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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ F: International Economics
/ / F4: Macroeconomic Aspects of International Trade and Finance
/ / / F41: Open Economy Macroeconomics
This topic is covered by the following reading lists:
  1. SOEP based publications
  2. Mondialisation

Most recent items first, undated at the end.
  • 2017 Modeling the real ruble exchange rate under monetary policy regime change
    by A. Polbin.

  • 2017 The exchange rate susceptibility of European core industries, 1995-2010
    by Leuwer, David & Süßmuth, Bernd

  • 2017 Monetary policy in an oil-dependent economy in the presence of multiple shocks
    by Drygalla, Andrej

  • 2017 Exchange rate movements and export market dynamics: Evidence from China
    by Huang, Xiaobing

  • 2017 Exchange rate implications of Border Tax Adjustment neutrality
    by Buiter, Willem H.

  • 2017 Efikasnost monetarne politike u uvjetima financijske globaliziranosti
    by Josip Tica & Tomislav Globan & Vladimir Arčabić

  • 2017 The macroeconomic effects of international uncertainty shocks
    by Jesus Crespo Cuaresma & Florian Huber & Luca Onorante

  • 2017 The role of US based FDI flows for global output dynamics
    by Florian Huber & Manfred M. Fischer & Philipp Piribauer

  • 2017 Tradability of Output and the Current Account: An Empirical Investigation for Europe
    by Roman Stöllinger

  • 2017 Interest Rate Volatility And Macroeconomic Dynamics: A Cross-Country Analysis
    by Michael Curran & Adnan Velic

  • 2017 Sustained investment surges
    by Emiliano Libman & Juan Antonio Montecino & Arslan Razmi

  • 2017 Impacto de la volatilidad del tipo de cambio real en las exportaciones: Evidencia empírica para Europa, Sudamérica y Oceanía
    by Ronald Miranda & Gabriela Mordecki & Loenel Muinelo

  • 2017 Resolving International Macro Puzzles with Imperfect Risk Sharing and Global Solution Methods
    by Jonathan J Adams & Philip Barrett

  • 2017 Inflation expectations and monetary policy surprises
    by Elena Andreou & Snezana Eminidou & Marios Zachariadis

  • 2017 Resource allocation and productivity across provinces in China
    by Peng Bin & Xiaolan Chen & Andrea Fracasso & Chiara Tomasi

  • 2017 Follow the money: Does the Financial Sector Intermediate Natural Resource Windfalls?
    by Thorsten Beck & Steven Poelhekke

  • 2017 Debt overhang and the macroeconomics of carry trade
    by Sweder J.G. van Wijnbergen & Egle Jakucionyte

  • 2017 Current Account Imbalances, Real Exchange Rates, and Nominal Exchange Rate Variability
    by Adnan Velic

  • 2017 The Currency Composition of International Portfolio Assets
    by Vahagn Galstyan & Caroline Mehigan & Rogelio Mercado

  • 2017 Real Exchange Rate Persistence and Country Characteristics
    by Michael Curran & Adnan Velic

  • 2017 On the Factor Content of Trade
    by George Sorg-Langhans & Clemens Struck & Adnan Velic

  • 2017 Cross-Border Banking and Macroeconomic Determinants
    by Mary Everett & Vahagn Galstyan

  • 2017 International Investment Patterns: The Case of German Sectors
    by Vahagn Galstyan & Adnan Velic

  • 2017 Production Fragmentation and Factor Price Convergence
    by Hulya Saygili

  • 2017 Macro-financial effects of portfolio flows: Malaysia’s experience
    by Hwa, Tng Boon & Raghavan, Mala & Huey, Teh Tian

  • 2017 Inspecting the Mechanism: Leverage and the Great Recession in the Eurozone
    by Philippe Martin & Thomas Philippon

  • 2017 International Inflation Spillovers Through Input Linkages
    by Raphael A. Auer & Andrei A. Levchenko & Philip Sauré

  • 2017 The Balassa-Samuelson Effect Reversed: New Evidence from OECD Countries
    by Matthias Gubler & Christoph Sax

  • 2017 International Real Business Cycle Models with Incomplete Information\
    by Zi-Yi Guo

  • 2017 Financial Intermediation, Resource Allocation, and Macroeconomic Interdependence
    by G. Kemal Ozhan

  • 2017 Financial Intermediation, Resource Allocation, and Macroeconomic Interdependence
    by G. Kemal Ozhan

  • 2017 Do monetary policy announcements affect foreign exchange returns and volatility? Some evidence from high-frequency intra-day South African data
    by Cyril May & Greg Farrell & Jannie Rossouw

  • 2017 Capital controls and foreign currency denomination
    by Fernando Garcia-Barragan & Guangling Liu

  • 2017 Optimal Adjustment Paths in a Monetary Union
    by Ansgar Belke & Daniel Gros

  • 2017 Investment Puzzle: Deeper Roots
    by Kim , Sujin

  • 2017 Spillover Effects of Unconventional Monetary Policy in Asia and the Pacific
    by Punzi, Maria Teresa & Chantapacdepong, Pornpinun

  • 2017 Monetary Policy, Financial Frictions and Structural Changes: A Markov-Switching DSGE Approach
    by Francis Leni Anguyo & Rangan Gupta & Kevin Kotzé

  • 2017 Monetary Policy and Financial Frictions in a Small Open-Economy Model for Uganda
    by Francis Leni Anguyo & Rangan Gupta & Kevin Kotze

  • 2017 Estimation bayésienne d'un modèle DSGE pour une petite économie ouverte : Cas de la RD Congo
    by UMBA, Gilles Bertrand

  • 2017 The relationship between trade openness and economic growth: The case of Ghana and Nigeria
    by Moyo, Clement & Kolisi, Nwabisa & Khobai, Hlalefang

  • 2017 Openness and the Effects of Monetary Policy in Africa
    by Ekpo, Akpan H. & Effiong, Ekpeno L.

  • 2017 Forecasting Inflation in Latin America with Core Measures
    by Pincheira, Pablo & Selaive, Jorge & Nolazco, Jose Luis

  • 2017 Time Varying VAR Analysis for Disaggregated Exchange Rate Pass-through in Tunisia
    by Dahem, Ahlem & Skander, Slim & Fatma, Siala Guermazi

  • 2017 Incidence de l'ouverture économique et de la libéralisation financière des pays de la Communauté Économique des États de l'Afrique de l'Ouest sur leurs activités économiques
    by Kebalo, Léleng

  • 2017 Chocs macroéconomiques et intégration d’une union économique et monétaire: cas du Nigéria
    by Nassirou, Aïchat

  • 2017 Currency choice in international trade: a new monetarist approach and firm-level evidence
    by Liu, Tao & Lu, Dong & Zhang, Ruifeng

  • 2017 The Feldstein-Horioka puzzle and the global recession period: Evidence from South Africa using asymmetric cointegration analysis
    by Phiri, Andrew

  • 2017 The Macroeconomic Effects of Quantitative Easing in the Euro Area: Evidence from an Estimated DSGE Model
    by Hohberger, Stefan & Priftis, Romanos & Vogel, Lukas

  • 2017 Asymmetric Monetary and Exchange Rate Policies in Latin America
    by Libman, Emiliano

  • 2017 Lucas Paradox in the Short-Run
    by Keskinsoy, Bilal

  • 2017 Спектральная Оценка Компоненты Бизнес Цикла Ввп России С Учетом Высокой Зависимости От Условий Торговли
    by Polbin, Andrey & Skrobotov, Anton

  • 2017 Моделирование Реального Курса Рубля В Условиях Изменения Режима Денежно-Кредитной Политики
    by Polbin, Andrey

  • 2017 Lucas Paradox in The Long Run
    by Keskinsoy, Bilal

  • 2017 Extrapolative Expectations and Capital Flows during Convergence
    by Cozzi, Guido & Davenport, Margaret

  • 2017 Explaining International Business Cycle Synchronization: Recursive Preferences and the Terms of Trade Channel
    by Kollmann, Robert

  • 2017 Deposit Flight and Capital Controls: A Tale from Greece
    by Michalis Rousakis & Romanos Priftis

  • 2017 Follow the money: Does the financial sector intermediate natural resources windfalls?
    by Thorsten Beck & Steven Poelhekke

  • 2017 Nominal exchange rate shocks and inflation in an open economy: towards a structuralist inflation targeting agenda
    by Eduardo F. Bastian & Mark Setterfield

  • 2017 The Political Economy of Real Exchange Rate Behavior: Theory and Empirical Evidence for Developed and Developing Countries, 1960-2010
    by Francisco A. Martínez-Hernández

  • 2017 Commodity Booms and Busts in Emerging Economies
    by Thomas Drechsel & Silvana Tenreyro

  • 2017 Real Exchange Rates, Income per Capita, and Sectoral Input Shares
    by Javier Cravino & Samuel E. Haltenhof

  • 2017 Globalization and the Increasing Correlation between Capital Inflows and Outflows
    by J. Scott Davis & Eric van Wincoop

  • 2017 Systematic Managed Floating
    by Jeffrey A. Frankel

  • 2017 Monetary Policy in the Capitals of Capital
    by Elena Gerko & Hélène Rey

  • 2017 Gradual Portfolio Adjustment: Implications for Global Equity Portfolios and Returns
    by Philippe Bacchetta & Eric van Wincoop

  • 2017 Precaution Versus Mercantilism: Reserve Accumulation, Capital Controls, and the Real Exchange Rate
    by Woo Jin Choi & Alan M. Taylor

  • 2017 What can we Learn from Euro-Dollar Tweets?
    by Vahid Gholampour & Eric van Wincoop

  • 2017 International Inflation Spillovers Through Input Linkages
    by Raphael A. Auer & Andrei A. Levchenko & Philip Sauré

  • 2017 The Impact of Brexit on Foreign Investment and Production
    by Ellen R. McGrattan & Andrea Waddle

  • 2017 Aftershocks of Monetary Unification: Hysteresis with a Financial Twist
    by Tamim Bayoumi & Barry Eichengreen

  • 2017 Revisiting the Commodity Curse: A Financial Perspective
    by Enrique Alberola & Gianluca Benigno

  • 2017 Monetary Policy and the Predictability of Nominal Exchange Rates
    by Martin Eichenbaum & Benjamin K. Johannsen & Sergio Rebelo

  • 2017 Austerity in the Aftermath of the Great Recession
    by Christopher L. House & Christian Proebsting & Linda L. Tesar

  • 2017 On the Global Financial Market Integration “Swoosh” and the Trilemma
    by Geert Bekaert & Arnaud Mehl

  • 2017 Gross Capital Inflows to Banks, Corporates and Sovereigns
    by Stefan Avdjiev & Bryan Hardy & Sebnem Kalemli-Ozcan & Luis Servén

  • 2017 Exchange rate forecasting with DSGE models
    by Marcin Kolasa & Michał Rubaszek & Michele Ca' Zorzi

  • 2017 An estimated two-country EA-US model with limited exchange rate pass-through
    by Gregory De Walque & Thomas Lejeune & Yuliya Rychalovska & Rafael Wouters

  • 2017 The EAGLE model for Hungary - a global perspective
    by László Békési & Lorant Kaszab & Szabolcs Szentmihályi

  • 2017 Cross-Border Portfolio Diversification under Trade Linkages
    by Makram Khalil

  • 2017 Real Exchange Rates, Income per Capita, and Sectoral Input Shares
    by Javier Cravino & Samuel E. Haltenhof

  • 2017 International Inflation Spillovers Through Input Linkages
    by Raphael A. Auer & Andrei A. Levchenko & Philip Saure

  • 2017 Financial Shocks,Supply-chain Relationships and the Great Trade Collapse
    by Alok Johri & Terry Yip

  • 2017 Stock-flow Consistent Macroeconomic Models: A Survey
    by Michalis Nikiforos & Gennaro Zezza

  • 2017 Gradual Portfolio Adjustment: Implications for Global Equity Portfolios and Returns
    by Philippe Bacchetta & Eric Van Wincoop

  • 2017 A CVAR scenario for a standard monetary model using theory-consistent expectations
    by Katarina Juselius

  • 2017 Using a Theory-Consistent CVAR Scenario to Test an Exchange Rate Model Based on Imperfect Knowledge
    by Katarina Juselius

  • 2017 Exploring the Nexus between Inflation and Globalization under Inflation Targeting through the Lens of New Zealand’s Experience
    by Ayse Kabukcuoglu & Enrique Martínez-García & Mehmet Ali Soytas

  • 2017 Is the Turkish Current Account Deficit Sustainable?
    by Osman Furkan Abbasoglu & Ayse Imrohoroglu & Ayse Kabukcuoglu

  • 2017 Capital Controls, Macroprudential Regulation, and the Bank Balance Sheet Channel
    by Shigeto Kitano & Kenya Takaku

  • 2017 Assessing the Sustainability of External Imbalances in the European Union
    by António Afonso & Florence Huart & João Tovar Jalles & Piotr Stanek

  • 2017 Money's causal role in exchange rate: Do Divisia monetary aggregates explain more?
    by Taniya Ghosh & Soumya Bhadury

  • 2017 Exchange Rate Pass-Through in the Euro Area
    by Davor Kunovac & Mariarosaria Comunale

  • 2017 Pass-through with low inflation and volatile exchange rates
    by Alexius, Annika & Holmberg, Mikaela

  • 2017 International business cycles: quantifying the effects of a world market for oil
    by Gars, Johan & Olovsson, Conny

  • 2017 The Renminbi: A Warrior for Competitiveness?
    by Pedro Bação & António Portugal Duarte & Matheus Santos

  • 2017 Quantitative Easing by the Fed and International Capital Flows
    by Sameer Khatiwada

  • 2017 Exchange Rate Policies at the Zero Lower Bound
    by Amador, Manuel & Bianchi, Javier & Bocola, Luigi & Perri, Fabrizio

  • 2017 Exporters and Shocks
    by Fitzgerald, Doireann & Haller, Stephanie

  • 2017 The Impact of Brexit on Foreign Investment and Production
    by McGrattan, Ellen R. & Waddle, Andrea L.

  • 2017 International Reserves, Credit Constraints, and Systemic Sudden Stops
    by Samer Shousha

  • 2017 Uncertainty, Curreny Exess Returns, and Risk Reversals
    by Lucas F. Husted & John H. Rogers & Bo Sun

  • 2017 Capital Controls and Monetary Policy Autonomy in a Small Open Economy
    by J. Scott Davis & Ignacio Presno

  • 2017 Good Policies or Good Luck? New Insights on Globalization and the International Monetary Policy Transmission Mechanism
    by Martinez-Garcia, Enrique

  • 2017 Exploring the Nexus Between Inflation and Globalization Under Inflation Targeting Through the Lens of New Zealand’s Experience
    by Kabukcuoglu, Ayse & Martinez-Garcia, Enrique & Soytas, Mehmet A.

  • 2017 Explaining International Business Cycle Synchronization: Recursive Preferences and the Terms of Trade Channel
    by Kollmann, Robert

  • 2017 The Globalisation of Inflation: the Growing Importance of Global Value Chains
    by Auer, Raphael & Borio, Claudio & Filardo, Andrew J.

  • 2017 Unifying Macro Elasticities in International Economics
    by Yilmazkuday, Hakan

  • 2017 The macroeconomic effects of quantitative easing in the Euro area : evidence from an estimated DSGE model
    by HOHBERGER, Stefan; PRIFTIS, Romanos; VOGEL, Lukas

  • 2017 Sources of Borrowing and Fiscal Multipliers
    by Priftis, Romanos; Zimic, Srecko

  • 2017 Incorporating relevant multivariate information for characterizing half-life with an application to purchasing power parity
    by Benjamin Wong

  • 2017 Macro-financial effects of portfolio flows: Malaysia’s experience
    by Tng Boon Hwa & Mala Raghavan & Teh Tian Huey

  • 2017 Explaining international business cycle synchronization: Recursive preferences and the terms of trade channel
    by Robert Kollmann

  • 2017 Revisiting the commodity curse: A financial perspective
    by Enrique Alberola & Gianluca Benigno

  • 2017 Explaining International Business Cycle Synchronization: Recursive Preferences and the Terms of Trade Channel
    by Robert Kollmann

  • 2017 Nominal Exchange Rates and Net Foreign Assets' Dynamics: the Stabilization Role of Valuation Effects
    by Sara Eugeni

  • 2017 Hoarding international reserves and global liquidity expansion, what are the links and do they matter?
    by Nady Rapelanoro

  • 2017 Follow the money: Does the financial sector intermediate natural resource windfalls?
    by Thorsten Beck & Steven Poelhekke

  • 2017 The impact of crude oil prices on stock prices of oil firms: Should upstream-downstream dichotomy in supply chain be ignored?
    by Raymond Swaray & Afees A. Salisu

  • 2017 Financialisation, Debt and Inequality: Export-led Mercantilist and Debt-led Private Demand Boom Economies in a Stock-flow consistent Model
    by Daniel Detzer

  • 2017 External Adjustment in Oil Exporters: The Role of Fiscal Policy and the Exchange Rate
    by Alberto Behar & Armand Fouejieu

  • 2017 Ramsey-optimal Tax Reforms and Real Exchange Rate Dynamics
    by Stephane Auray & Aurelien Eyquem & Paul Gomme

  • 2017 Monetary Policy in the Capitals of Capital
    by Gerko, Elena & Rey, Hélène

  • 2017 Fixed on Flexible: Rethinking Exchange Rate Regimes after the Great Recession
    by Corsetti, Giancarlo & Kuester, Keith & Müller, Gernot

  • 2017 Step away from the zero lower bound: small open economies in a world of secular stagnation
    by Corsetti, Giancarlo & Mavroeidi, Eleonora & Thwaites, Gregory & Wolf, Martin

  • 2017 The Exchange Rate as an Instrument of Monetary Policy
    by Heipertz, Jonas & Mihov, Ilian & Santacreu, Ana Maria

  • 2017 A Tie That Binds: Revisiting the Trilemma in Emerging Market Economies
    by Obstfeld, Maurice & Ostry, Jonathan D. & Qureshi, Mahvash S.

  • 2017 Structural Change and the China Syndrome: Baumol vs Trade Effects
    by Coricelli, Fabrizio & Ravasan, Farshad R

  • 2017 Gradual Portfolio Adjustment: Implications for Global Equity Portfolios and Returns
    by Bacchetta, Philippe & van Wincoop, Eric

  • 2017 Precaution Versus Mercantilism: Reserve Accumulation, Capital Controls, and the Real Exchange Rate
    by Choi, Woo Jin & Taylor, Alan M.

  • 2017 Exchange Rate Policies at the Zero Lower Bound
    by Amador, Manuel & Bianchi, Javier & Bocola, Luigi & Perri, Fabrizio

  • 2017 Explaining International Business Cycle Synchronization: Recursive Preferences and the Terms of Trade Channel
    by Kollmann, Robert

  • 2017 International Inflation Spillovers Through Input Linkages
    by Auer, Raphael & Levchenko, Andrei A. & Sauré, Philip

  • 2017 The globalisation of inflation: the growing importance of global value chains
    by Auer, Raphael & Borio, Claudio & Filardo, Andrew J

  • 2017 Exchange rate implications of Border Tax Adjustment Neutrality
    by Buiter, Willem H.

  • 2017 Follow the money: Does the financial sector intermediate natural resource windfalls?
    by Beck, Thorsten & Poelhekke, Steven

  • 2017 Monetary Policy and the Predictability of Nominal Exchange Rates
    by Eichenbaum, Martin & Johannsen, Benjamin & Rebelo, Sérgio

  • 2017 Revisiting the Commodity Curse: A Financial Perspective
    by Alberola, Enrique & Benigno, Gianluca

  • 2017 Debt Overhang and the Macroeconomics of Carry Trade
    by Jakucionyte, Egle & van Wijnbergen, Sweder

  • 2017 Fiscal policy coordination in currency unions at the effective lower bound
    by Hettig, Thomas & Müller, Gernot

  • 2017 A DSGE Model with Financial Dollarization - the Case of Serbia
    by Mirko Djukic & Tibor Hledik & Jiri Polansky & Ljubica Trajcev & Jan Vlcek

  • 2017 Step away from the zero lower bound: Small open economies in a world of secular stagnation
    by Giancarlo Corsetti & Eleonora Mavroeidi & Gregory Thwaites & Martin Wolf

  • 2017 Fixed on Flexible Rethinking Exchange Rate Regimes after the Great Recession
    by Giancarlo Corsetti & Keith Kuester & Gernot J. Müller

  • 2017 The Dutch Disease in Reverse: Iceland's Natural Experiment
    by Thorvaldur Gylfason & Gylfi Zoega

  • 2017 International Financial Market Integration, Asset Compositions, and the Falling Exchange Rate Pass-Through
    by Almira Enders & Zeno Enders & Mathias Hoffmann

  • 2017 International Inflation Spillovers Through Input Linkages
    by Raphael A. Auer & Andrei A. Levchenko & Philip Sauré

  • 2017 The Globalisation of Inflation: The Growing Importance of Global Value Chains
    by Raphael A. Auer & Claudio Borio & Andrew Filardo

  • 2017 Follow the Money: Does the Financial Sector Intermediate Natural Resource Windfalls?
    by Thorsten Beck & Steven Poelhekke

  • 2017 Managing real exchange rate for economic development :empirical evidences from developing countries
    by Lúcio Otávio Seixas Barbosa & Frederico G. Jayme Jr & Fabrício J. Missio

  • 2017 Countercyclical Capital Regulation in a Small Open Economy DSGE Model
    by Lozej, Matija & Onorante, Luca & Rannenberg, Ansgar

  • 2017 Fixed on Flexible Rethinking Exchange Rate Regimes after the Great Recession
    by Corsetti, G. & Kuester, K & Müller, G. J.

  • 2017 Foreign Financial Deregulation under Flexible and Fixed Exchange Rates
    by Paul J.J. Welfens

  • 2017 A new approach to governance and integration in EMU for an optimal use of economic policy framework - priority to financial union
    by Theodoros S. Papaspyrou

  • 2017 Step away from the zero lower bound: small open economies in a world of secular stagnation
    by Corsetti, Giancarlo & Mavroeidi, Eleonora & Thwaites, Gregory & Wolf, Martin

  • 2017 Commodity Price Risk Management and Fiscal Policy in a Sovereign Default Model
    by López-Martín Bernabé & Leal-Ordoñez Julio C. & Martínez André

  • 2017 Fiscal delegation in a monetary union: instrument assignment and stabilization properties
    by Henrique S. Basso & James Costain

  • 2017 Understanding the Cross-Country Effects of US Technology Shocks
    by Wataru Miyamoto & Thuy Lan Nguyen

  • 2017 Terms-of-Trade and House Price Fluctuations: A Cross-Country Study
    by Paul Corrigan

  • 2017 Modelling and forecasting money demand: divide and conquer
    by César Carrera & Jairo Flores

  • 2017 ¿Todos los flujos de capitales están asociados a auges de los precios de las viviendas? Evaluación empírica
    by Alejandro Jara & Eduardo Olaberría

  • 2017 Reassessing the Effects of Foreign Monetary Policy on Output: New Evidence from Structural and Agnostic Identification Procedures
    by Jorge Alberto Fornero & Roque Esteban Montero & Andrés J. Yany

  • 2017 The Transmission of US Monetary Policy Normalization to Emerging Markets
    by Kólver Hernández

  • 2017 International Spillovers of Monetary Policy
    by

  • 2017 Exchange rate movements and export market dynamics: Evidence from China
    by Huang, Xiaobing

  • 2017 Exchange rate implications of Border Tax Adjustment neutrality
    by Buiter, Willem H.

  • 2017 Global Credit Supply and External Exposure in Turkey
    by Amira Karimova & Ahmet Caliskan & Jamshid Karimov

  • 2017 Wealth inequality and financial development: revisiting the symmetry breaking mechanism
    by Haiping Zhang

  • 2017 Effectiveness of monetary policy: evidence from Turkey
    by S. Burcu Avci & Eray Yucel

  • 2017 Euro area macroeconomic imbalances and their asymmetric reversal: the link between financial integration and income inequality
    by Benedicta Marzinotto

  • 2017 Sudden stops and output: an empirical Markov switching analysis
    by Andreas Bachmann & Stefan Leist

  • 2017 Forecasting South African macroeconomic variables with a Markov-switching small open-economy dynamic stochastic general equilibrium model
    by Mehmet Balcilar & Rangan Gupta & Kevin Kotzé

  • 2017 Dışa Açıklık ile İşsizlik Arasındaki İlişki: Seçilmiş AB Ülkeleri ve Türkiye Üzerine Zamana Göre Değişen Parametreli Bir Analiz Algıları
    by Ramazan EKİNCİ & Osman TÜZÜN & Fatih CEYLAN & Hakan KAHYAOĞLU

  • 2017 A Public Investment Stimulus in Surplus Countries and Its Spillovers in the EA
    by Jan in't Veld

  • 2017 Spatial Analysis of Factors Affecting Iran's Export of the Food and Beverage Industry
    by Akbari, Akram & Pourebadollahan Covich, Mohsen & Mohamadzadeh, Parviz & Rezaei, Setareh

  • 2017 The Effect of Heterogeneous Wage Contracts on Macroeconomic Volatility in a Financially Fragile Economy
    by Kim , Jongheuk

  • 2017 Inter-Region Relative Price Convergence in Korea
    by Moon , Seongman

  • 2017 Exchange Rates and Monetary Fundamentals: Evidence from Turkey
    by Tümtürk, Oğuz

  • 2017 How Important is the Currency Denomination of Exports in Open Economy Models?
    by Michael Dotsey & Margarida Duarte

  • 2017 Foreign Direct and Portfolio Investment in the Contemporary Globalized World: Should They Be Still Treated Separately?
    by Marcin Humanicki & Robert Kelm & Krzysztof Olszewski

  • 2017 Dynamika inflácie v krajinách monetárnej únie: jej vplyv na spoločnú hospodársku politiku
    by Patrik Kupkovič

  • 2017 Budget Rules and Resource Booms and Busts: A Dynamic Stochastic General Equilibrium Analysis
    by Shantayanan Devarajan & Yazid Dissou & Delfin S. Go & Sherman Robinson

  • 2017 It is not your fault, but it is your problem: global financial crisis and emerging markets
    by F. Gulcin Ozkan & D. Filiz Unsal

  • 2017 The Modality of Fiscal Consolidation and Current Account Adjustment
    by Antonis Adam & Thomas Moutos

  • 2017 How would a fiscal shock in Germany affect other European countries? Evidence from a Bayesian GVAR model with sign restrictions
    by Markus Eller & Martin Feldkircher & Florian Huber

  • 2017 Two-Dimensional Monetary Policy Shocks in DSGE-Model Estimated for Russia
    by Shulgin, A.

  • 2017 The Role of Individual Firms in Aggregate Fluctuations: Evidence from Hungary
    by Norbert Czinkán

  • 2017 Indicators Used for the Assessment of the Reserve Adequacy of Emerging and Developing Countries – International Trends in the Mirror of Theories
    by Csávás Csaba & Csom-Bíró Gabriella

  • 2017 Sincronización cíclica en los países de la ALADI/Cyclical Synchronization in ALADI´s Countries
    by RABANAL, CRISTIAN

  • 2017 Bognár József akadémikus tudományos munkássága és szellemi öröksége
    by Kőrösi, István

  • 2017 Capital Controls and Financial Frictions in a Small Open Economy
    by Shigeto Kitano & Kenya Takaku

  • 2017 How Do Emerging Markets Respond to Macroeconomic Shocks? - Dynamic Panel Evidence on the Effects of Disasters
    by Yabin Wang

  • 2017 Real Wage Flexibility, Economic Fluctuations, and Exchange Rate Regimes
    by Hyuk Jae Rhee & Jeongseok Song

  • 2017 Non-Traded Goods and Real Exchange Rate Fluctuations: A Structural VAR Analysis
    by Nestor Azcona

  • 2017 Exchange rate flexibility and financial integration: The case of France 1977-2014
    by Rajarshi Mitra

  • 2017 Do exchange rate and oil price shocks have asymmetric effect on inflation? some evidence from Nigeria
    by Ikechukwu Kelikume

  • 2017 Exchange Rate Behavior in Ghana: Is there a Misalignment?
    by Lordina Amoah & Meshach Jesse Aziakpono

  • 2017 Monetary Transmission Channels In Bangladesh: Evidence From A Floating Exchange Rate Regime
    by Sayera Younus

  • 2017 The Uncoverd Interest Parity Puzzle (Uip): Evidence From Major Currencies
    by Athanasios PETSAS & Theodoros PELAGIDIS

  • 2017 Japanese Mutual Funds before and after the Crisis Outburst: A Style- and Performance-Analysis
    by Stephanos Papadamou & Nikolaos A. Kyriazis & Lydia Mermigka

  • 2017 Causality between Stock Prices and Exchange Rates in Turkey: Empirical Evidence from the ARDL Bounds Test and a Combined Cointegration Approach
    by Turgut Türsoy

  • 2017 Efficiency Analysis of Islamic Banks in the Middle East and North Africa Region: A Bootstrap DEA Approach
    by Raéf Bahrini

  • 2017 FDI Inflows, Price and Exchange Rate Volatility: New Empirical Evidence from Latin America
    by Silvia Dal Bianco & Nguyen Cong To Loan

  • 2017 Capital Markets, Infrastructure Investment and Growth in the Asia Pacific Region
    by Michael Regan

  • 2017 Policy Impact on the Chinese Stock Market: From the 1994 Bailout Policies to the 2015 Shanghai-Hong Kong Stock Connect
    by Yang-Chao Wang & Jui-Jung Tsai & Qiaoqiao Li

  • 2017 Acknowledgement to Reviewers of the International Journal of Financial Studies in 2016
    by International Journal of Financial Studies Editorial Office

  • 2017 Effectiveness of Weather Derivatives as a Risk Management Tool in Food Retail: The Case of Croatia
    by Ivana Štulec

  • 2017 What Should You Pay to Cap your ARM?—A Note on Capped Adjustable Rate Mortgages
    by Maj-Britt Nordfang

  • 2017 New Insight into the Finance-Energy Nexus: Disaggregated Evidence from Turkish Sectors
    by Mert Topcu & Bulent Altay

  • 2017 Ticaret Savaşları ve Dünya Ekonomisine Etkileri
    by Nuran ERTÜRK

  • 2017 What Determines the Current Account: Intratemporal versus Intertemporal Factors
    by Piotr Dybka & Michal Rubaszek

  • 2017 Global Economy and the Australian Dollar
    by Mehdi MONADJEMI & John LODEWIJKS

  • 2017 Great Crash of 2008 and Oil Price Rise
    by Mehdi S. MONADJEMI

  • 2017 Real-wage versus wage-share targets in an open-economy model of the wage and price dynamics
    by Søren Harck

  • 2017 The terms of trade, the external balance, and the size of the net foreign asset position
    by Erauskin, Iñaki & Gardeazabal, Javier

  • 2017 Estimating the effects of FX-related macroprudential policies in Korea
    by Kim, Kyungmin & Lee, Joo Yong

  • 2017 Metal prices and stock market performance: Is there an empirical link?
    by Irandoust, Manuchehr

  • 2017 The savings and investment relationship: The Feldstein–Horioka puzzle revisited
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  • 2017 Unravelling the structure of Turkish exports: Impediments and policy
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  • 2017 Emerging economies’ short-term private external debt as evidence of economic crisis
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  • 2017 Fiscal policy in a small open economy with cross-border labor mobility
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  • 2017 Factor-biased public capital and private capital crowding out
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  • 2017 Inflation, expectation, and the real economy in Japan
    by Ono, Masanori

  • 2017 The PPP approach revisited: A study of RMB valuation against the USD
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  • 2017 The real exchange rate in the long run: Balassa-Samuelson effects reconsidered
    by Bordo, Michael D. & Choudhri, Ehsan U. & Fazio, Giorgio & MacDonald, Ronald

  • 2017 The first arrow hitting the currency target: A long-run risk perspective
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  • 2017 Risk sharing and real exchange rates: The role of non-tradable sector and trend shocks
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  • 2017 Inflation responses to commodity price shocks – How and why do countries differ?
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  • 2017 Inattentive consumers and international business cycles
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  • 2017 Following the leader? The relevance of the Fed funds rate for inflation targeting countries
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  • 2017 Debt thresholds and real exchange rates: An emerging markets perspective
    by Galstyan, Vahagn & Velic, Adnan

  • 2017 Sector heterogeneity and credit market imperfections in emerging markets
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  • 2017 Are there differences in the effectiveness of quantitative easing at the zero-lower-bound in Japan over time?
    by Michaelis, Henrike & Watzka, Sebastian

  • 2017 Joining the club? Procyclicality of private capital inflows in lower income developing economies
    by Araujo, Juliana D. & David, Antonio C. & van Hombeeck, Carlos & Papageorgiou, Chris

  • 2017 Central banks and macroeconomic policy choices: Relaxing the trilemma
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  • 2017 A vehicle currency country's welfare under optimal monetary policy
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  • 2017 Can monetary policy cause the uncovered interest parity puzzle?
    by Park, Cheolbeom & Park, Sookyung

  • 2017 Is the Feldstein-Horioka puzzle still with us? National saving-investment dynamics and international capital mobility: A panel data analysis across EU member countries
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  • 2017 The role of confidence shocks in business cycles and their global dimension
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  • 2017 Revisiting the commodity curse: A financial perspective
    by Alberola, Enrique & Benigno, Gianluca

  • 2017 World shocks, world prices, and business cycles: An empirical investigation
    by Fernández, Andrés & Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2017 Exchange rate forecasting with DSGE models
    by Ca’ Zorzi, Michele & Kolasa, Marcin & Rubaszek, Michał

  • 2017 Understanding the cross-country effects of U.S. technology shocks
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  • 2017 Financial frictions and policy cooperation: A case with monopolistic banking and staggered loan contracts
    by Fujiwara, Ippei & Teranishi, Yuki

  • 2017 Competitive tax reforms in a monetary union with endogenous entry and tradability
    by Auray, Stéphane & Eyquem, Aurélien & Ma, Xiaofei

  • 2017 Impact of pension system structure on international financial capital allocation
    by Staveley-O’Carroll, James & Staveley-O’Carroll, Olena M.

