Bank of England working papers
From Bank of England Bank of England, Threadneedle Street, London, EC2R 8AH. Contact information at EDIRC. Bibliographic data for series maintained by Digital Media Team (). Access Statistics for this working paper series.
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- 212: Crisis spillovers in emerging market economies: interlinkages, vulnerabilities and investor behaviour

- Michael Chui, Simon Hall and Ashley Taylor
- 211: An empirical analysis of the dynamic relationship between investment-grade bonds and credit default swaps

- Roberto Blanco, Simon Brennan and Ian Marsh
- 210: Company accounts based modelling of business failures and the implications for financial stability

- Philip Bunn and Victoria Redwood
- 209: Settlement bank behaviour and throughput rules in an RTGS payment system with collateralised intraday credit

- Simon Buckle and Erin Campbell
- 208: A matching model of non-employment and wage pressure

- Andrew Brigden and Jonathan Thomas
- 207: A quantitative framework for commercial property and its relationship to the analysis of the financial stability of the corporate sector

- John Whitley and Richard Windram
- 206: The rise in US household debt: assessing its causes and sustainability

- Sebastian Barnes and Garry Young
- 205: Empirical determinants of emerging market economies' sovereign bond spreads

- Gianluigi Ferrucci
- 204: The dynamics of consumers' expenditure: the UK consumption ECM redux

- Emilio Fernandez-Corugedo, Simon Price and Andrew Blake
- 203: Analytics of sovereign debt restructuring

- Andrew Haldane, Adrian Penalver, Victoria Saporta and Hyun Song Shin
- 202: Credit spreads on sterling corporate bonds and the term structure of UK interest rates

- Jeremy Leake
- 201: Debt maturity structure with pre-emptive creditors

- Prasanna Gai and Hyun Song Shin
- 200: Estimating real interest rates for the United Kingdom

- Jens Larsen, Ben May and James Talbot
- 199: Credit risk diversification: evidence from the eurobond market

- Simone Varotto
- 198: Non-interest income and total income stability

- Rosie Smith, Christos Staikouras and Geoffrey Wood
- 197: E-barter versus fiat money: will central banks survive?

- F H Capie, Dimitrios Tsomocos and Geoffrey E Wood
- 196: UK business investment: long-run elasticities and short-run dynamics

- Colin Ellis and Simon Price
- 195: Forecasting inflation using labour market indicators

- Vincenzo Cassino and Michael Joyce
- 194: A Merton-model approach to assessing the default risk of UK public companies

- Merxe Tudela and Garry Young
- 193: Implicit interest rates and corporate balance sheets: an analysis using aggregate and disaggregated UK data

- Andrew Benito and John Whitley
- 192: Capital stocks, capital services, and depreciation: an integrated framework

- Nicholas Oulton and Sylaja Srinivasan
- 191: Endogenous price stickiness, trend inflation, and the New Keynesian Phillips curve

- Hasan Bakhshi, Pablo Burriel, Hashmat Khan and Barbara Rudolf
- 190: What caused the 2000/01 slowdown? Results from a VAR analysis of G7 GDP components

- Vincent Labhard
- 189: Modelling investment when relative prices are trending: theory and evidence for the United Kingdom

- Hasan Bakhshi, Nicholas Oulton and Jamie Thompson
- 188: The role of asset prices in transmitting monetary and other shocks

- Stephen Millard and Simon J Wells
- 187: Sovereign debt workouts with the IMF as delegated monitor - a common agency approach

- Prasanna Gai and Nicholas Vause
- 186: Ready, willing, and able? Measuring labour availability in the UK

- Mark Schweitzer
- 185: What does economic theory tell us about labour market tightness?

- Andrew Brigden and Jonathan Thomas
- 184: The effect of payments standstills on yields and the maturity structure of international debt

- Benjamin Martin and Adrian Penalver
- 183: Capital flows to emerging markets

- Adrian Penalver
- 182: Import prices and exchange rate pass-through: theory and evidence from the United Kingdom

- Valerie Herzberg, George Kapetanios and Simon Price
- 181: Procyclicality and the new Basel Accord - banks' choice of loan rating system

- Eva Catarineu-Rabell, Patricia Jackson and Dimitrios Tsomocos
- 180: The role of expectations in estimates of the NAIRU in the United States and the United Kingdom

- Rebecca Driver, Jennifer Greenslade and Richard Pierse
- 179: A Kalman filter approach to estimating the UK NAIRU

- Jennifer Greenslade, Richard Pierse and Jumana Saleheen
- 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 Tsomocos
- 174: Money market operations and volatility of UK money market rates

- Anne Wetherilt
- 173: Current accounts, net foreign assets and the implications of cyclical factors

- Matthieu Bussiere, Georgios Chortareas and Rebecca 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 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 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 David Lopez-Salido
- 163: Productivity versus welfare: or, GDP versus Weitzman's NDP

- Nicholas Oulton
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