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  • Search: subject:"Credit and credit aggregates"
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Year of publication
Subject
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Credit and credit aggregates 142 Financial stability 50 Business fluctuations and cycles 45 Kredit 37 Credit 36 Kreditgeschäft 35 Bank lending 33 Financial system regulation and policies 27 Financial markets 26 Economic models 23 Theorie 22 Konjunktur 21 Theory 21 Finanzmarkt 18 Business cycle 17 Financial crisis 17 Financial market 17 Finanzkrise 17 Econometric and statistical methods 15 Monetary policy 14 Financial institutions 12 Geldpolitik 12 Transmission of monetary policy 12 Credit risk management 10 Domestic demand and components 10 Financial sector 10 Finanzsektor 10 Kanada 10 Immobilienpreis 9 Interest rates 9 International topics 9 Private Verschuldung 9 Private debt 8 Consumer credit 7 Geldpolitische Transmission 7 Inflation targets 7 Monetary transmission 7 Verbraucherkredit 7 Bank regulation 6 Bankenregulierung 6
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Online availability
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Free 139
Type of publication
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Book / Working Paper 142
Type of publication (narrower categories)
All
Working Paper 110 Arbeitspapier 50 Graue Literatur 50 Non-commercial literature 50
Language
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English 123 Undetermined 19
Author
All
Schroth, Josef 12 Allen, Jason 6 Shao, Enchuan 6 Swarbrick, Jonathan M. 6 Tomura, Hajime 6 Xu, TengTeng 6 Dong, Mei 5 Ehrmann, Michael 5 Kartashova, Katya 5 Kuncl, Martin 5 Huynh, Kim P. 4 Mendicino, Caterina 4 Zhou, Xiaoqing 4 Chiu, Jonathan 3 Damar, H. Evren 3 Imura, Yuko 3 Jiang, Janet Hua 3 Kichian, Maral 3 Lee, Soyoung 3 Mordel, Adi 3 Paligorova, Teodora 3 Pesaran, M. Hashem 3 Petrunia, Robert 3 Pinheiro, Tiago 3 Rivadeneyra, Francisco 3 Teignier, Marc 3 Tomlin, Ben 3 Xu, Shaofeng 3 Ziegelmeyer, Michael 3 Albuquerque, Bruno 2 Basiri, Kiana 2 Bauer, Gregory H. 2 Beaton, Kimberly 2 Bethune, Zachary 2 Bi, Huixin 2 Blattner, Tobias S. 2 Boutros, Michael 2 Cao, Yongquan 2 Carbó Valverde, Santiago 2 Carter, Tom 2
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Institution
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Bank of Canada 32
Published in...
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Staff working paper / Bank of Canada 48 Bank of Canada Staff Working Paper 33 Working Papers / Bank of Canada 29 Bank of Canada Working Paper 23 Discussion Papers / Bank of Canada 3 Bank of Canada Discussion Paper 2 Bank of Canada Staff Discussion Paper 2 Staff discussion paper 2
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Source
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EconStor 60 ECONIS (ZBW) 50 RePEc 32
Showing 91 - 100 of 142
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House prices, consumption and the role of non-mortgage debt
Kartashova, Katya; Tomlin, Ben - 2013
This paper examines the relationship between house prices and consumption, through the use of debt. Using unique Canadian household-level data that reports the uses of debt, we begin by looking at the relationship between house prices and debt. Using quantile regression, we find a positive and...
Persistent link: https://www.econbiz.de/10010319642
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Business cycle effects of credit shocks in a DSGE model with firm defaults
Pesaran, M. Hashem; Xu, TengTeng - 2013
This paper proposes a theoretical framework to analyze the relationship between credit shocks, firm defaults and volatility, and to study the impact of credit shocks on business cycle dynamics. Firms are identical ex ante but differ ex post due to different realizations of firm-specific...
Persistent link: https://www.econbiz.de/10010319682
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Financial development and the volatility of income
Pinheiro, Tiago; Rivadeneyra, Francisco; Teignier, Marc - 2013
This paper presents a general equilibrium model with endogenous collateral constraints to study the relationship between financial development and business cycle fluctuations in a cross-section of economies with different sizes of their financial sector. The financial sector can amplify or...
Persistent link: https://www.econbiz.de/10010319686
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House Prices, Consumption and the Role of Non-Mortgage Debt
Kartashova, Katya; Tomlin, Ben - Bank of Canada - 2013
This paper examines the relationship between house prices and consumption, through the use of debt. Using unique Canadian household-level data that reports the uses of debt, we begin by looking at the relationship between house prices and debt. Using quantile regression, we find a positive and...
Persistent link: https://www.econbiz.de/10010602143
Saved in:
Cover Image
Financial Development and the Volatility of Income
Pinheiro, Tiago; Rivadeneyra, Francisco; Teignier, Marc - Bank of Canada - 2013
This paper presents a general equilibrium model with endogenous collateral constraints to study the relationship between financial development and business cycle fluctuations in a cross-section of economies with different sizes of their financial sector. The financial sector can amplify or...
Persistent link: https://www.econbiz.de/10010604775
Saved in:
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An Equilibrium Analysis of the Rise in House Prices and Mortgage Debt
Xu, Shaofeng - Bank of Canada - 2013
This paper examines the contributions of population aging, mortgage innovation and historically low interest rates to the sharp rise in U.S. house prices and mortgage debt between 1994 and 2005. I construct an overlapping generations general equilibrium housing model and find that these three...
Persistent link: https://www.econbiz.de/10010640465
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Public/Private Transitions and Firm Financing
Huynh, Kim; Paligorova, Teodora; Petrunia, Robert - Bank of Canada - 2013
A large body of empirical literature investigates differences in financing structures across firms. Private firms’ financing receives little attention due to the lack of data. Using administrative confidential data on the universe of Canadian corporate firms, we compare financing relationships...
Persistent link: https://www.econbiz.de/10010849948
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Measuring Uncertainty in Monetary Policy Using Implied Volatility and Realized Volatility
Chang, Bo Young; Feunou, Bruno - Bank of Canada - 2013
We measure uncertainty surrounding the central bank’s future policy rates using implied volatility computed from interest rate option prices and realized volatility computed from intraday prices of interest rate futures. Both volatility measures show that uncertainty decreased following the...
Persistent link: https://www.econbiz.de/10010849956
Saved in:
Cover Image
Business Cycle Effects of Credit Shocks in a DSGE Model with Firm Defaults
Pesaran, M. Hashem; Xu, TengTeng - Bank of Canada - 2013
This paper proposes a theoretical framework to analyze the relationship between credit shocks, firm defaults and volatility, and to study the impact of credit shocks on business cycle dynamics. Firms are identical ex ante but differ ex post due to different realizations of firm-specific...
Persistent link: https://www.econbiz.de/10010849962
Saved in:
Cover Image
House prices, consumption and the role of non-mortgage debt
Kartashova, Katya; Tomlin, Ben - 2013
This paper examines the relationship between house prices and consumption, through the use of debt. Using unique Canadian household-level data that reports the uses of debt, we begin by looking at the relationship between house prices and debt. Using quantile regression, we find a positive and...
Persistent link: https://www.econbiz.de/10009690836
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