An optimal macroprudential policy mix for segmented credit markets / by Jelena Zivanovic.: FB3-5/2021-31E-PDF
"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.
Permanent link to this Catalogue record:
publications.gc.ca/pub?id=9.902921&sl=0
Department/Agency | Bank of Canada, issuing body. |
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Title | An optimal macroprudential policy mix for segmented credit markets / by Jelena Zivanovic. |
Series title | Staff working paper = Document de travail du personnel, 1701-9397 ; 2021-31 |
Publication type | Series - View Master Record |
Language | [English] |
Format | Electronic |
Electronic document | |
Note(s) | "Last updated: June 28, 2021." Includes bibliographical references (pages 27-28). |
Publishing information | Ottawa, Ontario, Canada : Bank of Canada = Banque du Canada, 2021. ©2021 |
Author / Contributor | Zivanovic, Jelena, author. |
Description | 1 online resource (ii, 31 pages) : charts. |
Catalogue number |
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Subject terms | Monetary policy -- Econometric models. Credit control -- Econometric models. Politique monétaire -- Modèles économétriques. Crédit -- Politique gouvernementale -- Modèles économétriques. |
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