Towards a more complete debt strategy simulation framework / by David Jamieson Bolder. : FB3-2/102-13E
This paper suggest a reduced-form approach to describe the key elements of the stochastic model used to analyze the Government of Canada's debt strategy problem.--Abstract
Permanent link to this Catalogue record:
publications.gc.ca/pub?id=9.615978&sl=0
Department/Agency | Bank of Canada. |
---|---|
Title | Towards a more complete debt strategy simulation framework / by David Jamieson Bolder. |
Series title | Working paper1192-54342002-13 |
Publication type | Series - View Master Record |
Language | [English] |
Format | Paper |
Other formats | Electronic-[English] |
Note(s) | "This paper suggest a reduced-form approach to describe the key elements of the stochastic model used to analyze the Government of Canada's debt strategy problem."--Abstract. Résumés en français |
Publishing information | Ottawa - Ontario : Bank of Canada 2002. |
Binding | Softcover |
Description | v, 62p. : graphs, references, tables ; 28 cm. |
ISSN | 1192-5434 |
Catalogue number |
|
Subject terms | Economic indicators Models National debt |
Request alternate formats
To request an alternate format of a publication, complete the Government of Canada Publications email form. Use the form’s “question or comment” field to specify the requested publication.- Date modified: