Central Bank Research Hub - Series: Bank of England Working papers 2004

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

Title Author(s)

Horizontal and vertical integration in securities trading and settlement

Paper: 245, 03.12.2004

Long-horizon equity return predictability: some new evidence for the United Kingdom

Paper: 244, 03.12.2004

Long-term interest rates, wealth and consumption

Paper: 243, 03.12.2004

Core inflation: a critical guide

Paper: 242, 26.11.2004

Anticipation of monetary policy in UK financial markets

Paper: 241, 26.11.2004

Price-setting behaviour, competition, and mark-up shocks in the New Keynesian model

Paper: 240, 26.11.2004

From tiny samples do mighty populations grow? Using the British Household Panel Survey to analyse the household sector balance sheet

Paper: 239, 21.11.2004

Estimating time-variation in measurement error from data revisions; an application to forecasting in dynamic models

Paper: 238, 21.11.2004

Forecasting with measurement errors in dynamic models

Paper: 237, 21.11.2004

The effects of stock market movements on consumption and investment: does the shock matter?

Paper: 236, 27.10.2004

Rule-based monetary policy under central bank learning

Paper: 235, 27.10.2004

Intertemporal substitution and household production in labour supply

Paper: 234, 27.10.2004

The efficient resolution of capital account crises: how to avoid moral hazard

Paper: 233, 27.10.2004

Evolving post-World War II UK economic performance

Paper: 232, 27.10.2004

Real exchange rate persistence and systematic monetary policy behaviour

Paper: 231, 27.10.2004

Financial interlinkages in the United Kingdom's interbank market and the risk of contagion

Paper: 230, 16.09.2004

On the resolution of banking crises: theory and evidence

Paper: 229, 16.09.2004

The UK labour force participation rate: business cycle and trend influences

Paper: 228, 16.09.2004

The Phillips curve under state-dependent pricing

Paper: 227, 06.09.2004

Corporate capital structure in the United Kingdom: determinants and adjustment

Paper: 226, 06.09.2004

Exploring the relationship between credit spreads and default probabilities

Paper: 225, 06.09.2004

The informational content of empirical measures of real interest rate and output gaps for the United Kingdom

Paper: 224, 06.09.2004

Health, disability insurance and labour force participation

Paper: 218, 06.09.2004

Real exchange rates and the relative prices of non-traded and traded goods: an empirical analysis

Paper: 223, 09.07.2004

The roles of expected profitability, Tobin's Q and cash flow in econometric models of company investment

Paper: 222, 09.07.2004

Female labour force participation in the United Kingdom: evolving characteristics or changing behaviour?

Paper: 221, 09.07.2004

An empirical analysis of the dynamic relationship between investment-grade bonds and credit default swaps

Paper: 211, 25.06.2004

Does job insecurity affect household consumption?

Paper: 220, 01.03.2004

Bail out or work out? Theoretical considerations

Paper: 219, 01.03.2004

International financial rescues and debtor-country moral hazard

Paper: 217, 01.03.2004

IMF lending and creditor moral hazard

Paper: 216, 01.03.2004

How can the IMF catalyse private capital flows? A model

Paper: 215, 01.03.2004

An empirical model of household arrears

Paper: 214, 01.03.2004

Investment-specific technological change and growth accounting

Paper: 213, 01.03.2004

Crisis spillovers in emerging market economies: interlinkages, vulnerabilities and investor behaviour

Paper: 212, 01.03.2004

Company accounts based modelling of business failures and the implications for financial stability

Paper: 210, 01.01.2004

Settlement bank behaviour and throughput rules in an RTGS payment system with collateralised intraday credit

Paper: 209, 01.01.2004

A matching model of non-employment and wage pressure

Paper: 208, 01.01.2004

A quantitative framework for commercial property and its relationship to the analysis of the financial stability of the corporate sector

Paper: 207, 01.01.2004

The rise in US household debt: assessing its causes and sustainability

Paper: 206, 01.01.2004

Empirical determinants of emerging market economies' sovereign bond spreads

Paper: 205, 01.01.2004

The dynamics of consumers' expenditure: the UK consumption ECM redux

Paper: 204, 01.01.2004

Endogenous price stickiness, trend inflation, and the New Keynesian Phillips curve

Paper: 191, 01.01.2004

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