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Bank of Canada

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Publications and Research

Research

Technical reports

Technical Reports are generally published in the original language only, with an abstract in both French and English.


2005

96
MUSE: The Bank of Canada's New Projection Model of the U.S. Economy
Marc-André Gosselin and René Lalonde


2004

No Technical report for that year


2003

95
Essays on Financial Stability
John Chant, Alexandra Lai, Mark Illing, and Fred Daniel


94
A Comparison of Twelve Macroeconomic Models of the Canadian Economy
Denise Côté, John Kuszczak, Jean-Paul Lam, Ying Liu, and Pierre St-Amant


93
Money in the Bank (of Canada)
David Longworth


2002

92
The Performance and Robustness of Simple Monetary Policy Rules in Models of the Canadian Economy
Denise Côté, John Kuszczak, Jean-Paul Lam, Ying Liu, and Pierre St-Amant


91
The Financial Services Sector: An Update on Recent Developments
Charles Freedman and Clyde Goodlet


90
Dollarization in Canada: The Buck Stops There
John Murray and James Powell


2001

89
Core Inflation
Seamus Hogan, Marianne Johnson, and Thérèse Laflèche


2000

88
International Financial Crises and Flexible Exchange Rates: Some Policy Lessons from Canada
John Murray, Mark Zelmer, and Zahir Antia


1999

87
The Regulation of Central Securities Depositories and the Linkages between CSDs and Large-Value Payment Systems
Charles Freedman


86
Greater Transparency in Monetary Policy: Impact on Financial Markets
Philippe Muller and Mark Zelmer


85
Inflation Targeting under Uncertainty
Gabriel Srour


84
Yield Curve Modelling at the Bank of Canada
David Bolder and David Stréliski


1998

83
The Benefits of Low Inflation: Taking Stock
Brian O'Reilly


82
The Financial Services Sector: Past Changes and Future Prospects
Charles Freedman and Clyde Goodlet


81
The Canadian Banking System
Charles Freedman


1997

80
Constraints on the Conduct of Canadian Monetary Policy in the 1990s: Dealing with Uncertainty in Financial Markets
Kevin Clinton and Mark Zelmer


79
Measurement of the Output Gap: A Discussion of Recent Research at the Bank of Canada
Pierre St-Amant and Simon van Norden


1996

78
Do Mechanical Filters Provide a Good Approximation of Business Cycles?
Alain Guay and Pierre St-Amant


77
The Bank of Canada's New Quarterly Projection Model (QPM) Part 4: A Semi-Structural Method to Estimate Potential Output: Combining Economic Theory with a Time-Series Filter
Leo Butler


76
Excess Volatility and Speculative Bubbles in the Canadian Dollar: Real or Imagined?
John Murray, Simon van Norden, and Robert Vigfusson


75
The Dynamic Model: QPM, The Bank of Canada's New Quarterly Projection Model, Part 3
Donald Coletti, Benjamin Hunt, David Rose, and Robert Tetlow


74
The Electronic Purse: An Overview of Recent Developments and Policy Issues
Gerald Stuber


1995

73
A Robust Method for Simulating Forward-Looking Models, The Bank of Canada's New Quarterly Projection Model, Part 2
John Armstrong, Richard Black, Douglas Laxton, and David Rose


1994

72
The Steady-State Model: SSQPM. The Bank of Canada's new Quarterly Projection Model, Part 1
Richard Black, Douglas Laxton, David Rose, and Robert Tetlow


71
Wealth, Disposable Income And Consumption: Some Evidence for Canada
R. Tiff Macklem


70
The Implications of the FTA and NAFTA for Canada and Mexico
William R. White


69
From Monetary Policy Instruments to Administered Interest Rates: the Transmission Mechanism in Canada
Kevin Clinton and Donna Howard


68

The Microstructure of Financial Derivatives Markets: Exchange-Traded Versus Over-the-counter

Brenda González-Hermosillo


67
The Role of House Prices in Regional Inflation Disparities
Dinah Maclean


66
Les sources des fluctuations des taux de change en Europe et leurs implications pour l'union monétaire
Alain DeSerres and René Lalonde