  • 2017 The output costs of hard and soft sovereign default
    by Trebesch, Christoph & Zabel, Michael

  • 2017 Trade and synchronization in a multi-country economy
    by Juvenal, Luciana & Santos Monteiro, Paulo

  • 2017 Time-intensive R&D and unbalanced trade
    by Sauré, Philip

  • 2017 A note on the estimation of import trade demand functions
    by Giansoldati, Marco & Gregori, Tullio

  • 2017 Trade balance volatility and consumption structures in small open economies
    by Ikeda, Akihiko

  • 2017 The timing of uncertainty shocks in a small open economy
    by Armelius, Hanna & Hull, Isaiah & Stenbacka Köhler, Hanna

  • 2017 Capital market liberalization: Optimal tradeoff and bargaining delay
    by Dong, Baomin & Gu, Xinhua & Song, Huasheng

  • 2017 Asset price targeting in an open economy with cognitive limitations: The best for macroeconomic and financial stability?
    by Yeh, Kuo-chun

  • 2017 Output stabilization in fixed and floating regimes: Does trade of new products matter?
    by Cavallari, Lilia & D'Addona, Stefano

  • 2017 Investigating Global Imbalances: Empirical evidence from a GVAR approach
    by Bettendorf, Timo

  • 2017 How does global demand for financial services promote domestic growth in Luxembourg? A dynamic general equilibrium analysis
    by Marchiori, Luca & Pierrard, Olivier

  • 2017 Structural economic vulnerability, openness and bilateral development aid flows
    by Gnangnon, Sèna Kimm

  • 2017 The role of export composition in export-led growth in Australia and its regions
    by Shafiullah, Muhammad & Selvanathan, Saroja & Naranpanawa, Athula

  • 2017 Elastic attention, risk sharing, and international comovements
    by Li, Wei & Luo, Yulei & Nie, Jun

  • 2017 Composite habits and international transmission of business cycles
    by Dmitriev, Alexandre

  • 2017 Global slack and open economy Phillips curves – A province-level view from China
    by Chen, Changsheng & Girardin, Eric & Mehrotra, Aaron

  • 2017 Impact of Non-oil Export on Non-oil Economic Growth in Saudi Arabia
    by Mohammed A Aljebrin

  • 2017 Bankruptcy of Lehman Brothers: Determinants of Cross-country Impacts on Stock Market Volatility
    by Daehwan Kim & Chi-Young Song

  • 2017 Investigate the Effect of Exchange Rate Volatility on the Demand for Life Insurance in Iran
    by Maryam Hosseinzadeh & Saeed Daei-Karimzadeh

  • 2017 The Impact of Macroeconomic, Oil Prices and Socio-economic Factors on Exchange Rate in Pakistan: An Auto Regressive Distributed Lag Approach
    by Suresh Ramakrishnan & Shamaila Butt & Melati Ahmad Anuar

  • 2017 Effect of Fiscal Policy and Trade Openness on Economic Growth in Indonesia: 1990-2015
    by Nursini Nursini

  • 2017 Adjustment to small, large, and sunspot shocks in open economies with stock collateral constraints
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2017 Optimal v. simple financial policy rules in a production economy with “liability dollarization”
    by Juan M. Hernandez & Enrique G. Mendoza

  • 2017 Real exchange rate fluctuations, wage stickiness and tradability
    by Kanda Naknoi

  • 2017 Wealth effects on world private financial saving
    by Ray C. Fair

  • 2017 To Be or Not to Be in the Ruble Zone: Lessons from the Baltic States
    by Natalia Levenko & Karsten Staehr

  • 2017 Determinants of inflation differentials in the euro area: Is the New Keynesian Phillips Curve enough?
    by Sérgio Lagoa

  • 2017 Romer was right on openness and inflation: Evidence from Sub-Saharan Africa
    by Faqin Lin & Dongzhou Mei & Huanhuan Wang & Xi Yao

  • 2017 The Relation of Brexit with the UK’s QE Decisions and its Impact on the Eurozone
    by Νikolaos A. Kyriazis & Emmanouil M.L. Economou

  • 2017 Is Real Depreciation or Rising Government Debt Contractionary in India? A Simultaneous-Equation Model
    by Hsing Yu & Hsieh Wen-jen

  • 2017 Impact of Remittances on Economic Growth in Developing Countries: The Role of Openness
    by Ghosh Dastidar Sayantan

  • 2017 Exchange rate policy and the role of non-traded goods prices in real exchange rate fluctuations
    by Azcona Nestor

  • 2017 The Feldstein-Horioka hypothesis revisited
    by Dzhumashev Ratbek & Cooray Arusha

  • 2017 La création monétaire au sein de la zone euro limitée par les ventes de titres de dette par des non-résidents
    by ANDRÉ, J. & ROERO, C. & FEGAR, G. & MOSQUERA YON, T.

  • 2017 The Role Of Remittances In The Stability Of Money Demand In Pakistan: A Cointegration Analysis
    by Niaz Hussain Ghumro & Mohd Zaini Abd Karim

  • 2017 The Impact Of Public Debt On The Twin Imbalances In Europe: A Threshold Model
    by Veronika Šuliková & Anna Tykhonenko

  • 2017 Optimal v. simple financial policy rules in a production economy with “liability dollarization
    by Juan M. Hernandez & Enrique G. Mendoza

  • 2017 Adjustment to small, large, and sunspot shocks in open economies with stock collateral constraints
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2017 The modern challenges of fiscal and monetary policy in the Republic of Armenia
    by Karen S. Sargsyan

  • 2017 Optimal Sovereign Default
    by Klaus Adam & Michael Grill

  • 2017 Misallocation and the Distribution of Global Volatility
    by Maya Eden

  • 2017 Price Setting in Online Markets: Basic Facts, International Comparisons, and Cross-Border Integration
    by Yuriy Gorodnichenko & Oleksandr Talavera

  • 2016 Disminución de Precios de Commodities en un Ambiente de ‘Enfermedad Holandesa’ y ‘Bendición/Maldición de los Recursos Naturales’
    by Barja, Gover & Zavaleta, David

  • 2016 Forecasting South African Macroeconomic Variables with a Markov-Switching Small Open-Economy Dynamic Stochastic General Equilibrium Model
    by Mehmet Balcilar & Rangan Gupta & Kevin Kotze

  • 2016 Openness of the Russian economy as a source of economic growth
    by P. Kadochnikov & A. Knobel & S. Sinelnikov-Murylev.

  • 2016 Real exchange rate targeting
    by S. Moiseev & I. Pantina.

  • 2016 Adventures of the optimum currency areas theory
    by S. Moiseev.

  • 2016 Optimal Monetary Policy in a Currency Union: Implications of Country-specific Financial Frictions
    by Prof. Dr. Jochen Michaelis & Jakob Palek

  • 2016 Optimal Fiscal Substitutes For The Exchange Rate In A Monetary Union
    by Kaufmann, Christoph

  • 2016 The Inherent Benefit of Monetary Unions
    by Groll, Dominik & Monacelli, Tommaso

  • 2016 Persistence and Volatility of Real Exchange Rates: The Role of Supply Shocks Revisited
    by Gehrke, Britta & Yao, Fang

  • 2016 Migration, Unemployment and the Business Cycle - A Euro Area Perspective
    by Clemens, Marius

  • 2016 Budget-neutral fiscal rules targeting inflation differentials
    by Brede, Maren

  • 2016 International Financial Market Integration, Asset Compositions, and the Falling Exchange Rate Pass-Through
    by Enders, Zeno & Buzaushina, Almira & Hoffmann, Mathias

  • 2016 The Post-Crisis Slump in the Euro Area and the US: Evidence from an Estimated Three-Region DSGE Model
    by Vogel, Lukas & Kollmann, Robert & Pataracchia, Beatrice & Ratto, Marco & Roeger, Werner

  • 2016 Optimal adjustment paths in a monetary union
    by Belke, Ansgar & Gros, Daniel

  • 2016 Macroeconomic trade effects of vehicle currencies: Evidence from 19th century China
    by El-Shagi, Makram & Zhang, Lin

  • 2016 Currency devaluations, aggregate demand, and debt dynamics in an economy with foreign currency liabilities
    by Köhler, Karsten

  • 2016 Long-run convergence in a neo-Kaleckian open-economy model with autonomous export growth
    by Won Jun Nah & Lavoie, Marc

  • 2016 Financialisation, debt and inequality: Scenarios based on a stock flow consistent model
    by Detzer, Daniel

  • 2016 The inherent benefit of monetary unions
    by Groll, Dominik & Monacelli, Tommaso

  • 2016 Inter-industry trade and business cycle dynamics
    by Lechthaler, Wolfgang & Mileva, Mariya

  • 2016 The effects of competitiveness on trade balance: The case of Southern Europe
    by Bajo Rubio, Oscar & Berke, Burcu & Esteve García, Vicente

  • 2016 Welfare effects of TTIP in a DSGE model
    by Engler, Philipp & Tervala, Juha

  • 2016 An incomplete markets explanation of the UIP puzzle
    by Rabitsch, Katrin

  • 2016 Optimal fiscal substitutes for the exchange rate in a monetary union
    by Kaufmann, Christoph

  • 2016 Does the Foreign Income Shock in a Small Open Economy DSGE Model Fit Croatian Data?
    by Vladimir Arčabić & Tomislav Globan & Ozana Nadoveza & Lucija Rogić Dumančić & Josip Tica

  • 2016 Macroeconomic Effects of Productivity Shocks – A VAR Model of a Small Open Economy
    by Vladimir Arčabić & Tomislav Globan & Ozana Nadoveza & Lucija Rogić Dumančić & Josip Tica

  • 2016 Monetary Policy Effectiveness, Net Foreign Currency Exposure and Financial Globalisation
    by Josip Tica & Tomislav Globan & Vladimir Arčabić

  • 2016 Real Exchange Rates, Current Accounts and Competitiveness Issues in the Euro Area
    by Rajmund Mirdala

  • 2016 Exchange Rate Pass-Through in the Euro Area
    by Rajmund Mirdala

  • 2016 Evaluation of unconventional monetary policy in a small open economy
    by Martin Pietrzak

  • 2016 Trend Fundamentals and Exchange Rate Dynamics
    by Florian Huber & Daniel Kaufmann

  • 2016 Real Exchange Rate Persistence and Country Characteristics
    by Michael Curran & Adnan Velic

  • 2016 Estimating the effects of global uncertainty in open economies
    by Silvia Delrio

  • 2016 Can indeterminacy and self-fulfilling expectations help explain international business cycles?
    by Stephen McKnight & Laura Povoledo

  • 2016 Pricing behaviour and the role of trade openness in the transmission of monetary shocks
    by Laura Povoledo

  • 2016 Tourism demand for Mexico and Uruguay
    by Gabriela Mordecki & Ana Leiva & Nathalie Desplas

  • 2016 Imperfect Mobility Of Labor Across Sectors And Fiscal Transmission
    by Olivier Cardi & Peter Claeys & Romain Restout

  • 2016 Interest rates, Eurobonds and intra-European exchange rate misalignments: The challenge of sustainable adjustments in the Eurozone
    by Vincent Duwicquet & Jacques Mazier & Jamel Saadaoui

  • 2016 Technical change biased toward the traded sector and labor market frictions
    by Luisito Bertinelli & Olivier Cardi & Romain Restout

  • 2016 Are Capital Inflows Expansionary or Contractionary in the Philippines?
    by Rogelio Mercado Jr.

  • 2016 Competing Gains From Trade
    by Clemens Struck & Adnan Velic

  • 2016 Taxation, Debt and Relative Prices in the Long Run: The Irish Experience
    by Vahagn Galstyan & Adnan Velic

  • 2016 The Holders and Issuers of International Portfolio Securities
    by Vahagn Galstyan & Philip R. Lane & Caroline Mehigan & Rogelio Mercado

  • 2016 Public Debt and Relative Prices in a Cross-Section of Countries
    by Vahagn Galstyan & Adnan Velic

  • 2016 Bilateral Adjustment of Bank Assets: Boom and Bust
    by Caroline Mehigan &

  • 2016 Co-movement of Exchange Rates with Interest Rate Differential, Risk Premium and FED Policy in “Fragile Economies”
    by M. Utku Ozmen & Erdal Yilmaz

  • 2016 The implications of liquidity expansion in China for the US dollar
    by Kang, Wensheng & Ratti, Ronald. A. & Vespignani, Joaquin

  • 2016 South Africa's real business cycles: The cycle is the trend
    by Hilary Patroba & Leroi Raputsoane

  • 2016 International Risk Sharing in the EMU
    by Alessandro Ferrari & Anna Rogantini Picco

  • 2016 Does foreign sector help forecast domestic variables in DSGE models?
    by Marcin Kolasa & Michal Rubaszek

  • 2016 Equilibrium foreign currency mortgages
    by Marcin Kolasa

  • 2016 Effects of Government Consumption shocks in China, Japan, and Korea
    by Minju Jeong

  • 2016 The New Open Regionalism of the Pacific Pumas: The Transpacific Bridge of Latin America into the Asian market
    by Julio cesar Ramirez Montañez

  • 2016 A Survey On The Factors Affecting Current Account Balance Of Turkey: Evidence From Ardl-Bounds Testing Approach
    by GÖKHAN ÖZDAMAR

  • 2016 Exchange Rate Movement of Developing Countries like India: An Alternative Theoretical Framework
    by Atulan Guha

  • 2016 The determinants of errors and omissions in a small and open economy: The case of Slovakia
    by Maria Siranova & Menbere Workie Tiruneh

  • 2016 Country Portfolios, Collateral Constraints and Optimal Monetary Policy
    by Ozge Senay & Alan Sutherland

  • 2016 Optimal Monetary Policy, Exchange Rate Misalignments and Incomplete Financial Markets
    by Ozge Senay & Alan Sutherland

  • 2016 Country Portfolios, Collateral Constraints and Optimal Monetary Policy
    by Ozge Senay & Alan Sutherland

  • 2016 Optimal Monetary Policy, Exchange Rate Misalignments and Incomplete Financial Markets
    by Ozge Senay & Alan Sutherland

  • 2016 The behaviour of the real effective exchange rate of South Africa: is there a misalignment?
    by Melvin M Khomo & Meshach J Aziakpono

  • 2016 South Africa’s real business cycles: The Cycle is the trend
    by Hilary Patroba & Leroi Raputsoane

  • 2016 Optimal adjustment paths in a monetary union
    by Ansgar Belke & Daniel Gros

  • 2016 Exit Risks and Contagion in the Euro Area
    by Canofari, Paolo & Messori, Marcello

  • 2016 Growth Volatility and Export Diversity in OIC Countries
    by Ali, Salman Syed

  • 2016 Capital Inflow Surges and Consequences
    by Ghosh, Atish R. & Qureshi, Mahvash S.

  • 2016 Effects of the People’s Republic of China’s Structural Change on the Exports of East and Southeast Asian Economies
    by Lee, Hyun-Hoon & Park, Donghyun & Shin, Kwanho

  • 2016 What Do Latin American Inflation Targeters Care About? A Comparative Bayesian Estimation of Central Bank Preferences
    by Stephen McKnight & Alexander Mihailov & Antonio Pompa Rangel

  • 2016 Contribución de los choques externos en el Crecimiento Económico del Perú: un modelo semi-estructural
    by Nolazco, José Luis & Lengua-Lafosse, Patricia & Céspedes, Nikita

  • 2016 Contractual Imperfections and the Impact of Crises on Trade: Evidence from Industry-Level Data
    by Castellares, Renzo & Salas, Jorge

  • 2016 Monetary Policy with Imperfect Knowledge in a Small Open Economy
    by Yu-chin Chen & Pisut Kulthanavit

  • 2016 Macroprudential Policy in a Bubble-Creation Economy
    by Pongsak Luangaram & Athakrit Thepmongkol

  • 2016 International Business Cycle and Financial Intermediation
    by Tamas Csabafi & Max Gillman & Ruthira Naraidoo

  • 2016 Current account sustainability in SAARC economies: Evidence from combined cointegration approach
    by Sahoo, Manoranjan & babu, M. Suresh & Dash, Umakant

  • 2016 Long run sustainability of current account balance of China and India: New evidence from combined cointegration test
    by Sahoo, Manoranjan & Babu, M. Suresh & Dash, Umakant

  • 2016 Nexus between defense expenditure and economic growth in BRIC economies: An empirical investigation
    by Dash, Devi Prasad & Bal, Debi Prasad & Sahoo, Manoranjan

  • 2016 Should the Reserve Bank worry about the exchange rate?
    by Nguyen, Luan

  • 2016 Exchange rate Pass-through and Monetary Policy in Transition Economy: Evidence from Tunisia with disaggregated VAR Analysis
    by Dahem, Ahlem & Siala Guermazi, Fatma

  • 2016 Exchange Rate Trends and Export Performance in Nigeria: A Descriptive Approach
    by OWURU, Joel & FARAYIBI, Adesoji

  • 2016 Unravelling the Structure of Turkish Exports: Impediments and Policy
    by Guncavdi, Oner & Kayam, Saime Suna

  • 2016 Dynamic Analysis of Health Status in a Small Open Economy
    by Kawagishi, Taketo & Nakamoto, Yasuhiro

  • 2016 Asymmetric Effects of Exchange Rate Changes on British Bilateral Trade Balances
    by BAHMANI-OSKOOEE, Mohsen & HALICIOGLU, Ferda & GHODSI, Seyed Hesam

  • 2016 Risk sharing among economic sectors
    by Faruk, Balli & Eleonora, Pierucci

  • 2016 South african exchange rate after 2000s: an econometric investigation
    by Kebalo, Leleng

  • 2016 The Forward Premium Bias, Carry Trade Return and the Risks of Volatility and Liquidity
    by Shehadeh, Ali & Li, Youwei & Moore, Michael

  • 2016 The Building Up of New Imbalances in China: The Dilemma with ‘Rebalancing’
    by Wagner, Prof. Dr. Helmut

  • 2016 Analysis of tax effects on consolidated household/government debts of a nation in a monetary union under classical dichotomy
    by Kim, Minseong

  • 2016 Effectiveness of Monetary Policy: Evidence from Turkey
    by Avci, S. Burcu & Yucel, Eray

  • 2016 How accounting accuracy affects DSGE models
    by Kim, Minseong

  • 2016 How accounting accuracy affects DSGE models
    by Kim, Minseong

  • 2016 Trade finance and international currency: a moneatary search approach
    by Liu, Tao

  • 2016 Long run convergence in a neo-Kaleckian open-economy model with autonomous export growth
    by Won Jun Nah & Marc Lavoie

  • 2016 The Effect of Monetary Policy Shocks in the United Kingdom: an External Instruments Approach
    by Francesco Zanetti & Wei Li

  • 2016 Does institutional quality resolve the Lucas Paradox?
    by Muhammad Akhtaruzzaman & Christopher Hajzler & P. Dorian Owen

  • 2016 Exchange Rate Pass-Through to Domestic Prices in the European Transition Economies
    by Rajmund Mirdala

  • 2016 Macroeconomic Impact of International Reserves: Empirical Evidence from South Asia
    by Prakash Kumar Shrestha, Ph.D.

  • 2016 Real Exchange Rate, Effective Demand, and Economic Growth: Theory and Empirical Evidence for Developed and Developing Countries, 1960-2010
    by Francisco A. Martínez-Hernández

  • 2016 Euro Area Imbalances: Measuring the Contribution of Expenditure Growth and Expenditure Switching
    by Enno Schröder

  • 2016 Adjustment to Small, Large, and Sunspot Shocks in Open Economies With Stock Collateral Constraints
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2016 The Interest Rate Effect on Private Saving: Alternative Perspectives
    by Joshua Aizenman & Yin-Wong Cheung & Hiro Ito

  • 2016 Take the Short Route: Equilibrium Default and Debt Maturity
    by Mark Aguiar & Manuel Amador & Hugo Hopenhayn & Iván Werning

  • 2016 World Shocks, World Prices, and Business Cycles: An Empirical Investigation
    by Andrés Fernández & Stephanie Schmitt-Grohé & Martín Uribe

  • 2016 International Financial Adjustment in a Canonical Open Economy Growth Model
    by Richard H. Clarida & Ildikó Magyari

  • 2016 Balance Sheet Effects on Monetary and Financial Spillovers: The East Asian Crisis Plus 20
    by Joshua Aizenman & Menzie D. Chinn & Hiro Ito

  • 2016 House Valuations and Economic Growth: Some International Evidence
    by Joshua Aizenman & Yothin Jinjarak & Huanhuan Zheng

  • 2016 Israel and the 1990-2015 Global Developments: Riding with the Global Flows and Weathering the Storms
    by Assaf Razin & Steven Rosefielde

  • 2016 On What States Do Prices Depend? Answers From Ecuador
    by Craig Benedict & Mario J. Crucini & Anthony Landry

  • 2016 Understanding the Gains from Wage Flexibility: The Exchange Rate Connection
    by Jordi Galí & Tommaso Monacelli

  • 2016 Is Optimal Capital-Control Policy Countercyclical In Open-Economy Models With Collateral Constraints?
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2016 Trends and Cycles in Small Open Economies: Making The Case For A General Equilibrium Approach
    by Kan Chen & Mario Crucini

  • 2016 East Asian Economies and Financial Globalization In the Post-Crisis World
    by Joshua Aizenman & Hiro Ito

  • 2016 Multiple Equilibria in Open Economy Models with Collateral Constraints: Overborrowing Revisited
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2016 Optimal Capital Controls and Real Exchange Rate Policies: A Pecuniary Externality Perspective
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2016 Optimal Reserves in Financially Closed Economies
    by Olivier Jeanne & Damiano Sandri

  • 2016 Market Reforms in the Time of Imbalance
    by Matteo Cacciatore & Romain Duval & Giuseppe Fiori & Fabio Ghironi

  • 2016 Optimal Currency Area: A 20th Century Idea For the 21st Century?
    by Joshua Aizenman

  • 2016 Financial Frictions and Unconventional Monetary Policy in Emerging Economies
    by Roberto Chang & Andrés Velasco

  • 2016 On the Desirability of Capital Controls
    by Jonathan Heathcote & Fabrizio Perri

  • 2016 International Channels of Transmission of Monetary Policy and the Mundellian Trilemma
    by Hélène Rey

  • 2016 Inequality, fiscal policy, and business cycle anomalies in emerging markets
    by Amanda Michaud & Jacek Rothert

  • 2016 Competition and product mix adjustment of multi-product exporters : Evidence from Belgium
    by Koen Breemersch

  • 2016 A European Disease? Non-tradable inflation and real interest rate divergence
    by Sophie Piton

  • 2016 Real Exchange Rates and Growth
    by Duygu Yolcu Karadam & Erdal Özmen

  • 2016 Empirical Investigation of Purchasing Power Parity for Turkey: Evidence from Recent Nonlinear Unit Root Tests
    by Dilem Yıldırım

  • 2016 Captial Accumulation and the Welfare Gains from Trade
    by Wyatt J. Brooks & Pau S. Pujolas

  • 2016 Assessment of the Impact of Fiscal Policy on the Current Account – the Twin Deficit Hypothesis in the Case of Macedonian Economy
    by Vesna Stojcevska & Mite Miteski

  • 2016 Variety and Quality in Trade Dynamics
    by Hamano Masashige

  • 2016 Productivity Gains Biased Toward the Traded Sector and Labor Market Frictions
    by Luisito Bertinelli & Olivier Cardi & Romain Restout

  • 2016 The role of price and cost competitiveness for intra- and extra-euro area trade of euro area countries
    by Elena Bobeica & Olegs Tkacevs & Styliani Christodoulopoulou

  • 2016 Aging, Informality and Public Policies in a Small Open Economy
    by Daniel Baksa & Mihnea Constantinescu & Zsuzsa Munkacsi

  • 2016 The Greek Public Debt Problem
    by Michalis Nikiforos & Dimitri B. Papadimitriou & Gennaro Zezza

  • 2016 What Helps Forecast U.S. Inflation?—Mind the Gap!
    by Ayse Kabukcuoglu & Enrique Martínez-García

  • 2016 Remittances over the Business Cycle: Theory and Evidence
    by Supriyo De & Ergys Islamaj & Ayhan Kose & S. Reza Yousefi

  • 2016 Capital Controls and Financial Frictions in a Small Open Economy
    by Shigeto Kitano & Kenya Takaku

  • 2016 Capital Controls as a Credit Policy Tool in a Small Open Economy
    by Shigeto Kitano & Kenya Takaku

  • 2016 Optimal Fiscal Substitutes for the Exchange Rate in a Monetary Union
    by Christoph Kaufmann

  • 2016 Cross-Country Evidence on Monetary Policy Autonomy: A Markov Regime Switching Approach
    by Hang Zhou

  • 2016 Value-added Trade, Exchange Rate Pass-Through and Trade Elasticity: Revisiting the Trade Competitiveness
    by Syed Al-Helal Uddin

  • 2016 Raising public debt, structural reduction of interest, end of the economic crisis
    by Giuseppe Vitaletti

  • 2016 Measuring quality, willingness to pay and selling capacity at a country-product-destination level using aggregate trade data
    by Francesco Di Comite

  • 2016 Cross-Border Banking and Business Cycles in Asymmetric Currency Unions
    by Lena Dräger & Christian Proaño

  • 2016 Sustainable International Monetary Policy Cooperation
    by Ippei Fujiwara & Timothy Kam & Takeki Sunakawa

  • 2016 Large Depreciations: Recent Experience in Historical Perspective
    by José De Gregorio

  • 2016 Macroeconomic Fluctuations Under Natural Disaster Shocks in Central America and the Caribbean
    by Allan Wright & Patrice Borda

  • 2016 Bond Finance, Bank Credit, and Aggregate Fluctuations in an Open Economy
    by Roberto Chang & Andres Fernandez & Adam Gulan

  • 2016 Exchange Rate Pass-through in South America: An Overview
    by Eduardo Borensztein & Virginia Queijo Von Heideken

  • 2016 Solving DSGE Portfolio Choice Models with Asymmetric Countries
    by Grzegorz R. Dlugoszek & & &

  • 2016 Budget-neutral fiscal rules targeting inflation differentials
    by Maren Brede & & &

  • 2016 A New Dilemma: Capital Controls and Monetary Policy in Sudden-Stop Economies
    by Michael B. Devereux & Eric R. Young & Changhua Yu

  • 2016 Trend Inflation and Exchange Rate Dynamics : A New Keynesian Approach
    by KANO, Takashi

  • 2016 Exchange Rates and Fundamentals: A General Equilibrium Exploration
    by KANO, Takashi

  • 2016 The timing of uncertainty shocks in a small open economy
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  • 2016 Fiscal Consolidation Under Imperfect Credibility
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  • 2016 The Nature of Swedish-Russian Capital Flows
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  • 2016 Exchange Rate Targeting in the Presence of Foreign Debt Obligations
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  • 2016 Impact of Pension System Structure on International Financial Capital Allocation
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  • 2016 Liquidity effects on consumers’ imports in Trinidad and Tobago
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  • 2016 Exchange Rates, the Competitiveness of Nations and Unemployment
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  • 2016 Exchange Rates, International Trade and Growth: Re-Evaluation of Undervaluation
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  • 2016 Credit spreads, financial crises, and macroprudential policy
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  • 2016 International Reserves and Rollover Risk
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  • 2016 On the Desirability of Capital Controls
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  • 2016 International Trade and Intertemporal Substitution
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  • 2016 Fewer but Better : Sudden Stops, Firm Entry, and Financial Selection
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  • 2016 Raising an Inflation Target : The Japanese Experience with Abenomics
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  • 2016 Globalization, market structure and inflation dynamics
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  • 2016 The speed of exchange rate pass-through
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  • 2016 Exposure to international crises: trade vs. financial contagion
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  • 2016 Trends and cycles in small open economies: making the case for a general equilibrium approach
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  • 2016 Optimal monetary policy in open economies revisited
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  • 2016 The implications of liquidity expansion in China for the US dollar
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  • 2016 Quantitative assessment of the role of incomplete asset markets on the dynamics of the real exchange rate
    by Martinez-Garcia, Enrique

  • 2016 Inflation as a global phenomenon - some implications for policy analysis and forecasting
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  • 2016 Optimal monetary and fiscal policy at the zero lower bound in a small open economy
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  • 2016 Offshoring, Low-skilled Immigration, and Labor Market Polarization
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  • 2016 Offshore Production and Business Cycle Dynamics with Heterogeneous Firms
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  • 2016 Financialisation, Debt and Inequality – scenarios based on a stock flow consistent model
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  • 2016 Optimal Fiscal Policy in a Model of Firm Entry and Financial Frictions
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  • 2016 Monetary News, U.S. Interest Rate and Business Cycles in Emerging Economies
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  • 2016 Optimal Inflation, Average Markups and Asymmetric Sticky Prices
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  • 2016 Expenditure-based Consolidation: Experiences and Outcomes – Workshop proceedings
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  • 2016 What do Latin American inflation targeters care about? A comparative Bayesian estimation of central bank preferences
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  • 2016 Can indeterminacy and self-fulfilling expectations help explain international business cycles?
    by Stephen McKnight & Laura Povoledo

  • 2016 Income Inequality and Macroeconomic Imbalances under EMU
    by Benedicta Marzinotto

  • 2016 Trend inflation and exchange rate dynamics: A New Keynesian approach
    by Takashi Kano

  • 2016 Commodity prices and fiscal policy design: Procyclical despite a rule
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  • 2016 A macroprudential stable funding requirement and monetary policy in a small open economy
    by Punnoose Jacob & Anella Munro

  • 2016 Has foreign growth contributed to stagnation and inequality in Japan?
    by Kazuki Tomioka & Rod Tyers

  • 2016 Deep habits and exchange rate pass-through
    by Punnoose Jacob & Lenno Uuskula

  • 2016 Sustainable international monetary policy cooperation
    by Ippei Fujiwara & Timothy Kam & Takeki Sunakawa

  • 2016 Remittances over the business cycle: theory and evidence
    by Supriyo De & Ergys Islamaj & M. Ayhan Kose & S. Reza Yousefi

  • 2016 The implications of liquidity expansion in China for the US dollar
    by Wensheng Kang & Ronald A. Ratti & Joaquin L. Vespignani

  • 2016 Japan's oligopolies: potential gains from third arrow reforms
    by Akihito Asano & Rod Tyers

  • 2016 Deep habits and exchange rate pass-through
    by Punnoose Jacob & Lenno Uusküla

  • 2016 International Business Cycles and Risk Sharing with Uncertainty Shocks and Recursive Preferences
    by Robert Kollmann

  • 2016 Optimal Fiscal Policy in a Model of Firm Entry and Financial Frictions
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  • 2016 Sovereign spreads in emerging economies: do natural resources matter?
    by Magali Dauvin

  • 2016 Hysteresis and Fiscal Policy
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  • 2016 Welfare Effects of TTIP in a DSGE Model
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  • 2016 The political economy of twin deficits and wage setting centralization
    by Hamzeh Arabzadeh

  • 2016 Quality and the Great Trade Collapse
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  • 2016 Episodes of War and Peace in an Estimated Open Economy Model
    by Stéphane Auray & Aurélien Eyquem

  • 2016 Episodes of War and Peace in an Estimated Open Economy Model
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  • 2016 Time-Consistent Fiscal Policy in a Debt Crisis
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  • 2016 Pegxit Pressure: Evidence from the Classical Gold Standard
    by Mitchener, Kris James & Pina, Goncalo

  • 2016 Multiple Equilibria in Open Economy Models with Collateral Constraints: Overborrowing Revisited
    by Schmitt-Grohé, Stephanie & Uribe, Martin

  • 2016 Is Optimal Capital-Control Policy Countercyclical In Open-Economy Models With Collateral Constraints?
    by Schmitt-Grohé, Stephanie & Uribe, Martin

  • 2016 The Output Costs of Hard and Soft Sovereign Default
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  • 2016 Real Interest Rates, Imbalances and the Curse of Regional Safe Asset Providers at the Zero Lower Bound
    by Gourinchas, Pierre-Olivier & Rey, Hélène

  • 2016 Country Portfolios, Collateral Constraints and Optimal Monetary Policy
    by Senay, Ozge & Sutherland, Alan

  • 2016 The Case for Flexible Exchange Rates in a Great Recession
    by Corsetti, Giancarlo & Kuester, Keith & Müller, Gernot

  • 2016 The Inherent Benefit of Monetary Unions
    by Groll, Dominik & Monacelli, Tommaso

  • 2016 Fiscal Consolidation Under Imperfect Credibility
    by Lemoine, Matthieu & Lindé, Jesper

  • 2016 Emergence of Asia: Reforms, Corporate Savings, and Global Imbalances
    by Fan, Jingting & Kalemli-Ozcan, Sebnem

  • 2016 Inflation expectations and monetary policy in Europe
    by Andreou, Elena & Eminidou, Snezana & Zachariadis, Marios

  • 2016 Market Reforms in the Time of Imbalance
    by Cacciatore, Matteo & Duval, Romain & Fiori, Giuseppe & Ghironi, Fabio

  • 2016 Optimal Reserves in Financially Closed Economies
    by Jeanne, Olivier & Sandri, Damiano

  • 2016 Optimal Monetary Policy, Exchange Rate Misalignments and Incomplete Financial Markets
    by Senay, Ozge & Sutherland, Alan

  • 2016 The speed of the exchange rate pass-through
    by Bonadio, Barthélémy & Fischer, Andreas M & Sauré, Philip

  • 2016 On the Desirability of Capital Controls
    by Heathcote, Jonathan & Perri, Fabrizio

  • 2016 Monetary Policy Rule, Exchange Rate Regime, and Fiscal Policy Cyclicality in a Developing Oil Economy
    by Algozhina, Aliya

  • 2016 Efectos de los cambios de la tasa de interés de Estados Unidos sobre Colombia, Perú y Chile
    by Carlos Fernando Daza Moreno & Jorge Mario Uribe

  • 2016 Diseño de política económica para enfrentar la volatilidad de la tasa de cambio: un análisis econométrico Garch de los periodos de apreciación y depreciación y sus costos y resultados
    by Carlos Eduardo Méndez Conde & Juan Camilo Méndez Vizcaíno

  • 2016 Effects of Fiscal Policy in the DSGE-VAR Framework: The Case of the Czech Republic
    by Jan Babecky & Michal Franta & Jakub Rysanek

  • 2016 International Financial Flows in the New Normal: Key Patterns (and Why We Should Care)
    by Matthieu Bussière & Julia Schmidt & Natacha Valla

  • 2016 A European Disease? Non-tradable inflation and real interest rate divergence
    by Sophie Piton

  • 2016 The Impact of Real Exchange Rate Shocks on Manufacturing Workers: An Autopsy from the MORG
    by Douglas L. Campbell & Lester Lusher

  • 2016 Trade Shocks, Taxes, and Inequality
    by Douglas L. Campbell & Lester Lusher

  • 2016 Time-Consistent Fiscal Policy in a Debt Crisis
    by Neele L. Balke & Morten O. Ravn

  • 2016 Pegxit Pressure: Evidence from the Classical Gold Standard
    by Kris James Mitchener & Gonçalo Pina

  • 2016 The Output Costs of Hard and Soft Sovereign Default
    by Christoph Trebesch & Michael Zabel

  • 2016 Trade, Luxury Goods and a Growth Enhancing Tariff
    by Leonid V. Azarnert

  • 2016 US Monetary Policy in a Globalized World
    by Jesús Crespo-Cuaresma & Gernot Doppelhofer & Martin Feldkircher & Florian Huber

  • 2016 Fiscal Delegation in a Monetary Union with Decentralized Public Spending
    by Henrique S. Basso & James S. Costain

  • 2016 Monetary Policy Rule, Exchange Rate Regime, and Fiscal Policy Cyclicality in a Developing Oil Economy
    by Aliya Algozhina

  • 2016 Step away from the zero lower bound: Small open economies in a world of secular stagnation
    by Corsetti, G. & Mavroeidi, E. & Thwaites, G. & Wolf, M.

