G1 - General Financial Markets - Bank of Canada
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Bank of Canada RSS Feedsen2024-03-29T06:38:03+00:00International Capital Mobility and Asset Substitutability: Some Theory and Evidence on Recent Structural Changes
https://www.bankofcanada.ca/1986/10/technical-report-no44/
This study examines different aspects of the international integration of capital markets. In particular, it attempts to determine whether the changes in controls and regulatory policies that have occurred in the past decade have been associated with a greater degree of market integration.1986-10-13T11:44:29+00:00enInternational Capital Mobility and Asset Substitutability: Some Theory and Evidence on Recent Structural Changes1986-10-13Balance of payments and componentsFinancial marketsFrancesco CaramazzaKevin ClintonAgathe CôtéDavid LongworthOctober 1986FF2F20GG1G11G15An Integrated Model of the Portfolio Behaviour of the Canadian Household Sector: 1968-1983
https://www.bankofcanada.ca/1986/01/technical-report-no41/
An econometric model of the portfolio behaviour of the Canadian household sector is developed to study the linkages between demands for financial assets. The theoretical basis for the model is a version of the well-known Brainard-Tobin framework, which is extended to integrate the consumption-savings and portfolio-allocation decisions. This integration allows joint estimation of the real […]1986-01-13T10:27:21+00:00enAn Integrated Model of the Portfolio Behaviour of the Canadian Household Sector: 1968-19831986-01-13Economic modelsMonetary policy frameworkStephen S. PolozJanuary 1986GG1G11