| 000 | 00000nam 2200000zi 4500 |
| 001 | 9.902921 |
| 003 | CaOODSP |
| 005 | 20221107180110 |
| 006 | m o d f |
| 007 | cr |n||||||||| |
| 008 | 210827t20212021oncd ob f|0| 0 eng d |
| 040 | |aCaOODSP|beng|erda|cCaOODSP |
| 043 | |an-cn--- |
| 086 | 1 |aFB3-5/2021-31E-PDF |
| 100 | 1 |aZivanovic, Jelena, |eauthor. |
| 245 | 13|aAn optimal macroprudential policy mix for segmented credit markets / |cby Jelena Zivanovic. |
| 264 | 1|aOttawa, Ontario, Canada : |bBank of Canada = Banque du Canada, |c2021. |
| 264 | 4|c©2021 |
| 300 | |a1 online resource (ii, 31 pages) : |bcharts. |
| 336 | |atext|btxt|2rdacontent |
| 337 | |acomputer|bc|2rdamedia |
| 338 | |aonline resource|bcr|2rdacarrier |
| 490 | 1 |aStaff working paper = |aDocument de travail du personnel, |x1701-9397 ; |v2021-31 |
| 500 | |a"Last updated: June 28, 2021." |
| 504 | |aIncludes bibliographical references (pages 27-28). |
| 520 | |a"This paper analyzes the design of simple macroprudential rules for bank and non-bank creditmarkets in a medium-scale dynamic stochastic general equilibrium model"--Abstract, page ii. |
| 650 | 0|aMonetary policy|xEconometric models. |
| 650 | 0|aCredit control|xEconometric models. |
| 650 | 6|aPolitique monétaire|xModèles économétriques. |
| 650 | 6|aCrédit|xPolitique gouvernementale|xModèles économétriques. |
| 710 | 2 |aBank of Canada, |eissuing body. |
| 830 | #0|aStaff working paper (Bank of Canada)|v2021-31.|w(CaOODSP)9.806221 |
| 856 | 40|qPDF|s618 KB|uhttps://publications.gc.ca/collections/collection_2021/banque-bank-canada/FB3-5-2021-31-eng.pdf |