  • 2016 The Case for Flexible Exchange Rates in a Great Recession
    by Giancarlo Corsetti & Keith Kuester & Gernot J. Müller

  • 2016 Currency Overvaluation and R&D Spending
    by Arthur Korus

  • 2016 International propagation of financial shocks in a search and matching environment
    by Isoré, Marlène

  • 2016 Bond finance, bank credit, and aggregate fluctuations in an open economy
    by Chang, Roberto & Fernández, Andrés & Gulan, Adam

  • 2016 Optimal policy rules at home, crisis and quantitative easing abroad
    by McNelis, Paul D.

  • 2016 What can Big Data tell us about the passthrough of big exchange rate changes?
    by Lewis, John

  • 2016 International Debt Deleveraging
    by Luca Fornaro

  • 2016 Globalization, Market Structure and Inflation Dynamics
    by S. Guilloux-Nefussi

  • 2016 Global Trade Flows: Revisiting the Exchange Rate Elasticities
    by M. Bussière & G. Gaulier & W. Steingress

  • 2016 Fiscal Consolidation Under Imperfect Credibility
    by M. Lemoine & J. Lindé

  • 2016 Has Globalization Really Increased Business Cycle Synchronization?
    by E. Monnet & D. Puy

  • 2016 Price-Setting and Exchange Rate Pass-Through in the Mexican Economy: Evidence from CPI Micro Data
    by Kochen Federico & Sámano Daniel

  • 2016 Optimal inflation weights in the euro area
    by Daniela Bragoli & Massimiliano Rigon & Francesco Zanetti

  • 2016 Quantitative Easing in a Small Open Economy: An International Portfolio Balancing Approach
    by Serdar Kabaca

  • 2016 Business Cycles in Small, Open Economies: Evidence from Panel Data Between 1900 and 2013
    by Wataru Miyamoto & Thuy Lan Nguyen

  • 2016 The Global Financial Cycle, Monetary Policies and Macroprudential Regulations in Small, Open Economies
    by Gregory Bauer & Gurnain Pasricha & Rodrigo Sekkel & Yaz Terajima

  • 2016 The Paul Storer Memorial Lecture—Cross-Border Trade Integration and Monetary Policy
    by Stephen S. Poloz

  • 2016 Trends & Cycles in Small Open Economies:Making the Case for a General Equilibrium Approach
    by Kan Chen & Mario Crucini

  • 2016 Contribución de los choques externos en el crecimiento económico del Perú: un modelo semi-estructural
    by José Luis Nolazco & Patricia Lengua-Lafosse & Nikita Céspedes

  • 2016 Identifying the exchange-rate balance sheet effect over firms
    by César Carrera

  • 2016 The effects of competitiveness on trade balance: The case of Southern Europe
    by Bajo-Rubio, Oscar & Berke, Burcu & Esteve, Vicente

  • 2016 Application of Trade Gravity Model between Iran and Main Trade Partners (Panel Data Approach)
    by Majid Feshari

  • 2016 Dynamic Effects of Changes in the Exchange Rate System
    by Naoyuki Yoshino & Sahoko Kaji & Tamon Asonuma

  • 2016 The twin deficits hypothesis: Evidence from Ghana
    by Bernardin Senadza & Godson Korbla Aloryito

  • 2016 China–US trade flow behavior: the implications of alternative exchange rate measures and trade classifications
    by Yin-Wong Cheung & Menzie D. Chinn & Xingwang Qian

  • 2016 Toxic asset bubbles
    by Daisuke Ikeda & Toan Phan

  • 2016 Business cycles, international trade and capital flows: evidence from Latin America
    by Guglielmo Maria Caporale & Alessandro Girardi

  • 2016 External Factors in Debt Sustainability Analysis: An Application to Latin America?
    by Gustavo Adler & Sebastian Sosa

  • 2016 Gromadzenie aktywów rezerwowych a motyw naśladownictwa - doświadczenia wybranych krajów z państwowymi funduszami majątkowymi
    by Dariusz Urban

  • 2016 Does ASEAN–India Trade Stimulate Income? A Cointegration Analysis Using the ARDL Approach
    by Shankaran Nambiar & Arunnan Balasubramaniam

  • 2016 Do Bangladesh and Sri Lanka Enjoy Export-Led Growth? A Comparison of Two Small South Asian Economies
    by Muhammad Shafiullah & Ravinthirakumaran Navaratnam

  • 2016 FDI in Central and Eastern Europe’s (CEE) Agribusiness
    by Takács István & Nalin Bharti

  • 2016 Estimation of Macroeconomic Effects from the Decline in Oil Export Duty
    by Zubarev, Andrey V. & Polbin, Andrey V.

  • 2016 Equilibrium Real Exchange Rate Assessment of the Serbian Dinar: The MB approach
    by Brankica Pažun & Zlatko Langović & Ana Langovic Milićević

  • 2016 Romania’s Main Role in the Current Global Economic Context
    by Gurgu, Elena & Zorzoliu, Raluca

  • 2016 Disminución de precios de commodities en un ambiente de enfermedad holandesa y bendición/maldición de los recursos naturales
    by Barja, Gover & Zavaleta, David

  • 2016 Comparison of the Fundamental and Monetary Models of the Determinants of the Argentine Peso/US Dollar Exchange Rate
    by Hsing, Yu

  • 2016 Monetary aspects of business cycles in an open developing economy. - Aspetti monetari del ciclo economico in un’economia aperta in via di sviluppo
    by Ogun, Oluremi

  • 2016 Sectoral Price Divergence between Korea and Japan
    by Moon, Seongman

  • 2016 Estimating Exchange Rate Exposure over Various Return Horizons: Focusing on Major Countries in East Asia
    by Lee, Jeong Wook & Ahn, Sunghee & Kang, Sammo

  • 2016 The Impact of Real Oil Price on Real Exchange Rate in Oil Dependent Countries
    by Kaplan, Fatih & Aktaş, Ali Rıza

  • 2016 Contagion: Recent Models in International Finance Literature
    by Can Sever

  • 2016 Large Open Economies and Fixed Costs of Capital Adjustment
    by Christian Bayer & Volker Tjaden

  • 2016 Optimal Monetary Policy with Endogenous Export Participation
    by Dudley Cooke

  • 2016 Transmisión de choques de política monetaria de EstadosUnidos sobre América Latina: Un enfoque GVAR
    by Flores, Jairo

  • 2016 Un análisis de la efectividad de las intervenciones cambiarias en el Perú
    by Durán-Vanegas, Juan David

  • 2016 Evaluando la efectividad de los controles de capital: La experiencia reciente
    by Moritz Cruz & Jorge Casarreal

  • 2016 The Impact of Fiscal Reform on Indonesian Macroeconomy: A CGE Framework
    by Herbert W. V. Hasudungan & Sulthon S. Sabaruddin

  • 2016 Nová kritéria pro přijetí Eura
    by Aleš Michl

  • 2016 Priepustnosť menových kurzov nových členských krajín Európskej unie
    by Rajmund Mirdala & Júlia Ďurčová

  • 2016 Euro Dominance Hypothesis and Monetary Policy Independence - the Czech Perspective
    by Łukasz Goczek & Dagmara Mycielska

  • 2016 Current Account Deficit, Budget Deficit and Saving Gap: Is the Twin or Triplet Deficit Hypothesis Valid in G7 Countries?
    by Yusuf Ekrem Akbas & Fuat Lebe

  • 2016 Macroeconomic Policy Regime In Poland
    by Milka Kazandziska

  • 2016 Understanding the drivers of capital flows into the CESEE countries
    by Markus Eller & Florian Huber & Helene Schuberth

  • 2016 Weathering global shocks and macrofinancial vulnerabilities in emerging Europe: Comparing Turkey and Poland
    by Markus Eller & Florian Huber & Helene Schuberth

  • 2016 The Role of Exchange-Rate Regimes for Achieving Sustainable Growth in Central and Eastern Europe
    by Elena Spasova

  • 2016 Exchange Rate, Inflation and Industrial Policy
    by Polterovich, V. & Popov, V.

  • 2016 Monetary Policy in Russia During the Crisis
    by Golovnin, M.

  • 2016 Secteur minier, politique monétaire et volatilité cyclique dans une petite économie ouverte
    by Michel-Ange Lokota & Boboy Y. Togba & Cédrick Tombola & Jean-Paul K. Tsasa

  • 2016 New Result in Consumption Theory:Change in Savings and Income Growth – Nineteen Years Later
    by Cheng K. WU

  • 2016 A Multifaceted Panel Data Gravity Model Analysis of Peru’s Foreign Trade
    by Xu WANG & Ryan P. BADMAN

  • 2016 The Rewards and Challenges of Export-Led Strategies
    by Hany H. MAKHLOUF

  • 2016 Macroeconomic Shocks and Dynamics of Labor Markets in Korea
    by Tae Bong Kim & Hangyu Lee

  • 2016 An SVAR Approach to Evaluation of Monetary Policy in India: Solution to the Exchange Rate Puzzles in an Open Economy
    by William A. Barnett & Soumya Suvra Bhadury & Taniya Ghosh

  • 2016 A Quantitative Assessment of the Role of Incomplete Asset Markets on the Dynamics of the Real Exchange Rate
    by Enrique Martínez-García

  • 2016 Twin Banking and Currency Crises and Monetary Policy
    by Ryota Nakatani

  • 2016 On the Determinants of Surges and Stops in Foreign Loans: An Empirical Investigation
    by Seung-Gwan Baek & Chi-Young Song

  • 2016 Policy Responses to Balance-of-Payments Crises: The Role of Elections
    by J. Lawrence Broz & Maya J. Duru & Jeffry A. Frieden

  • 2016 Tracking the causes of eurozone external imbalances: new evidence and some policy implications
    by Jose L. Diaz-Sanchez & Aristomene Varoudakis

  • 2016 Modeling Russia’s exchange rate in the long-run
    by Irina Dubova

  • 2016 Dynamic Analysis of a Renewable Resource in a Small Open Economy: The Role of Environmental Policies for the Environment
    by Yasuhiro Nakamoto & Koichi Futagami

  • 2016 Measuring the effectiveness of cost and price competitiveness in external rebalancing of euro area countries: What do alternative HCIs tell us?
    by Styliani Christodoulopoulou & Oļegs Tkačevs

  • 2016 Human Capital Accumulation and the Macroeconomy in an Ageing Society
    by Ben J. Heijdra & Laurie S. M. Reijnders

  • 2016 Eu – Russia And The Energy Dimension Of The Eastern Partnership
    by Dorin DUSCIAC & Nicu POPESCU & Victor PARLICOV

  • 2016 Current account sustainability in Middle East and Africa (MEA) countries: Evidence from panel data
    by Kamrul Hassan & Ariful Hoque & Ananth Rao

  • 2016 Exchange rate volatility and manufacturing trade: Evidence from Africa
    by V Polodoo & B Seetanah & R. V Sannassee

  • 2016 Exchange rate volatility and manufacturing trade: Evidence from Africa
    by V Polodoo & B Seetanah & Sannassee R. V

  • 2016 Sustainability of Malaysian current account balance: Evidence from ardl bounds tests approach
    by Kamrul Hassan & Ariful Hoque & Ananth Rao

  • 2016 Análisis Econométrico Autoregresivo del Tipo de Cambio Real Flexible en México 1999-2012
    by Trejo-García, José C. & Martínez-García, Miguel Ángel & Hernández-Saldaña, Efrain Abraham

  • 2016 Does Industrial Employment React to Movements in the Real Exchange Rate? An Empirical Analysis for Colombia, 2000-2010
    by José Tomás Peláez S. & Lya Paola Sierra S.

  • 2016 Optimal Inflation Weights in the Euro Area
    by Daniela Bragoli & Massimiliano Rigon & Francesco Zanetti

  • 2016 A New Method of Estimating Equilibrium Real Exchange Rate in Developing Countries
    by Renhong Wu

  • 2016 Anti-Dumping Duties And Macroeconomic Dynamics In A Fixed Exchange Rate Regime
    by Chung-Fu Lai

  • 2016 Rol de la política cambiaria en el sector externo:la condición Marshall-Lerner en Bolivia
    by Roger Alejandro Banegas-Rivero

  • 2016 Sectoral Differences in the Choice of the Time Horizon during Estimation of the Unconditional Stock Beta
    by Dimitrios Dadakas & Christos Karpetis & Athanasios Fassas & Erotokritos Varelas

  • 2016 Model Selection Test for the Heavy-Tailed Distributions under Censored Samples with Application in Financial Data
    by Hanieh Panahi

  • 2016 Oil Prices, Credit Risks in Banking Systems, and Macro-Financial Linkages across GCC Oil Exporters
    by Saleh Alodayni

  • 2016 Strategic Decision-Making and Social Skills: Integrating Behavioral Economics and Social Cognition Research
    by Johannes Leder & Leonhard Schilbach & Andreas Mojzisch

  • 2016 The Valuation of Equities and the GDP Growth Effect: A Global Empirical Study
    by Sebastián A. Rey

  • 2016 Operational Risk Management in Financial Institutions: A Literature Review
    by Suren Pakhchanyan

  • 2016 The Effect of Straight-Line and Accelerated Depreciation Rules on Risky Investment Decisions—An Experimental Study
    by Hagen Ackermann & Martin Fochmann & Nadja Wolf

  • 2016 Stock Selection as a Problem in Phylogenetics—Evidence from the ASX
    by Cheng Juan Zhan & William Rea & Alethea Rea

  • 2016 Spatially-Aggregated Temperature Derivatives: Agricultural Risk Management in China
    by Lu Zong & Manuela Ender

  • 2016 Capital Regulation and Bank Risk-Taking Behavior: Evidence from Pakistan
    by Badar Nadeem Ashraf & Sidra Arshad & Yuancheng Hu

  • 2016 Back to the Future Betas: Empirical Asset Pricing of US and Southeast Asian Markets
    by Jordan French

  • 2016 Impacts of Credit Default Swaps on Volatility of the Exchange Rate in Turkey: The Case of Euro
    by Muhsin Kar & Tayfur Bayat & Selim Kayhan

  • 2016 Determination of Systemically Important Companies with Cross-Shareholding Network Analysis: A Case Study from an Emerging Market
    by Hossein Dastkhan & Naser Shams Gharneh

  • 2016 Factors Affecting Firm Competitiveness: Evidence from an Emerging Market
    by Elif Akben-Selcuk

  • 2016 Corporate Governance Rating and Ownership Structure in the Case of Turkey
    by Sevin Gurarda & Emre Ozsoz & Abidin Ates

  • 2016 Debunking Two Myths of the Weekend Effect
    by Foong Soon Cheong

  • 2016 Public Debt, Public Investment and Economic Growth in Mexico
    by Isaac Sánchez-Juárez & Rosa García-Almada

  • 2016 Europe’s Elite Football: Financial Growth, Sporting Success, Transfer Investment, and Private Majority Investors
    by Marc Rohde & Christoph Breuer

  • 2016 Performance of the Multifractal Model of Asset Returns (MMAR): Evidence from Emerging Stock Markets
    by Samet Günay

  • 2016 Does Bilateral Market and Financial Integration Explains International Co-Movement Patterns 1
    by Mobeen Ur Rehman & Syed Muhammad Amir Shah

  • 2016 Reverse Mortgage Participation in the United States: Evidence from a National Study
    by Swarn Chatterjee

  • 2016 The Efficiency of the European Non-Life Insurance: CEO Power, Macroeconomic, and Market Characteristics Impact
    by Walid Bahloul & Abdelfettah Bouri

  • 2016 A Level Set Analysis and A Nonparametric Regression on S&P 500 Daily Return
    by Yipeng Yang & Allanus Tsoi

  • 2016 Acknowledgement to Reviewers of the International Journal of Financial Studies in 2015
    by International Journal of Financial Studies Editorial Office

  • 2016 Calisthenics with Words: The Effect of Readability and Investor Sophistication on Investors’ Performance Judgment
    by Xiao Carol Cui

  • 2016 Monetary Policy in an Oil-Exporting Economy
    by Hamann, Franz & Bejarano, Jesús & Rodríguez, Diego & Restrepo-Echavarria, Paulina

  • 2016 The Political Cause of the Movement of RMB Exchange Rate: A Research Based on the Spillover Effects of US Political Cycle
    by Mengnan Zhu & Qian Zhao & Yuguang Wang

  • 2016 Progresos y retrocesos del desarrollo económico de Chile en los gobiernos de la Concertación: 1990-2009
    by Ffrench-Davis, Ricardo

  • 2016 The price of freedom: Idiosyncratic currency devaluations
    by Stocker, Marshall L.

  • 2016 Pricing strategy of emerging market exporters in alternate currency regimes: The role of comparative advantage
    by Mallick, Sushanta & Marques, Helena

  • 2016 Exploring the sources of Spanish macroeconomic fluctuations: An estimation of a small open economy DSGE model
    by Martín-Moreno, José M. & Pérez, Rafaela & Ruiz, Jesús

  • 2016 Determinacy and learnability of equilibrium in a small-open economy with sticky wages and prices
    by Araújo, Eurilton

  • 2016 Welfare effects of tourism-driven Dutch disease: The roles of international borrowings and factor intensity
    by Chen, Ping-ho & Lai, Ching-chong & Chu, Hsun

  • 2016 Trade openness and the Phillips curve: The neglected heterogeneity and robustness of empirical evidence
    by Eijffinger, Sylvester C.W. & Qian, Zongxin

  • 2016 Financial openness, the financial accelerator and sectoral dynamics
    by Hur, Joonyoung & Lartey, Emmanuel K.K.

  • 2016 Regime-dependent exchange-rate pass-through to import prices
    by Kiliç, Rehim

  • 2016 Covered interest parity and arbitrage paradox in emerging markets: Evidence from the Korean market
    by Suh, Sangwon & Kim, Young Ju

  • 2016 A new look at exchange rate pass-through in the G-7 countries
    by Jiménez-Rodríguez, Rebeca & Morales-Zumaquero, Amalia

  • 2016 Understanding Chinese consumption goods imports
    by Thorbecke, Willem

  • 2016 Exploring the oil prices and exchange rates nexus in some African economies
    by Pershin, Vitaly & Molero, Juan Carlos & de Gracia, Fernando Perez

  • 2016 Monetary policy and noise traders: A welfare analysis
    by Shin, Jong Kook & Subramanian, Chetan

  • 2016 Monetary policy and exchange rates: Further evidence using a new method for implementing sign restrictions
    by Fisher, Lance A. & Huh, Hyeon-seung

  • 2016 Trade, finance or policies: What drives the cross-border spill-over of business cycles?
    by Montinari, Letizia & Stracca, Livio

  • 2016 Globalization and inflation: A threshold investigation
    by Ahmad, Saad & Civelli, Andrea

  • 2016 Assessing labor market frictions in a small open economy
    by Sheen, Jeffrey & Wang, Ben Zhe

  • 2016 Balance-of-payments anti-crises
    by Kumhof, Michael & Yan, Isabel

  • 2016 The effectiveness of the ECB's asset purchase programs of 2009 to 2012
    by Gibson, Heather D. & Hall, Stephen G. & Tavlas, George S.

  • 2016 Financial market integration, exchange rate policy, and the dynamics of business and employment in Korea
    by Cacciatore, Matteo & Ghironi, Fabio & Lee, Yurim

  • 2016 Trade invoicing in major currencies in the 1970s–1990s: Lessons for renminbi internationalization
    by Ito, Hiro & Kawai, Masahiro

  • 2016 The holders and issuers of international portfolio securities
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  • 2016 Accounting for the economic relationship between Japan and the Asian Tigers
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  • 2016 Purchasing power parity and the behavior of prices and nominal exchange rates across exchange-rate regimes
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  • 2016 Short-term pain for long-term gain: Market deregulation and monetary policy in small open economies
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  • 2016 International reserves for emerging economies: A liquidity approach
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  • 2016 Understanding bilateral exchange rate risks
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  • 2016 Foreign exchange reserve diversification and the “exorbitant privilege”: Global macroeconomic effects
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  • 2016 International coordination of central bank policy
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  • 2016 Revisiting the new normal hypothesis
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  • 2016 Trade openness and inflation: The role of real and nominal price rigidities
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  • 2016 Undervaluation through foreign reserve accumulation: Static losses, dynamic gains
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  • 2016 Housing market dynamics in a small open economy: Do external and news shocks matter?
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  • 2016 Optimal exchange rate flexibility with large labor unions
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  • 2016 Is there really a renminbi bloc in Asia?: A modified Frankel–Wei approach
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  • 2016 International portfolio diversification and multilateral effects of correlations
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  • 2016 Global financial shocks and foreign asset repatriation: Do local investors play a stabilizing role?
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  • 2016 Sovereign defaults by currency denomination
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  • 2016 Stock price dynamics and the business cycle in an estimated DSGE model for South Africa
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  • 2016 Capital controls or macroprudential regulation?
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  • 2016 Fundamentals news, global liquidity and macroprudential policy
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  • 2016 Imported inputs and invoicing currency choice: Theory and evidence from UK transaction data
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  • 2016 Market deregulation and optimal monetary policy in a monetary union
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  • 2016 Global versus local shocks in micro price dynamics
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  • 2016 Market structure and exchange rate pass-through
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  • 2016 Parameter drifts, misspecification and the real exchange rate in emerging countries
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  • 2016 Sticky prices and deviations from the Law of One Price: Evidence from Mexican micro-price data
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  • 2016 Credit decomposition and business cycles in emerging market economies
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  • 2016 Financial globalisation and monetary policy effectiveness
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  • 2016 Taxes and international risk sharing
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  • 2016 Imbalances and fiscal policy in a monetary union
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  • 2016 Offshore production and business cycle dynamics with heterogeneous firms
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  • 2016 Endogenous trade participation with price rigidities
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  • 2016 Finding stability in a time of prolonged crisis: Unconventional policy rules for Japan
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  • 2016 Investment and bank credit recovery after banking crises
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  • 2016 Newton meets Van Leeuwenhoek: Identifying international investors’ common currency preferences
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  • 2016 Raising an inflation target: The Japanese experience with Abenomics
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  • 2016 Deleveraging, deflation and depreciation in the euro area
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  • 2016 Fiscal consolidation under imperfect credibility
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  • 2016 The international transmission of US shocks—Evidence from Bayesian global vector autoregressions
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  • 2016 The impact of financial regulation on current account balances
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  • 2016 Nonlinear monetary policy and macroeconomic stabilization in emerging market economies: Evidence from China
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  • 2016 Exchange rates and firm survival: An examination with Turkish firm-level data
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  • 2016 The contribution of firm-level shocks to aggregate fluctuations: The case of Sweden
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  • 2016 On the savings wedge in international capital flows
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  • 2016 Financial market segmentation and choice of exchange rate regimes
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  • 2016 Global inflation dynamics in the post-crisis period: What explains the puzzles?
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  • 2016 Income growth and inequality: The threshold effects of trade and financial openness
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  • 2016 Exchange rate as a shock absorber in Poland and Slovakia: Evidence from Bayesian SVAR models with common serial correlation
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  • 2016 Do rating grades convey important information: German evidence?
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  • 2016 Pareto weights as wedges in two-country models
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  • 2016 Market reforms in the time of imbalance
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  • 2016 Trends and cycles in small open economies: making the case for a general equilibrium approach
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  • 2016 International business cycles and risk sharing with uncertainty shocks and recursive preferences
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  • 2016 Comments on “Pareto weights as wedges in two-country models” by D. Backus, C. Coleman, A. Ferriere and S. Lyon
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  • 2016 By force of demand: Explaining cyclical fluctuations of international trade and government spending
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  • 2016 Optimal fiscal management of commodity price shocks
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  • 2016 Current account dynamics, real exchange rate adjustment, and the exchange rate regime in emerging-market economies
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  • 2016 Does quality differentiation matter in exporters' pricing behaviour? Comparing China and India
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  • 2016 The influence of China and emerging donors aid allocation: A recipient perspective
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  • 2016 The implications of monetary expansion in China for the US dollar
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  • 2016 Asian emerging-market currencies in the international debt market (1994–2014)
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  • 2016 The Chilean peso exchange-rate carry trade and turbulence
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  • 2016 Operaciones de acarreo de divisas (carry trade) y sus efectos sobre la turbulencia cambiaria en Chile
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  • 2016 Beyond capital controls: regulation of foreign currency derivatives markets in the Republic of Korea and Brazil after the global financial crisis
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  • 2016 Más allá de los controles de capital: regulación de los mercados de derivados en moneda extranjera en la República de Corea y el Brasil después de la crisis financiera mundial
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  • 2016 Does Foreign Direct Investment Affect Industrial Workers? Evidence from Kingdom of Saudi Arabia
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  • 2016 Monetary Policy and External Factors: Empirical Evidence for Association of Southeast Asian Nations 3
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  • 2016 The Effects of Antidumping Duties in a New Open Economy Macroeconomics Model
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  • 2016 Econometric Methods for Evaluating of Open National Innovative Systems
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  • 2016 Interaction Between Capital Flows And Current Account: A Dynam?C Panel Causal?Ty Analys?S Of 19 Emerg?Ng Market Econom?Es For The Per?Od 1980 To 2009
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  • 2016 Инвестиции В Благородни Метали – Пазарна Динамика И Тенденции
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  • 2016 Отвореност На Икономиката – Външен Импулс И/Или Вътрешна Необходимост
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  • 2016 Incidencia del tipo de cambio sobre la enfermedad holandesa de las ganancias de los bienes transables y no transables
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  • 2016 Riesgo sistémico, demanda agregada y precios de los productos básicos: aplicación a Colombia
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  • 2016 Divergence des prix relatifs : une maladie européenne ?
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  • 2016 Pays émergents : quelle protection face au risque de sudden stop ?
    by Francesco Molteni & Camilo Umana Dajud

  • 2016 Exchange Rate Policies in the Baltic States: From Extreme Inflation to Euro Membership
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  • 2016 Long-run determinants of economic growth in South America
    by Daniel H. Vedia-Jerez & Coro Chasco

  • 2016 La faiblesse des taux d’intérêt à long terme : un phénomène mondial
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  • 2016 Investissements directs étrangers et industrialisation de l’Afrique : un nouveau regard
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  • 2016 Is It Possible to Beat the Random Walk Model in Exchange Rate Forecasting? More Evidence for Brazilian Case
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  • 2016 The Impact of Income Distribution on the Current Account
    by Carrera Jorge Eduardo & Rodriguez Esteban & Sardi Mariano

  • 2016 Balance-of-payments constraints on Bulgarian economic growth
    by Elena Spasova

  • 2016 Stock Market Volatility: Does Our Fundamentals Matter?
    by Babajide Abiola Ayopo & Lawal Adedoyin Isola & Somoye Russel Olukayode

  • 2016 Exchange Rate, Cross Elasticities Between Exports and Imports and Current Account Sustainability: The Spanish Case
    by Luis Sastre

  • 2016 Polish Investments on Non-European Markets
    by Michał Zaremba

  • 2016 Openness and the Strength of Monetary Transmission: International Evidence
    by Bruno Ćorić & Lena Malešević Perović & Vladimir Šimić

  • 2016 Export Specialisation and Output Synchronisation in the Euro Area: The Case of Southern Countries
    by Sofia Helena Gouveia

  • 2016 Verification of the Relationship between FDI and GDP in Poland
    by Aneta Kosztowniak

  • 2016 Safe Asset Scarcity and Aggregate Demand
    by Ricardo J. Caballero & Emmanuel Farhi & Pierre-Olivier Gourinchas

  • 2016 Secular Stagnation in the Open Economy
    by Gauti B. Eggertsson & Neil R. Mehrotra & Lawrence H. Summers

  • 2016 Understanding the Gains from Wage Flexibility: The Exchange Rate Connection
    by Jordi Galí & Tommaso Monacelli

  • 2015 The Feldstein-Horioka Puzzle in South Africa: A Fractional Cointegration Approach
    by Luis A Gil-Alana & Christophe André & Rangan Gupta & Tsangyao Chang & Omid Ranjbar

  • 2015 Cross-Country Evidence on Determinants of Fiscal Policy Effectiveness –The Role of Capital Flows and a Country's International Trade and Financial Position
    by Agata Wierzbowska & Masahiko Shibamoto

  • 2015 Dışa Açıklık ve Reel Döviz Kuru Oynaklığı: Yükselen Piyasa Ekonomilerine İlişkin Bir Panel Veri Analizi
    by Sevda YAPRAKLI & Fatih KAPLAN

  • 2015 Yükselen Ekonomilerde Risk Primi ve Toplam Dalgalanmalar
    by Sahibe Meral ÇAKICI

  • 2015 Global Credit Supply and External Exposure in Turkey
    by Amira Karimova & Ahmet Caliskan & Jamshid Karimov

  • 2015 Some International Aspects of Business Cycles: Neisser, Haberler and Modern Open Economy Macroeconomics
    by Hans-Michael Trautwein

  • 2015 Does foreign direct investment synchronise business cycles? Results from a panel approach
    by Fries, Claudia & Kappler, Marcus

  • 2015 Exports and Capacity Constraints: Evidence for Several Euro Area Countries
    by Belke, Ansgar & Oeking, Anne & Setzer, Ralph

  • 2015 Is fiscal devaluation welfare enhancing? A model-based analysis
    by Hohberger, Stefan & Kraus, Lena

  • 2015 Idiosyncratic Risk, Borrowing Constraints and Financial Integration - A Discussion of Ambiguous Results
    by Wulff, Alexander & Heinemann, Maik

  • 2015 Global Banking, Trade, and the International Transmission of the Great Recession
    by Enders, Zeno & Peter, Alexandra

  • 2015 Does Joint Modelling of the World Economy Pay Off? Evaluating Multivariate Forecasts from a Bayesian GVAR
    by Dovern, Jonas & Feldkircher, Martin & Huber, Florian

  • 2015 Price setting in online markets: Basic facts, international comparisons, and cross-border integration
    by Talavera, Oleksandr & Gorodnichenko, Yuriy

  • 2015 Global Imbalances and Bank Risk-Taking
    by te Kaat, Daniel Marcel & Dinger, Valeriya

  • 2015 Fiscal policy coordination in currency unions (at the zero lower bound)
    by Müller, Gernot Johannes & Hettig, Thomas & Mueller, Gernot

  • 2015 The regime-dependent evolution of credibility: A fresh look at Hong Kong's linked exchange rate system
    by Blagov, Boris & Funke, Michael

  • 2015 Real effects of sovereign bond market spillovers in the euro area
    by Gadatsch, Niklas

  • 2015 Exit Expectations and Debt Crises in Currency Unions
    by Kriwoluzky, Alexander & Müller, Gernot J. & Wolf, Martin

  • 2015 EU policies addressing current account imbalances in the EMU: An assessment
    by Dodig, Nina & Herr, Hansjörg

  • 2015 Cross-border banking and business cycles in asymmetric currency unions
    by Dräger, Lena & Proaño, Christian R.

