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Search-for-Yield in Canadian Fixed-Income Mutual Funds and Monetary Policy
Gungor, Sermin
;
Sierra, Jesus
-
Bank of Canada
-
2014
This paper investigates the effects of monetary policy on the risk-taking behavior of fixed-income mutual funds in Canada. We consider different measures of the stance of monetary policy and investigate active variation in mutual funds’ risk exposure in response to monetary policy. We find...
Persistent link: https://www.econbiz.de/10010849943
Saved in:
2
CoMargin
Chaker, Selma
;
Meddahi, Nour
-
Bank of Canada
-
2013
We present CoMargin, a new methodology to estimate collateral requirements for
central
counterparties (CCPs) in …
Persistent link: https://www.econbiz.de/10010849953
Saved in:
3
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:
4
Canadian Bank Balance-Sheet Management: Breakdown by Types of Canadian Financial Institutions
Chen, David Xiao
;
Damar, H. Evren
;
Soubra, Hani
; …
-
Bank of Canada
-
2012
The authors document leverage, capital and liquidity ratios of banks in Canada. These ratios are important indicators of different types of risk with respect to a bank’s balance-sheet management. Particular attention is given to the observations by different types of banks, including small...
Persistent link: https://www.econbiz.de/10010849976
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5
Improving Public Equity Markets? No Pain, No Gain
Kartashova, Katya
-
Bank of Canada
-
2014
This paper quantifies the effects of improving public equity markets on macroeconomic aggregates and welfare. I use an open-economy extension of Angeletos (2007), where entrepreneurs face idiosyncratic productivity risk in privately held firms. They can diversify by investing in publicly traded...
Persistent link: https://www.econbiz.de/10010960401
Saved in:
6
When Is It Less Costly for Risky Firms to Borrow? Evidence from the Bank Risk-Taking Channel of Monetary Policy
Paligorova, Teodora
;
Santos, João A. C.
-
Bank of Canada
-
2012
In an investigation of banks’ loan pricing policies in the United States over the past two decades, this study finds supporting evidence for the bank risk-taking channel of monetary policy. We show that banks charge lower spreads when they lend to riskier borrowers relative to the spreads they...
Persistent link: https://www.econbiz.de/10009653926
Saved in:
7
The Macroeconomic Implications of Changes in Bank Capital and Liquidity Requirements in Canada: Insights from the BoC-GEM-FIN
Resende, Carlos de
;
Dib, Ali
;
Perevalov, Nikita
-
Bank of Canada
-
2010
The authors use simulations within the BoC-GEM-FIN, the Bank of Canada’s version of the Global Economy Model with financial frictions in both the demand and supply sides of the credit market, to investigate the macroeconomic implications of changing bank regulations on the Canadian economy....
Persistent link: https://www.econbiz.de/10009323067
Saved in:
8
Analyzing Default Risk and Liquidity Demand during a Financial Crisis: The Case of Canada
Allen, Jason
;
Hortaçsu, Ali
;
Kastl, Jakub
-
Bank of Canada
-
2011
reliance on the payments system as well as special liquidity-supplying tools provided by the
central
bank seem to be more … important additional indicators of distress of individual banks, or lack thereof than the CDSs. It therefore seems that
central
…
Persistent link: https://www.econbiz.de/10009326649
Saved in:
9
Measuring Systemic Importance of Financial Institutions: An Extreme Value Theory Approach
Gravelle, Toni
;
Li, Fuchun
-
Bank of Canada
-
2011
In this paper, we define a financial institution’s contribution to financial systemic risk as the increase in financial systemic risk conditional on the crash of the financial institution. The higher the contribution is, the more systemically important is the institution for the system. Based...
Persistent link: https://www.econbiz.de/10009326653
Saved in:
10
Bank Loans for Private and Public Firms in a Credit Crunch
Allen, Jason
;
Paligorova, Teodora
-
Bank of Canada
-
2011
Banks reliance on short-term funding has increased over time. While an effective source of financing in good times, the 2007 financial crisis has exposed the vulnerability of banks and ultimately firms to such a liability structure. The authors show that banks that relied most on wholesale...
Persistent link: https://www.econbiz.de/10009326654
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