000003984 001__ 3984 000003984 005__ 20250303150312.0 000003984 0247_ $$a10.3886/E119621V3$$2DOI 000003984 02470 $$a10.3886/E119621$$2DOI 000003984 041__ $$aeng 000003984 084__ $$aD44 Auctions$$02964 000003984 084__ $$aG01 Financial Crises$$03125 000003984 245__ $$aData and Code for: Crisis Management in Canada: Analyzing Default Risk and Liquidity Demand during Financial Stress 000003984 251__ $$a3 000003984 260__ $$bAmerican Economic Association 000003984 269__ $$a2021-04-23 000003984 336__ $$aDataset 000003984 506__ $$aFiles may be downloaded from digital repository linked in the DOI field 000003984 520__ $$aMatlab and Stata code for replication of "Crisis Management in Canada: Analyzing Default Risk and Liquidity Demand during Financial Stress." Data was provided under an NDA from the BoC, hence only the raw code is available for download. <p><p> Data and code for peer-reviewed article published in American Economic Journal: Microeconomics.$$7Abstract 000003984 540__ $$aCreative Commons Attribution 4.0 International$$uhttps://creativecommons.org/licenses/by/4.0/legalcode$$fCC-BY-4.0 000003984 7001_ $$aAllen, Jason$$7Personal$$uBank of Canada$$3https://ror.org/05cc98565$$5ROR 000003984 7001_ $$aHortaçsu, Ali$$7Personal$$uUniversity of Chicago 000003984 7001_ $$aKastl, Jakub$$7Personal$$uPrinceton University 000003984 791__ $$aJournalArticle$$eIsSupplementTo$$iReproducibility package is associated with peer-reviewed article$$w10.1257/mic.20160287$$c2021$$dAmerican Economic Journal: Microeconomics (American Economic Association)$$tCrisis Management in Canada: Analyzing Default Risk and Liquidity Demand during Financial Stress$$2DOI$$j13$$k2$$q243$$o275 000003984 791__ $$aText$$eIsSupplementTo$$iAssociated article is first published as Bank of Canada Staff Working Paper$$w10.34989/swp-2011-17$$c2011$$dBank of Canada$$tAnalyzing Default Risk and Liquidity Demand during a Financial Crisis: The Case of Canada$$2DOI$$jStaff Working Paper$$k2011-17 000003984 791__ $$aDataset$$eIsNewVersionOf$$iDataset is update to an earlier version$$dAmerican Economic Association$$c2020$$tCrisis Management in Canada: Analyzing Default Risk and Liquidity Demand during Financial Stress$$2DOI$$w10.3886/E119621V2$$b2 000003984 791__ $$aDataset$$eIsNewVersionOf$$iDataset is update to an earlier version$$dAmerican Economic Association$$c2020$$tData and Code for: Crisis Management in Canada: Analyzing Default Risk and Liquidity Demand during Financial Stress$$2DOI$$w10.3886/E119621V1$$b1 000003984 8301_ $$aReproducibility Package 000003984 8301_ $$aEnsemble de données pour la reproductibilité des résultats de recherche 000003984 909CO $$ooai:www.oar-rao.bank-banque-canada.ca:3984$$pbibliographic 000003984 937__ $$aAllen, J., A. Hortaçsu and J. Kastl$$b2021$$cCrisis Management in Canada: Analyzing Default Risk and Liquidity Demand during Financial Stress$$dAmerican Economic Journal: Microeconomics$$e13$$f2$$ghttps://doi.org/10.1257/mic.20160287 000003984 980__ $$aStaff Research 000003984 980__ $$aRDM 000003984 980__ $$aResearch Reproducibility Packages 000003984 991__ $$aPublic