  • 2015 International financial market integration, asset compositions, and the falling exchange rate pass-through
    by Buzaushina, Almira & Enders, Zeno & Hoffmann, Mathias

  • 2015 German wage moderation and European imbalances: Feeding the global VAR with theory
    by Bettendorf, Timo & León-Ledesma, Miguel A.

  • 2015 Cross-border banking and business cycles in asymmetric currency unions
    by Dräger, Lena & Proaño, Christian R.

  • 2015 Switching to Exchange Rate Flexibility? The Case of Central and Eastern European Inflation Targeters
    by Andrej Drygalla

  • 2015 Analyse der Terms-of-Trade Österreichs
    by Stefan Schiman & Andreas Reinstaller

  • 2015 Quantitative Easing in an Open Economy : Prices, Exchange Rates and Risk Premia
    by Peiris, M.Udara & Polemarchakis, Herakles

  • 2015 Monetary Policy and Welfare in a Currency Union
    by D’Aguanno, Lucio

  • 2015 Quality and the Great Trade Collapse
    by Chen Natalie & Juvenal, Luciana

  • 2015 Prolonged Reserves Accumulation, Credit Booms, Asset Prices and Monetary Policy in Asia
    by Andrew J. Filardo, Pierre L. Siklos

  • 2015 US Monetary Policy in a Globalized World
    by Jesus Crespo Cuaresma & Gernot Doppelhofer & Martin Feldkircher & Florian Huber

  • 2015 A Markov switching factor-augmented VAR model for analyzing US business cycles and monetary policy
    by Florian Huber & Manfred M. Fischer

  • 2015 Fiscal Rules and Twin Deficits: The Link between Fiscal and External Balances
    by Harald Badinger & Aurélien Fichet de Clairfontaine & Wolf Heinrich Reuter

  • 2015 Can indeterminacy and self-fulfilling expectations help explain international business cycles?
    by Stephen McKnight & Laura Povoledo

  • 2015 Time varying pass-through: Will the yen depreciation help Japan hit the inflation target?
    by Etsuro Shioji

  • 2015 Exploring the oil prices and exchange rates nexus in some African economies
    by Vitaly Pershin & Juan Carlos Molero & Fernando Pérez de Gracia

  • 2015 Capital controls and the real exchange rate: Do controls promote disequilibria?
    by Montecino, Juan Antonio

  • 2015 Real exchange rate volatility impact on exports: A comparative study 1990-2013
    by Ronald Miranda & Gabriela Mordecki

  • 2015 Interest Rates, Eurobonds and Intra-European Exchange Rate Misalignments: the Challenge of Sustainable Adjustments in the Eurozone
    by Vincent Duwicquet & Jacques Mazier & Jamel Saadaoui

  • 2015 Spillover effects in a monetary union: Why fiscal policy instruments matter?
    by Amélie Barbier-Gauchard & Thierry Betti & Giuseppe Diana

  • 2015 German Wage Moderation and European Imbalances: Feeding the Global VAR with Theory
    by Timo Bettendorf & Miguel A. Leon-Ledesma

  • 2015 Exchange Rate Pass-Through and Market Structure in a Multi-Country World
    by Kanda Naknoi

  • 2015 Sovereign Debt, Bail-Outs and Contagion in a Monetary Union
    by Eijffinger, S.C.W. & Kobielarz, M.L. & Uras, R.B.

  • 2015 Comments on Paul Davidson’s “Full Employment, Open Economy Macroeconomics, and Keynes’ General Theory: Does the Swan Diagram Suffice?â€
    by Peter Temin & David Vines

  • 2015 International Risk Sharing and Portfolio Choice with Non-separable Preferences
    by Hande Kucuk & Alan Sutherland

  • 2015 The macroeconomic effects of oil price shocks on ASEAN-5 economies
    by Raghavan, Mala

  • 2015 Effects of US Quantitative Easing on Emerging Market Economies
    by Saroj Bhattarai & Arpita Chatterjee & Woong Yong Park

  • 2015 When Bonds Matter: Home Bias in Goods and Assets
    by Nicolas Coeurdacier & Pierre-Olivier Gourinchas

  • 2015 Credit Constraints and Growth in a Global Economy
    by Nicolas Coeurdacier & Stéphane Guibaud & Keyu Jin

  • 2015 “Twin deficits” in Greece: in search of causality
    by Michalis Nikiforos & Laura Carvalho, Christian Schoder

  • 2015 Time-intensive R&D and unbalanced trade
    by Philip Ulrich Sauré

  • 2015 Trade Integration, Income Divergence, and Global Imbalances
    by Zhang Haiping

  • 2015 Wealth Inequality and Financial Development:Revisiting the Symmetry Breaking Mechanism
    by Zhang Haiping

  • 2015 Taylor rules, central bank preferences and inflation targeting
    by Juan Paez-Farrell

  • 2015 Identification of the fiscal shocks in Poland in light of the small open economy analysis? perspective
    by Agnieszka Domanska & Konrad Kostrzewa

  • 2015 How Can an Economy Protect Itself from the Developed Economies? Monetary Policy?
    by Hock Ann Lee & Hock Tsen Wong & Huay Huay Lee

  • 2015 Government spending and the exchange rate
    by Giorgio Di Giorgio & Salvatore Nisticò & Guido Traficante

  • 2015 Fiscal Consolidation, Fiscal Policy Transmission, and Current Account Dynamics in South Africa
    by Christine S. Makanza and J. Paul Dunne

  • 2015 Assessment of Monetary Union in SADC: Evidence from Cointegration and Panel Unit Root Tests
    by Mulatu F Zerihun, Marthinus C Breitenbach and Francis Kemegue

  • 2015 Euro-Dollar Polarization and Heterogeneity in Exchange Rate Pass-Throughs Within the Euro Zone
    by Mariarosaria Comunale

  • 2015 Comparison of Static and Dynamic Analyses on Exchange Rate Regimes in East Asia
    by Yoshino, Naoyuki & Kaji, Sahoko & Asonuma, Tamon

  • 2015 Adjustments of Capital Account Restrictions and Exchange Rate Regimes in East Asia
    by Yoshino, Naoyuki & Kaji, Sahoko & Asonuma, Tamon

  • 2015 Dynamic Effect of a Change in the Exchange Rate System: From a Fixed Regime to a Basket-Peg or a Floating Regime
    by Yoshino, Naoyuki & Kaji, Sahoko & Asonuma, Tamon

  • 2015 Dynamic Shift to a Basket-Peg or Floating Regime in East Asian Countries in Response to the People's Republic of China's Transition to a New Exchange Rate Regime
    by Yoshino, Naoyuki & Kaji, Sahoko & Asonuma, Tamon

  • 2015 International Spillovers of Monetary Policy: US Federal Reserve's Quantitative Easing and Bank of Japan's Quantitative and Qualitative Easing
    by Kawai, Masahiro

  • 2015 Myanmar: Long-Term Scenarios for Sustained Macroeconomic Growth
    by Roland-Holst, David & Park, Cyn-Young

  • 2015 Monetary policy, financial dollarization and agency costs
    by Vega, Marco

  • 2015 Transmisión de Choques de Política Monetaria de Estados Unidos sobre América Latina: Un Enfoque GVAR
    by Flores, Jairo

  • 2015 Modelling the Australian Dollar
    by Jonathan Hambur & Lynne Cockerell & Christopher Potter & Penelope Smith & Michelle Wright

  • 2015 Unprecedented Changes in the Terms of Trade
    by Mariano Kulish & Daniel Rees

  • 2015 Patterns of International Capital Flows and Productivity Growth: New Evidence
    by Margaux MacDonald

  • 2015 Monetary Policy and Financial Spillovers: Losing Traction?
    by Piti Disyatat & Phurichai Rungcharoenkitkul

  • 2015 Assessment of Monetary Union in SADC: Evidence from Cointegration and Panel Unit Root Tests
    by Mulatu F. Zehirun & Marthinus C. Breitenbach & Francis M. Kemegue

  • 2015 On Exports and Economic Growth-Multifarious Economies Perspective
    by Bosupeng, Mpho

  • 2015 Exports Multiplicity and The Dutch Disease
    by Bosupeng, Mpho

  • 2015 The Export-Led Growth Hypothesis: New Evidence and Implications
    by Bosupeng, Mpho

  • 2015 Understanding the Sources of High Current Account Fluctuations in 5 Developed Economies
    by Ibhagui, Oyakhilome

  • 2015 Africa trade and investment with BRIC nations in a changing economic landscape: the role of China
    by Ndambendia, Houdou

  • 2015 Exchange Rate Modeling: The Case of Ruble
    by Kuzmin, Anton

  • 2015 The Imbalanced Catch-up to Rational Expectations: Capital Flows during Convergence
    by Cozzi, Guido & Davenport, Margaret

  • 2015 Crecimiento económico y desalineación del tipo de cambio real en la República Dominicana: ¿Hay alguna relación?
    by Cruz-Rodríguez, Alexis

  • 2015 Tipo de cambio real en la República Dominicana: Enfoques alternativos de equilibrio y desalineamiento
    by Cruz-Rodríguez, Alexis

  • 2015 Climat des Affaires et Compétitivité de l’Entreprise Tunisienne Après la Révolution : Analyses et Perspectives
    by Dhaoui, Elwardi

  • 2015 Decomposing Euro Area Sovereign Debt Yields into Inflation Expectations and Expected Real Interest Rates
    by Mirdala, Rajmund

  • 2015 Real Exchange Rates, Current Accounts and Competitiveness Issues in the Euro Area
    by Mirdala, Rajmund

  • 2015 Exchange Rate Pass-Through in the Euro Area
    by Mirdala, Rajmund

  • 2015 Government Size, Institutions, and Export Performance among OECD Economies
    by Bournakis, Ioannis & Tsoukis, Christopher

  • 2015 Unconventional monetary policy, spillovers, and liftoff: implications for Northeast Asia
    by Noland, Marcus

  • 2015 The future of the euro
    by Duwicquet, Vincent & Mazier, Jacques & Petit, Pascal & Saadaoui, Jamel

  • 2015 Labor Market Distortions under Sovereign Default Crises
    by Tavares, Tiago

  • 2015 The Role of International Reserves in Sovereign Debt Restructuring under Fiscal Adjustment
    by Tavares, Tiago

  • 2015 Portfolio Flows in a two-country RBC model with financial intermediaries
    by Kavli, Haakon & Viegi, Nicola

  • 2015 An SVAR Approach to Evaluation of Monetary Policy in India: Solution to the Exchange Rate Puzzles in an Open Economy
    by Barnett, William A. & Bhadury, Soumya & Ghosh, Taniya

  • 2015 الحساب الجاري في المدى البعيد عبر نموذج داخلي الزمن
    by Ghassan, Hassan B. & Al-Jefri, Essam H.

  • 2015 External Balances, Trade and Financial Conditions
    by Evans, Martin

  • 2015 On the Relationship between Financial Integration, Financial Liberalization and Macroeconomic Volatility
    by Mirdala, Rajmund & Svrčeková, Aneta & Semančíková, Jozefína

  • 2015 Bilateral Trade Balance of Bangladesh with BRICS Countries: A Static Panel Data Analysis
    by Kundu, Nobinkhor

  • 2015 Le multiplicateur keynésien en récession : Pourquoi une relance est-elle davantage nécessaire aujourd'hui en zone Euro ?
    by Charles, Sébastien & Dallery, Thomas & Marie, Jonathan

  • 2015 Multi-product firms, exports and exchange rate policies. Evidence from an emerging economy
    by Mundaca, Gabriela

  • 2015 Causality and cointegration between export, import and economic growth: evidence from Morocco
    by El Alaoui, Aicha

  • 2015 The U.S. Dollar and Global Imbalances
    by Liu, Kai & Zhou, Xuan

  • 2015 Digital waves in economics
    by Ledenyov, Dimitri O. & Ledenyov, Viktor O.

  • 2015 Un modelo Mundell-Fleming con economía ilegal y lavado de dinero
    by Slim, Sadri

  • 2015 Trade finance and international currency
    by Liu, Tao

  • 2015 International Reserves for Emerging Economies: A Liquidity Approach
    by Jung, Kuk Mo & Pyun, Ju Hyun

  • 2015 Extant Reviews on Entry-mode/Internationalization, Mergers & Acquisitions, and Diversification: Understanding Theories and Establishing Interdisciplinary Research
    by Reddy, Kotapati Srinivasa

  • 2015 Nominal Exchange Rates and Net Foreign Assets' Dynamics: the Stabilization Role of Valuation Effects
    by Eugeni, Sara

  • 2015 What Drives Capital Flows to Emerging Markets? A Survey of the Empirical Literature
    by Koepke, Robin

  • 2015 The Evolution of Germany’s Net Foreign Asset Position
    by Baldi, Guido & Bremer, Björn

  • 2015 A Tale of Two Countries: Sovereign Default, Exchange Rate, and Trade
    by Gu, Grace Weishi

  • 2015 Exchange rate as a shock absorber or a shock propagator in Poland and Slovakia - an approach based on Bayesian SVAR models with common serial correlation
    by Dąbrowski, Marek A. & Wróblewska, Justyna

  • 2015 Spatial Clubs in European Regions
    by Davide Fiaschi & Lisa Gianmoena & Angela Parenti

  • 2015 Macroeconomic policy regime in Poland
    by Milka Kazandziska

  • 2015 Semi-strong informational efficiency in the Polish foreign exchange market
    by Luksz Goczek

  • 2015 Eurozone Imbalances: Measuring the Contribution of Expenditure Switching and Expenditure Volumes 1990-2013
    by Enno Schröder

  • 2015 International Coordination and Precautionary Policies
    by Joshua Aizenman

  • 2015 A New Dilemma: Capital Controls and Monetary Policy in Sudden Stop Economies
    by Michael B. Devereux & Eric R. Young & Changhua Yu

  • 2015 Short-Term Pain for Long-Term Gain: Market Deregulation and Monetary Policy in Small Open Economies
    by Matteo Cacciatore & Romain Duval & Giuseppe Fiori & Fabio Ghironi

  • 2015 Pareto Weights as Wedges in Two-Country Models
    by David Backus & Chase Coleman & Axelle Ferriere & Spencer Lyon

  • 2015 Bad Investments and Missed Opportunities? Postwar Capital Flows to Asia and Latin America
    by Lee E. Ohanian & Paulina Restrepo-Echavarria & Mark L. J. Wright

  • 2015 The International Price System
    by Gita Gopinath

  • 2015 Diversification through Trade
    by Francesco Caselli & Miklós Koren & Milan Lisicky & Silvana Tenreyro

  • 2015 Distributional Effects of Monetary Policy in Emerging Market Economies
    by Eswar Prasad & Boyang Zhang

  • 2015 Capital Allocation and Productivity in South Europe
    by Gita Gopinath & Sebnem Kalemli-Ozcan & Loukas Karabarbounis & Carolina Villegas-Sanchez

  • 2015 Towards a General Theory of Deep Downturns
    by Joseph E. Stiglitz

  • 2015 Can Foreign Exchange Intervention Stem Exchange Rate Pressures from Global Capital Flow Shocks?
    by Olivier Blanchard & Gustavo Adler & Irineu de Carvalho Filho

  • 2015 Jump Starting the Euro Area Recovery: Would a Rise in Core Fiscal Spending Help the Periphery?
    by Olivier Blanchard & Christopher J. Erceg & Jesper Lindé

  • 2015 How Important Are Terms Of Trade Shocks?
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2015 Uncovered Interest Parity and Monetary Policy Near and Far from the Zero Lower Bound
    by Menzie D. Chinn & Yi Zhang

  • 2015 Monetary Policy Spillovers and the Trilemma in the New Normal: Periphery Country Sensitivity to Core Country Conditions
    by Joshua Aizenman & Menzie D. Chinn & Hiro Ito

  • 2015 Effects of Fiscal Shocks in a Globalized World
    by Alan J. Auerbach & Yuriy Gorodnichenko

  • 2015 Exchange Rates, Interest Rates, and the Risk Premium
    by Charles Engel

  • 2015 TFP, News, and "Sentiments:" The International Transmission of Business Cycles
    by Andrei A. Levchenko & Nitya Pandalai-Nayar

  • 2015 Pick Your Poison: The Choices and Consequences of Policy Responses to Crises
    by Kristin J. Forbes & Michael W. Klein

  • 2015 Sovereign Default, Debt Restructuring, and Recovery Rates: Was the Argentinean “Haircut” Excessive?
    by Sebastian Edwards

  • 2015 International Coordination of Central Bank Policy
    by Charles Engel

  • 2015 The Internationalization of the RMB, Capital Market Openness, and Financial Reforms in China
    by Joshua Aizenman

  • 2015 Nominal GDP Targeting for Developing Countries
    by Pranjul Bhandari & Jeffrey A. Frankel

  • 2015 Macroeconomic Volatility and External Imbalances
    by Alessandra Fogli & Fabrizio Perri

  • 2015 News Shocks in Open Economies: Evidence from Giant Oil Discoveries
    by Rabah Arezki & Valerie A. Ramey & Liugang Sheng

  • 2015 Domestic and Multilateral Effects of Capital Controls in Emerging Markets
    by Gurnain Pasricha & Matteo Falagiarda & Martin Bijsterbosch & Joshua Aizenman

  • 2015 Inference for nonparametric high-frequency estimators with an application to time variation in betas
    by KALNINA, Ilze

  • 2015 On the individual optimality of economic integration
    by CASTRO, Rui & KOUMTINGUÉ, Nelnan

  • 2015 The shocks matter: improving our estimates of exchange rate pass-through
    by Forbes, Kristin & Hjortsoe, Ida & Nenova, Tsvetelina

  • 2015 Filling the gap: open economy considerations for more reliable potential output estimates
    by Zsolt Darvas

  • 2015 TFP, News, and 'Sentiments': The International Transmission of Business Cycles
    by Andrei A. Levchenko & Nitya Pandalai-Nayar

  • 2015 Exchange Rate Regimes and the Sources of Real Exchange Rate Fluctuations: Evidence from East Asia
    by Tuan Khai Vu

  • 2015 Financial Shocks, Customer Capital and the Trade Collapse of 2008-2009
    by Alok Johri & Terry Yip

  • 2015 Sovereign Debt Restructurings: Preemptive or Post-Default
    by Asonuma, Tamon & Trebesch, Christoph

  • 2015 The Effectiveness of the ECB’s Asset Purchase Programs of 2009 to 2012
    by Heather D. Gibson & Stephen G. Hall & George S. Tavlas

  • 2015 Spillover effects in a monetary union: Why fiscal policy instruments matter
    by Amélie BARBIER-GAUCHARD & Thierry BETTI & Giuseppe DIANA

  • 2015 Demand and Income Distribution in a Two-Country Kaleckian Model
    by Hiroaki Sasaki & Shinya Fujita

  • 2015 Inflation as a Global Phenomenon—Some Implications for Policy Analysis and Forecasting
    by Ayse Kabukcuoglu & Enrique Martínez-García

  • 2015 Capital Controls, Monetary Policy, and Balance Sheets in a Small Open Economy
    by Shigeto Kitano & Kenya Takaku

  • 2015 The Dynamics of Sovereign Default Risk and Political Turnover
    by Almuth Scholl

  • 2015 An SVAR Approach to Evaluation of Monetary Policy in India: Solution to the Exchange Rate Puzzles in an Open Economy
    by William Barnett & Soumya Suvra Bhadury & Taniya Ghosh

  • 2015 Financial Intermediation, Resource Allocation, and Macroeconomic Interdependence
    by Galip Kemal Ozhan

  • 2015 Distributional Effects of Monetary Policy in Emerging Market Economies
    by Prasad, Eswar & Zhang, Boyang

  • 2015 Revisiting the New Normal Hypothesis
    by & Bertrand Candelon & Alina Carare & Keith Miao

  • 2015 Income distribution and the current account: a sectoral perspective
    by Jan Behringer & Till van Treeck

  • 2015 Do debt and growth dance together? A DSGE model of a small open economy with sovereign debt
    by Zixi Liu

  • 2015 Optimal monetary policy in a currency union with labour market heterogeneity
    by Nikolas Kontogiannis

  • 2015 Reassessing exchange rate overshooting in a monetary framework
    by Soumya Suvra Bhadury & Taniya Ghosh

  • 2015 A SVAR approach to evaluation of monetary policy in India
    by William A. Barnett & Soumya Suvra Bhadury & Taniya Ghosh

  • 2015 Foreign exchange markets, intervention and exchange rate regimes
    by Ashima Goyal

  • 2015 Global Liquidity and Monetary Policy Autonomy
    by Stefan Angrick

  • 2015 The Resilient Trade Surplus, the Pharmaceutical Sector, and Exchange Rate Assessments in Switzerland
    by Philip Sauré

  • 2015 Sharing a Ride on the Commodities Roller Coaster: Common Factors in Business Cycles of Emerging Economies
    by Diego Rodriguez & Andres Gonzalez & Andres Fernandez

  • 2015 Explaining Changes in Tax Burdens in Latin America: Does Politics Trump Economics?
    by Mark Hallerberg & Carlos Scartascini

  • 2015 Dealing with the Dutch Disease: Fiscal Rules and Macro-Prudential Policies
    by Javier García-Cicco & Enrique Kawamura

  • 2015 Global Demographic Trends, Capital Mobility, Saving and Consumption in Latin America and the Caribbean (LAC)
    by Orazio P. Attanasio & Andrea Bonfatti & Sagiri Kitao & Guglielmo Weber

  • 2015 Informal Employment and Business Cycles in Emerging Economies: The Case of Mexico
    by Andrés Fernández Martín & Felipe Meza

  • 2015 Sector Heterogeneity and Credit Market Imperfections in Emerging Markets
    by Liliana Varela

  • 2015 The First Arrow Hitting the Currency Target: A Long-run Risk Perspective
    by KANO, Takashi & WADA, Kenji

  • 2015 An Equilibrium Foundation of the Soros Chart
    by Kano, Takashi & Morita, Hiroshi

  • 2015 Monetary Regime Choice and Optimal Credit Rationing at the Official Rate: The Case of Russia
    by Andrey G. Shulgin

  • 2015 Cross-Border Banking and Business Cycles in Asymmetric Currency Unions
    by Lena Dräger & Christian R. Proaño

  • 2015 Exploring International Differences in Inflation Dynamics
    by Yamin Ahmad & Olena Mykhaylova

  • 2015 Filling the gap: open economy considerations for more reliable potential output estimates
    by Zsolt Darvas & Andras Simon

  • 2015 The grand divergence: global and European current account surpluses
    by Zsolt Darvas

  • 2015 How do exporters react to the prices of their competitors?
    by Balázs Murakozy

  • 2015 Rounding the Corners of the Policy Trilemma: Sources of monetary policy autonomy
    by Jay C. Shambaugh & Michael W. Klein

  • 2015 Is There a Trade-off between Exchange Rate and Interest Rate Volatility? Evidence from an M-GARCH Model
    by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte

  • 2015 Current Account Determinats in Central Eastern European Countries
    by Jonida Bollano & Delina Ibrahimaj

  • 2015 High versus Low Inflation: Implications for Price-Level Convergence
    by M. Ege Yazgan & Hakan Yilmazkuday

  • 2015 Foreign competition and banking industry dynamics: an application to Mexico
    by Corbae, Dean & D'Erasmo, Pablo

  • 2015 Good news is bad news: leverage cycles and sudden stops
    by Akinci, Ozge & Chahrour, Ryan

  • 2015 Capital Allocation and Productivity in South Europe
    by Gopinath, Gita & Kalemli-Ozcan, Sebnem & Karabarbounis, Loukas & Villegas-Sanchez, Carolina

  • 2015 Monetary Policy and Dutch Disease: The Case of Price and Wage Rigidity
    by Hevia, Constantino & Nicolini, Juan Pablo

  • 2015 Equilibrium Price Dispersion and the Border Effect
    by Stevens, Luminita & Chahrour, Ryan

  • 2015 Macroeconomic Volatility and External Imbalances
    by Fogli, Alessandra & Perri, Fabrizio

  • 2015 Elastic attention, risk sharing, and international comovements
    by Nie, Jun & Luo, Yulei & Li, Wei

  • 2015 Domestic Debt and Sovereign Defaults
    by Mallucci, Enrico

  • 2015 How Effective are Macroprudential Policies? An Empirical Investigation
    by Akinci, Ozge & Olmstead-Rumsey, Jane

  • 2015 Large Capital Inflows, Sectoral Allocation, and Economic Performance
    by Benigno, Gianluca & Converse, Nathan & Fornaro, Luca

  • 2015 Risk sharing in a world economy with uncertainty shocks
    by Kollmann, Robert

  • 2015 Beggar thy neighbor or beggar thy domestic firms? evidence from 2000-2011 Chinese customs data
    by Fatum, Rasmus & Liu, Runjuan & Tong, Jiadong & Xu, Jiayun

  • 2015 Effects of US quantitative easing on emerging market economies
    by Bhattarai, Saroj & Chatterjee, Arpita & Park, Woong Yong

  • 2015 Multinational firms' entry and productivity: some aggregate implications of firm-level heterogeneity
    by Contessi, Silvio

  • 2015 On the sustainability of exchange rate target zones with central parity realignments
    by Martinez-Garcia, Enrique

  • 2015 Financal frictions and policy cooperation: a case with monopolistic banking and staggered loan contracts
    by Fujiwara, Ippei & Teranishi, Yuki

  • 2015 Forecasting local inflation with global inflation: when economic theory meets the facts
    by Duncan, Roberto & Martinez-Garcia, Enrique

  • 2015 Sustainable international monetary policy cooperation
    by Fujiwara, Ippei & Kam, Timothy & Sunakawa, Takeki

  • 2015 The global component of local inflation: revisiting the empirical content of the global slack hypothesis with Bayesian methods
    by Martinez-Garcia, Enrique

  • 2015 Trilemma, not dilemma: financial globalisation and Monetary policy effectiveness
    by Georgiadis, Georgios & Mehl, Arnaud

  • 2015 The effects of a stronger dollar on U.S. prices
    by Diez, Federico J. & Gopinath, Gita

  • 2015 A model of the Twin Ds: optimal default and devaluation
    by Na, Seunghoon & Schmitt-Grohe, Stephanie & Uribe, Martin & Yue, Vivian Z.

  • 2015 Selection, Trade, and Employment: the Strategic Use of Subsidies
    by Hassan Molana & Catia Montagna

  • 2015 EU policies addressing current account imbalances in the EMU: an assessment
    by Nina Dodig & Hansjorg Herr

  • 2015 How Important Are Nominal Shocks For Real Exchange Rate Fluctuations? Evidence From Inflation Targeting Emerging Market Economies
    by M. Fatih Ekinci & Fatma Pınar Erdem & Zübeyir Kılınç

  • 2015 How Important Are Nominal Shocks For Real Exchange Rate Fluctuations? Evidence From Inflation Targeting Emerging Market Economies
    by M. Fatih Ekinci & Fatma Pınar Erdem & Zübeyir Kılınç

  • 2015 How Important Are Nominal Shocks For Real Exchange Rate Fluctuations? Evidence From Inflation Targeting Emerging Market Economies
    by M. Fatih Ekinci & Fatma Pınar Erdem & Zübeyir Kılınç

  • 2015 Gelir Düzeyi ve Döviz Kurunun Farklı Teknoloji Düzeyleri Açısından İmalat Sanayisi Dış Ticaretine Etkisi: Türkiye Üzerine Ampirik Bir İnceleme
    by Gökhan Özdamar

  • 2015 Gelir Düzeyi ve Döviz Kurunun Farklı Teknoloji Düzeyleri Açısından İmalat Sanayisi Dış Ticaretine Etkisi: Türkiye Üzerine Ampirik Bir İnceleme
    by Gökhan Özdamar

  • 2015 Gelir Düzeyi ve Döviz Kurunun Farklı Teknoloji Düzeyleri Açısından İmalat Sanayisi Dış Ticaretine Etkisi: Türkiye Üzerine Ampirik Bir İnceleme
    by Gökhan Özdamar

  • 2015 The stabilising properties of a European Banking Union in case of financial shocks in the Euro Area
    by Fritz Breuss & Werner Roeger & Jan in ’t Veld

  • 2015 Stabilisation and rebalancing with fiscal or monetary devaluation: a model-based comparison
    by Lukas Vogel

  • 2015 The Necessity Of Solving The Youth Unemployment
    by Adrijana Vukovic, Goran Djokovic, Danilo Roncevic

  • 2015 Exchange Rate Dynamics under Financial Market Frictions
    by Hyunjoo Ryou & Cristina Terra

  • 2015 Large capital inflows, sectoral allocation andeconomic performance
    by Gianluca Benigno & Nathan Converse & Luca Fornaro

  • 2015 Credit constraints and growth in a global economy
    by Nicolas Coeurdacier & Stéphane Guibaud & Keyu Jin

  • 2015 Effects of US quantitative easing on emerging market economies
    by Saroj Bhattarai & Arpita Chatterjee & Woong Yong Park

  • 2015 Risk sharing in a world economy with uncertainty shocks
    by Robert Kollmann

  • 2015 Risk Sharing in a World Economy with Uncertainty Shocks
    by Robert Kollmann

  • 2015 The Role of International Reserves Holding in Buffering External Shocks
    by Jean-Pierre Allegret & Audrey Sallenave

  • 2015 Real exchange rate and industrial employment: An empirical analysis for Colombia, 2000-2010
    by Jose Tomas Pelaez Soto & Lya Paola Sierra Suarez

  • 2015 A Tale of Tax Policies in Open Economies
    by Stephane Auray & Aurelien Eyquem & Paul Gomme

  • 2015 International Channels of Transmission of Monetary Policy and the Mundellian Trilemma
    by Rey, Hélène

  • 2015 Deleveraging, deflation and depreciation in the euro area
    by Kuvshinov, Dmitry & Müller, Gernot & Wolf, Martin

  • 2015 Exact Present Solution with Consistent Future Approximation: A Gridless Algorithm to Solve Stochastic Dynamic Models
    by Den Haan, Wouter & Kobielarz, Michal L. & Rendahl, Pontus

  • 2015 Short-Term Pain for Long-Term Gain: Market Deregulation and Monetary Policy in Small Open Economies
    by Cacciatore, Matteo & Duval, Romain & Fiori, Giuseppe & Ghironi, Fabio

  • 2015 Sovereign Debt Restructurings: Preemptive or Post-Default
    by Asonuma, Tamon & Trebesch, Christoph

  • 2015 Risk Sharing in a World Economy with Uncertainty Shocks
    by Kollmann, Robert

  • 2015 Quality and the Great Trade Collapse
    by Chen, Natalie & Juvenal, Luciana

  • 2015 Capital Allocation and Productivity in South Europe
    by Gopinath, Gita & Kalemli-Ozcan, Sebnem & Karabarbounis, Loukas & Villegas-Sanchez, Carolina

  • 2015 International Risk Sharing and Portfolio Choice with Non-separable Preferences
    by Küçük, Hande & Sutherland, Alan

  • 2015 Beyond Competitive Devaluations: The Monetary Dimensions of Comparative Advantage
    by Bergin, Paul R & Corsetti, Giancarlo

  • 2015 A Model of the Twin Ds: Optimal Default and Devaluation
    by Na, Seunghoon & Schmitt-Grohé, Stephanie & Uribe, Martín & Yue, Vivian

  • 2015 How Important Are Terms Of Trade Shocks?
    by Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2015 Market Structure and Exchange Rate Pass-Through
    by Auer, Raphael & Schoenle, Raphael

  • 2015 The Valuation Channel of External Adjustment
    by Ghironi, Fabio & Lee, Jaewoo & Rebucci, Alessandro

  • 2015 Large Capital Inflows, Sectoral Allocation and Economic Performance
    by Benigno, Gianluca & Converse, Nathan & Fornaro, Luca

  • 2015 International Debt Deleveraging
    by Fornaro, Luca

  • 2015 Sovereign Debt, Bail-Outs and Contagion in a Monetary Union
    by Eijffinger, Sylvester C W & Kobielarz, Michal L. & Uras, Rasim Burak

  • 2015 Was the Classical Gold Standard Credible on the Periphery? Evidence from Currency Risk
    by Mitchener, Kris James & Weidenmier, Marc

  • 2015 International Credit Flows and Pecuniary Externalities
    by Brunnermeier, Markus K & Sannikov, Yuliy

  • 2015 Animal Spirits in Open Economy: An Interaction-Based Approach to Bounded Rationality
    by Jang, Tae-Seok

  • 2015 Business Cycles, Technology and Exports
    by Francesco Bogliacino & Dario Guarascio & Mario Pianta & Matteo Lucchese

  • 2015 Determinantes de las exportaciones manufactureras de Colombia: un estudio a partir de un modelo de ecuaciones simultáneas
    by Iader Giraldo S.

