Central Bank Research Hub - Series: Bank of Spain Working Papers 2010

Papers by year: All | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002 | 2001

Title Author(s)

Firm behavior, market deregulation and productivity in Spain

Paper: 1035, 30.11.2010

Cash holdings, firm size and access to external finance. Evidence for the euro area

Paper: 1034, 18.11.2010

A macro and a micro view

Paper: 1033, 02.11.2010

Mitigating the pro-cyclicality of Basel II

Paper: 1028, 26.10.2010

Estimates based on fundamentals

Paper: 1032, 13.10.2010

A Bayesian panel data approach

Paper: 1031, 13.10.2010

identifying balance-sheet channels with loan applications and granted loans

Paper: 1030, 30.09.2010

JEL: E32, E44, E5, G21, G28

The effects of national discretions on banks

Paper: 1029, 20.09.2010

JEL: E61, G21, G28

Creditor discrimination during sovereign debt restructurings

Paper: 1027, 03.09.2010

JEL: E65, F34

Green shoots in the Euro area. A real time measure

Paper: 1026, 30.07.2010

Is judicial inefficiency increasing the house property market weight in Spain? Evidence at the local level

Paper: 1025, 30.07.2010

Does housing really lead the business cycle?

Paper: 1024, 30.07.2010

an individual-based sectoral approach

Paper: 1022, 16.07.2010

JEL: J31

Development, growth and volatility

Paper: 1023, 07.07.2010

JEL: C67, C68, E25, E32

Expectations-driven cycles in the housing market

Paper: 1021, 01.07.2010

JEL: E32, E44, E52

 

Evidence from banks

Paper: 1020, 29.06.2010

JEL: D92, G21

The United States vs. the euro area

Paper: 1019, 29.06.2010

JEL: C40, D40, E30

The role of spillovers and firms' absorptive capacity

Paper: 1015, 28.06.2010

JEL: C23, C25, J24, J6, L00, O32

Changes in the wage structure in EU countries

Paper: 1017, 22.06.2010

JEL: J31

A systematic approach to multi-period stress testing of portfolio credit risk

Paper: 1018, 18.06.2010

JEL: C15, G20, G28, G32

The euro as a reserve currency for global investors

Paper: 1014, 24.05.2010

JEL: E42, F15, F31, G12, G15

Employment fluctuations in a dual labor market

Paper: 1013, 23.04.2010

JEL: E32, J42, J63, J64, J65

General Equilibrium Restrictions for Dynamic Factor Models

Paper: 1012, 22.04.2010

JEL: C52, E32, E37

What do premiums paid for bank M&As reflect? The case of the European Union

Paper: 1011, 22.04.2010

JEL: G21, G28, G34

Is a Calvo price setting model consistent with micro price data?

Paper: 1010, 09.04.2010

JEL: C40, D40, E30

evidence from the WDN Survey

Paper: 1006, 09.04.2010

JEL: J31, J38, P50

How does competition impact bank risk-taking?

Paper: 1005, 31.03.2010

a general equilibrium approach

Paper: 1009, 25.03.2010

Spanish banks in the EMU

Paper: 1008, 22.03.2010

No bank, one bank, several banks: does it matter for investment?

Paper: 1003, 22.03.2010

Testing non-linear dependence in the Hedge Fund industry

Paper: 1007, 19.03.2010

an unexploited monetary policy tool

Paper: 1004, 10.03.2010

evidence from differences in firing costs

Paper: 1002, 19.02.2010

Banking competition, collateral constraints and optimal monetary policy

Paper: 1001, 16.02.2010

A quarterly fiscal database for the euro area based on intra-annual fiscal information

Paper: 0935, 20.01.2010

Is there a signalling role for public wages? Evidence for the euro area based on macro data

Paper: 0934, 20.01.2010

Short-term monitoring of the Spanish Government balance with mixed-frequencies models

Paper: 0931, 20.01.2010

Papers by year: All | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002 | 2001