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

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

Title Author(s)

Sovereign debt workouts with the IMF as delegated monitor - a common agency approach

Paper: 187, 06.06.2003

Ready, willing, and able? Measuring labour availability in the UK

Paper: 186, 06.06.2003

What does economic theory tell us about labour market tightness?

Paper: 185, 06.06.2003

The effect of payments standstills on yields and the maturity structure of international debt

Paper: 184, 06.06.2003

Capital flows to emerging markets

Paper: 183, 06.06.2003

Import prices and exchange rate pass-through: theory and evidence from the United Kingdom

Paper: 182, 02.04.2003

Leading indicators of balance-of-payments crises: a partial review

Paper: 171, 11.03.2003

Base rate pass-through: evidence from banks' and building societies' retail rates

Paper: 170, 11.03.2003

House prices, consumption, and monetary policy: a financial accelerator approach

Paper: 169, 11.03.2003

Financial pressure and balance sheet adjustment by UK firms

Paper: 168, 11.03.2003

The role of short-run inflation targets and forecasts in disinflation

Paper: 167, 11.03.2003

The role of corporate balance sheets and bank lending policies in a financial accelerator framework

Paper: 166, 11.03.2003

Committees versus individuals: an experimental analysis of monetary policy decision-making

Paper: 165, 11.03.2003

Understanding UK inflation: the role of openness

Paper: 164, 11.03.2003

Productivity versus welfare: or, GDP versus Weitzman's NDP

Paper: 163, 11.03.2003

Factor utilisation and productivity estimates for the United Kingdom

Paper: 162, 11.03.2003

Regulatory and 'economic' solvency standards for internationally active banks

Paper: 161, 11.03.2003

On gross worker flows in the United Kingdom: evidence from the Labour Force Survey

Paper: 160, 11.03.2003

The implications of an ageing population for the UK economy

Paper: 159, 11.03.2003

Soft liquidity constraints and precautionary saving

Paper: 158, 11.03.2003

Financial liberalisation and consumers' expenditure: 'FLIB' re-examined

Paper: 157, 11.03.2003

Equilibrium exchange rates and supply-side performance

Paper: 156, 11.03.2003

Monetary policy and stagflation in the UK

Paper: 155, 11.03.2003

A monetary model of factor utilisation

Paper: 154, 11.03.2003

Do changes in structural factors explain movements in the equilibrium rate of unemployment?

Paper: 153, 11.03.2003

How uncertain are the welfare costs of inflation?

Paper: 152, 11.03.2003

Procyclicality and the new Basel Accord - banks' choice of loan rating system

Paper: 181, 11.03.2003

The role of expectations in estimates of the NAIRU in the United States and the United Kingdom

Paper: 180, 11.03.2003

A Kalman filter approach to estimating the UK NAIRU

Paper: 179, 11.03.2003

The impact of price competitiveness on UK producer price behaviour

Paper: 178, 11.03.2003

The provisioning experience of the major UK banks: a small panel investigation

Paper: 177, 11.03.2003

Rational expectations and fixed-event forecasts: an application to UK inflation

Paper: 176, 11.03.2003

Equilibrium analysis, banking, contagion and financial fragility

Paper: 175, 11.03.2003

Money market operations and volatility of UK money market rates

Paper: 174, 11.03.2003

Current accounts, net foreign assets and the implications of cyclical factors

Paper: 173, 11.03.2003

Public demand for low inflation

Paper: 172, 11.03.2003

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