G18 - Government Policy and Regulation - Bank of Canada
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Bank of Canada RSS Feedsen2024-03-28T14:42:45+00:00Managing Risk Taking with Interest Rate Policy and Macroprudential Regulations
https://www.bankofcanada.ca/2016/11/staff-working-paper-2016-47/
We develop a model in which a financial intermediary’s investment in risky assets—risk taking—is excessive due to limited liability and deposit insurance and characterize the policy tools that implement efficient risk taking.2016-11-01T15:17:59+00:00enManaging Risk Taking with Interest Rate Policy and Macroprudential Regulations2016-11-01Financial system regulation and policiesMonetary policy frameworkStaff Working Paper 2016-47https://www.bankofcanada.ca/wp-content/uploads/2016/11/swp2016-47.pdfManaging Risk Taking with Interest Rate Policy and Macroprudential RegulationsSimona CociubaMalik ShukayevAlexander UeberfeldtNovember 2016EE4E44E5E52GG1G11G18