  • 2015 Sharing a Ride on the Commodities Roller Coaster: Common Factors in Business Cycles of Emerging Economies
    by Andrés Fernández & Andrés González & Diego Rodríguez

  • 2015 Precio del petróleo y el ajuste de las tasas de interés en las economías emergentes
    by Paula Andrea Beltrán-Saavedra

  • 2015 Systemic Risk, Aggregate Demand, and Commodity Prices
    by Javier G. Gómez-Pineda & Dominique Guillaume & Kadir Tanyeri

  • 2015 On the Stylized Facts of Nominal Exchange Rates in Brazil, Chile, Colombia, Mexico and Peru
    by Juan Manuel Julio-Roman

  • 2015 Macroprudential vs. Ex-post Policy Interventions: when Domestic Taxes are Relevant for International Lenders
    by Julian A. Parra-Polania & Carmiña O. Vargas

  • 2015 Monetary policy implications for an oil-exporting economy of lower long-run international oil prices
    by Franz Hamann & Jesús Bejarano & Diego Rodríguez

  • 2015 Exchange Rate Dynamics and its Effect on Macroeconomic Volatility in Selected CEE Countries
    by Volha Audzei & Frantisek Brazdik

  • 2015 International Interest Rates and Housing Markets
    by Luis Franjo

  • 2015 Secular Drivers of the Global Real Interest Rate
    by Lukasz Rachel & Thomas Smith

  • 2015 Exact Present Solution with Consistent Future Approximation: A Gridless Algorithm to Solve Stochastic Dynamic Models
    by Wouter den Haan & Michal Kobielarz & Pontus Rendahl

  • 2015 Beyond Competitive Devaluations: The Monetary Dimensions of Comparative Advantage
    by Paul Bergin & Giancarlo Corsetti

  • 2015 Large Capital Inflows, Sectoral Allocation, and Economic Performance
    by Gianluca Benigno & Nathan Converse & Luca Fornaro

  • 2015 Searching for the source of macroeconomic integration across advanced economies
    by Uluc Aysun

  • 2015 The Great Divergence: A Network Approach
    by Ines Lindner & Holger Strulik

  • 2015 Stabilisation and Rebalancing with Fiscal or Monetary Devaluation: A Model-Based Comparison
    by Lukas Vogel

  • 2015 Sovereign Debt Restructurings: Preemptive or Post-Default
    by Tamon Asonuma & Christoph Trebesch

  • 2015 Quality and the Great Trade Collapse
    by Natalie Chen & Luciana Juvenal

  • 2015 The Modality of Fiscal Consolidation and Current Account Adjustment
    by Antonis Adam & Thomas Moutos

  • 2015 International Credit Flows and Pecuniary Externalities
    by Markus Brunnermeier & Yuliy Sannikov

  • 2015 A Small Open Economy with the Balassa-Samuelson Effect
    by Robert Ambrisko

  • 2015 Diversification through Trade
    by Francesco Caselli & Miklos Koren & Milan Lisicky & Silvana Tenreyro

  • 2015 Large Capital Inflows, Sectoral Allocation and Economic Performance
    by Gianluca Benigno & Nathan Converse & Luca Fornaro

  • 2015 O circuito finance-investimento-poupança-funding na economia aberta e com o governo
    by Douglas Alcântara Alencar & Marco Flávio Cunha Resende & Lúcio Otávio Seixas Barbosa & Gustavo Figueiredo Campolina Diniz

  • 2015 Energy Business Cycles
    by Meenagh, David & Minford, Patrick & Oyekola, Olayinka

  • 2015 Oil Prices and the Dynamics of Output and Real Exchange Rate
    by Meenagh, David & Minford, Patrick & Oyekola, Olayinka

  • 2015 Beyond Competitive Devaluations: The Monetary Dimensions of Comparative Advantage
    by Paul R. Bergin & Giancarlo Corsetti

  • 2015 Changing Exchange Rate Pass-Through in Japan: Does It Indicate Changing Pricing Behavior?
    by Naoko Hara & Kazuhiro Hiraki & Yoshitaka Ichise

  • 2015 The Effectiveness of The ECB’s Asset Purchase Programs Of 2009 To 2012
    by Heather D. Gibson & Stephen G. Hall & George S. Tavlas

  • 2015 EMU 2.0 Drawing Lessons From the Crisis - a New Framework For Stability and Growth
    by Theodoros S. Papaspyrou

  • 2015 What are the International Channels Through Which a US Policy Shock is Transmitted to The World Economies? Evidence from a Time Varying FAVAR
    by Anastasios Evgenidis & Costas Siriopoulos

  • 2015 Discovering the signs of Dutch disease in Russia
    by Mironov, V.V. & Petronevich, A.V.

  • 2015 Secular drivers of the global real interest rate
    by Rachel, Lukasz & Smith, Thomas

  • 2015 Exchange rate regimes and current account adjustment: an empirical investigation
    by Eguren-Martin, Fernando

  • 2015 Cross-country co-movement in long-term interest rates: a DSGE approach
    by Chin, Michael & Filippeli, Thomai & Theodoridis, Konstantinos

  • 2015 Equilibrium Price Dispersion and the Border Effect
    by Ryan Chahrour & Luminita Stevens

  • 2015 Foreign shocks
    by Drago Bergholt

  • 2015 The Long and the Short of It: Sovereign Debt Crises and Debt Maturity
    by Raquel Fernández & Alberto Martín

  • 2015 Understanding the Gains from Wage Flexibility: The Exchange Rate Connection
    by Jordi Galí & Tommaso Monacelli

  • 2015 Delayed Overshooting Puzzle in Structural Vector Autoregression Models
    by K. Istrefi & B. Vonnak

  • 2015 Globalization, Market Structure and the Flattening of the Phillips Curve
    by S. Guilloux-Nefussi

  • 2015 Idiosyncratic Risk, Borrowing Constraints and Financial Integration - A Discussion of Ambiguous Results
    by Maik Heinemann & Alexander Wulff

  • 2015 Endogenous Trade, Nontraded Goods and Real Exchange Rate Variations
    by Hernández Marco A.

  • 2015 The macroeconomic effects of the sovereign debt crisis in the euro area
    by Stefano Neri & Tiziano Ropele

  • 2015 Inequality, Financial Deepening and Current Account Impact
    by Jorge Carrera & Esteban Rodríguez & Mariano Sardi

  • 2015 LOLA 3.0: Luxembourg OverLapping generation model for policy Analysis
    by Luca Marchiori & Olivier Pierrard

  • 2015 Exchange Rate Fluctuations and Labour Market Adjustments in Canadian Manufacturing Industries
    by Gabriel Bruneau & Kevin Moran

  • 2015 Domestic and Multilateral Effects of Capital Controls in Emerging Markets
    by Gurnain Pasricha & Matteo Falagiarda & Martin Bijsterbosch & Joshua Aizenman

  • 2015 International Spillovers of Large-Scale Asset Purchases
    by Sami Alpanda & Serdar Kabaca

  • 2015 International Transmission of Credit Shocks in an Equilibrium Model with Production Heterogeneity
    by Yuko Imura & Julia Thomas

  • 2015 Can international macroeconomic models explain low-frequency movements of real exchange rates?
    by Pau Rabanal & Juan F. Rubio-Ramirez

  • 2015 Optimal Inflation Weights in the Euro Area
    by Daniela Bragoli & Massimiliano Rigon & Francesco Zanetti

  • 2015 Labour Market Regulation, Fiscal Consolidation, and the Success of Current Account Adjustments
    by Antonis Adam & Panos Hatzipanayotou & Thomas Moutos

  • 2015 Tracking the Exchange Rate Management in Latin America
    by César Carrera

  • 2015 The failure of the monetary model of exchange rate determination
    by Dinçer Afat & Marta Gómez-Puig & Simón Sosvilla-Rivero

  • 2015 Sovereign credit ratings and the transnationalization of finance: Evidence from a gravity model of portfolio investment
    by Körner, Finn Marten & Trautwein, Hans-Michael

  • 2015 Export boost of Textile Industry of Pakistan by availing EU’s GSP Plus
    by Wagan, Shah Mehmood

  • 2015 Exchange Rate Pass-Through and the Frequency of Price Adjustment across Different Inflation Regimes
    by Pavle Petrović & Zorica Mladenović

  • 2015 Exchange Rate and Oil Price Interactions in Transition Economies: Czech Republic, Hungary and Poland
    by Tayfur Bayat & Saban Nazlioglu & Selim Kayhan

  • 2015 Current Account Imbalances in the EMU: An Assessment of Official Policy Responses
    by Nina Dodig & Hansjörg Herr

  • 2015 Shared learnings: Indonesia's and Australia's current account balances
    by Blake Ford & Luky Alfirman & Ferry Irawan

  • 2015 The causal link between Trade Openness and Government Size: Evidence from the five largest economies in Africa
    by Taofik Mohammed Ibrahim

  • 2015 A Review on the Relationship Between the Real Exchange Rate, Productivity, and Growth
    by Murat Ozbilgin

  • 2015 The Determinants Of The Demand For International Reserves In Mexico: A Vector Error Correction Model
    by Jorge GARZA-RODRIGUEZ & Luis F. GONZALEZ-GAMEZ & Benjamin IZAGUIRRE-MONSIBAIZ & Daniel A. NADER-DELEON & Erick H.TREVINO-CARRILLO

  • 2015 Trade, investment, and capital flows: Mexico?s macroeconomic adjustment to the Great Recession
    by Carlos A. Ibarra

  • 2015 Rola specjalnych praw ciągnienia we współczesnym międzynarodowym systemie walutowym
    by Dominik A. Skopiec

  • 2015 Jakość danych o rezerwach dewizowych a kryzysy finansowe w gospodarkach wschodzących
    by Marek A. Dąbrowski

  • 2015 Open Economy Macroeconomics of Sectoral Interlinkage in a Developing Country
    by Pia Ghoshal & Bhaskar Goswami & Ranjanendra Narayan Nag

  • 2015 Dévaluation interne, politiques structurelles et réductions des déficits publics : les réponses apportées par la « troïka » sont-elles un remède aux déséquilibres externes des pays périphériques de la zone eur
    by Serranito, Francisco

  • 2015 The effect of the transfer dynamics of the ruble exchange rate in prices in Russian industries
    by Ponomarev, Yuri

  • 2015 Decomposition of the Structural Shocks Contribution to the Russian Macroeconomic Indicators Dynamics on the Basis of the DSGE Model
    by Drobyshevskiy, Sergei & Polbin, Andrei

  • 2015 The impact of fiscal policy on the current account balance and the real exchange rate
    by Prilepskiy, Ilya

  • 2015 The Impact of Inflationary Environment on Exchange Rate Pass-Through to the import Price Index in Iran
    by Asgharpur , Hossein & Kazerooni , Alireza & Mirani, Nina

  • 2015 Business Cycles in the Maghreb: Does Trade Matter?
    by Eggoh, Jude & Belhadj, Aram

  • 2015 Foreign Direct Investment Outflows : Asian Developing Countries
    by Bano , Sayeeda & Tabbada, Jose

  • 2015 The Impact of Economic Liberalization Policy on Performance of the Nigerian Industrial Sector - L’impatto della politica di liberalizzazione economica sulla performance del settore industriale in Nigeria
    by Karimo, Tamarauntari M.

  • 2015 Modelling Asymmetry in Oil, Gold and Stock Markets by a Hidden Cointegration Technique. - Modelli di asimmetria nel mercato del petrolio, dell’oro e nei mercati azionari attraverso una tecnica di cointegrazione nascosta
    by Hatemi-J, Abdulnasser & Irandoust, Manuchehr

  • 2015 Foreign Exchange Risk Premia and Goods Market Frictions
    by Moon, Seongman

  • 2015 Study on Return and Volatility Spillover Effects among Stock, CDS, and Foreign Exchange Markets in Korea
    by I, Taly

  • 2015 An Assessment of the Real Exchange Rate Misalignment in Egypt: A Structural VAR Approach
    by Rana Hosni

  • 2015 Exchange Rate Volatility and other Determinants of Hysteresis in Exports – Empirical Evidence for the Euro Area
    by Ansgar H. Belke & Matthias Göcke & Laura Werner

  • 2015 Globalization and Inflation: Evidence from a Time Varying VAR
    by Francesco Bianchi & Andrea Civelli

  • 2015 Informal Employment and Business Cycles in Emerging Economies: The Case of Mexico
    by Andres Fernandez & Felipe Meza

  • 2015 Sobre entradas y salidas de capitales: flujos brutos, netos y política económica
    by De Gregorio, José

  • 2015 Medidas macroprudenciales y política monetaria en una economía pequeña y abierta
    by Ribeiro, Joao

  • 2015 Flujos de órdenes en el mercado cambiario y el valor intrínseco del Nuevo Sol
    by Lock, Eduardo & Winkelried, Diego

  • 2015 Comparative Advantages of Visegrad Four Countries and Germany - A Comparison of Sectors According to the Workforce Qualification and Technology-Intensity
    by Ondřej Sankot

  • 2015 Poptávka po reálných peněžních zůstatcích v ČR a její determinanty
    by Martin Gürtler

  • 2015 Valuation Effect As A Determinant Of The International Investment Position In Central And Eastern European Economies
    by Konrad Sobanski

  • 2015 Testing Monetary Exchange Rate Models With Panel Cointegration Tests
    by Szabo Andrea & & &

  • 2015 The Greek public debt problem [The Greek public debt problem]
    by Michalis Nikiforos & Dimitri B. Papadimitriou & Gennaro Zezza

  • 2015 Persistência da taxa de câmbio real: um estudo a partir do estimador local de Whittle [Real Exchange Rate Persistence: a Study using the Local Whittle Estimator]
    by André M. Marques

  • 2015 Optimization of Simple Monetary Policy Rules on the Base of Estimated DSGE-model
    by Shulgin, A.

  • 2015 Fear of Floating in Turkey
    by Ilyas Siklar & Taner Sekmen

  • 2015 Importance of Investment Climates for Inflows of Foreign Direct Investment in Developing Countries
    by Dr. Nihal Bayraktar

  • 2015 Re-gendering globalization: Overcoming the phenomenon of gendering globalization
    by Sadia Afrin & Mahmudul Hasan Fouiji & Muhammad Raquib

  • 2015 Current Account and Real Exchange Rate Dynamics in Indonesia
    by Firman Mochtar & Yoga Affandi

  • 2015 Long-run effects of commodity prices on the real exchange rate: evidence from Argentina
    by Hildegart Ahumada y Magdalena Cornejo

  • 2015 Export boost of textile industry of Pakistan by availing EU’s GSP Plus
    by Shah Mehmood WAGAN

  • 2015 Estimate of Equilibrium Real Exchange Rate and Misalignment of Chinese Yuan Vis-a-Vis US Dollar
    by Atabani Adi Agya & Du Jun

  • 2015 Time-varying Cointegration Models and Exchange Rate Predictability in Korea
    by Sookyung Park & Cheolbeom Park

  • 2015 Intertemporal Substitution Effect of Consumption, Macroeconomic Policy Announcements and the Dynamic Adjustment of Stock Prices
    by Peir-Shyan Liaw

  • 2015 Terms of Trade, Labor Supply and the Current Account
    by Yao-Nan Hsu

  • 2015 Sustainability of current account balance in ASEAN countries: Evidence from a panel error correction model
    by Kamrul Hassan & Ariful Hoque & Ananth Rao

  • 2015 Purchasing Power Parity in the SAARC Region: Evidence from Unit Root Test with Cross-Sectional Dependence
    by Kamrul Hassan & Ariful Hoque & Paul Sergius Koku

  • 2015 Open economy macroeconomics of credit, employment and growth: A structuralist approach
    by Rilina Basu (Banerjee)* & Ranjanendra Narayan Nag

  • 2015 Does interest rate shocks transmit from united states to Ghana? Evidence from vector auto-regression
    by Chibuike R. Oguanobi* & Anthony A. Akamobi & Ogonna E. Ifebi & Anne C. Maduka

  • 2015 Sustainability of the current account in Bangladesh: an Intertemporal and cointegration analysis
    by Md Abdul Wadud & S. M. Atiar Rahman & Mohd. Mozammel Hossain Chowdhury

  • 2015 Inflation Targeting and Economic Reforms in New Zealand
    by Matteo Cacciatore & Fabio Ghironi & Stephen J. Turnovsky

  • 2015 Ordering Policy Rules with an Unconditional Welfare Measure
    by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan

  • 2015 El Acuerdo De Asociación Económica México –Japón Bajo Las Teorías Organizacionales
    by Citlali BANDERAS RAMÍREZ & José G. VARGAS-HERNÁNDEZ

  • 2015 Do Markets Cointegrate after Financial Crises? Evidence from G-20 Stock Markets
    by Mahfuzul Haque & Hannarong Shamsub

  • 2015 The Effect of Corporate Governance Elements on Corporate Social Responsibility (CSR) Disclosure: An Empirical Evidence from Listed Companies at KSE Pakistan
    by Sadia Majeed & Tariq Aziz & Saba Saleem

  • 2015 The Effects of Firm-Specific Factors on the Profitability of Non-Life Insurance Companies in Turkey
    by Emine Öner Kaya

  • 2015 TARGET2 Imbalances and the ECB as Lender of Last Resort
    by Francesco Purificato & Caterina Astarita

  • 2015 Is Economic Development Promoting Monetary Integration in East Asia?
    by Kentaro Kawasaki & Zhi-Qian Wang

  • 2015 Positive Alpha and Negative Beta (A Strategy for Counteracting Systematic Risk)
    by Erik Sonne Noddeboe & Hans Christian Faergemann

  • 2015 Performance and Behavior of Family Firms
    by Esra Memili

  • 2015 A Soft Intelligent Risk Evaluation Model for Credit Scoring Classification
    by Mehdi Khashei & Akram Mirahmadi

  • 2015 Fiscal Deficits and Stock Prices in India: Empirical Evidence
    by Pooja Joshi & Arun Kumar Giri

  • 2015 A Probit Model for the State of the Greek GDP Growth
    by Stavros Degiannakis

  • 2015 The Swiss Black Swan Bad Scenario: Is Switzerland Another Casualty of the Eurozone Crisis?
    by Sebastien Lleo & William T. Ziemba

  • 2015 Determinants of the Government Bond Yield in Spain: A Loanable Funds Model
    by Yu Hsing

  • 2015 Forecasting Returns with Fundamentals-Removed Investor Sentiment
    by Adam Stivers

  • 2015 Large-Scale Empirical Tests of the Markov Tree Model
    by Harish S. Bhat & Nitesh Kumar

  • 2015 Systemic Risk in the European Union: A Network Approach to Banks’ Sovereign Debt Exposures
    by Annika Westphal

  • 2015 Bond Indenture Consent Solicitations as a Debt Management Tool
    by Jamie A. Anderson-Parson & Terrill R. Keasler & Robin T. Byerly

  • 2015 Corporate Governance Provisions, Family Involvement, and Firm Performance in Publicly Traded Family Firms
    by Esra Memili & Kaustav Misra

  • 2015 Net Interoffice Accounts of Global Banks: The Role of Domestic Funding
    by Carmela D'Avino

  • 2015 Financial Reforms and Financial Fragility: A Panel Data Analysis
    by Syed Faizan Iftikhar

  • 2015 The NBA’s Maximum Player Salary and the Distribution of Player Rents
    by Kelly M. Hastings & Frank Stephenson

  • 2015 An Improved Valuation Model for Technology Companies
    by Ako Doffou

  • 2015 Purchasing Power Parity in Transition Countries: Panel Stationary Test with Smooth and Sharp Breaks
    by Mohsen Bahmani-Oskooee & Tsangyao Chang & Tsung-Pao Wu

  • 2015 Special Issue: Recent Developments in Finance and Banking after the 2008 Crisis
    by Nicholas Apergis & James Earl Payne

  • 2015 Convergence Studies on Monte Carlo Methods for Pricing Mortgage-Backed Securities
    by Tao Pang & Yipeng Yang & Dai Zhao

  • 2015 On Transaction-Cost Models in Continuous-Time Markets
    by Thomas Poufinas

  • 2015 Effects of Family Ownership, Debt and Board Composition on Mexican Firms Performance
    by Juan Manuel San Martin-Reyna & Jorge A. Duran-Encalada

  • 2015 Modern and Traditional Methods for Measuring Money Supply: The Case of Saudi Arabia
    by William A. Barnett & Ryadh M. Alkhareif

  • 2015 How the Economic and Financial Situation of the Community Affects Sport Clubs’ Resources: Evidence from Multi-Level Models
    by Pamela Wicker & Christoph Breuer

  • 2015 The Relation between Past Flows and Future Performance: Simple Investment Strategies in the Mutual Fund Sector
    by Martin Rohleder

  • 2015 Acknowledgement to Reviewers of the International Journal of Financial Studies in 2014
    by International Journal of Financial Studies Editorial Office

  • 2015 Monetary Policy in Small Open Economies: The Role of Exchange Rate Rules
    by Santacreu, Ana Maria

  • 2015 Productivity Shocks and Monetary Policy in a Two-Country Model
    by Tae-Seok Jang & Eiji Okano

  • 2015 China Is Not yet Number One
    by Jeffrey Frankel

  • 2015 Monetary Policy and Exchange Rate Dynamics: The Exchange Rate as a Shock Absorber
    by Volha Audzei & Frantisek Brazdik

  • 2015 A Cross-Country Analysis of Monetary Policy Effects on Prices
    by Bruno Coric & Lena Malesevic Perovic & Vladimir Simic

  • 2015 No easy balancing act: reducing the balance-of-payments constraint, improving export competitiveness and productivity, and absorbing surplus labor – the Indian experience
    by Suranjana Nabar-Bhaduri

  • 2015 Mundell–Fleming without the LM curve: the exogenous interest rate in an open economy
    by Franklin Serrano & Ricardo Summa

  • 2015 Macroeconomic policy regimes in emerging markets: the case of Latvia
    by Milka Kazandziska

  • 2015 Inequality, the crisis, and stagnation
    by Till van Treeck

  • 2015 A theoretical interpretation of the oil prices impact on economic growth in contemporary Russia
    by Idrisov, Georgy & Kazakova, Maria & Polbin, Andrey

  • 2015 Tracking exchange rate management in Latin America
    by Carrera, César

  • 2015 Savings, the size of the net foreign asset position, and the dynamics of current accounts
    by Erauskin, Iñaki

  • 2015 Price level and inflation in the GCC countries
    by Murshed, Hasan & Nakibullah, Ashraf

  • 2015 Time-varying nature and macroeconomic determinants of exchange rate pass-through
    by Ozkan, Ibrahim & Erden, Lutfi

  • 2015 Purchasing power parity-symmetry and proportionality: Evidence from 116 countries
    by Arize, Augustine C. & Malindretos, John & Ghosh, Dilip

  • 2015 A nonparametric study of real exchange rate persistence over a century
    by Kim, Hyeongwoo & Ryu, Deockhyun

  • 2015 Examining the exchange rate regime–monetary policy autonomy nexus: Evidence from Malaysia
    by Goh, Soo Khoon & McNown, Robert

  • 2015 The net foreign asset position and government size
    by Erauskin, Iñaki

  • 2015 How interdependent are Eastern European economies and the Euro area?
    by Keppel, Catherine & Prettner, Klaus

  • 2015 The risk premium and long-run global imbalances
    by Chien, YiLi & Naknoi, Kanda

  • 2015 Discovering the signs of Dutch disease in Russia
    by Mironov, Valeriy V. & Petronevich, Anna V.

  • 2015 The effects of fiscal policy on the Spanish economy: Keynesian or non-Keynesian behavior?
    by Ricci-Risquete, Alejandro & Ramajo, Julián

  • 2015 Trade linkages, balance sheets, and spillovers: The Germany-Central European Supply Chain
    by Elekdag, Selim & Muir, Dirk & Wu, Yiqun

  • 2015 Global imbalances, current account rebalancing and exchange rate adjustments
    by Arslan, Yavuz & Kılınç, Mustafa & Turhan, M. İbrahim

  • 2015 The importance of trade and capital imbalances in the European debt crisis
    by Hughes Hallett, Andrew & Martinez Oliva, Juan Carlos

  • 2015 Euro area, oil and global shocks: An empirical model-based analysis
    by Forni, L. & Gerali, A. & Notarpietro, A. & Pisani, M.

  • 2015 On the employment, investment and current account effects of inflation: A revisit
    by Chang, Wen-ya & Tsai, Hsueh-fang & Chu, Mei-Lie & Chang, Juin-jen

  • 2015 Value of WTO trade agreements in a New Keynesian model
    by Ganelli, Giovanni & Tervala, Juha

  • 2015 Imbalances over the Pacific
    by Kim, Soyoung & Lee, Jaewoo

  • 2015 Currency invoicing and state-dependent pricing
    by Kang, Hyunju

  • 2015 Time varying pass-through: Will the yen depreciation help Japan hit the inflation target?
    by Shioji, Etsuro

  • 2015 An equilibrium foundation of the Soros chart
    by Kano, Takashi & Morita, Hiroshi

  • 2015 Balance sheet effects, foreign reserves and public policies
    by Cheng, Gong

  • 2015 Noisy news and exchange rates: A SVAR approach
    by Redl, Chris

  • 2015 The valuation channel of external adjustment
    by Ghironi, Fabio & Lee, Jaewoo & Rebucci, Alessandro

  • 2015 Government spending, monetary policy, and the real exchange rate
    by Bouakez, Hafedh & Eyquem, Aurélien

  • 2015 Nominal shocks and real exchange rates: Evidence from two centuries
    by Craighead, William D. & Tien, Pao-Lin

  • 2015 Exchange rate flexibility and credit during capital inflow reversals: Purgatory … not paradise
    by Magud, Nicolas E. & Vesperoni, Esteban R.

  • 2015 Large capital inflows, sectoral allocation, and economic performance
    by Benigno, Gianluca & Converse, Nathan & Fornaro, Luca

  • 2015 What makes a currency procyclical? An empirical investigation
    by Cordella, Tito & Gupta, Poonam

  • 2015 Dealing with the Dutch disease: Fiscal rules and macro-prudential policies
    by García-Cicco, Javier & Kawamura, Enrique

  • 2015 Four decades of terms-of-trade booms: A metric of income windfall
    by Adler, Gustavo & Magud, Nicolas E.

  • 2015 Capital inflows and euro area long-term interest rates
    by Carvalho, Daniel & Fidora, Michael

  • 2015 Official financial flows, capital mobility, and global imbalances
    by Bayoumi, Tamim & Gagnon, Joseph & Saborowski, Christian

  • 2015 Monetary policy options for mitigating the impact of the global financial crisis on emerging market economies
    by Dąbrowski, Marek A. & Śmiech, Sławomir & Papież, Monika

  • 2015 The exchange rate pass-through to import and export prices: The role of nominal rigidities and currency choice
    by Choudhri, Ehsan U. & Hakura, Dalia S.

  • 2015 Asset pledgeability and international transmission of financial shocks
    by Trani, Tommaso

  • 2015 Determinants of risk sharing through remittances
    by Balli, Faruk & Rana, Faisal

  • 2015 Cross-border banking, bank market structures and market power: Theory and cross-country evidence
    by Bremus, Franziska M.

  • 2015 Examining industrial interdependence between Japan and South Korea: A FAVAR approach
    by Selover, David D. & Yagihashi, Takeshi

  • 2015 Optimal monetary policy in an economy with vertical production and trade: An analysis based on the perspective of local currency pricing
    by Dohwa, Kohjiro

  • 2015 Microstructure order flow: statistical and economic evaluation of nonlinear forecasts
    by Cerrato, Mario & Kim, Hyunsok & MacDonald, Ronald

  • 2015 On the benefits of a monetary union: Does it pay to be bigger?
    by Forlati, Chiara

  • 2015 Country characteristics and the effects of government consumption shocks on the current account and real exchange rate
    by Kim, Soyoung

  • 2015 International portfolios: A comparison of solution methods
    by Rabitsch, Katrin & Stepanchuk, Serhiy & Tsyrennikov, Viktor

  • 2015 Imperfect mobility of labor across sectors: a reappraisal of the Balassa–Samuelson effect
    by Cardi, Olivier & Restout, Romain

  • 2015 Liquidity premia and interest rate parity
    by Linnemann, Ludger & Schabert, Andreas

  • 2015 The effects of surprise and anticipated technology changes on international relative prices and trade
    by Nam, Deokwoo & Wang, Jian

  • 2015 How do exchange rate movements affect Chinese exports? — A firm-level investigation
    by Li, Hongbin & Ma, Hong & Xu, Yuan

  • 2015 Betting the house
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2015 Optimal monetary policy in a currency union with interest rate spreads
    by Bhattarai, Saroj & Lee, Jae Won & Park, Woong Yong

  • 2015 Institutions, Corporate Governance and Capital Flows
    by Mukherjee, Rahul

  • 2015 Pooling risk among countries
    by Callen, Michael & Imbs, Jean & Mauro, Paolo

  • 2015 International equity and bond positions in a DSGE model with variety risk in consumption
    by Hamano, Masashige

  • 2015 Can international macroeconomic models explain low-frequency movements of real exchange rates?
    by Rabanal, Pau & Rubio-Ramírez, Juan F.

  • 2015 Financial crises and exchange rate policy
    by Fornaro, Luca

  • 2015 Capital controls and recovery from the financial crisis of the 1930s
    by Mitchener, Kris James & Wandschneider, Kirsten

  • 2015 The domestic and international effects of interstate U.S. banking
    by Cacciatore, Matteo & Ghironi, Fabio & Stebunovs, Viktors

  • 2015 Trades in commodities, financial assets, and currencies: A triangle of arbitrage, hedging and speculative designs
    by Ghosh, Dilip K. & Arize, Augustine & Ghosh, Dipasri

  • 2015 Distribution forecast targeting in an open-economy, macroeconomic volatility and financial implications
    by Flamini, Alessandro & Milas, Costas

  • 2015 The EMU effects on asset market holdings and the recent financial crisis
    by Palaiodimos, George & Tzavalis, Elias

  • 2015 Was it risk? Or was it fundamentals? Explaining excess currency returns with kernel smoothed regressions
    by Baillie, Richard T. & Kim, Kun Ho

  • 2015 Exchange rate pass-through and product heterogeneity: Does quality matter on the import side?
    by Bernini, Michele & Tomasi, Chiara

  • 2015 How do US credit supply shocks propagate internationally? A GVAR approach
    by Eickmeier, Sandra & Ng, Tim

  • 2015 On the explanation of the Lucas Paradox
    by Göktan, Mehmet Gökhan

  • 2015 Persistent real misalignments and the role of the exchange rate regime
    by Caputo, Rodrigo

  • 2015 On the sustainability of exchange rate target zones with central parity realignments
    by Martínez-García, Enrique

  • 2015 What’s news in exchange rate dynamics: A DSGE approach
    by Chen, Kan & Zhang, Shage

  • 2015 Real exchange rate volatility and business cycles in emerging market economies
    by Gumus, Inci & Taşpınar, Zeren Tatar

  • 2015 Global prediction of recessions
    by Dovern, Jonas & Huber, Florian

  • 2015 Multinational firms׳ entry and productivity: Some aggregate implications of firm-level heterogeneity
    by Contessi, Silvio

  • 2015 Near unit root small open economies
    by Seoane, Hernán D.

  • 2015 Exchange rate volatility and fluctuations in the extensive margin of trade
    by Naknoi, Kanda

  • 2015 Cross-border banking flows spillovers in the Eurozone: Evidence from an estimated DSGE model
    by Poutineau, Jean-Christophe & Vermandel, Gauthier

  • 2015 Policy transmissions, external imbalances, and their impacts: Cross-country evidence from BRICS
    by YUAN, Chunming & CHEN, Ruo

  • 2015 The influences of international output shocks from the US and China on ASEAN economies
    by Dungey, Mardi & Vehbi, Tugrul

  • 2015 What drives credit growth in emerging Asia?
    by Elekdag, Selim & Han, Fei

  • 2015 Exchange rate pass-through and inflation targets in Chile
    by Mujica, Patricio & Saens, Rodrigo

  • 2015 Traspaso de tipo de cambio y metas de inflación en Chile
    by Mujica, Patricio & Saens, Rodrigo

  • 2015 Exchange Rate Fluctuations, Oil Prices and Economic Performance: Empirical Evidence from Nigeria
    by Augustine C. Osigwe

  • 2015 Diversified Currency Holdings and Exchange Rate Dynamics
    by Chung-Fu Lai & Shan-Kai Tsa

  • 2015 Empirical Evidence on the Long-Run Money Demand Function in the Gulf Cooperation Council Countries
    by Helmi Hamdi & Ali Said & Rashid Sbia

  • 2015 Analysis of Convergence Criteria in a Proposed Monetary Union: A Study of the Economic Community of West African States
    by Jimoh Olakunle SAKA & Ibiyemi Ajoke ONAFOWOKAN & Adekunle Ademayowa ADEBAYO

  • 2015 Current Account Deficit and Its Causes in Turkey
    by Murat ÇAK

  • 2015 Finding International Fisher effect to determine the exchange rate through the purchasing power parity theory: the case of Mexico during the period 1996-2012
    by Andrea SALAS ORTIZ & Rodrigo GOMEZ MONGE

  • 2015 Saving-investment Dynamics and capital Mobility in the BRICS
    by Smruti Ranjan BEHERA

  • 2015 The Evolution of Germany’s Net Foreign Asset Position
    by Guido Baldi & Björn Bremer

  • 2015 La Paradoja de Feldstein-Horioka – Evidencia para Colombia durante 1925-2011
    by Óscar Penagos Gómez & Héctor Rojas Serrano & Jacobo Campo Robledo

  • 2015 Determinantes de las exportaciones manufactureras de Colombia: un estudio a partir de un modelo de ecuaciones simultáneas
    by Iader Giraldo Salazar

  • 2015 La paridad del poder adquisitivo: nueva evidencia para Colombia y Latinoamérica
    by Orlando Lorduy Herrera

  • 2015 Desempleo, inversión privada y términos de intercambio. Venezuela, 1970-2012
    by Peña, Carlos J.

