Philipp Maier

Bank of Canada - International Department

Assistant Chief

234 Wellington Street

Ontario, Ottawa K1A 0G9

Canada

SCHOLARLY PAPERS

4

DOWNLOADS

1,637

SSRN CITATIONS

10

CROSSREF CITATIONS

4

Scholarly Papers (4)

1.

Hedge Funds and Financial Stability: Regulating Prime Brokers Will Mitigate Systemic Risks

Journal of Financial Stability, Vol. 5, 2009
Number of pages: 15 Posted: 09 Nov 2008 Last Revised: 18 Jun 2009
Michael R. King and Philipp Maier
Gustavson School Of Business and Bank of Canada - International Department
Downloads 1,364 (28,422)
Citation 9

Abstract:

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Hedge funds, Regulation, Systemic crisis, Counterparty risk, LCFIs

2.

Sound Policies or Good Fortune: What Drives Emerging Market Spreads?

Number of pages: 35 Posted: 21 Feb 2008
Philipp Maier and Garima Vasishtha
Bank of Canada - International Department and World Bank
Downloads 102 (499,034)
Citation 1

Abstract:

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Sovereign spreads, emerging markets, factor analysis

3.

Forecasting Economic Growth in the Euro Area During the Great Moderation and the Great Recession

ECB Working Paper No. 1379
Number of pages: 50 Posted: 13 Sep 2011
Marco J. Lombardi and Philipp Maier
Bank for International Settlements (BIS) - Monetary and Economic Department and Bank of Canada - International Department
Downloads 94 (526,779)

Abstract:

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Forecasting, dynamic factor model, PMI model

4.

Forecasting Economic Growth in the Euro Area During the Great Moderation and the Great Recession

Number of pages: 50 Posted: 20 Jun 2013
Marco J. Lombardi and Philipp Maier
Bank for International Settlements (BIS) - Monetary and Economic Department and Bank of Canada - International Department
Downloads 77 (594,255)
Citation 6

Abstract:

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forecasting, dynamic factor model, PMI model