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Bank of England working papers
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178: The impact of price competitiveness on UK producer price behaviour
Colin Ellis and Simon Price
177: The provisioning experience of the major UK banks: a small panel investigation
Darren Pain
176: Rational expectations and fixed-event forecasts: an application to UK inflation
Hasan Bakhshi , George Kapetanios and Anthony Yates
175: Equilibrium analysis, banking, contagion and financial fragility
Dimitrios Panayotis Tsomocos
174: Money market operations and volatility of UK money market rates
Anne Vila Wetherilt
173: Current accounts, net foreign assets and the implications of cyclical factors
Matthieu Bussiere , Georgios Chortareas and Rebecca L Driver
172: Public demand for low inflation
Kenneth Scheve
171: Leading indicators of balance-of-payments crises: a partial review
Michael Chui
170: Base rate pass-through: evidence from banks' and building societies' retail rates
Paul Mizen and Boris Hofmann
169: House prices, consumption, and monetary policy: a financial accelerator approach
Kosuke Aoki , James Proudman and Gertjan W. Vlieghe
168: Financial pressure and balance sheet adjustment by UK firms
Andrew Benito and Garry Young
167: The role of short-run inflation targets and forecasts in disinflation
Lavan Mahadeva and Gabriel Sterne
166: The role of corporate balance sheets and bank lending policies in a financial accelerator framework
Simon Hall and Anne Vila Wetherilt
165: Committees versus individuals: an experimental analysis of monetary policy decision-making
Clare Lombardelli , James Proudman and James Talbot
164: Understanding UK inflation: the role of openness
Ravi Balakrishnan and J David L½pez-Salido (David Lopez-Salido )
163: Productivity versus welfare: or, GDP versus Weitzman's NDP
Nicholas Oulton
162: Factor utilisation and productivity estimates for the United Kingdom
Jens Larsen , Katharine Neiss and Fergal Shortall
161: Regulatory and 'economic' solvency standards for internationally active banks
Patricia Jackson , William Perraudin and Victoria Saporta
160: On gross worker flows in the United Kingdom: evidence from the Labour Force Survey
Brian Bell and James Smith
159: The implications of an ageing population for the UK economy
Garry Young
158: Soft liquidity constraints and precautionary saving
Emilio Fernandez-Corugedo
157: Financial liberalisation and consumers' expenditure: 'FLIB' re-examined
Emilio Fernandez-Corugedo and Simon Price
156: Equilibrium exchange rates and supply-side performance
Gianluca D. Benigno and Christoph Thoenissen
155: Monetary policy and stagflation in the UK
Edward Nelson and Kalin Ognianov Nikolov
154: A monetary model of factor utilisation
Katharine S Neiss and Evi Paraskevi Pappa
153: Do changes in structural factors explain movements in the equilibrium rate of unemployment?
Vincenzo Cassino and Richard Thornton
152: How uncertain are the welfare costs of inflation?
Hasan Bakhshi , Ben Martin and Anthony Yates
151: Other financial corporations: Cinderella or ugly sister of empirical monetary economics?
K Alec Chrystal and Paul Mizen
150: Financial accelerator effects in UK business cycles
Simon Hall
149: Monetary policy rules for an open economy
Nicoletta Batini , Richard John Harrison and Stephen Millard
148: UK inflation in the 1970s and 1980s: the role of output gap mismeasurement
Edward Nelson and Kalin Ognianov Nikolov
147: Hard Times or Great Expectations?: Dividend omissions and dividend cuts by UK firms
Andrew Benito and Garry Young
146: Indicators of fragility in the UK corporate sector
Gertjan W. Vlieghe
145: Skill imbalances in the UK labour market: 1979-99
Pablo Burriel and Jonathan Thomas
144: Costs of banking system instability: some empirical evidence
Glenn Hoggarth , Ricardo Reis and Victoria Saporta
143: Does it pay to be transparent? International evidence from central bank forecasts
Georgios Chortareas , David Stasavage and Gabriel Sterne
142: Band-pass filtering, cointegration, and business cycle analysis
Luca Benati
141: The fallacy of the fiscal theory of the price level, again
Willem Hendrik Buiter
140: ICT and productivity growth in the United Kingdom
Nicholas Oulton
139: The United Kingdom's small banks' crisis of the early 1990s: what were the leading indicators of failure?
Andrew Logan
138: PPP and the real exchange rate-real interest rate differential puzzle revisited: evidence from non-stationary panel data
Georgios Chortareas and Rebecca L. Driver
137: Leading indicator information in UK equity prices: an assessment of economic tracking portfolios
Simon Hayes
136: Crisis costs and debtor discipline: the efficacy of public policy in sovereign debt crises
Prasanna Gai , Simon Hayes and Hyun Song Shin
135: Hybrid inflation and price level targeting
Nicoletta Batini and Anthony Yates
134: Consumption, money and lending: a joint model for the UK household sector
K Alec Chrystal and Paul Mizen
133: Stability of ratings transitions
Pamela Nickell , William Perraudin and Simone Varotto
132: Ratings versus equity-based credit risk modelling: an empirical analysis
Pamela Nickell , William Perraudin and Simone Varotto
131: The structure of credit risk: spread volatility and ratings transitions
Rudiger Kiesel , William Perraudin and Alex Taylor
130: The real interest rate gap as an inflation indicator
Katharine S. Neiss and Edward Nelson
129: Investment-specific technological progress in the United Kingdom
Hasan Bakhshi and Jens Larsen