Cash Management and Payment Choices: A Simulation Model with International Comparisons Staff Working Paper 2013-53 Carlos Arango, Yassine Bouhdaoui, David Bounie, Martina Eschelbach, Lola Hernández Despite various payment innovations, today, cash is still heavily used to pay for low-value purchases. This paper develops a simulation model to test whether standard implications of the theory on cash management and payment choices can explain the use of payment instruments by transaction size. Content Type(s): Staff research, Staff working papers Topic(s): Bank notes, Financial services, International topics JEL Code(s): C, C6, C61, E, E4, E41, E47
Funding Advantage and Market Discipline in the Canadian Banking Sector Staff Working Paper 2013-50 Mehdi Beyhaghi, Chris D'Souza, Gordon S. Roberts We employ a comprehensive data set and a variety of methods to provide evidence on the magnitude of large banks’ funding advantage in Canada, and on the extent to which market discipline exists across different securities issued by the Canadian banks. Content Type(s): Staff research, Staff working papers Topic(s): Financial institutions, Interest rates JEL Code(s): G, G0, G01, G2, G21, G28, G3, G32, G33
A Distributional Approach to Realized Volatility Staff Working Paper 2013-49 Selma Chaker, Nour Meddahi This paper proposes new measures of the integrated variance, measures which use high-frequency bid-ask spreads and quoted depths. The traditional approach assumes that the mid-quote is a good measure of frictionless price. Content Type(s): Staff research, Staff working papers Topic(s): Econometric and statistical methods, Financial markets JEL Code(s): C, C1, C14, C5, C51, C58
December 18, 2013 Results of the 18 December 2013 Term Repo Operation for Balance Sheet Management Purposes The results of today's term repo for balance sheet management purposes operation. Content Type(s): Press, Market notices
December 13, 2013 Weekly Financial Statistics - 13 December 2013 Content Type(s): Publications, Historical: Weekly Financial Statistics
December 12, 2013 Monetary Policy an Exercise in Risk Management, Says Bank of Canada Governor Stephen S. Poloz Media Relations Montréal, Quebec The financial crisis and the considerable uncertainty that has ensued are leading to a progressive redefinition of central banking, Bank of Canada Governor Stephen S. Poloz said today in a speech to the Canadian Club of Montréal. “We assess how risks could interact with each other. We gauge their potential impact. And we use judgment […] Content Type(s): Press, Press releases
December 10, 2013 The Residential Mortgage Market in Canada: A Primer Financial System Review - December 2013 Allan Crawford, Césaire Meh, Jie Zhou Content Type(s): Publications, Financial System Review articles
December 31, 2007 Summary of Government of Canada - Outstanding as at 31 December 2007 Content Type(s): Publications, Historical: Securities and loans
December 31, 2010 Summary of Government of Canada - Outstanding as at 31 December 2010 Content Type(s): Publications, Historical: Securities and loans
December 31, 2011 Summary of Government of Canada - Outstanding as at 31 December 2011 Content Type(s): Publications, Historical: Securities and loans