That elusive elasticity and the | | ubiquitous bias: is panel data a panacea?, by James Smith (Bank of England Working papers 342) | Abstract Full text |
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The equilibrium exchange rate according to PPP and | | UIP , by Dominick Stephens (Reserve Bank of New Zealand Discussion Papers DP2004/03) | Abstract Full text |
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| Uncovering Yield Parity: A new insight into the | | UIP puzzle through the stationarity of long maturity forward rates, by Zsolt Darvas, Gábor Rappai, Zoltán Schepp (Netherlands Bank DNB Working Papers 098) | Full text |
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| | | UIP, Expectations and the Kiwi, by Anella Munro (Reserve Bank of New Zealand Discussion Papers DP2005/05) | Abstract Full text |
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Does money matter in the IS curve? The case of the | | UK , by Barry E. Jones and Livio Stracca (European Central Bank Working papers 904) | Full text |
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| Ready, willing, and able? Measuring labour availability in the | | UK , by Mark E Schweitzer (Bank of England Working papers 186) | Abstract Full text |
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| Monetary policy and stagflation in the | | UK , by Edward Nelson and Kalin Nikolov (Bank of England Working papers 155) | Abstract Full text |
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| Measuring Labour Availability in the | | UK , by Mark Schweitzer (Cleveland Fed Working papers WP03-03) | Full text |
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| Equity Portfolio Diversification under Time-Varying Predictability and Comovements: Evidence from Ireland, the US, and the | | UK , by Massimo Guidolin, and Stuart Hyde (St Louis Fed Working Papers 2008-005) | Full text |
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| Mean-Variance vs. Full-Scale Optimization: Broad Evidence for the | | UK , by Björn Hagströmer, Richard G. Anderson, Jane M. Binner, Thomas Elger, and Birger Nilsson (St Louis Fed Working Papers 2007-016) | Full text |
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| Cost Efficiency in | | UK and Irish Credit Institutions, by Trevor Fitzpatrick and Kieran McQuinn (Central Bank of Ireland Research Technical Papers 04/RT/03) | Abstract Full text |
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| Financial pressure, monetary policy effects and inventory adjustment by | | UK and Spanish firms, by Andrew Benito (Bank of Spain Working Papers 0226) | Full text |
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| Investment adjustment costs: evidence from | | UK and US industries, by Charlotta Groth and Hashmat Khan (Bank of England Working papers 332) | Abstract Full text |
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| How individual capital requirements affect capital ratios in | | UK banks and building societies, by Isaac Alfon, Isabel Argimón and Patricia Bascuńana-Ambrós (Bank of Spain Working Papers 0515) | Abstract Full text |
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| The provisioning experience of the major | | UK banks: a small panel investigation, by Darren Pain (Bank of England Working papers 177) | Abstract Full text |
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| Inter-industry contagion between UK life insurers and | | UK banks: an event study, by Marco Stringa and Allan Monks (Bank of England Working papers 325) | Abstract Full text |
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| | | UK business investment: long-run elasticities and short-run dynamics, by Colin Ellis and Simon Price (Bank of England Working papers 196) | Abstract Full text |
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| Estimating | | UK capital adjustment costs, by Charlotta Groth (Bank of England Working papers 258) | Abstract Full text |
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| Productivity growth, adjustment costs and variable factor utilisation: the | | UK case, by Charlotta Groth, Soledad Nuńez and Sylaja Srinivasan (Bank of England Working papers 295) | Abstract Full text |
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| The dynamics of consumers' expenditure: the | | UK consumption ECM redux, by Emilio Fernandez-Corugedo, Simon Price and Andrew Blake (Bank of England Working papers 204) | Abstract Full text |
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| The stock market and capital accumulation: an application to | | UK data, by Demetrios Eliades and Olaf Weeken (Bank of England Working papers 251) | Abstract Full text |
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| Implicit interest rates and corporate balance sheets: an analysis using aggregate and disaggregated | | UK data, by Andrew Benito and John Whitley (Bank of England Working papers 193) | Abstract Full text |
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| Evolving post-World War II | | UK economic performance, by Luca Benati (Bank of England Working papers 232) | Abstract Full text |
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| The implications of an ageing population for the | | UK economy, by Garry Young (Bank of England Working papers 159) | Abstract Full text |
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| Anticipation of monetary policy in | | UK financial markets, by Peter Lildholdt and Anne Vila Wetherilt (Bank of England Working papers 241) | Abstract Full text |
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| Financial Pressure and Balance Sheet Adjustment by | | UK Firms, by Andrew Benito and Garry Young (Bank of Spain Working Papers 0209) | Full text |
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| Financial pressure and balance sheet adjustment by | | UK firms, by Andrew Benito and Garry Young (Bank of England Working papers 168) | Abstract Full text |
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| The elasticity of substitution: evidence from a | | UK firm-level data set, by Sebastian Barnes, Simon Price and María Sebastiá Barriel (Bank of England Working papers 348) | Abstract Full text |
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| Housing equity as a buffer: evidence from | | UK households, by Andrew Benito (Bank of England Working papers 324) | Abstract Full text |
