An integrated model of the portfolio behaviour of the Canadian household sector: 1968-1983 / by Stephen S. Poloz. : FB3-1/41E

This is one of a series of technical reports that examines economic and financial statistics and models that influence Canada’s monetary policies. Papers cover a range of topics, including inflation, capital, assets, savings and investments, exchange rates, prices, wages, interest rates, credit, and profits. Many papers include abstracts, methodology sections, references, and appendices.
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Department/Agency | Bank of Canada. |
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Title | An integrated model of the portfolio behaviour of the Canadian household sector: 1968-1983 / by Stephen S. Poloz. |
Series title | Technical report0713-7931No. 41 |
Publication type | Series - View Master Record |
Language | [English] |
Format | Paper |
Note(s) | (Résumé en français.) |
Publishing information | Bank of Canada January 1986. |
Binding | Softcover |
Description | ii, 49p. : graphs, references, tables ; 28 cm. |
ISSN | 0713-7931 |
Catalogue number |
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Subject terms | Household finance Models Private investments |
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