-scale DSGE model

Paper: 201018, 21.10.2010

Monetary Policy Effects: Evidence from the Portuguese Flow of Funds

Paper: 201014, 18.10.2010

Short and Long Interest Rate Targets

Paper: 201015, 04.10.2010

JEL: E3, E4, E5

Fiscal Institutions and Public Spending Volatility in Europe

Paper: 201017, 27.09.2010

Fiscal Stimulus in a Small Euro Area Economy

Paper: 201016, 03.08.2010

JEL: E62, F41, H62

Marginal Distributions of Random Vectors Generated by Affine Transformations of Independent Two-Piece Normal Variables

Paper: 201013, 23.06.2010

JEL: C46

The Effects of Additive Outliers and Measurement Errors when Testing for Structural Breaks in Variance

Paper: 201011, 23.06.2010

JEL: C12, C15, C52

Extremal Dependence in International Output Growth: Tales from the Tails

Paper: 201008, 16.06.2010

JEL: C40, C50, E32

Calendar Effects in Daily ATM Withdrawals

Paper: 201012, 15.06.2010

JEL: C32, C51

A Wavelet Approach for Factor-Augmented Forecasting

Paper: 201007, 15.06.2010

JEL: C22, C40, C53

A Multiple Criteria Framework to Evaluate Bank Branch Potential Attractiveness

Paper: 201010, 15.06.2010

JEL: C44, G21, L25, M10

Tracking the US Business Cycle With a Singular Spectrum Analysis

Paper: 201009, 15.06.2010

JEL: C50, E32

The EAGLE. A model for policy analysis of macroeconomic interdependence in the euro area

Paper: 201006, 10.06.2010

JEL: C53, E32, E52, F47

Counterfactual Analysis of Bank Mergers

Paper: 201005, 27.05.2010

JEL: G21, G34, L10

Expectations-Driven Cycles in the Housing Market

Paper: 201004, 19.05.2010

JEL: E32, E44, E52

Nonstationary Extremes and the US Business Cycle

Paper: 201003, 23.03.2010

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