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

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

Title Author(s)

What Drags and Drives Mobility: Explaining Canada's Aggregate Migration Patterns

Paper: 2012-28, 11.09.2012

Systematic Risk, Debt Maturity and the Term Structure of Credit Spreads

Paper: 2012-27, 27.08.2012

JEL: G32, G33

Natural Monopoly and Distorted Competition: Evidence from Unbundling Fiber-Optic Networks

Paper: 2012-26, 27.08.2012

JEL: K23, L43, L96

Does the Buck Stop Here? A Comparison of Withdrawals from Money Market Mutual Funds with Floating and Constant Share Prices

Paper: 2012-25, 27.08.2012

JEL: F30, G01, G18, G20

Why Do Shoppers Use Cash? Evidence from Shopping Diary Data

Paper: 2012-24, 14.08.2012

JEL: C2, D1, G2

Inflation and Growth: A New Keynesian Perspective

Paper: 2012-23, 14.08.2012

JEL: E31, E52, O31, O42

The Ex-Ante Versus Ex-Post Effect of Public Guarantees

Paper: 2012-22, 14.08.2012

JEL: G21, G28, G32

Unconventional Monetary Policy and the Great Recession: Estimating the Macroeconomic Effects of a Spread Compression at the Zero Lower Bound

Paper: 2012-21, 23.07.2012

JEL: C11, C32, E52, E58

The Sensitivity of Producer Prices to Exchange Rates: Insights from Micro Data

Paper: 2012-20, 23.07.2012

JEL: E30, F31, F41, L11

International Business Cycles and Financial Frictions

Paper: 2012-19, 20.07.2012

JEL: E30, F42, F44

Consumer Bankruptcy and Information

Paper: 2012-18, 20.07.2012

JEL: D4, G2

On the Existence and Fragility of Repo Markets

Paper: 2012-17, 22.06.2012

JEL: G24

Commodities and Monetary Policy: Implications for Inflation and Price Level Targeting

Paper: 2012-16, 15.06.2012

JEL: E17, E31, E37, E52, F41, Q43

Estimating the Demand for Settlement Balances in the Canadian Large Value Transfer System

Paper: 2012-15, 29.05.2012

JEL: C36, E40, E50, G01

The Impact of Retail Payment Innovations on Cash Usage

Paper: 2012-14, 15.05.2012

JEL: C35, C83, E41

Changes in the Effects of Monetary Policy on Disaggregate Price Dynamics

Paper: 2012-13, 01.05.2012

JEL: E30, E32

House Price Dynamics: Fundamentals and Expectations

Paper: 2012-12, 01.05.2012

JEL: E3, E65, R21

Risk Premium, Variance Premium and the Maturity Structure of Uncertainty

Paper: 2012-11, 04.04.2012

JEL: G12, G13

When Is It Less Costly for Risky Firms to Borrow? Evidence from the Bank Risk- Taking Channel of Monetary Policy

Paper: 2012-10, 09.03.2012

JEL: G21

Central Bank Communication or the Media's Interpretation: What Moves Markets?

Paper: 2012-09, 29.02.2012

JEL: E58, G14

Growth in Emerging Market Economies and the Commodity Boom of 2003-2008: Evidence from Growth Forecast Revisions

Paper: 2012-08, 28.02.2012

JEL: Q41, Q43

Short-Term Forecasting of the Japanese Economy Using Factor Models

Paper: 2012-07, 27.02.2012

JEL: C50, C53, E37, E47

Macroprudential Rules and Monetary Policy when Financial Frictions Matter

Paper: 2012-06, 27.02.2012

JEL: E42, E50, E60

An International Dynamic Term Structure Model with Economic Restrictions and Unspanned Risks

Paper: 2012-05, 18.02.2012

JEL: E41, F31, G12, G15

Price Competition and Concentration in Search and Negotiation Markets: Evidence from Mortgage Lending

Paper: 2012-04, 09.02.2012

Fooled by Search: Housing Prices, Turnover and Bubbles

Paper: 2012-03, 09.02.2012

Time-Varying Effects of Oil Supply Shocks on the U.S. Economy

Paper: 2012-02, 26.01.2012

Real-Time Analysis of Oil Price Risks Using Forecast Scenarios

Paper: 2012-01, 26.01.2012

Bank Leverage Regulation and Macroeconomic Dynamics

Paper: 2011-32, 23.12.2011

Do Low Interest Rates Sow the Seeds of Financial Crises?

Paper: 2011-31, 20.12.2011

Trading Dynamics with Adverse Selection and Search: Market Freeze, Intervention and Recovery

Paper: 2011-30, 16.12.2011

Effectiveness of Capital Controls in India: Evidence from the Offshore NDF Market

Paper: 2011-29, 08.12.2011

The Role of Time-Varying Price Elasticities in Accounting for Volatility Changes in the Crude Oil Market

Paper: 2011-28, 30.11.2011

Portfolio Considerations in Differentiated Product Purchases: An Application to the Japanese Automobile Market

Paper: 2011-27, 29.11.2011

Security Transaction Taxes and Market Quality

Paper: 2011-26, 24.11.2011

Innovation and Growth with Financial, and Other, Frictions

Paper: 2011-25, 05.11.2011

Determinants of Financial Stress and Recovery during the Great Recession

Paper: 2011-24, 05.11.2011

How Do You Pay? The Role of Incentives at the Point-of-Sale

Paper: 2011-23, 28.10.2011

Money and Price Posting under Private Information

Paper: 2011-22, 18.10.2011

Fixed-Term and Permanent Employment Contracts: Theory and Evidence

Paper: 2011-21, 08.10.2011

A Stochastic Volatility Model with Conditional Skewness

Paper: 2011-20, 08.10.2011

Measuring Systemic Importance of Financial Institutions: An Extreme Value Theory Approach

Paper: 2011-19, 01.10.2011

Price-Level Targeting and Inflation Expectations: Experimental Evidence

Paper: 2011-18, 09.09.2011

Analyzing Default Risk and Liquidity Demand during a Financial Crisis: The Case of Canada

Paper: 2011-17, 15.08.2011

Real-Time Forecasts of the Real Price of Oil

Paper: 2011-16, 04.08.2011

Forecasting the Price of Oil

Paper: 2011-15, 02.06.2011

Real-Financial Linkages in the Canadian Economy: An Input-Output Approach

Paper: 2011-14, 21.05.2011

Bank Loans for Private and Public Firms in a Credit Crunch

Paper: 2011-13, 17.05.2011

Financial Factors and Labour Market Fluctuations

Paper: 2011-12, 04.05.2011

Mixed Frequency Forecasts for Chinese GDP

Paper: 2011-11, 05.04.2011

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