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Bank's Supply Function and the Equilibrium Quantity of Money

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  • Boris P. Pesek

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  • Boris P. Pesek, 1970. "Bank's Supply Function and the Equilibrium Quantity of Money," Canadian Journal of Economics, Canadian Economics Association, vol. 3(3), pages 357-385, August.
  • Handle: RePEc:cje:issued:v:3:y:1970:i:3:p:357-85
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    Cited by:

    1. Guillaume Sarfati & Rozenn Pérès & Christophe-Alain Morel & Thierry Michel, 2003. "Modélisation de la marge d’intermédiation des banques," Économie et Prévision, Programme National Persée, vol. 158(2), pages 47-60.
    2. Allen N. Berger & David B. Humphrey, 1992. "Measurement and Efficiency Issues in Commercial Banking," NBER Chapters,in: Output Measurement in the Service Sectors, pages 245-300 National Bureau of Economic Research, Inc.
    3. J. Christina Wang, 2003. "Loanable funds, risk, and bank service output," Working Papers 03-4, Federal Reserve Bank of Boston.
    4. Christophe Godowski, 2000. "Appréciation du système de coûts bancaires: plaidoyer pour l'adoption d'un réseau d'analyse basé sur les activités," Revue Finance Contrôle Stratégie, revues.org, vol. 3(3), pages 45-71, September.
    5. Kevin Greenidge & Wendell Mcclean, 2000. "The impact of regulatory measures on commercial bank interest rates: A micro analysis of the Barbados case," International Advances in Economic Research, Springer;International Atlantic Economic Society, vol. 6(3), pages 544-556, August.
    6. Lafrance, R., 1982. "Evaluation de L'hypothese de la Moyenne-Variance: une Application au Portefeuille des Banques Canadiennes," Cahiers de recherche 8219, Universite de Montreal, Departement de sciences economiques.

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