65
Tests of Market Efficiency In the One-week When-issued Market for Government of Canada Treasury Bills
D. Graham Pugh


1993

64
Measurement Biases in the Canadian CPI
Allan Crawford


63
Monetary Policy, Uncertainty and the Presumption of Linearity
Douglas Laxton, David Rose, and Robert Tetlow


62
The Development of Financial Derivatives Markets: the Canadian Experience
Sean O'Connor


61
Un modèle du coût du financement et du ratio d'endettement des entreprises non financières
Jean-François Fillion


1992

60
Fiscal Policy and External Balance in the G-7 Countries
Stephen S. Poloz


59
A Simple Multivariate Filter for the Measurement of Potential Output
Douglas Laxton and Robert Tetlow


58
Government Debt in An Open Economy
Douglas Laxton and Robert Tetlow


57
Some Implications of International Financial Integration for Canadian Public Policy
William White


56
Wage and Price Dynamics in Canada
Barry Cozier


1991

55
Some Evidence on Hysteresis and the Costs of Disinflation in Canada
Barry Cozier and Gordon Wilkinson


1990

54
The Goal of Price Stability: A Review of the Issues
Jack Selody


53
Measuring the Profitability and Effectiveness of Foreign Exchange Market Intervention: Some Canadian Evidence
John Murray, Mark Zelmer, and Shane Williamson


52
International Interest Rate Linkages and Monetary Policy: A Canadian Perspective
John Murray and Ritha Khemani


1989

51
Regional Disparities in Wage and Unemployment Rates in Canada: A Review of Some Issues
Kathleen Day


1988

50
The NAIRU in Canada: Concepts, Determinants and Estimates
David E. Rose


49
An Analysis of the Information Content of Alternative Credit Aggregates
Leslie Milton


48
An Analysis of the Information Content of Alternative Monetary Aggregates
Doug Hostland, Stephen S. Poloz, and Paul Storer


1987

47
Les effets macro-économiques des déficits budgétaires : résultats d'un modèle de simulation
Pierre Duguay and Yves Rabeau


46
A VAR Analysis of Economic Interdependence: Canada, the United States, and the Rest of the World
John Kuszczak and John D. Murray


45
Regulation of Financial Institutions—A Functional Analysis
John Chant


1986

44
International Capital Mobility and Asset Substitutability: Some Theory and Evidence on Recent Structural Changes
Francesco Caramazza, Kevin Clinton, Agathe Côté, and David Longworth


43
The Slowdown in Productivity Growth in the 1975-83 Period: A Survey of Possible Explanations
Gerald Stuber


42
A Comparison of Alternative Monetary Policy Regimes in a Small Dynamic Open-economy Simulation Model
David J. Longworth and Stephen S. Poloz


41
An Integrated Model of the Portfolio Behaviour of the Canadian Household Sector: 1968-1983
Stephen S. Poloz


1985

40
The Structure of the Small Annual Model (SAM)
David E. Rose and Jack G. Selody


1984

39
The Inflation-adjusted Rate of Return on Corporate Debt And Equity: 1966-1980
Stuart C. Gilson


1983

38
Responses of Various Econometric Models to Selected Policy Shocks
Brian O'Reilly, Graydon Paulin, and Philip Smith


37
The Investment Supply Response of Traded-goods Industries
Paul Boothe


36
La non-neutralité du mode de financement du gouvernement
Paul Masson


35
Asset Stocks and the Use of Monetary and Fiscal Policies to Reduce Inflation
Paul Masson


34
Modelling Government Fiscal Behaviour in Canada
Jack G. Selody and Kevin G. Lynch


1982

33
An Econometric Model of the Steel Trade
Richard Dion


For further information about our publications, or to order printed copies of technical reports, please contact:

Publications Distribution
Bank of Canada, Ottawa, Ontario, K1A 0G9
Tel: 613 782-8248
Fax: 613 782-8874
Email: publications@bankofcanada.ca

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