  • 2015 Efectos de la enfermedad holandesa ('Dutch disease'). Alguna evidencia para Argentina
    by Luis N. Lanteri

  • 2015 Revisión de algunas estimaciones recientes del traspaso del tipo de cambio a los precios en México
    by Juan Hernández

  • 2015 Do foreign exchange interventions work as coordinating signals in Colombia?
    by Juan David Durán-Vanegas

  • 2015 The need for official reserves in Latin America: Assessing the precautionary motive, 1995-2011
    by Moritz Cruz

  • 2015 Different Dynamics For Some Countries Of Cee
    by Cristian SPIRIDON

  • 2015 Does financial openness explain the increase of global imbalances before the crisis of 2008?
    by Jamel Saadaoui

  • 2015 Les spillovers globaux de la liquidité
    by Christian Bordes

  • 2015 Crise de la zone euro, intégration financière et rationnement bancaire
    by Vincent Duwicquet & Jacques Mazier

  • 2015 Disinflation and monetary independence in Romania
    by Lukasz Goczek

  • 2015 Evaluating The Welfare Aspects Of The Simple Monetary Rules For Iran
    by Mohsen Mohammadi Khyareh & Vahid Taghinejad Omran & Mohammad Ali Ehsani

  • 2015 Net Capital Flows To And The Real Exchange Rate Of Western Balkan Countries
    by Hubert Gabrisch

  • 2015 Revisión de algunas estimaciones recientes del traspaso del tipo de cambio a los precios en México
    by Juan Hernández

  • 2015 Do foreign exchange interventions work as coordinating signals in Colombia?
    by Juan David Durán-Vanegas

  • 2015 Inequality, Financial Deepening and Current Account Impact
    by Jorge Carrera & Esteban Rodríguez & Mariano Sardi

  • 2015 Trade Liberalization, Economic Size and Macroeconomic Volatility: Empirical Evidence from Pakistan
    by Nighat Bilgrami & Hira Mujahid & Shahista Alam

  • 2015 Labour Productivity At The National Level
    by Iuliana MATACHE & Marinela GEAMANU & Miron DUMITRESCU & Andrei Mihai CRISTEA

  • 2015 Real Exchange Rates and Real Interest Rates Differential: Evidence from Nigeria
    by Umar Bida Ndako & Mobolaji Hakeem I.

  • 2015 Economic Growth and the Balance-of-Payments Constraint: The Case of the Spanish Regions, 1988–2009
    by Oscar Bajo-Rubio & Carmen Díaz-Roldán

  • 2015 Elasticity Optimism
    by Jean Imbs & Isabelle Mejean

  • 2015 The Missing Food Problem: Trade, Agriculture, and International Productivity Differences
    by Trevor Tombe

  • 2015 Interest Rates, Leverage, and Business Cycles in Emerging Economies: The Role of Financial Frictions
    by Andrés Fernández & Adam Gulan

  • 2015 Understanding Markups in the Open Economy
    by Beatriz de Blas & Katheryn N. Russ

  • 2015 Credit Constraints and Growth in a Global Economy
    by Nicolas Coeurdacier & Stéphane Guibaud & Keyu Jin

  • 2015 Demand Shocks and Open Economy Puzzles
    by Yan Bai & José-Víctor Ríos-Rull

  • 2015 New Trade Models, New Welfare Implications
    by Marc J. Melitz & Stephen J. Redding

  • 2014 Stock Price Dynamics and the Business Cycle in an Estimated DSGE Model for South Africa
    by Michael Paetz & Rangan Gupta

  • 2014 Is the Rand Really Decoupled from Economic Fundamentals?
    by Mehmet Balcilar & Rangan Gupta & Charl Jooste

  • 2014 Welfare Benefits of Capital Controls:The Case of Spain
    by Shigeto Kitano & Yoichi Matsubayashi

  • 2014 Exchange Rate Pass-through in Russia
    by Y. Ponomarev & P. Trunin & A. Ulyukayev.

  • 2014 Business cycles in emerging markets: the role of liability dollarization and valuation effects
    by Stefan Notz & Peter Rosenkranz

  • 2014 Is Real Exchange Rate Hedging Motive Still Important in Determining Equity Home Bias?
    by Stewen, Iryna

  • 2014 International Financial Market Integration, Asset Compositions and the Falling Exchange Rate Pass-Through
    by Enders, Zeno & Buzaushina, Almira & Hoffmann, Mathias

  • 2014 Analysis of Monetary Policy Responses after Financial Market Crises in a Continuous Time New Keynesian Model
    by Niehof, Britta & Hayo, Bernd

  • 2014 Income Distribution and Current Account: A Sectoral Perspective
    by van Treeck, Till & Behringer, Jan

  • 2014 The impact of diverging economic structure on current account imbalances in the euro area
    by Ehmer, Philipp

  • 2014 Technical change and the elasticity of factor substitution
    by Antony, Jürgen

  • 2014 Phillips curve shocks and real exchange rate fluctuations: SVAR evidence
    by Gehrke, Britta & Yao, Fang

  • 2014 Real Effective Exchange Rate Misalignment in the Euro Area: A Counterfactual Analysis
    by El-Shagi, Makram & Lindner, Axel & von Schweinitz, Gregor

  • 2014 Financialisation, distribution, growth and crises: Long-run tendencies
    by Hein, Eckhard & Dodig, Nina

  • 2014 Monetary policy as an optimum currency area criterion
    by Groll, Dominik

  • 2014 Do real exchange rate appreciations matter for growth?
    by Bussière, Matthieu & Lopez, Claude & Tille, Cédric

  • 2014 The price-price Phillips curve in small open economies and monetary unions: Theory and empirics
    by Vaona, Andrea

  • 2014 Monetary union and macroeconomic stabilization
    by Groll, Dominik

  • 2014 Sovereign credit ratings and the transnationalization of finance: Evidence from a gravity model of portfolio investment
    by Körner, Finn Marten & Trautwein, Hans-Michael

  • 2014 Globalization and international business cycle dynamics: A conditional GVAR approach
    by Binder, Michael & Offermanns, Christian J.

  • 2014 A Two-Period Model with Portfolio Choice: Understanding Results from Different Solution Methods
    by Rabitsch, Katrin & Stepanchuk, Serhiy

  • 2014 Keynesian macroeconomics without the LM curve: IS-MP-IA model and Taylor rule applied to some CESEE economies
    by Josheski, Dushko

  • 2014 Exchange Rate Pass-through in Russia
    by Ponomarev, Yuri & Trunin, Pavel V. & Uljukaev, Aleksej V.

  • 2014 The great divergence: A network approach
    by Lindner, Ines & Strulik, Holger

  • 2014 How interdependent are Eastern European economies and the Euro area?
    by Prettner, Catherine & Prettner, Klaus

  • 2014 Inflation in New EU Member States: A Domestically or Externally Driven Phenomenon?
    by Tomislav Globan & Vladimir Arčabić & Petar Sorić

  • 2014 International capital flows and economic growth in CESEE: a structural break in the great recession
    by Željko Bogdan & Milan Deskar-Škrbić & Velimir Šonje

  • 2014 An Incomplete Markets Explanation to the UIP Puzzle
    by Katrin Rabitsch

  • 2014 A Two Period Model with Portfolio Choice: Understanding Results from Different Solution Methods
    by Katrin Rabitsch & Serhiy Stepanchuk

  • 2014 International Portfolios: A Comparison of Solution Methods
    by Katrin Rabitsch & Serhiy Stepanchuk & Viktor Tsyrennikov

  • 2014 The Real Exchange Rate and Growth in Zimbabwe: Does the Currency Regime Matter?
    by Zuzana Brixiov?? & Mthuli Ncube

  • 2014 Exchange Rate Pass-Through to Domestic Prices under Different Exchange Rate Regimes
    by Rajmund Mirdala

  • 2014 The Real Exchange Rate and External Competitiveness in Egypt, Morocco and Tunisia
    by Zuzana Brixiova & Bal??zs ??gert & Thouraya Hadj Amor Essid

  • 2014 The long and the short of it: Sovereign debt crises and debt maturity
    by Raquel Fernández & Alberto Martin

  • 2014 Large capital inflows, sectoral allocation, and economic performance
    by Gianluca Benigno & Nathan Converse & Luca Fornaro

  • 2014 Financial crises and exchange rate policy
    by Luca Fornaro

  • 2014 Inflation Stabilization and Default Risk in a Currency Union
    by Okano Eiji & Masashige Hamano & Pierre Picard

  • 2014 Determinants of Argentinean tourism demand in Uruguay
    by Gabriela Mordecki

  • 2014 Imperfect mobility of labor across sectors: a reappraisal of the Balassa-Samuelson effect
    by Olivier Cardi & Romain Restout

  • 2014 Euro- US Real Exchange Rate Dynamics: How Far Can We Push Equilibrium Models?
    by Aydan Dogan

  • 2014 Uma Investigação Dos Efeitos Da Abertura Da Conta De Capital Brasileira Sobre Variáveis Macroeconômicas: 1990 À 2012
    by Antoniele D`Lean Pereira & Antonio Marcos de Queiroz & Sabrina Faria de Queiroz & Sérgio Fornazier Meyrelles Filho

  • 2014 Exchange Rates, Borrowing Costs and Exports: Firm-Level Evidence
    by Kwan Yong Lee & Kanda Naknoi

  • 2014 What Makes a Commodity Currency?
    by Dongwon Lee & Yu-chin Chen

  • 2014 Utility functions, fiscal shocks and the open economy - In the search of a positive consumption multiplier
    by Philipp Wegmueller

  • 2014 The Great Divergence: A Network Approach
    by Ines Lindner & Holger Strulik

  • 2014 Identification of Monetary Policy Shocks in Turkey: A Structural VAR Approach
    by Mustafa Kilinc & Cengiz Tunc

  • 2014 Credit Growth, Current Account and Financial Depth
    by M. Fatih Ekinci & F. Pinar Erdem & Zübeyir Kilinc

  • 2014 Canadian monetary policy analysis using a structural VARMA model
    by Raghavan, Mala & Athanasopoulos, George & Silvapulle, Param

  • 2014 Multi-product exporters, variable markups and exchange rate fluctuations
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  • 2014 Market Size, Competition, and the Product Mix of Exporters
    by Thierry Mayer & Marc J. Melitz & Gianmarco Ottaviano

  • 2014 Skill-Biased Technological Change and the Real Exchange Rate
    by Matthias Gubler & Christoph Sax

  • 2014 Real exchange rates and fundamentals: robustness across alternative model specifications
    by Konrad Adler & Christian Grisse

  • 2014 Monetary Policy Shocks and Foreign Investment Income: Evidence from a large Bayesian VAR
    by Simone Auer

  • 2014 Trade, investment, and capital flows:Mexico's macroeconomic adjustment to the Great Recession
    by Carlos A. Ibarra

  • 2014 Exchange rate pass-through and product heterogeneity: does quality matter on the import side?
    by Michele Bernini & Chiara Tomasi

  • 2014 Fiscal shocks and the exchange rate
    by Giorgio Di Giorgio & Salvatore Nisticò & Guido Traficante

  • 2014 Expectations and Systemic Risk in EMU Government Bond Spreads
    by Canofari, Paolo & Marini, Giancarlo & Piersanti, Giovanni

  • 2014 Dynamic Analysis of Exchange Rate Regimes: Policy Implications for Emerging Countries in Asia
    by Yoshino, Naoyuki & Kaji, Sahoko & Asonuma, Tamon

  • 2014 The Renminbi and Exchange Rate Regimes in East Asia
    by Kawai, Masahiro & Pontines, Victor

  • 2014 Dynamic Transition of the Exchange Rate Regime in the People’s Republic of China
    by Yoshino, Naoyuki & Kaji, Sahoko & Tamon, Asonuma

  • 2014 The Rise of the “Redback” and the People’s Republic of China’s Capital Account Liberalization: An Empirical Analysis of the Determinants of Invoicing Currencies
    by Ito, Hiro & Chinn, Menzie

  • 2014 Is There Really a Renminbi Bloc in Asia?
    by Kawai, Masahiro & Pontines, Victor

  • 2014 Emerging Economies' Supply Shocks and Japan's Price Deflation: International Transmissions in a Three-Country DSGE Model
    by Hirakata, Naohisa & Iwasaki, Yuto & Kawai, Masahiro

  • 2014 Determinants of the Trilemma Policy Combination
    by Ito, Hiro & Kawai, Masahiro

  • 2014 Issues for Renminbi Internationalization: An Overview
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  • 2014 Will History Repeat Itself? Lessons for the Yuan
    by Cohen, Benjamin J.

  • 2014 Exchange Rate Regime, Fiscal Foresight and the Effectiveness of Fiscal Policy in a Small Open Economy
    by Virkola, Tuomo

  • 2014 The Predictive Performance of Fundamental Inflation Concepts: An Application to the Euro Area and the United States
    by Stephen McKnight & Alexander Mihailov & Kerry Patterson & Fabio Rumler

  • 2014 Trade Margins And Exchange Rate Regimes: New Evidence From A Panel Varx Model
    by Lilia Cavallari & Stefano D’Addona

  • 2014 Tracking the Exchange Rate Management in Latin America
    by Carrera, César

  • 2014 Terms of Trade and Total Factor Productivity: Empirical evidence from Latin American emerging markets
    by Castillo, Paul & Rojas, Youel

  • 2014 Exchange Rate Movements and the Australian Economy
    by Josef Manalo & Dilhan Perera & Daniel Rees

  • 2014 Capital inflows and euro area long-term interest rates
    by Daniel Carvalho & Michael Fidora

  • 2014 External shocks
    by Goyal, Ashima

  • 2014 The Ukrainian case of fiscal devaluation in small open economies
    by Vdovychenko, Artem & Zubritskiy, Artur

  • 2014 Structural Break, Nonlinearity, and Asymmetry: A re-examination of PPP proposition
    by Omay, Tolga & Hasanov, Mubariz & Emirmahmutoglu, Furkan

  • 2014 The Effects of Isolation on the Turkish Republic of Northern Cyprus
    by Gorgulu, Mehmet Emre

  • 2014 Interest Rates and Structural Shocks in European Transition Economies
    by Mirdala, Rajmund

  • 2014 Financial Integration, Volatility of Financial Flows and Macroeconomic Volatility
    by Mirdala, Rajmund & Svrčeková, Aneta

  • 2014 Temporal causal relationship between stock market capitalization, trade openness and real GDP: evidence from Thailand
    by Jiranyakul, Komain

  • 2014 Fiscal Policy in an Emerging Market Business Cycle Model
    by Ghate, Chetan & Gopalakrishnan, Pawan & Tarafdar, Suchismita

  • 2014 Understanding crude oil import demand behaviour in Ghana
    by Marbuah, George

  • 2014 Balance sheet effects, foreign reserves and public policies
    by Cheng, Gong

  • 2014 Temporal causal relationship between stock market capitalization, trade openness and real GDP: evidence from Thailand
    by Jiranyakul, Komain

  • 2014 Trade Balance, Foreign Exchange and Macroeconomic Impacts: An Empirical Assessment for China and Malaysia
    by Chan, Tze-Haw

  • 2014 Unraveling the Monetary Policy Transmission Mechanism in Sri Lanka
    by Ghazanchyan, Manuk

  • 2014 The real exchange rate as a target of macroeconomic policy
    by Frenkel, Roberto & Rapetti, Martin

  • 2014 External terms-of-trade and labor market imperfections in developing countries: theory and evidence
    by Chaudhuri, Sarbajit & Biswas, Anindya

  • 2014 Home Production and Small Open Economy Business Cycles
    by Chen, Kuan-Jen & Chu, Angus C. & Lai, Ching-Chong

  • 2014 Capital Flows and Capital Account Management in Selected Asian Economies
    by Sen Gupta, Abhijit & Sengupta, Rajeswari

  • 2014 Rethinking the Twin Deficits
    by Constantine, Collin

  • 2014 L'esprit du capitalisme capital étranger et développement
    by Jellal, Mohamed

  • 2014 Do Developing Countries Possess any Built-in Mechanism that Copes with External Terms-of-trade Shocks?
    by Chaudhuri, Sarbajit

  • 2014 Euro-dollar polarization and heterogeneity in exchange rate pass-throughs within the euro zone
    by Comunale, Mariarosaria

  • 2014 Real Exchange Rate and Trade Balance in Pakistan: An ARDL Co-integration Approach
    by Shah, Anwar & Majeed, Muhammad Tariq

  • 2014 Investigating potential output using the Hodrick-Prescott filter: an application for Malta
    by Grech, Aaron George

  • 2014 Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa
    by Asongu, Simplice

  • 2014 External debt and military spending: the case of Africa's conflict countries
    by Muhanji, Stella & Ojah, Kalu

  • 2014 Determinants and Impediments of FDI inflows in Ethiopia- A Firm Level Investigation
    by Teka, Henok Gebremedhin

  • 2014 Impact of FDI on GDP: An Analysis of Global Economy on Production Function
    by Khan, Shiraz & Mehboob, Farhan

  • 2014 Improving competitiveness and trade balance of Greek economy: a coopetitive strategy model
    by David, Carfì & Daniele, SCHILIRO'

  • 2014 Modeling the Transition Towards Renminbi's Full Convertibility: Implications for China’s Growth
    by Bonatti, Luigi & Fracasso, Andrea

  • 2014 Keynesian macroeconomics without the LM curve: IS-MP-IA model and Taylor rule applied to some CESEE economies
    by Josheski, Dushko

  • 2014 China, the Dollar Peg and U.S. Monetary Policy
    by Tervala, Juha

  • 2014 Exchange-Rate Overshooting: An Analysis for Intermediate Macro
    by Fidelina B. Natividad-Carlos

  • 2014 Valuation effect as a determinant of the international investment position in Central and Eastern European Economies
    by Konrad Sobanski

  • 2014 Fewer but Better: Sudden Stops, Firm Entry, and Financial Selection
    by Sînâ T. Ateş & Felipe E. Saffie

  • 2014 Open-economy Distribution Forecast Targeting, Macroeconomic Volatility and Financial Implication
    by Alessandro Flamini & Costas Milas

  • 2014 Global production sharing and the measurement of price elasticities in international trade
    by Prema-chandra Athukorala & Fahad Hassan Khan

  • 2014 Cooperation between countries to ensure global economic growth: a role for the G20?
    by David Vines

  • 2014 The Dutch Disease in Reverse: Iceland's Natural Experiment
    by Thorvaldur Gylfason & Gylfi Zoega

  • 2014 Optimal Monetary Responses to News of an Oil Discovery
    by Samuel Wills

  • 2014 The International Transmission of U.S. Structural Shocks – Evidence from Global Vector Autoregressions
    by Martin Feldkircher & Florian Huber

  • 2014 Reducing Macroeconomic Imbalances in Turkey
    by Oliver Röhn & Rauf Gönenç & Vincent Koen & Evren Erdoğan Coşar

  • 2014 US Long Term Interest Rates and Capital Flows to Emerging Economies
    by Eduardo Olaberría

  • 2014 Examining the Elasticity of New Zealand’s Current Account to the Real Exchange Rate
    by Kam Szeto & David Oxley

  • 2014 Exchange rate regimes and inflation: Evidence from India
    by Mohanty, Biswajit & Bhanumurthy, N.R.

  • 2014 Capital Controls or Macroprudential Regulation?
    by Anton Korinek & Damiano Sandri

  • 2014 Betting the House
    by Òscar Jordà & Moritz HP. Schularick & Alan M. Taylor

  • 2014 The Road to Redemption: Policy Response to Crises in Latin America
    by Carlos A. Vegh & Guillermo Vuletin

  • 2014 Reserve Requirement Policy over the Business Cycle
    by Pablo Federico & Carlos A. Vegh & Guillermo Vuletin

  • 2014 Fiscal Challenges in Multilayered Unions: An Overview and Case Study
    by Joshua Aizenman & Gunnar Gunnarsson

  • 2014 Procyclical and Countercyclical Fiscal Multipliers: Evidence from OECD Countries
    by Daniel Riera-Crichton & Carlos A. Vegh & Guillermo Vuletin

  • 2014 Real Exchange Rates and Sectoral Productivity in the Eurozone
    by Martin Berka & Michael B. Devereux & Charles Engel

  • 2014 Price Setting in Online Markets: Basic Facts, International Comparisons, and Cross-border Integration
    by Yuriy Gorodnichenko & Oleksandr Talavera

  • 2014 The Twin Ds: Optimal Default and Devaluation
    by Seunghoon Na & Stephanie Schmitt-Grohé & Martin Uribe & Vivian Z. Yue

  • 2014 Globalisation, Pass-through and the Optimal Policy Response to Exchange Rates
    by Michael B. Devereux & James Yetman

  • 2014 The Eurocrisis: Muddling Through, or On the Way to a More Perfect Euro Union?
    by Joshua Aizenman

  • 2014 The Real Exchange Rate in the Long Run: Balassa-Samuelson Effects Reconsidered
    by Michael D. Bordo & Ehsan U. Choudhri & Giorgio Fazio & Ronald MacDonald

  • 2014 Capital Controls and Recovery from the Financial Crisis of the 1930s
    by Kris James Mitchener & Kirsten Wandschneider

  • 2014 Firms, Destinations, and Aggregate Fluctuations
    by Julian di Giovanni & Andrei Levchenko & Isabelle Mejean

  • 2014 Exporters and Shocks: Dissecting the International Elasticity Puzzle
    by Doireann Fitzgerald & Stefanie Haller

  • 2014 Macroprudential Policies in a Global Perspective
    by Olivier Jeanne

  • 2014 International Liquidity and Exchange Rate Dynamics
    by Xavier Gabaix & Matteo Maggiori

  • 2014 Social Implications of Fiscal Policy Responses During Crises
    by Carlos A. Vegh & Guillermo Vuletin

  • 2014 On the Individual Optimality of Economic Integration
    by Rui CASTRO & Nelnan KOUMTINGUÉ

  • 2014 On the individual optimality of economic integration
    by CASTRO, Rui & KOUMTINGUÉ, Nelnan

  • 2014 Fiscal Deficit, Trade Deficit, and Financial Account Deficit: Triple Deficits Hypothesis with the U.S. Experience
    by Tuck Cheong TANG

  • 2014 Effectiveness of the Australian Fiscal Stimulus Package: A DSGE Analysis
    by Shuyun May Li & Adam Spencer

  • 2014 Exchange Rate Implications of Reserve Changes: How Non-EZ European Countries Fared during the Great Recession
    by Kathryn M. E. Dominguez

  • 2014 Kuresel Dengesizlikler ve Kriz Tartismasi Isiginda Cari Denge ve Sermaye Hesabini Anlamak
    by Hasan Comert & Guney Duzcay

  • 2014 Financial Integration and Growth: A Nonlinear Panel Data Analysis
    by Duygu Yolcu Karadam & Nadir Ocal

  • 2014 Exchange Rate Regimes and Business Cycles: An Empirical Investigation
    by Fatma Pinar Erdem & Erdal Ozmen

  • 2014 Debt Dilution and Sovereign Default Risk
    by Juan Carlos Hatchondo & Leonardo Martinez & Cesar Sosa-Padilla

  • 2014 Spillover Effects in Government Bond Spreads: Evidence from a GVAR Model
    by Britta Niehof

  • 2014 Monetary and Fiscal Policy in Times of Crises: A New Keynesian Perspective in Continuous Time
    by Bernd Hayo & Britta Niehof

  • 2014 Optimal Monetary Policy in a Currency Union: Implications of a Country-specific Cost Channel
    by Jochen Michaelis & Jakob Palek

  • 2014 Analysis of Monetary Policy Responses After Financial Market Crises in a Continuous Time New Keynesian Model
    by Bernd Hayo & Britta Niehof

  • 2014 Openness and Optimal Monetary Policy
    by Giovanni Lombardo & Federico Ravenna

  • 2014 Real Exchange Rates and Skills
    by Vincent Bodart & Jean-François Carpantier

  • 2014 Measuring the Effectiveness of Cost and Price Competitiveness in External Rebalancing of Euro Area Countries: What Do Alternative HCIs Tell Us?
    by Styliani Christodoulopoulou & Olegs Tkacevs

  • 2014 Are there Differences in the Effectiveness of Quantitative Easing in Japan over Time?
    by Michaelis, Henrike & Watzka, Sebastian

  • 2014 Corporate Saving in Global Rebalancing
    by Philippe Bacchetta & Kenza Benhima

  • 2014 Capital Accumulation, Vintage and Productivity: The Japanese Experience
    by Taiji Hagiwara & Yoichi Matsubayashi

  • 2014 The Redistributional Consequences of Tax Reform Under Financial Integration
    by Ayse Kabukcuoglu

  • 2014 High versus Low Inflation: Implications for Price-Level Convergence
    by M. Ege Yazgan & Hakan Yilmazkuday

  • 2014 Firm Exit and Exchange Rates: An Examination with Turkish Firm-Level Data
    by Nazli Karamollaoglu & M. Ege Yazgan

  • 2014 Monetary Policy, Incomplete Asset Markets, and Welfare in a Small Open Economy
    by Shigeto Kitano & Kenya Takaku

  • 2014 Imperfect Financial Markets and the Cyclicality of Social Spending
    by Maren Froemel

  • 2014 Liquidity Premia and Interest Rate Parity
    by Ludger Linnemann & Andreas Schabert

  • 2014 Relative Sectoral Prices and Population Ageing: A Common Trend
    by Max Groneck & Christoph Kaufmann

  • 2014 The International Dimension of Confidence Shocks
    by Stéphane Dées & Jochen Güntner

  • 2014 Deriving the New Quantity Equation: An Approach for a Closed and an Open Economy
    by Welfens, Paul J. J.

  • 2014 The Real Exchange Rate and Growth in Zimbabwe: Does the Currency Regime Matter?
    by Brixiova, Zuzana & Ncube, Mthuli

  • 2014 Monetary Policy and Tobin Taxes: A Welfare Analysis
    by Subramanian, Chetan & Shin, Jong Kook

  • 2014 Sentiment and the US Business Cycle
    by Fabio Milani

  • 2014 External shocks
    by Ashima Goyal

  • 2014 Capital flows and capital account management in selected Asian economies
    by Abhijit SenGupta & Rajeswari Sengupta

  • 2014 "Twin deficits" in Greece in search of causality
    by Michaelis Nikiforos & Laura Carvalho & Christian Schoder

  • 2014 Reserve Requirement Policy over the Business Cycle
    by Pablo Federico & Carlos A. Vegh & Guillermo Vuletin

  • 2014 Macroprudential Policies in a Global Perspective
    by Olivier Jeanne

  • 2014 TARGET Balances and Macroeconomic Adjustment to Sudden Stops in the Euro Area
    by Gabriel Fagan & Paul McNelis

  • 2014 Versailles Redux? Eurozone Competitiveness in a Dynamic Balassa-Samuelson-Penn Framework
    by Kevin Stahler & Arvind Subramanian

  • 2014 Can Monetary Policy Cause the Uncovered Interest Parity Puzzle?
    by Cheolbeom Park & Sookyung Park

  • 2014 Zero-Interest Rate Policy and Unintended Consequences in Emerging Markets
    by Andreas Hoffmann

  • 2014 Income Inequality, Trade and Financial Openness
    by G. C. Lim & Paul D. McNelis

  • 2014 The Influence of Oil Price Shocks on China’s Macroeconomy : A Perspective of International Trade
    by Shiyi Chen & Dengke Chen & Wolfgang K. Härdle &

  • 2014 Fiscal Devaluation in a Monetary Union
    by Philipp Engler & Giovanni Ganelli & Juha Tervala & Simon Voigts

  • 2014 Betting the House
    by Oscar Jorda & Moritz Schularick & Alan M. Taylor

  • 2014 Finding Stability in a Time of Crisis: Lessons of East Asia for Eastern Europe
    by Paul D. McNelis

  • 2014 The Macroeconomic Effects of Oil Price Fluctuations in ASEAN Countries: Analysis Using a VAR with Block Exogeneity
    by Vu, Tuan Khai & Nakata, Hayato

  • 2014 Exchange Rates and Fundamentals: Closing a Two-country Model
    by Kano, Takashi

  • 2014 The interbank market risk premium, central bank interventions, and measures of market liquidity
    by Alexius, Annika & Birenstam, Helene & Eklund, Johanna

  • 2014 Do Real Exchange Rate Appreciations Matter for Growth?
    by Matthieu Bussière & Claude Lopez & Cédric Tille

  • 2014 Exchange Rate Pass-through in Russia
    by Yuri Ponomarev & Pavel Trunin & Alexei Uluykaev

  • 2014 EMU and the Cyclical Behavior of Fiscal Policy: A Suggested Interpretation
    by Oliver Landmann

  • 2014 Gasoline Prices, Transport Costs, and the U.S. Business Cycles
    by Hakan Yilmazkuday

  • 2014 Sovereign Default and the Choice of Maturity
    by Sanchez, Juan M. & Sapriza, Horacio & Yurdagul, Emircan

  • 2014 Banks, Capital Flows and Financial Crises
    by Akinci, Ozge & Queraltó, Albert

  • 2014 The Domestic and International Effects of Interstate U.S. Banking
    by Cacciatore, Matteo & Ghironi, Fabio & Stebunovs, Viktors

  • 2014 Taxes and International Risk Sharing
    by Epstein, Brendan & Mukherjee, Rahul & Ramnath, Shanthi

  • 2014 Betting the house
    by Jorda, Oscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 Monetary policy and real exchange rate dynamics in sticky-price models
    by Carvalho, Carlos & Nechio, Fernanda

  • 2014 Fuel subsidies, the oil market and the world economy
    by Balke, Nathan S. & Plante, Michael D. & Yucel, Mine K.

  • 2014 Trends and cycles in small open economies: making the case for a general equilibrium approach
    by Chen, Kan & Crucini, Mario J.

  • 2014 Exchange rates dynamics with long-run risk and recursive preferences
    by Kollmann, Robert

  • 2014 A threshold model of the US current account
    by Duncan, Roberto

  • 2014 Real exchange rates and sectoral productivity in the Eurozone
    by Berka, Martin & Devereux, Michael B. & Engel, Charles

  • 2014 Technical note on "assessing Bayesian model comparison in small samples"
    by Martinez-Garcia, Enrique & Wynne, Mark A.

  • 2014 Assessing Bayesian model comparison in small samples
    by Martinez-Garcia, Enrique & Wynne, Mark A.

  • 2014 The redistributional consequences of tax reform under financial integration
    by Kabukcuoglu, Ayse

  • 2014 Pricing-to-market and optimal interest rate policy
    by Cooke, Dudley

  • 2014 Capital controls as an instrument of monetary policy
    by Davis, Scott & Presno, Ignacio

  • 2014 Monetary policy shocks and foreign investment income: evidence from a large Bayesian VAR
    by Auer, Simone

  • 2014 The emerging market economies in times of taper-talk and actual tapering
    by Diez, Federico J.

