Central Bank Research Hub - Series: Bank of Spain Working Papers 2011

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

Title Author(s)

Does TFP drive housing prices? A growth accounting exercise for four countries

Paper: 1133, 06.12.2011

Learning from experience in the stock market

Paper: 1132, 06.12.2011

Collective bargaining, firm heterogeneity and unemployment

Paper: 1131, 02.12.2011

Household debt and labour market fluctuations

Paper: 1129, 18.11.2011

Optimal monetary policy with state-dependent pricing

Paper: 1130, 10.11.2011

Optimal capital structure and regulatory control

Paper: 1128, 08.11.2011

Monitoring sub-central government spending in Spain

Paper: 1127, 19.10.2011

Cross-border coordination of prudential supervision and deposit guarantees

Paper: 1126, 11.10.2011

A general equilibrium model of the oil market

Paper: 1125, 07.10.2011

Local versus aggregate lending channels: the effects of securitization on corporate credit supply

Paper: 1124, 06.10.2011

Is there a cost associated with an increase in family size beyond child investment? Evidence from developing countries

Paper: 1117, 29.09.2011

Precautionary price stickiness

Paper: 1122, 23.09.2011

Accounting for changes in the Spanish wage distribution: the role of employment composition effects

Paper: 1120, 16.09.2011

Model averaging in economics

Paper: 1123, 13.09.2011

Do dynamic provisions reduce income smoothing using loan loss provisions?

Paper: 1118, 13.09.2011

The effects of fiscal shocks on the exchange rate in Spain

Paper: 1121, 08.09.2011

Money dynamics with multiple banks of issue: evidence from Spain 1856-1874

Paper: 1119, 01.09.2011

Applying and interpreting model-based seasonal adjustment. The euro-area industrial production series

Paper: 1116, 04.08.2011

Income and democracy: Revisiting the evidence

Paper: 1115, 04.08.2011

Estimating non-linear models with multiple fixed effects: A computational note

Paper: 1114, 04.08.2011

Credit cycles: Evidence based on a non linear model for developed countries

Paper: 1113, 04.08.2011

Shifts in portfolio preferences of international investors: an application to sovereign wealth funds

Paper: 1112, 04.08.2011

Where is the value in high frequency trading?

Paper: 1111, 04.08.2011

FiMod - a DSGE model for fiscal policy simulations

Paper: 1110, 04.08.2011

Dynamic panels with predetermined regressors: likelihood-based estimation and Bayesian averaging with an application to cross-country growth

Paper: 1109, 04.08.2011

House purchase versus rental in Spain

Paper: 1108, 04.08.2011

Fiscal policy, structural reforms and external imbalances: a quantitative evaluation for Spain

Paper: 1107, 04.08.2011

Fiscal data revisions in Europe

Paper: 1106, 04.08.2011

Flexible inflation targets, forex interventions and exchange rate volatility in emerging countries

Paper: 1105, 04.08.2011

TFP growth and its determinants: nonparametrics and model averaging

Paper: 1104, 04.08.2011

Is infrastructure capital productive? A dynamic heterogeneous approach

Paper: 1103, 04.08.2011

Endogenous fiscal consolidations

Paper: 1102, 04.08.2011

Consumption and initial mortgage conditions: evidence from survey data

Paper: 1101, 04.08.2011

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