Details about Chris D'Souza
Access statistics for papers by Chris D'Souza.
Last updated 2021-04-08. Update your information in the RePEc Author Service.
Short-id: pds6
Jump to Journal Articles Chapters
Working Papers
2022
- The Business Leaders’ Pulse—An Online Business Survey
Discussion Papers, Bank of Canada
- Transition Scenarios for Analyzing Climate-Related Financial Risk
Discussion Papers, Bank of Canada View citations (2)
2021
- Qualitative Field Research in Monetary Policy Making
Discussion Papers, Bank of Canada
- Small and smaller: How the economic outlook of small firms relates to size
Staff Analytical Notes, Bank of Canada View citations (1)
2020
- The Canadian corporate investment gap
Staff Analytical Notes, Bank of Canada
2018
- What Is Restraining Non-Energy Export Growth?
Staff Analytical Notes, Bank of Canada View citations (1)
2013
- Funding Advantage and Market Discipline in the Canadian Banking Sector
Staff Working Papers, Bank of Canada View citations (2)
See also Journal Article Funding advantage and market discipline in the Canadian banking sector, Journal of Banking & Finance, Elsevier (2014) View citations (23) (2014)
2008
- The Role of Foreign Exchange Dealers in Providing Overnight Liquidity
Staff Working Papers, Bank of Canada View citations (1)
2007
- Price Formation and Liquidity Provision in Short-Term Fixed Income Markets
Staff Working Papers, Bank of Canada View citations (1)
- Where Does Price Discovery Occur in FX Markets?
Staff Working Papers, Bank of Canada View citations (1)
2004
- The Effects of Economic News on Bond Market Liquidity
Staff Working Papers, Bank of Canada View citations (4)
2003
- An Empirical Analysis of Liquidity and Order Flow in the Brokered Interdealer Market for Government of Canada Bonds
Staff Working Papers, Bank of Canada View citations (9)
2002
- A Market Microstructure Analysis of Foreign Exchange Intervention in Canada
Staff Working Papers, Bank of Canada View citations (9)
- How Do Canadian Banks That Deal in Foreign Exchange Hedge Their Exposure to Risk?
Staff Working Papers, Bank of Canada
- The Effects of Bank Consolidation on Risk Capital Allocation and Market Liquidity
Staff Working Papers, Bank of Canada View citations (2)
See also Journal Article THE EFFECTS OF BANK CONSOLIDATION ON RISK CAPITAL ALLOCATION AND MARKET LIQUIDITY, Journal of Financial Research, Southern Finance Association (2006) View citations (5) (2006) Chapter The effects of bank consolidation on risk capital allocation and market liquidity, BIS Papers chapters, Bank for International Settlements (2002) View citations (1) (2002)
Journal Articles
2017
- The Digital Economy
Bank of Canada Review, 2017, 2017, (Spring), 5-18 View citations (3)
2014
- Funding advantage and market discipline in the Canadian banking sector
Journal of Banking & Finance, 2014, 48, (C), 396-410 View citations (23)
See also Working Paper Funding Advantage and Market Discipline in the Canadian Banking Sector, Staff Working Papers (2013) View citations (2) (2013)
2009
- Collateral Management in the LVTS by Canadian Financial Institutions
Bank of Canada Review, 2009, 2009, (Summer), 3-14
2008
- Price Discovery Across Geographic Locations in the Foreign Exchange Market
Bank of Canada Review, 2008, 2008, (Spring), 19-27 View citations (1)
- The Role of Dealers in Providing Interday Liquidity in the Canadian-Dollar Market
Bank of Canada Review, 2008, 2008-2009, (Winter), 5-16
2006
- THE EFFECTS OF BANK CONSOLIDATION ON RISK CAPITAL ALLOCATION AND MARKET LIQUIDITY
Journal of Financial Research, 2006, 29, (2), 271-291 View citations (5)
See also Working Paper The Effects of Bank Consolidation on Risk Capital Allocation and Market Liquidity, Staff Working Papers (2002) View citations (2) (2002) Chapter The effects of bank consolidation on risk capital allocation and market liquidity, BIS Papers chapters, 2002, 12, 86-109 (2002) View citations (1) (2002)
2004
- The Rationale for Cross-Border Listings
Bank of Canada Review, 2004, 2003-2004, (Winter), 23-30 View citations (3)
- ¿Cómo responden los bancos a los choques de capital?
Monetaria, 2004, XXVII, (1), 33-56
Chapters
2002
- The effects of bank consolidation on risk capital allocation and market liquidity
A chapter in Market functioning and central bank policy, 2002, vol. 12, pp 86-109 View citations (1)
See also Working Paper The Effects of Bank Consolidation on Risk Capital Allocation and Market Liquidity, Bank of Canada (2002) View citations (2) (2002) Journal Article THE EFFECTS OF BANK CONSOLIDATION ON RISK CAPITAL ALLOCATION AND MARKET LIQUIDITY, Southern Finance Association (2006) View citations (5) (2006)
|
The links between different versions of a paper are constructed automatically by matching on the titles.
Please contact if a link is incorrect.
Use this form
to add links between versions where the titles do not match.
|