  • 2014 The competitiveness of U.S. manufacturing
    by Diez, Federico J. & Gopinath, Gita

  • 2014 Offshoring, low-skilled immigration, and labor market polarization
    by Mandelman, Federico S. & Zlate, Andrei

  • 2014 Macroeconomic Imbalances and Structural Change in the EMU
    by Stefan Ederer & Peter Reschenhofer

  • 2014 The Euro Plus Pact: Cost Competitiveness and External Capital Flows in the EU Countries
    by Hubert Gabrisch & Karsten Staehr

  • 2014 Financialisation, distribution, growth and crises – long-run tendencies
    by Eckhard Hein & Nina Dodig

  • 2014 The "imbalanced balance" and its unravelling: current accounts and bilateral financial flows in the euro area
    by Alexandr Hobza & Stefan Zeugner

  • 2014 Optimal monetary responses to oil discoveries
    by Samuel Wills

  • 2014 Exchange Rates Dynamics with Long-Run Risk and Recursive Preferences
    by Robert Kollmann

  • 2014 Real Exchange Rates and Sectoral Productivity in the Eurozone
    by Martin Berka & Michael B. Devereux & Charles Engel

  • 2014 Asymmetry in Boom-Bust Shocks: Australian Performance with Oligopoly
    by Rod Tyers

  • 2014 Optimal Monetary Responses to Oil Discoveries
    by Samuel Wills

  • 2014 Not all international monetary shocks are alike for the Japanese economy
    by Ronald A. Ratti & Joaquin L. Vespignani

  • 2014 Determinants of risk sharing through remittances: cross-country evidence
    by Faruk Balli & Faisal Rana

  • 2014 Nominal GDP Targeting for Middle-Income Countries
    by Frankel, Jeffrey

  • 2014 Exchange Rates Dynamics with Long-Run Risk and Recursive Preferences
    by Robert Kollmann

  • 2014 On the effectiveness of devaluations in emerging and developing countries
    by Carl Grekou

  • 2014 A multi-country DSGE model with incomplete Exchange Rate Pass-through: application for the Euro area
    by Tovonony Razafindrabe

  • 2014 Current account imbalances in the Euro area: Competitiveness or financial cycle?
    by Mariarosaria Comunale & Jeroen Hessel

  • 2014 Openness and the (inverted) aggregate demand logic
    by Job Boerma

  • 2014 Business cycle synchronization and vertical trade integration: A case study of the Eurozone and East Asia
    by Ayako Saiki & Sunghyun Henry Kim

  • 2014 Bilateral Linkages and the International Transmission of Business Cycles
    by Lance Kent

  • 2014 Wealth Effects on World Private Financial Saving
    by Ray C. Fair

  • 2014 Real Exchange Rates and Skills
    by Vincent BODART & Jean-François CARPANTIER

  • 2014 War, Taxes and Trade
    by Stéphane Auray & Aurélien Eyquem

  • 2014 War, Taxes and Trade
    by Stéphane Auray & Aurélien Eyquem

  • 2014 Time-varying equilibrium rates in small open economies: Evidence for Canada
    by Tino Berger & Bernd Kempa

  • 2014 The Domestic and International Effects of Interstate U.S. Banking
    by Cacciatore, Matteo & Ghironi, Fabio & Stebunovs, Viktors

  • 2014 Do Real Exchange Rate Appreciations Matter for Growth?
    by Bussière, Matthieu & Lopez, Claude & Tille, Cédric

  • 2014 Optimal Capital Controls and Real Exchange Rate Policies: A Pecuniary Externality Perspective
    by Benigno, Gianluca & Chen, Huigang & Otrok, Christopher & Rebucci, Alessandro & Young, Eric R

  • 2014 Macroprudential Policies in a Global Perspective
    by Jeanne, Olivier

  • 2014 International Liquidity and Exchange Rate Dynamics
    by Gabaix, Xavier & Maggiori, Matteo

  • 2014 Understanding the Gains from Wage Flexibility: The Exchange Rate Connection
    by Galí, Jordi & Monacelli, Tommaso

  • 2014 The Long and the Short of It: Sovereign Debt Crises and Debt Maturity
    by Fernández, Raquel & Martin, Alberto

  • 2014 Betting the House
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 Exchange Rates Dynamics with Long-Run Risk and Recursive Preferences
    by Kollmann, Robert

  • 2014 Real Exchange Rates and Sectoral Productivity in the Eurozone
    by Berka, Martin & Devereux, Michael B & Engel, Charles M

  • 2014 Inspecting the Mechanism: Leverage and the Great Recession in the Eurozone
    by Martin, Philippe & Philippon, Thomas

  • 2014 Capital Controls and Recovery from the Financial Crisis of the 1930s
    by Mitchener, Kris & Wandschneider, Kirsten

  • 2014 Corporate Saving in Global Rebalancing
    by Bacchetta, Philippe & Benhima, Kenza

  • 2014 An Estimated Small Open Economy Model with Labour Market Frictions
    by Sheen, Jeffrey & Wang, Ben Z.

  • 2014 Systemic Risk, Aggregate Demand, and Commodity Prices: An Application to Colombia
    by Javier Guillermo Gómez-Pineda & Juan Manuel Julio-Román

  • 2014 Financial Frictions and Optimal Monetary Policy in a Small Open Economy
    by Jesús A. Bejarano & Luisa F. Charry

  • 2014 Financial crises, debt volatility and optimal taxes
    by Julian A. Parra-Polania & Carmiña O. Vargas

  • 2014 International Reserves: Facing Model Uncertainty
    by Sona Benecka & Lubos Komarek

  • 2014 Government Spending Multipliers and the Zero Lower Bound in an Open Economy
    by Charles Olivier Mao Takongmo

  • 2014 The Best of Rules and Discretion: A Case for Nominal GDP Targeting in India
    by Pranjul Bhandari & Jeffrey Frankel

  • 2014 Fiscal multipliers in a small euro area economy: How big can they get in crisis times?
    by Gabriela Castro & Ricardo M. Felix & Paulo Julio & Jose R. Maria

  • 2014 The Structural Behavior of China-US Trade Flows
    by Yin-Wong Cheung & Menzie D. Chinn & Xingwang Qian

  • 2014 The Impact of Financial (De-)Regulation on Current Account Balances
    by Enrique Moral-Benito & Oliver Röhn

  • 2014 Are there Differences in the Effectiveness of Quantitative Easing at the Zero-Lower-Bound in Japan over Time?
    by Henrike Michaelis & Sebastian Watzka

  • 2014 The Real Exchange Rate in the Long Run: Balassa-Samuelson Effects Reconsidered
    by Michael D. Bordo & Ehsan U. Choudhri & Giorgio Fazio & Ronald MacDonald

  • 2014 Exchange-Rate Adjustment and Macroeconomic Interdependence between Stagnant and Fully Employed Countries
    by Yoshiyasu Ono

  • 2014 Agricultural Exports, Tariffs and Growth
    by Leonid V. Azarnert

  • 2014 Does Pro-cyclical Aid Lead to Pro-cyclical Fiscal Policy? An Empirical Analysis for Sub-Saharan Africa
    by Jean-Louis COMBES & Rasmané OUEDRAOGO

  • 2014 The Exchange Rate Pass-Through to Import and Export Prices: The Role of Nominal Rigidities and Currency Choice
    by Ehsan U. Choudhri & Dalia S. Hakura

  • 2014 Dollar Hegemony and China's Economy
    by Kai Liu

  • 2014 Higher order beliefs and the dynamics of exchange rates
    by F. Pancotto & G. Pignataro & D. Raggi

  • 2014 Optimal fiscal policy of a monetary union member
    by Orjasniemi, Seppo

  • 2014 The structural behavior of China–US trade flows
    by Cheung, Yin-Wong & Chinn, Menzie D. & Qian, XingWang

  • 2014 The credibility of Hong Kong’s currency board system: Looking through the prism of MS-VAR models with time-varying transition probabilities
    by Blagov, Boris & Funke, Michael

  • 2014 China and the World economy : Wavelet spectrum analysis of business cycles
    by Poměnková, Jitka & Fidrmuc, Jarko & Korhonen, Iikka

  • 2014 Determinants of real exchange rates: : An empirical investigation
    by Kakkar, Vikas & Yan, Isabel

  • 2014 Good News is Bad News: Leverage Cycles and Sudden Stops
    by Ozge Akinci & Ryan Chahrour

  • 2014 Boom or gloom? Examining the Dutch disease in two-speed economies
    by Hilde C. Bjørnland & Leif Anders Thorsrud

  • 2014 Monetary Policy in Oil Exporting Economies
    by Drago Bergholt

  • 2014 Foreign shocks in an estimated multi-sector model
    by Drago Bergholt

  • 2014 Sectoral Interdependence and Business Cycle Synchronization in Small Open Economies
    by Drago Bergholt & Tommy Sveen

  • 2014 Boom or gloom? Examining the Dutch disease in two-speed economies
    by Hilde C. Bjørnland & Leif Anders Thorsrud

  • 2014 Sectoral interdependence and business cycle synchronization in small open economies
    by Drago Bergholt & Tommy Sveen

  • 2014 The European Monetary Union and Imbalances: Is it an Anticipation Story ?
    by D. Siena

  • 2014 Foreign exchange reserve diversification and the "exorbitant privilege"
    by Pietro Cova & Patrizio Pagano & Massimiliano Pisani

  • 2014 Fiscal Policy and Macroeconomic Imbalances
    by Emanuele Baldacci & Sanjeev Gupta & Carlos Mulas-Granados & Fabio Balboni & Mirko Licchetta & Alexander Klemm & Luca Agnello & Gilles Dufrénot & Ricardo M. Sousa & Raffaela Giordano & Marcello Pericoli & Pietro Tommasino & Panagiotis Chronis & George Palaiodimos & Christophe Kamps & Roberta De Stefani & Nadine Leiner-Killinger & Rasmus Rüffer & David Sondermann & Niels Gilbert & Jeroen Hessel & Jorge Cunha & Cláudia Braz & Antonio Bassanetti & Matteo Bugamelli & Sandro Momigliano & Roberto Sabbatini & Francesco Zollino & Karsten Staehr & Atri Mukherjee & Marialuz Moreno Badia & Alex Segura Ubiergo & Carlos Herrero & Pedro Hinojo & Anne-Marie Brook & Ana María Aguilar & Claudia Ramírez & Geert Langenus & Adi Brender & Carlos Cuerpo & Elena Deryugina & Francesco Di Comite & Kazuhiko Ejima & Jonas Fisher & Daniele Franco & Fuad Hasanov & Sebastian Hauptmeier & David Heald & Ida Hjortsoe & Alexandr Hobza & Ana Teresa Holanda De Albuquerque & Juan Jimeno & Christian Kastrop & Walpurga Koehler-Toeglhofer & Jean Le Pavec & Ignazio Lozano & Ranjana Madhusudan & Lucio Pench & Peter Pontuch & Ernesto Rezk & Livio Stracca & Teresa Ter-Minassian & Alessandro Turrini & Sergey Vlasov

  • 2014 The impact of financial (de)regulation on current account balances
    by Enrique Moral-Benito & Oliver Roehn

  • 2014 Sovereign debt markets in turbulent times: creditor discrimination and crowding-out effects
    by Fernando Broner & Alberto Martin & Jaume Ventura & Aitor Erce

  • 2014 Déficit, croissance et bien-être intergénérationnel : Comment réformer les pensions au Luxembourg ?
    by Muriel Bouchet & Luca Marchiori & Olivier Pierrard

  • 2014 Credit Market Frictions and Sudden Stops
    by Yuko Imura

  • 2014 Labour Share Fluctuations in Emerging Markets: The Role of the Cost of Borrowing
    by Serdar Kabaca

  • 2014 Global Inflation Dynamics in the Post-Crisis Period: What Explains the Twin Puzzle?
    by Christian Friedrich

  • 2014 Search Frictions, Financial Frictions and Labour Market Fluctuations in Emerging Markets
    by Sumru Altug & Serdar Kabaca

  • 2014 Why Do Canadian Firms Invest and Operate Abroad? Implications for Canadian Exports
    by Martin Coiteux & Patrick Rizzetto & Lena Suchanek & Jane Voll

  • 2014 Fiscal Sustainability and Economic Growth in Bolivia
    by Rodolfo Mendez-Marcano & Jose Pineda

  • 2014 Technology, Employment, and the Oil-Countries Business Cycle
    by Rodolfo Mendez-Marcano

  • 2014 A Threshold Model of the US Current Account
    by Roberto Duncan

  • 2014 How Do Terms of Trade Affect Productivity? The Role of Monopolistic Output Markets
    by Luis-Gonzalo Llosa

  • 2014 The a/simmetrie annual macroeconometric model of the Italian economy: structure and properties
    by Alberto Bagnai & Christian Alexander Mongeau Ospina

  • 2014 Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa
    by Asongu Simplice

  • 2014 Fiscal policy and the real exchange rate: Some evidence from Spain
    by Oscar Bajo-Rubio & Burcu Berke

  • 2014 A Nonparametric Study of Real Exchange Rate Persistence over a Century
    by Hyeongwoo Kim & Deockhyun Ryu

  • 2014 Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa
    by Simplice Anutechia Asongu

  • 2014 International Financial Crises
    by Lorenzoni, Guido

  • 2014 Sovereign Debt
    by Aguiar, Mark & Amador, Manuel

  • 2014 External Adjustment, Global Imbalances, Valuation Effects
    by Gourinchas, Pierre-Olivier & Rey, Hélène

  • 2014 Assessing International Efficiency
    by Heathcote, Jonathan & Perri, Fabrizio

  • 2014 Exchange Rates and Interest Parity
    by Engel, Charles

  • 2014 Geriet die preisliche Wettbewerbsfähigkeit von Euroraum-Ländern nach Gründung der Währungsunion aus dem Gleichgewicht?
    by El-Shagi, Makram & Lindner, Axel & von Schweinitz, Gregor

  • 2014 Inflation Targeting in Advanced vs. Emerging Economies before and after the Crisis
    by Kosta Josifidis & Emilija Beker Pucar & Slađana Srdić & Gabriela Ivan

  • 2014 The Impact Of Macroeconomic Factors On Non-Performing Loans In The Republic Of Moldova
    by CLICHICI, Dorina & COLESNICOVA, Tatiana

  • 2014 Free Banking – Possible Solution To The Recent Crisis?
    by APATACHIOAE, Adina

  • 2014 Trade Linkages and Crisis Spillovers
    by Kornkarun Cheewatrakoolpong & Somprawin Manprasert

  • 2014 GDP Volatility Spillovers from the US and EU to Turkey: A Dynamic Investigation
    by P. Fulya Gebeşoğlu & Hasan Murat Ertuğrul

  • 2014 The impact of the recent global crisis on the prioritization of central banks final objectives. A structural approach in the context of Central and Eastern European states
    by Iulian Vasile Popescu

  • 2014 Business cycle correlation between the Euro area and the Balkan countries
    by Sofia Gouveia

  • 2014 Nominal GDP Targeting for Middle-Income Countries
    by Jeffrey Frankel

  • 2014 Satın Alma Gücü Paritesi Hipotezi (SAGP)’nin OECD Ülkeleri İçin Test Edilmesi
    by Reşat CEYLAN & Hakan ULUCAN

  • 2014 Oddziaływanie akumulacji rezerw dewizowych na wzrost gospodarczy w krajach na średnim poziomie rozwoju
    by Marek A. Dąbrowski

  • 2014 Perspektywy internacjonalizacji waluty Chin
    by Dominik A. Skopiec

  • 2014 Natural Hedging of Exchange Rate Risk: The Role of Imported Input Prices
    by Dario Fauceglia & Anirudh Shingal & Martin Wermelinger

  • 2014 Applicability of Openness-led Growth Hypothesis in Sri Lanka
    by Navaratnam Ravinthirakumaran

  • 2014 Unequal Exchange and the Rentier Economy
    by Ron Baiman

  • 2014 Purchasing Power Parity, Wages and Inflation in Emerging Markets
    by Ashima Goyal

  • 2014 Intra-Regional Trade and Sectoral Performances
    by Chibuike R. Oguanobi & Anthony A. Akamobi & Geraldine E. Nzeribe & Chibueze A. Aniebo & Ogochukwu T. Chukwuma

  • 2014 Relation between Trade Openness, Capital Openness and Government Size in India
    by Vikas Dixit

  • 2014 Do International Capital Flows Worsen Macroeconomic Volatility in Transition Economies?
    by Scott W. Hegerty

  • 2014 Exchange Rate Volatility and Tourist Flows into Turkey
    by Agiomirgianakis, George & Serenis, Dimitrios & Tsounis, Nicholas

  • 2014 Without Oil, How Do Gulf Countries Move? Non-hydrocarbon Business Cycles
    by Cevik, Serhan

  • 2014 Currency Integration under Labor Mobility: when Cost is incurred
    by Yoshimi, Taiyo

  • 2014 Are business cycles synchronous in CAMEU zone?
    by Ekomie , Jean-Jacques Tony Ekomie

  • 2014 Effects of Trade on Growth in Nigeria’s Open Economy: Econometric Analysis - Effetti del commercio internazionale sulla crescita della Nigeria: un’analisi econometrica
    by Tombofa, Stephen S. & Karimo, Tamarauntari M.

  • 2014 Optimal Monetary Policy and Exchange Rate in a Small Open Economy with Unemployment
    by Rhee, Hyuk-Jae & Song, Jeongseok

  • 2014 An Unpleasant Real Exchange Rate Arithmetic
    by Yülek, Murat

  • 2014 How much monetary policy rules do we need to estimate DSGE model for Russia?
    by Shulgin, Andrei

  • 2014 Econometric estimation of a structural macroeconomic model for the Russian economy
    by Polbin, Andrey

  • 2014 The Price of Imports and TFP: Application to the Korean Crisis of 1997-98
    by Seon Tae Kim

  • 2014 Términos de intercambio y productividad total de factores: Evidencia empírica de los mercados emergentes de América latina
    by Castillo, Paul & Rojas, Youel

  • 2014 A survey of empirical studies on international risk sharing
    by Eleonora Pierucci

  • 2014 The Welfare Cost of the EMU for Transition Countries
    by Alexandra Ferreira-Lopes

  • 2014 Sustainability of current account deficit with high oil prices: Evidence from Turkey
    by Erkan Özata

  • 2014 Cost of Financial Distress in the Cash Flow Model of Capital Structure
    by Tomáš Buus

  • 2014 Budgetary Discipline And Internal Devaluation – Estonian Method To Overcome The Crisis
    by Bernadeta Baran

  • 2014 Interest rates and structural shocks in European transition economies
    by Rajmund Mirdala

  • 2014 Normalisation of monetary policy : prospects and divergences
    by Naim Cordemans & Ide Stefaan

  • 2014 Dynamic Scoring in Open Economies
    by Giovanni Ganelli & Juha Tervala

  • 2014 Desequilibrios externos globales y cooperación internacional: ¿Dónde estamos?/Global External Imbalances and International Cooperation: Where do we stand?
    by TUGORES QUES, JUAN

  • 2014 From Fear of Floating to Benign Neglect: The Exchange Rate Regime Roller Coaster in Pakistan
    by Syed Kumail Abbas Rizvi & Bushra Naqvi & Nawazish Mirza

  • 2014 The Effect of Trade Liberalization on Firm Entry and Exit in Punjab, Pakistan
    by Marjan Nasir

  • 2014 Terms-of-Trade Volatility and Inflation in Pakistan
    by Kiran Ijaz & Muhammad Zakaria & Bashir A. Fida

  • 2014 FDI inflows and trade imbalances: evidence from developing Asia
    by Thi Anh-Dao Tran & Thi Thanh Binh Dinh

  • 2014 The Effectiveness of Foreign Exchange Market Intervention: A Review of Post-2001 Studies on Japan
    by Shinji Takagi

  • 2014 Trade Openness-Government Size Nexus: Compensation Hypothesis Considered for Nigeria
    by Omo Aregbeyen & Taofik Mohammed Ibrahim

  • 2014 International Interest Rate Shocks and Monetary Policy in a Small Open Economy
    by Hangyu Lee

  • 2014 Trade Orientation In The Eu In The Aftermath Of The Financial Crisis
    by Cristian SPIRIDON

  • 2014 External Vulnerabilities And Economic Integration: Is The Union Of South American Nations A Promising Project?
    by ANDREA BONILLA BOLANOS

  • 2014 A higher financial premium leads to the depletion of foreign reserves?
    by Fuhmei Wang

  • 2014 Is the eastern caribbean currency union an optimum currency area?
    by Xiaodan Zhao & Yoonbai Kim

  • 2014 Monetary and Labor Interactions in a Monetary Union
    by Vincenzo Cuciniello

  • 2014 Financial Frictions and Optimal Monetary Policy in an Open Economy
    by Marcin Kolasa & Giovanni Lombardo

  • 2014 Structural Real Exchange Rate and Unemployment Interdependencies in Argentina
    by Eric J. Pentecost & Fernando Zarzosa Valdivia

  • 2014 Oil Price Fluctuations and Trade Balance of Turkey
    by Suleyman ACIKALIN & Erginbay UGURLU

  • 2014 Romer Meets Heterogeneous Workers In An Endogenous Growth Model
    by KIM, YOUNG-JOON & SONG, JOONHYUK

  • 2014 “Hot Hand” in the National Basketball Association Point Spread Betting Market: A 34-Year Analysis
    by Benjamin Waggoner & Daniel Wines & Brian P. Soebbing & Chad S. Seifried & Jean Michael Martinez

  • 2014 Incumbent Decisions about Succession Transitions in Family Firms: A Conceptual Model
    by Britta Boyd & Isabel C. Botero & Tomasz A. Fediuk

  • 2014 Are the Scaling Properties of Bull and Bear Markets Identical? Evidence from Oil and Gold Markets
    by Samet Günay

  • 2014 Review of Family Business Definitions: Cluster Approach and Implications of Heterogeneous Application for Family Business Research
    by Henrik Harms

  • 2014 Capital Asset Pricing Model Testing at Warsaw Stock Exchange: Are Family Businesses the Remedy for Economic Recessions?
    by Jacek Lipiec

  • 2014 The Corporate Social Responsibility of Family Businesses: An International Approach
    by Gérard Hirigoyen & Thierry Poulain-Rehm

  • 2014 Socio Emotional Wealth Preservation in the REIT Industry: An Exploratory Study
    by Magdy Noguera & Erick Paulo Cesar Chang

  • 2014 Does Trading by Small Investors Improve or Deteriorate Price Efficiency? Evidence from the Minimum Trade Unit Changes on the Korea Exchange
    by Hee-Joon Ahn

  • 2014 Market Efficiency and Behavioral Biases in the WNBA Betting Market
    by Rodney J. Paul & Andrew P. Weinbach

  • 2014 The Effects of the Clock and Kickoff Rule Changes on Actual and Market-Based Expected Scoring in NCAA Football
    by Kenneth Linna & Evan Moore & Rodney Paul & Andrew Weinbach

  • 2014 Financial Stability Board: Mandate and Implementation of Its Systemic Risks Standards
    by Rolf H. Weber & Dominic N. Staiger

  • 2014 The Long-Term Game: An Analysis of the Life Expectancy of National Football League Players
    by Ruud Koning & Victor Matheson & Anil Nathan & James Pantano

  • 2014 Credibility and Crisis Stress Testing
    by Li Lian Ong & Ceyla Pazarbasioglu

  • 2014 Sovereign Credit Risk and Stock Markets–Does the Markets’ Dependency Increase with Financial Distress?
    by Paulo Pereira da Silva

  • 2014 Acknowledgement to Reviewers of the International Journal of Financial Studies in 2013
    by IJFS Editorial Office

  • 2014 Bank Credit Risk Management and Rating Migration Analysis on the Business Cycle
    by Dimitris Gavalas & Theodore Syriopoulos

  • 2014 Family-Concentrated Ownership in Chinese PLCs: Does Ownership Concentration Always Enhance Corporate Value?
    by Jin-Hui Luo & Heng Liu

  • 2014 Dilemmas and Challenges in the Marketing of Hybrid Organizations: A Theoretical Exploration of Dutch Sheltered Work Companies
    by Lieske van der Torre & Menno Fenger & Mark van Twist & Daphne Bressers

  • 2014 Developing a Dynamic Stochastic Model of General Equilibrium for the Russian Economy
    by Andrei Polbin & Sergey Drobyshevsky

  • 2014 The rate of profit and balance-of-payments-constrained economic growth: the dynamic model for a small and open economy
    by Naphon Phumma

  • 2014 Economic growth: trade, public finance, and the paradox of thrift
    by John Smithin

  • 2014 Turkiye’nin Ihracat Performansi: Ihracat Hacminin Temel Belirleyicilerinin Incelenmesi (1995-2012)
    by Mehmet BALCILAR & Harun BAL & Nese ALGAN & Mehmet DEMIRAL

  • 2014 A comparison of exchange rate regime choice in emerging markets with advanced and low income nations for 1999–2011
    by Ghosh, Amit

  • 2014 Financial integration and consumption risk sharing and smoothing
    by Suzuki, Yui

  • 2014 Keeping up with the Joneses and exchange rate volatility in a Redux model
    by Chang, Ming-Jen & Chang, Juin-Jen & Shieh, Jhy-Yuan

  • 2014 Productivity, commodity prices and the real exchange rate: The long-run behavior of the Canada–US exchange rate
    by Choudhri, Ehsan U. & Schembri, Lawrence L.

  • 2014 Modelling dynamic dependence between crude oil prices and Asia-Pacific stock market returns
    by Zhu, Hui-Ming & Li, Rong & Li, Sufang

  • 2014 Fiscal consolidation in the euro area: How much pain can structural reforms ease?
    by Anderson, Derek & Hunt, Benjamin & Snudden, Stephen

  • 2014 Exchange rates and monetary fundamentals in CEE countries: Evidence from a panel approach
    by Dąbrowski, Marek A. & Papież, Monika & Śmiech, Sławomir

  • 2014 Real exchange rate and productivity in a specific-factor model with skilled and unskilled labour
    by Doan, Thi Hong Thinh & Gente, Karine

  • 2014 The Crisis in the Euro Area: An Analytic Overview
    by Gibson, Heather D. & Palivos, Theodore & Tavlas, George S.

  • 2014 Time-varying equilibrium rates in small open economies: Evidence for Canada
    by Berger, Tino & Kempa, Bernd

  • 2014 The Harrod–Balassa–Samuelson effect and endogenous extensive margins
    by Hamano, Masashige

  • 2014 Living with the trilemma constraint: Relative trilemma policy divergence, crises, and output losses for developing countries
    by Aizenman, Joshua & Ito, Hiro

  • 2014 Sovereign default risk and state-dependent twin deficits
    by Hürtgen, Patrick & Rühmkorf, Ronald

  • 2014 Euro area external imbalances and the burden of adjustment
    by di Mauro, Filippo & Pappadà, Francesco

  • 2014 Current accounts and financial flows in the euro area
    by Hobza, Alexandr & Zeugner, Stefan

  • 2014 Sudden floods, macroprudential regulation and stability in an open economy
    by Agénor, Pierre-Richard & Alper, Koray & Pereira da Silva, Luiz A.

  • 2014 The interbank market risk premium, central bank interventions, and measures of market liquidity
    by Alexius, Annika & Birenstam, Helene & Eklund, Johanna

  • 2014 Net foreign asset (com)position: Does financial development matter?
    by Vermeulen, Robert & de Haan, Jakob

  • 2014 Current account balance and dollar standard: Exploring the linkages
    by Steiner, Andreas

  • 2014 The cost of private debt over the credit cycle
    by Francis, Johanna L. & Aykut, Dilek & Tereanu, Eugen

  • 2014 Monetary shocks, exchange rates, and the extensive margin of exports
    by Cooke, Dudley

  • 2014 What expenditure does Anglosphere foreign borrowing fund?
    by Makin, Anthony J. & Narayan, Paresh Kumar & Narayan, Seema

  • 2014 Fiscal policy and external adjustment: New evidence
    by Bouakez, Hafedh & Chihi, Foued & Normandin, Michel

  • 2014 Identifying speculators in the FX market: A microstructure approach
    by Schreiber, Ben Z.

  • 2014 Vehicle currency pricing and its positive welfare consequences under optimal monetary policy
    by Kashiwagi, Masanori

  • 2014 External shocks and Japanese business cycles: Evidence from a sign-restricted VAR model
    by Morita, Hiroshi

  • 2014 Exports versus multinational production under nominal uncertainty
    by Lewis, Logan T.

  • 2014 Intermediate inputs, external rebalancing and relative price adjustment
    by Bems, Rudolfs

  • 2014 Emerging market fluctuations: What makes the difference?
    by Hevia, Constantino

  • 2014 International capital flows under dispersed private information
    by Tille, Cédric & van Wincoop, Eric

  • 2014 International trade and macroeconomic dynamics with labor market frictions
    by Cacciatore, Matteo

  • 2014 Openness and optimal monetary policy
    by Lombardo, Giovanni & Ravenna, Federico

  • 2014 Debt deleveraging and the exchange rate
    by Benigno, Pierpaolo & Romei, Federica

  • 2014 Quantitative easing in an open economy—Not a liquidity but a reserve trap
    by Herbst, Anthony F. & Wu, Joseph S.K. & Ho, Chi Pui

  • 2014 International transmission and business-cycle effects of financial stress
    by Dovern, Jonas & van Roye, Björn

  • 2014 Oil and US dollar exchange rate dependence: A detrended cross-correlation approach
    by Reboredo, Juan Carlos & Rivera-Castro, Miguel A. & Zebende, Gilney F.

  • 2014 Feldstein–Horioka puzzles
    by Chang, Yanqin & Smith, R. Todd

  • 2014 Deciding to enter a monetary union: The role of trade and financial linkages
    by Lama, Ruy & Rabanal, Pau

  • 2014 Price equalization, trade flows, and barriers to trade
    by Mutreja, Piyusha & Ravikumar, B. & Riezman, Raymond & Sposi, Michael

  • 2014 Reserve accumulation and financial crises: From individual protection to systemic risk
    by Steiner, Andreas

  • 2014 Robust control, informational frictions, and international consumption correlations
    by Luo, Yulei & Nie, Jun & Young, Eric R.

  • 2014 Financial constraints, firm entry, and exchange rate pass-through
    by Kosaka, Michiru Sakane

  • 2014 A two-period model with portfolio choice: Understanding results from different solution methods
    by Rabitsch, Katrin & Stepanchuk, Serhiy

  • 2014 The effect of firm-level productivity on exchange rate pass-through
    by Cook, Jonathan Aaron

  • 2014 The real effects of inflation in a developing economy with external debt and sovereign risk
    by Assibey-Yeboah, Mark & Mohsin, Mohammed

  • 2014 The equity premium in a small open economy and an application to Israel
    by Borenstein, Eliezer & Elkayam, David

  • 2014 Nontradable sector reform and external rebalancing in monetary union: A model-based analysis
    by Vogel, Lukas

  • 2014 Welfare effects of monetary policy in an economy with vertical production and trade: An analysis based on the perspective of local currency pricing
    by Dohwa, Kohjiro

  • 2014 Long-run determinants of current accounts in OECD countries: Lessons for intra-European imbalances
    by Gossé, Jean-Baptiste & Serranito, Francisco

  • 2014 Integration of current account imbalances in the OECD
    by Narayan, Seema

  • 2014 Real convergence and its illusions
    by Kolasa, Marcin

  • 2014 Extremes, return level and identification of currency crises
    by Qin, Xiao & Liu, Liya

  • 2014 The impact of real exchange rates adjustments on global imbalances: A multilateral approach
    by Allegret, Jean-Pierre & Sallenave, Audrey

  • 2014 Optimal exchange rate policy for a small oil-exporting country: A dynamic general equilibrium perspective
    by Al-Abri, Almukhtar Saif

  • 2014 The sovereign spread in Asian emerging economies: The significance of external versus internal factors
    by Banerji, Sanjay & Ventouri, Alexia & Wang, Zilong

  • 2014 A real business cycle model with tradable and non-tradable goods for the Spanish economy
    by Martín-Moreno, José M. & Pérez, Rafaela & Ruiz, Jesús

  • 2014 Monetary policy in open economies: Practical perspectives for pragmatic central bankers
    by Clarida, Richard H.

  • 2014 Currency substitution, risk premia and the Taylor principle
    by Airaudo, Marco

  • 2014 Gasoline prices, transport costs, and the U.S. business cycles
    by Yilmazkuday, Hakan

  • 2014 Public infrastructure investment, output dynamics, and balanced budget fiscal rules
    by Bom, Pedro R.D. & Ligthart, Jenny E.

  • 2014 Solving DSGE portfolio choice models with dispersed private information
    by Tille, Cédric & van Wincoop, Eric

  • 2014 How important is fiscal policy cooperation in a currency union?
    by Okano, Eiji

  • 2014 Have business cycles changed over the last two decades? An empirical investigation
    by Calderón, César & Fuentes, J. Rodrigo

  • 2014 Mark my words: Information and the fear of declaring an exchange rate regime
    by Méon, Pierre-Guillaume & Minne, Geoffrey

  • 2014 Financial development, international capital flows, and aggregate output
    by von Hagen, Jürgen & Zhang, Haiping

  • 2014 A new assessment of the Chinese RMB exchange rate
    by Zhang, Zhibai & Chen, Langnan

  • 2014 Rising China, anxious Asia? A Bayesian New Keynesian view
    by Wong, Chin-Yoong & Eng, Yoke-Kee & Habibullah, Muzafar Shah

  • 2014 Financial crises, Asian stock indices, and current accounts: An Asian-U.S. comparative study
    by Chen, David Y. & Li, Tongzhe

  • 2014 Net foreign assets and macroeconomic volatility
    by Chia, W.M. & Jinjarak, Y. & Rana, P. & Xie, T.

  • 2014 Is devaluation expansionary or contractionary: Evidence based on vector autoregression with sign restrictions
    by An, Lian & Kim, Gil & Ren, Xiaomei

  • 2014 Monetary regime choice in Singapore: Would a Taylor rule outperform exchange-rate management?
    by Chow, Hwee Kwan & Lim, G.C. & McNelis, Paul D.

  • 2014 A regional reserve fund for Latin America
    by Titelman Kardonsky, Daniel & Vera, Cecilia & Carvallo, Pablo & Pérez Caldentey, Esteban

  • 2014 Un fondo de reservas regional para América Latina
    by Titelman Kardonsky, Daniel & Vera, Cecilia & Carvallo, Pablo & Pérez Caldentey, Esteban

  • 2014 Exchange Regime Choice with Multinomial Panel Data: Case of the North Africa Countries
    by Esmak Hassan & Firano Zakaria

  • 2014 Does Currency Substitution Affect Exchange Rate Volatility?
    by Hisao Kumamoto & Masao Kumamoto

  • 2014 Foreign Direct Investments: Asian and European Transition Economies
    by Suat TEKER & Hayri TUZLA & Aynur PALA

  • 2014 Exchange Market Pressure And Regional Price Spillovers In Russia, Ukraine, And Belarus
    by HEGERTY, Scott W.

