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RBA Glossary definition for M&A
M&A – mergers and acquisitions
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The Expectations Theory of the Term Structure and Short-Term Interest Rates in Australia
19 Nov 2012
RDP
PDF
664KB
T = number of observations. m number of restrictions. This statistic has a x2 distribution with m degrees of freedom. ... Flavin, M.A. (1983), "Excess Volatility in the Financial Markets: A Reassessment of the Empirical Evidence", Journal of Political
https://www.rba.gov.au/publications/rdp/1986/pdf/rdp8607.pdf
Empirical Strategy
1 Jul 2021
RDP
2021-07
t. k. m. Δ. B. a. n. k. C. o. ... M. a. c. r. o. C. o. n. t. r. o.
https://www.rba.gov.au/publications/rdp/2021/2021-07/empirical-strategy.html
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Macroprudential Limits on Mortgage Products: The Australian Experience
4 Aug 2021
RDP
PDF
2345KB
, , , & ,m investor occupier IO P I Total and by bank b. ... cent), accompanied by a very large decline in occupier credit outstanding ($13 billion).
https://www.rba.gov.au/publications/rdp/2021/pdf/rdp2021-07.pdf
Appendix B: Additional Details on the Model
23 Nov 2020
RDP
2020-07
s. a. m. p. l. e. k. t. o. t. a. ... s. a. m. p. l. e. k. ]. , where k denotes 1-digit ANZSIC 2006 industry division.
https://www.rba.gov.au/publications/rdp/2020/2020-07/appendix-b.html
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MODELLING RECENT DEVELOPMENTS IN AUSTRALIAN ASSET MARKETS: SOME PRELIMINARY ...
18 Apr 2015
RDP
PDF
632KB
r =r 8 a ao 60 rb (1_060)r. Money Rate. Or m = a 19 m - rm) 827 Diog N/A 828 Or. ... A. A. C. C. Cr9. A. E. F9. F. 91. 92.
https://www.rba.gov.au/publications/rdp/1984/pdf/rdp8403.pdf
Trends in the Funding and Lending Behaviour of Australian Banks
2 Feb 2015
RDP
PDF
1090KB
As a result, banks must manage various types of risk, including liquidity and credit risk. ... structures. (a) Includes deposits and intragroup funding for non-residents. Sources: APRA; authors’ calculations.
https://www.rba.gov.au/publications/rdp/2013/pdf/rdp2013-15.pdf
The Model
9 Oct 2019
RDP
2019-10
symmetry) then market illiquidity takes the form. (5). m. =. {. M. (. b. S. l. ). when banks are not liquidity deficient. M. (. S. (. 1. m. ). ). when banks are liquidity deficient. Securities market illiquidity ... Figure 2: Market Illiquidity m
https://www.rba.gov.au/publications/rdp/2019/2019-10/the-model.html
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Bibliography
1 Jun 1986
RDP
8607
13, pp.509–528. Flavin, M.A. (1983), “Excess Volatility in the Financial Markets: A Reassessment of the Empirical Evidence”,. ... Journal of Political Economy. Vol. 91, No. 6 pp.929–956. Flavin, M.A.
https://www.rba.gov.au/publications/rdp/1986/8607/bibliography.html
References
1 Dec 1990
RDP
9011
King, M.A. and D. Fullerton (1984), “The Taxation of Income from Capital”, NBER Working Paper No. ... No. 29. Scott, M.F.G. (1987), “A Note on King and Fullerton's Formulae to Estimate the Taxation of Income from Capital”, Journal of Public
https://www.rba.gov.au/publications/rdp/1990/9011/references.html
References
18 Jan 2022
RDP
2022-01
Altavilla C, L Burlon, M Giannetti and S Holton (2019), ‘Is There a Zero Lower Bound? ... Gervais O and M-A Gosselin (2014), ‘Analyzing and Forecasting the Canadian Economy through the LENS Model’, Bank of Canada Technical Report No 102.
https://www.rba.gov.au/publications/rdp/2022/2022-01/references.html
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