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| How does the down-payment constraint affect the | | UK housing market?, by Andrew Benito (Bank of England Working papers 294) | Abstract Full text |
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| Exchange rate pass-through into | | UK import prices, by Haroon Mumtaz, Özlem Oomen and Jian Wang (Bank of England Working papers 312) | Abstract Full text |
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| Productivity growth in | | UK industries, 1970-2000: structural change and the role of ICT, by Nicholas Oulton and Sylaja Srinivasan (Bank of England Working papers 259) | Abstract Full text |
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| Forecasting using Bayesian and information theoretic model averaging: an application to | | UK inflation, by George Kapetanios, Vincent Labhard and Simon Price (Bank of England Working papers 268) | Abstract Full text |
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| Rational expectations and fixed-event forecasts: an application to | | UK inflation, by Hasan Bakhshi, George Kapetanios and Anthony Yates (Bank of England Working papers 176) | Abstract Full text |
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| Understanding | | UK inflation: the role of openness, by Ravi Balakrishnan and J David López-Salido (Bank of England Working papers 164) | Abstract Full text |
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| Credit spreads on sterling corporate bonds and the term structure of | | UK interest rates, by Jeremy Leake (Bank of England Working papers 202) | Abstract Full text |
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| The | | UK labour force participation rate: business cycle and trend influences, by Mark Schweitzer and David Tinsley (Bank of England Working papers 228) | Abstract Full text |
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| Inter-industry contagion between | | UK life insurers and UK banks: an event study, by Marco Stringa and Allan Monks (Bank of England Working papers 325) | Abstract Full text |
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| | | UK monetary regimes and macroeconomic stylised facts, by Luca Benati (Bank of England Working papers 290) | Abstract Full text |
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| Money market operations and volatility of | | UK money market rates, by Anne Vila Wetherilt (Bank of England Working papers 174) | Abstract Full text |
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| A Kalman filter approach to estimating the | | UK NAIRU, by Jennifer V Greenslade, Richard G Pierse and Jumana Saleheen (Bank of England Working papers 179) | Abstract Full text |
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| The impact of price competitiveness on | | UK producer price behaviour, by Colin Ellis and Simon Price (Bank of England Working papers 178) | Abstract Full text |
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| A Merton-model approach to assessing the default risk of | | UK public companies, by Merxe Tudela and Garry Young (Bank of England Working papers 194) | Abstract Full text |
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| An economic analysis of education externalities in the matching process of | | UK regions (1992-99), by Pablo Burriel-Llombart (Bank of Spain Working Papers 0403) | Abstract Full text |
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| An affine macro-factor model of the | | UK yield curve, by Peter Lildholdt, Nikolaos Panigirtzoglou and Chris Peacock (Bank of England Working papers 322) | Abstract Full text |
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Equilibrium exchange rates in Southeastern Europe, Russia, | | Ukraine and Turkey: Healthy or (Dutch) diseased?, by Balázs Égert (Bank of Finland BOFIT Discussion Papers 2005/03) | Abstract Full text |
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| | Ultra high frequency volatility estimation with dependent microstructure noise, by Yacine Ait-Sahalia, Per A. Mykland, Lan Zhang (Deutsche Bundesbank Discussion Papers 200530) | Full text |
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| | Uma Investigaçăo Baseada em Reamostragem sobre Requerimentos de Capital para Risco de Crédito no Brasil, by Ricardo Schechtman (Central Bank of Brazil Working Papers 127) | Abstract Full text |
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Historical Review of " | | Umbrella Supervision" by the Board of Governors of the Federal Reserve System, by Mark B Greenlee (Cleveland Fed Working papers 0807) | Full text |
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| | Umstellung der deutschen VGR auf Vorjahrespreisbasis, by Karl-Heinz Tödter (Deutsche Bundesbank Discussion Papers 200531) | Full text |
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| | Un Nuevo Marco para la Elaboración de los Programas de Impresión y Acuńación, by Rómulo Chumacero; Claudio Pardo; David Valdés (Central Bank of Chile Working Papers 454) | Abstract Full text |
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| Perú: Grado de inversión, | | un reto de corto plazo, by Gladys Choy (Central Reserve Bank of Peru Working Papers 2007-001) | Abstract Full text |
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Comercio y crecimiento: | | Una revisión de la hipótesis "Aprendizaje por las Exportaciones", by Raymundo Chirinos (Central Reserve Bank of Peru Working Papers 2007-002) | Abstract Full text |
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The Impact of | | Unanticipated Defaults in Canada's Large Value Transfer System, by Darcey McVanel (Bank of Canada Working papers 2005-25) | Abstract Full text |
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Temporary shocks and | | unavoidable transitions to a high-unemployment regime, by Wouter J. Denhaan (European Central Bank Working papers No.239) | Full text |
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The Importance of Check-Cashing Businesses to the | | Unbanked: Racial/Ethnic Differences, by William H. Greene , Sherrie L.W. Rhine , Maude Toussaint-Comeau (Chicago Fed Working papers WP-2003-10) | Abstract Full text |
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