  • 2014 Europäische Arbeitslosenversicherung: Konjunkturstabilisierung ohne große Umverteilung der Haushaltseinkommen
    by Ferdinand Fichtner & Peter Haan

  • 2014 European Unemployment Insurance: Economic Stability without Major Redistribution of Household Incomes
    by Ferdinand Fichtner & Peter Haan

  • 2014 Analyzing the Exchange Rate Pass-through in Mexico: Evidence Post Inflation Targeting Implementation
    by Sylvia Beatriz Guillermo Peón & Martín Alberto Rodríguez Brindis

  • 2014 Determinants Of The Current Account In The Eu And Piigs
    by Natalya Ketenci & Idil Uz Akdogan & Hatice Kerra Geldi

  • 2014 Trend shocks and the countercyclical U.S. current account
    by David Amdur & Eylem Ersal Kiziler

  • 2014 The impossible trinity and Krugman?s balance of payments crisis model
    by Partha Sen

  • 2014 Monetary policy and the Dutch disease effect in an oil exporting economy
    by Mohamed Tahar Benkhodja

  • 2014 Assessing the impact of different nominal anchors on the credibility of stabilisation programmes
    by Peter A. Prazmowski & José R. Sánchez-Fung

  • 2014 Determinants of foreign capital flows: The experience of selected Sub-Saharan African countries
    by William Gabriel Brafu-Insaidoo & Nicholas Biekpe

  • 2014 The effectiveness of monetary policy transmission under capital inflows: Evidence from Asia
    by Sonali Jain-Chandra & D. Filiz Unsal

  • 2014 Analyzing the Exchange Rate Pass-through in Mexico: Evidence Post Inflation Targeting Implementation
    by Sylvia Beatriz Guillermo Peón & Martín Alberto Rodríguez Brindis

  • 2014 Trade Openness, Financial Development, and Economic Growth in Turkey: Linear and Nonlinear Causality Analysis
    by Muhsin KAR & Saban NAZLIOGLU & Huseyin AGIR

  • 2014 Currency regimes and macroeconomic indicators of the derogation EU member states from Central and Eastern Europe
    by Silvia Kirova

  • 2014 Exchange-Rate Regimes on the Path to Euro
    by Ivan Todorov

  • 2014 The Influence Of Macroeconomic Conditions On Credit Risk: Case Of Romanian Banking System
    by Iulia Andreea Bucur & Simona Elena Dragomirescu

  • 2014 From Sudden Stops to Fisherian Deflation: Quantitative Theory and Policy
    by Anton Korinek & Enrique G. Mendoza

  • 2014 Exchange Rate Stabilization and Welfare
    by Charles Engel

  • 2014 Revisiting business cycles in the Eurozone: A fuzzy clustering and discriminant approach
    by Chee-Heong Quah

  • 2014 The dynamics of the trade balance and the terms of trade in Central and Eastern European countries
    by Alexandra Ferreira Lopes & Tiago Neves Sequeira

  • 2014 An Assessment Of The Sustainability Of Kenya's Current Account Deficit
    by Sheila Kaminchia & Samuel K. Tiriongo

  • 2014 Welfare Reversals in a Monetary Union
    by St?phane Auray & Aur?lien Eyquem

  • 2014 Growth and Capital Flows with Risky Entrepreneurship
    by Damiano Sandri

  • 2014 The Dynamic Behavior of the Real Exchange Rate in Sticky Price Models: Comment
    by Jens Iversen & Ulf S?derstr?m

  • 2014 Market Size, Competition, and the Product Mix of Exporters
    by Thierry Mayer & Marc J. Melitz & Gianmarco I. P. Ottaviano

  • 2014 Finance and Misallocation: Evidence from Plant-Level Data
    by Virgiliu Midrigan & Daniel Yi Xu

  • 2014(XXIV) Conceptual framework of economic resilience and vulnerability,at national and regional levels
    by Gheorghe ZAMAN & Valentina VASILE

  • 2013 Explaining the German trade surplus: An analysis with an estimated DSGE model
    by Vogel, Lukas & Kollmann, Robert & Ratto, Marco & Roeger, Werner & In 't Veld, Jan

  • 2013 Investment composition and international business cycles
    by Oviedo, P. Marcelo & Singh, Rajesh

  • 2013 Turkey’ Trilemma Trade-offs: Is there a role for reserves?
    by Orcan ÇÖRTÜK & Nirvikar SINGH

  • 2013 The Effect of Exchange Rates on the International Trade in Turkey
    by Sahabettin Gunes

  • 2013 Capital Flows and Exchange Rates: The Indian Experience
    by DUA, PAMI & SEN, PARTHA

  • 2013 Sovereign Credit Ratings and the Transnationalization of Finance - Evidence from a Gravity Model of Portfolio Investment
    by Finn Marten Körner & Hans-Michael Trautwein

  • 2013 Exchange rate pass-through into German import prices - a disaggregated perspective
    by Belke, Ansgar & Beckmann, Joscha & Verheyen, Florian

  • 2013 Sources of Real Exchange Rate Fluctuations: The Role of Supply Shocks Revisited
    by Gehrke, Britta & Yao, Fang

  • 2013 Imperfect Financial Markets, External Debt, and the Cyclicality of Social Transfers
    by Frömel, Maren

  • 2013 When do Countries Benefit from Forming a Monetary Union?
    by Groll, Dominik

  • 2013 Feeding the Global VAR with theory: Is German wage moderation to blame for European imbalances?
    by Bettendorf, Timo

  • 2013 Macroeconomic policy regimes in emerging market candidates for a currency union: The case of Latvia
    by Kazandziska, Milka

  • 2013 International transmission of financial stress: Evidence from a GVAR
    by Dovern, Jonas & van Roye, Björn

  • 2013 Trend growth and learning about monetary policy rules in a two-block world economy
    by Schaling, Eric & Tesfaselassie, Mewael F.

  • 2013 The impact of financial openness on the size of utility-enhancing government
    by Erauskin, Iñaki

  • 2013 Rapid credit growth and current account deficit as the leading determinants of financial crises
    by Ganioğlu, Aytül

  • 2013 A transfer mechanism for a monetary union
    by Engler, Philipp & Voigts, Simon

  • 2013 Fiscal devaluation in a Monetary Union
    by Engler, Philipp & Ganelli, Giovanni & Tervala, Juha & Voigts, Simon

  • 2013 The early warnings of balance-of-payments problems: Kaminsky and Reinhart revisited
    by Lang, Michael

  • 2013 Gravity Modeling: International Trade and Innovations
    by Josheski, Dushko & Fotov, Risto

  • 2013 China's role in global inflation dynamics
    by Eickmeier, Sandra & Kühnlenz, Markus

  • 2013 An OLG model of global imbalances
    by Sara Eugeni

  • 2013 De Facto Currency Baskets of China and East Asian Economies: The Rising Weights
    by Ying Fang & Shicheng Huang & Linlin Niu

  • 2013 人民币汇率的内在形成机制:基于非参数时变系数的估计方法
    by 方颖 & 梁芳 & 牛霖琳

  • 2013 Kann die neue Architektur der Europäischen Wirtschaftspolitik die Euro-Zone aus der Krise führen?
    by Georg M. Busch

  • 2013 Effekte der österreichischen EU-Mitgliedschaft
    by Fritz Breuss

  • 2013 Unemployment fluctuations, and optimal monetary policy in a small open economy
    by Hyuk Jae Rhee & Jeongseok Song

  • 2013 Nominal Shocks and Real Exchange Rates: Evidence from Two Centuries
    by William D. Craighead & Pao-Lin Tien

  • 2013 Fiscal Imbalances and Current Account Adjustments in the European Transition Economies
    by Rajmund Mirdala

  • 2013 Real Output and Prices Adjustments Under Different Exchange Rate Regimes
    by Rajmund Mirdala

  • 2013 Reactions to Shocks and Monetary Policy Regimes: Inflation Targeting Versus Flexible Currency Board in Ghana, South Africa and the WAEMU
    by Fadia Al Hajj & Gilles Dufr??not, & Kimiko Sugimoto & Romain Wolf

  • 2013 Long-run interest rate convergence in Poland and the EMU
    by Łukasz Goczek & Dagmara Mycielska

  • 2013 Ready for euro? Empirical study of the actual monetary policy independence in Poland
    by Łukasz Goczek & Dagmara Mycielska

  • 2013 Modelling the sectoral allocation of labour in open economy models
    by Laura Povoledo

  • 2013 Understanding the gains from wage flexibility: The exchange rate connection
    by Jordi Galí & Tommaso Monacelli

  • 2013 Firms, destinations, and aggregate fluctuations
    by Julian di Giovanni & Andrei A. Levchenko & Isabelle Méjean

  • 2013 Sovereign debt markets in turbulent times: Creditor discrimination and crowding-out effects
    by Fernando Broner & Aitor Erce & Alberto Martin & Jaume Ventura

  • 2013 Exchange Rates and Fundamentals:Closing a Two-country Model
    by Takashi Kano

  • 2013 Correctly Analyzing the Balance of Payments Constraint on Growth
    by Arslan Razmi

  • 2013 Is Inflation Targeting Operative in an Open Economy Setting?
    by Esteban Pérez Caldentey & Matías Vernengo

  • 2013 Post-Crisis Capital Account Regulation in South Korea and South Africa
    by Brittany Baumann & Kevin Gallagher

  • 2013 Exports and real exchange rates in a small open economy
    by Alvaro Brunini & Gabriela Mordecki & Lucía Ramírez

  • 2013 Global Imbalances and Capital Account Openness: an Empirical Analysis
    by Jamel Saadaoui

  • 2013 Global Imbalances: Should We Use Fundamental Equilibrium Exchange Rates
    by Jamel Saadaoui

  • 2013 Why could Northern labor market flexibility save the eurozone ?
    by Amélie Barbier-Gauchard & Francesco De Palma & Giuseppe Diana

  • 2013 Imperfect Mobility Of Labor Across Sectors: A Reappraisal Of The Balassa-Samuelson Effect
    by Olivier Cardi & Romain Restout

  • 2013 Symmetry and Separability in Two-Country Cointegrated VAR Models: Representation and Testing
    by Hans-Martin Krolzig & Reinhold Heinlein

  • 2013 Real Exchange Rate Fluctuations, Wage Stickiness and Tradability
    by Yothin Jinjarak & Kanda Naknoi

  • 2013 Sudden stop regimes and output: a Markov switching analysis
    by Andreas Bachmann & Stefan Leist

  • 2013 Trade Integration and Business Cycle Synchronization in the EMU: the Negative Effect of New Trade Flows
    by Jean-Sébastien Pentecôte & Jean-Christophe Poutineau & Fabien Rondeau

  • 2013 Origins and prospects of the Euro existential crisis
    by Luigi Bonatti & Andrea Fracasso

  • 2013 Risk Sharing and Real Exchange Rate : The Roles of Non-tradable Sector and Trend Shocks
    by Huseyin Cagri Akkoyun & Yavuz Arslan & Mustafa Kilinc

  • 2013 Distributional and Welfare Consequences of Disinflation in Emerging Economies
    by Enes Sunel

  • 2013 Inattentive Consumers and Exchange Rate Volatility
    by M. Fatih Ekinci

  • 2013 External Financial Stress and External Financing Vulnerability in Turkey : Some Policy Implications for Financial Stability
    by Etkin Ozen & Cem Sahin & Ibrahim Unalmis

  • 2013 Oil Price Uncertainty in a Small Open Economy
    by Yusuf Soner Baskaya & Timur Hulagu & Hande Kucuk

  • 2013 Equity Market Contagion during the Global Financial Crisis: Evidence from the World’s Eight Largest Economies
    by Dungey, Mardi & Gajurel, Dinesh

  • 2013 International Transmissions to Australia: The Roles of the US and Euro Area
    by Dungey, Mardi & Osborne, Denise

  • 2013 Chinese resource demand and the natural resource supplier
    by Dungey, Mardi & Fry-McKibbin, Renée & Linehan, Verity

  • 2013 Not all international monetary shocks are alike for the Japanese economy
    by Vespignani, Joaquin L. & Ratti, Ronald A.

  • 2013 Chinese Monetary Expansion and the US Economy
    by Vespignani, Joaquin L. & Ratti, Ronald A.

  • 2013 Home Bias in Open Economy Financial Macroeconomics
    by Nicolas Coeurdacier & Hélène Rey

  • 2013 Online appendix to “Mark My Words: Information and the Fear of Declaring an Exchange Rate Regime”
    by Pierre-Guillaume Méon & Geoffrey Minne

  • 2013 Financial Globalization and Monetary Transmission
    by Simone Meier

  • 2013 Minimum Investment Requirement, Financial Integration and Economic (In)stability:A Refinement to Matsuyama (2004)
    by Haiping Zhang

  • 2013 Nominal Stability and Financial Globalization
    by Michael B Devereux & Ozge Senay & Alan Sutherland

  • 2013 Nominal Stability and Financial Globalization
    by Michael B Devereux & Ozge Senay & Alan Sutherland

  • 2013 Dinamica echilibrului extern al României si al tarilor CEE, în perioada recesionista
    by Olteanu, Dan Constantin

  • 2013 Finance Access of SMEs: What Role for the ECB?
    by Ansgar Belke & Florian Verheyen

  • 2013 The economic impact of the EU - Singapore Free Trade Agreement
    by European Commission, DG TRADE

  • 2013 How Useful Is an Asian Currency Unit (ACU) Index for Surveillance in East Asia?
    by Pontines, Victor

  • 2013 Economic Stability and Choice of Exchange Rate Regimes
    by Kaji, Sahoko

  • 2013 Productivity, Commodity Prices and the Real Exchange Rate: The Long-Run Behavior of the Canada-US Exchange Rate
    by Ehsan U. Choudhri & Lawrence L. Schembri

  • 2013 Default Externalities in Emerging Market Systemic Private Debt Crises
    by Gondo, Rocío

  • 2013 Dutch disease and fiscal policy
    by Orrego, Fabrizio & Vega, Germán

  • 2013 How Do Terms of Trade Affect Productivity? The Role of Monopolistic Output Markets
    by Llosa, Luis-Gonzalo

  • 2013 Reserves of Natural Resources in a Small Open Economy
    by Isaac Gross & James Hansen

  • 2013 Stochastic Terms of Trade Volatility in Small Open Economies
    by Patricia Gómez-González & Daniel Rees

  • 2013 Terms of Trade Shocks and Incomplete Information
    by Daniel Rees

  • 2013 International Business Cycles with Complete Markets
    by Alexandre Dmitriev & Ivan Roberts

  • 2013 Inside PESSOA - A Detailed Description of the Model
    by Vanda Almeida & Gabriela Lopes de Castro & Ricardo Mourinho Félix & Paulo Júlio & José R. Maria

  • 2013 Fiscal multipliers in a small euro area economy: How big can they get in crisis times?
    by Gabriela Lopes de Castro & Ricardo Mourinho Félix & Paulo Júlio & José R. Maria

  • 2013 Ageing and fiscal sustainability in a small euro area economy
    by Gabriela Lopes de Castro & José R. Maria & Ricardo Mourinho Félix & Cláudia Braz

  • 2013 Testing Export-led Growth in Tunisia and Morocco: New Evidence using the Toda and Yamamoto procedure
    by Hamdi, Helmi

  • 2013 Examining measures of the equilibrium Real Exchange Rate: Macroeconomic Balance and the Natural Real Exchange Rate Approaches
    by Wright, Nicholas Anthony

  • 2013 Foreign Direct Investment and Foreign Portfolio Investment in the contemporary globalized world: should they be still treated separately?
    by Humanicki, Marcin & Kelm, Robert & Olszewski, Krzysztof

  • 2013 The role of investment-specific technology shocks in driving international business cycles: a bayesian approach
    by Dey, Jaya

  • 2013 Monetary policy options for mitigating the impact of the global financial crisis on emerging market economies
    by Dąbrowski, Marek A. & Śmiech, Sławomir & Papież, Monika

  • 2013 On the tracks of Zimbabwe’s Hyperinflation: A Quantitative Investigation
    by Topal, yavuz Han

  • 2013 Financial globalization and long-run growth: is Asia different?
    by Jeanne, Olivier & Noland, Marcus & Subramanian, Arvind & Williamson, John

  • 2013 Financial liberalization, disaggregated capital flows and banking crisis: Evidence from developing countries
    by BOUKEF JLASSI, NABILA & HAMDI, HELMI

  • 2013 Contagion of Sovereign Default Risk: the Role of Two Financial Frictions
    by Park, JungJae

  • 2013 The effect of global financial crisis on trade elasticities: Evidence from BRIICS countries and Turkey
    by Ketenci, Natalya

  • 2013 Exchange Rate Pass-Through to Domestic Prices under Different Exchange Rate Regimes
    by Mirdala, Rajmund

  • 2013 Testing Finance-Led, Export-Led and Import-Led Growth Hypotheses on Four Sub-Saharan African Economies
    by Evans, Olaniyi

  • 2013 Analyzıng And Valuıng Of The Export Multıplıcıty Of Azerbaıjan Republıc
    by Suleymanov, Elchin & Zeynalov, Ayaz & Mammadov, Rufat

  • 2013 Trends and Challenges of India’s Balance of Payments
    by Mathew, Dr Jomon

  • 2013 Fiscal Imbalances and Current Account Adjustments in the European Transition Economies
    by Mirdala, Rajmund

  • 2013 Inequality, Trade and Development: Evidence from Developing Countries
    by Majeed, Dr. Muhammad Tariq

  • 2013 Fragile Balance of Payment in Indonesia in the Midst of Recent Global Economic Uncertainties
    by Siregar, Reza & Wihardja, Monica

  • 2013 Current Account Adjustments and Real Exchange Rates in the European Transition Economies
    by Mirdala, Rajmund

  • 2013 Adapting the Hodrick-Prescott Filter for Very Small Open Economies
    by Grech, Aaron George

  • 2013 A Macro Assessment of China Effects on Malaysian Exports and Trade Balances
    by Chan, Tze-Haw & Lean, Hooi Hooi & Hooy, Chee Wooi

  • 2013 How do Different Government Spending Categories Impact on Private Consumption and the Real Exchange Rate?
    by Baldi, Guido

  • 2013 Chinese monetary expansion and the U.S. economy: A note‎
    by Vespignani, Joaquin L. & Ratti, Ronald A

  • 2013 Inequality, poverty and quality of institutions: which freedom channels of globalization matter for Africa?
    by Asongu, Simplice A

  • 2013 Real Output and Prices Adjustments under Different Exchange Rate Regimes
    by Mirdala, Rajmund

  • 2013 Employment Growth by Accelerated Manufacturing in India- A Comparative Study and Lessons to Be Learnt from China
    by Acharya, Hem

  • 2013 Monetary exchange rate model as a long-run phenomenon: evidence from Nigeria
    by Adawo, Monday A. & Effiong, Ekpeno L.

  • 2013 Currency Devaluation, External Finance and Economic Growth: A Note on the Greek Case
    by Mariolis, Theodore

  • 2013 The Effects of Trade Openness on Malaysian Exchange Rate
    by Lee, Chin & Law, Chee-Hong

  • 2013 Currency Crises in Reverse: Do Large Real Exchange Rate Appreciations Matter for Growth?
    by Bussirère, Matthieu & Lopez, Claude & Tille, Cédric

  • 2013 The equity premium in a small open economy, and an application to Israel
    by Borenstein, Eliezer & Elkayam, David

  • 2013 A sectoral analysis of Ontario's weak productivity growth
    by Spiro, Peter S.

  • 2013 Coopetitive game solutions for the Greek crisis
    by Schilirò, Daniele & Carfì, David

  • 2013 Contexto internacional y desempeño macroeconómico en América Latina y el Perú: 1980-2012
    by Waldo Mendoza Bellido

  • 2013 Should developing countries undervalue their currencies?
    by Marcel Schroder

  • 2013 International Debt Deleveraging
    by Luca Fornaro

  • 2013 Do Structural Policies Affect Macroeconomic Stability?
    by Volker Ziemann

  • 2013 Slovakia: A Catching Up Euro Area Member In and Out of the Crisis
    by Jarko Fidrmuc & Caroline Klein & Robert W. R. Price & Andreas Wörgötter

  • 2013 How Does the Exchange Rate Affect the Real Economy? A Literature Survey
    by Enzo Cassino & David Oxley

  • 2013 Parameter Uncertainty and the Fiscal Multiplier
    by Jamie Murray

  • 2013 Dissecting the dynamics of the US trade balance in an estimated equilibrium model
    by Punnoose Jacob & Gert Peersman

  • 2013 Business Cycles, International Trade and Capital Flows: Evidence from Latin America
    by Guglielmo Maria Caporale & Alessandro Girardi

  • 2013 Was This Time Different? Fiscal Policy in Commodity Republics
    by Luis Felipe Céspedes & Andrés Velasco

  • 2013 Take the Short Route: How to Repay and Restructure Sovereign Debt with Multiple Maturities
    by Mark Aguiar & Manuel Amador

  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Fernando Broner & Aitor Erce & Alberto Martin & Jaume Ventura

  • 2013 Rounding the Corners of the Policy Trilemma: Sources of Monetary Policy Autonomy
    by Michael W. Klein & Jay C. Shambaugh

  • 2013 Living with the Trilemma Constraint: Relative Trilemma Policy Divergence, Crises, and Output Losses for Developing Countries
    by Joshua Aizenman & Hiro Ito

  • 2013 Sovereign Debt: A Review
    by Mark Aguiar & Manuel Amador

  • 2013 From Sudden Stops to Fisherian Deflation: Quantitative Theory and Policy Implications
    by Anton Korinek & Enrique G. Mendoza

  • 2013 International Competitiveness and Monetary Policy: Strategic Policy and Coordination with a Production Relocation Externality
    by Paul R. Bergin & Giancarlo Corsetti

  • 2013 Exchange Rates and Interest Parity
    by Charles Engel

  • 2013 Roads and the Real Exchange Rate
    by Qingyuan Du & Shang-Jin Wei & Peichu Xie

  • 2013 Quid Pro Quo: Technology Capital Transfers for Market Access in China
    by Thomas J. Holmes & Ellen R. McGrattan & Edward C. Prescott

  • 2013 External Adjustment, Global Imbalances and Valuation Effects
    by Pierre-Olivier Gourinchas & Hélène Rey

  • 2013 Financial Globalization, Financial Crises, and the External Portfolio Structure of Emerging Markets
    by Enrique G. Mendoza & Katherine A. Smith

  • 2013 The Great Recession: A Self-Fulfilling Global Panic
    by Philippe Bacchetta & Eric van Wincoop

  • 2013 Market Deregulation and Optimal Monetary Policy in a Monetary Union
    by Matteo Cacciatore & Giuseppe Fiori & Fabio Ghironi

  • 2013 Fundamentals and Sovereign Risk of Emerging Markets
    by Joshua Aizenman & Yothin Jinjarak & Donghyun Park

  • 2013 Assessing International Efficiency
    by Jonathan Heathcote & Fabrizio Perri

  • 2013 Fire-sale FDI or Business as Usual?
    by Ron Alquist & Rahul Mukherjee & Linda Tesar

  • 2013 A Model of the Safe Asset Mechanism (SAM): Safety Traps and Economic Policy
    by Ricardo J. Caballero & Emmanuel Farhi

  • 2013 Foreign Direct Investment and Foreign Portfolio Investment in the contemporary globalized world: should they be still treated separately?
    by Marcin Humanicki & Robert Kelm & Krzysztof Olszewski

  • 2013 The Balassa-Samuelson effect and the channels of its absorption in the Central and Eastern European Countries
    by Karolina Konopczak

  • 2013 Household and firm leverage, capital flows and monetary policy in a small open economy
    by Mara Pirovano

  • 2013 What Causes Labor-Market Volatility? The Role of Finance and Welfare State Institutions
    by Thibault Darcillon

  • 2013 The Impact of Market Regulations on Intra-European Real Exchange Rates
    by Agnès Bénassy-Quéré & Dramane Coulibaly

  • 2013 The Impact of Output and Exchange Rate Volatility on Fixed Private Investment: Evidence from Selected G7 Countries
    by Chowdhury, Abdur & Wheeler, Mark

  • 2013 New Perspectives on the ‘Net Errors & Omissions’ in Balance of Payment Accounts: An Empirical Study - Australia
    by Tuck Cheong Tang

  • 2013 Measuring the effects of structural reforms in Malta: an analysis using the EAGLE model
    by Brian Micallef

  • 2013 Voluntary Sovereign Debt Exchanges
    by Juan Carlos Hatchondo & Leonardo Martinez & Cesar Sosa Padilla

  • 2013 Studying International Spillovers in a New Keynesian Continuous Time Framework with Financial Markets
    by Bernd Hayo & Britta Niehof

  • 2013 Resource Income and the Effect on Domestic Neighbours: A case study on Canadian Provinces
    by Wessel N. Vermeulen

  • 2013 The consumption-real exchange rate anomaly with extensive margins
    by Masashige Hamano

  • 2013 The Impact of Monetary Policy and Exchange Rate Shocks in Poland: Evidence from a Time-Varying VAR
    by Arratibel, Olga & Michaelis, Henrike

  • 2013 Modern Money Theory 101: A Reply to Critics
    by Eric Tymoigne & L. Randall Wray

  • 2013 Foreign and Public Deficits in Greece: In Search of Causality
    by Michalis Nikiforos & Laura Carvalho & Christian Schoder

  • 2013 Measuring Currency Pressures: The Cases of the Japanese Yen, the Chinese Yuan, and the U.K. Pound
    by Stephen Hall & Amangeldi Kenjegaliev & P.A.V.B. Swamy & George S. Tavlas

  • 2013 The Great Recession: A Self-Fulfilling Global Panic
    by Philippe Bacchetta & Eric van Wincoop

  • 2013 Les exportations de marchandises favorisent-elles celles de services ? Une étude à partir du modèle de gravité
    by Damien Broussolle

  • 2013 Why could Northern labor market flexibility save the eurozone?
    by Amélie Barbier-Gauchard & Francesco de Palma & Giuseppe Diana

  • 2013 Households heterogeneity in a global CGE model: Les effets des politiques de Quantitative Easing sur le taux de change : les enseignements de l’expérience américaine
    by Michel Dupuy

  • 2013 Role of Financial and Productivity Shocks in the US and Japan: A Two-Country Economy
    by Yue ZHAO

  • 2013 Financial shocks in Japan : A case for a small open economy
    by Yue Zhao

  • 2013 News and Sovereign Default Risk in Small Open Economies
    by C. Bora Durdu & Ricardo Nunes & Horacio Sapriza

  • 2013 Regionalization vs. Globalization
    by Hideaki Hirata & M. Ayhan Kose & Christopher Otrok

  • 2013 The Optimal Design of a Fiscal Union
    by Jonathan Hoddenbagh & Mikhail Dmitriev

  • 2013 Sources of fluctuations in parallel exchange rates and policy reform in Myanmar
    by Kubo, Koji

  • 2013 Slovakia: A Catching Up Euro Area Member In and Out of the Crisis
    by Fidrmuc, Jarko & Klein, Caroline & Price, Robert & Wörgötter, Andreas

  • 2013 The Real Exchange Rate and External Competitiveness in Egypt, Morocco and Tunisia
    by Brixiova, Zuzana & Égert, Balázs & Hadj Amor Essid, Thouraya

  • 2013 The Effects of Globalization on Macroeconomic Dynamics in a Trade-Dependent Economy: the Case of Korea
    by Fabio Milani & Sung Ho Park

  • 2013 Income Distribution and Current Account Imbalances
    by Christian A. Belabed & Thomas Theobald & Till van Treeck

  • 2013 Income distribution and current account: A sectoral perspective
    by Jan Behringer & Till van Treeck

  • 2013 The Importance of Trade and Capital Imbalances in the European Debt Crisis
    by Andrew Hughes Hallett & Juan Carlos Martinez Oliva

  • 2013 A Tale of Two Deficits: Public Budget Balance of Reserve Currency Countries
    by Andreas Steiner

  • 2013 Capital Controls or Real Exchange Rate Policy? A Pecuniary Externality Perspective
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric Young

  • 2013 Equilibrium Unemployment during Financial Crises
    by Andres Fernandez & Juan Herreno

  • 2013 Is Inflation Targeting Still on Target? The Recent Experience of Latin America
    by Luis Felipe Cespedes & Roberto Chang & Andres Velasco

  • 2013 Equilibrium Unemployment During Financial Crises
    by Andrés Fernández Martín & Juan David Herreño

  • 2013 Is Inflation Targeting Still on Target?: The Recent Experience of Latin America
    by Luis Felipe Céspedes & Roberto Chang & Andrés Velasco

  • 2013 Capital Controls or Real Exchange Rate Policy?: A Pecuniary Externality Perspective
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2013 A Transfer Mechanism for a Monetary Union
    by Philipp Engler & Simon Voigts & &

  • 2013 External Shocks and Japanese Business Cycles: Evidence from a Sign-Restricted VAR
    by Hiroshi Morita

  • 2013 Robust Control, Informational Frictions, and International Consumption Correlations
    by Yulei Luo & Jun Nie & Eric R. Young

  • 2013 The Price of Distance: Producer Heterogeneity, Pricing to Market, and Geographic Barriers
    by Kano, Kazuko & Kano, Takashi & Takechi, Kazutaka

  • 2013 Effects of Productivity and Import on Firm-Level Export
    by Jienwatcharamongkhol, Viroj

  • 2013 Distance Sensitivity of Export: A Firm-Product Level Approach
    by Jienwatcharamongkhol, Viroj

  • 2013 Macroeconomic Determinants of the Credit Risk in the Banking System: The Case of the GIPSI
    by Vítor Castro

  • 2013 Institutions, Corporate Governance and Capital Flows
    by Rahul Mukherjee

  • 2013 The Evolving Structure Of Polish Exports (1994-2010) – Diversification Of Products And Trade Partners
    by Aleksandra Parteka

  • 2013 Welfare Reversals in a Monetary Union
    by Stéphane Auray & Aurélien Eyquem

  • 2013 Bad Investments and Missed Opportunities? Capital Flows to Asia and Latin America, 1950-2007
    by Ohanian, Lee E. & Restrepo-Echavarria, Paulina & Wright, Mark L. J.

  • 2013 Endogenous Borrowing Constraints and Stagnation in Latin America
    by Restrepo-Echavarria, Paulina

  • 2013 Optimal monetary policy in a currency union with interest rate spreads
    by Bhattarai, Saroj & Lee, Jae Won & Park, Woong Yong

  • 2013 Labor market polarization and international macroeconomic dynamics
    by Mandelman, Federico S.

  • 2013 Macroeconomic Imbalances in the EU
    by Stefan Ederer & Peter Reschenhofer

  • 2013 Does Foreign Direct Investment Synchronise Business Cycles? Results from a Panel Approach
    by Claudia Busl & Marcus Kappler

  • 2013 Negative Shocks, Job Creation, and Selection
    by Daniel Kopasker & Holger Görg & Hassan Molana & Catia Montagna

  • 2013 Para Politikasının Risk Alma Kanalı Gelişmekte Olan Piyasa Ekonomilerinde Kaldıraçlı İşlemler Ve Kredi Büyümesi
    by Dağlaroğlu, Tolga & Demirel, Baki

  • 2013 Nonlinearities in the Relationship Between Financial Integration and Economic Growth
    by Yolcu Karadam, Duygu & Öcal, Nadir

  • 2013 Capital Flows in the Euro Area
    by Philip R. Lane

  • 2013 Expected sovereign defaults and fiscal consolidations
    by Werner Roeger & Jan in 't Veld

  • 2013 Managing Economic Shocks and Macroeconomic Coordination in an Integrated Region: ASEAN Beyond 2015
    by Ruperto MAJUCA

  • 2013 Credit constraints and growth in a global economy
    by Keyu Jin & Stéphane Guibaud & Nicolas Coeurdacier

  • 2013 The financial resource curse
    by Gianluca Benigno & Luca Fornaro

  • 2013 The identification of the sources of current account fluctuations in Ukraine
    by Nikolaychuk Sergiy & Shapovalenko Nadiia

  • 2013 Optimal economic policy and oil prices shocks in Russia
    by Semko Roman

  • 2013 Boom or gloom? Examining the Dutch disease in a two-speed economy
    by Hilde C. Bjørnland & Leif Anders Thorsrud

  • 2013 Financial Stability in Open Economies
    by Ippei Fujiwara & Yuki Teranishi

  • 2013 Exchange Rates and Fundamentals: Closing a Two-country Model
    by Takashi Kano

  • 2013 What drives oil prices? Emerging versus developed economies
    by Knut Are Aastveit & Hilde C. Bjornland

  • 2013 Regionalization vs. Globalization
    by Hideaki Hirata & M. Ayhan Kose & Christopher Otrok

  • 2013 Financial crises and time- varying risk premia in a small open economy: a Markov-Switching DSGE model for Estonia
    by Boris Blagov

  • 2013 Perceptions of unreported economic activities in Baltic Firms. Individualistic and non-individualistic motives
    by Jaanika Meriküll & Tairi Rõõm & Karsten Staehr

  • 2013 The Future of the Currency Union
    by Frankel, Jeffrey

  • 2013 How Useful Is an Asian Currency Unit (ACU) Index for Surveillance in East Asia?
    by Victor Pontines

  • 2013 How Useful Is an Asian Currency Unit (ACU) Index for Surveillance in East Asia?
    by Victor Pontines

  • 2013 Globalization and Inflation: Structural Evidence from a Time Varying VAR Approach
    by Francesco Bianchi & Andrea Civelli

  • 2013 The Impact of Market Regulations on Intra-European Real Exchange Rates
    by Agnès Bénassy-Quéré & Dramane Coulibaly

  • 2013 Early warning for currency crises: what is the role of financial openness?
    by Jon Frost & Ayako Saiki

  • 2013 Cross-Border Banking, Bank Market Structures and Market Power: Theory and Cross-Country Evidence
    by Franziska Bremus

  • 2013 Optimal monetary and tariff policy in open economies
    by Chan Wang & Heng-fu Zou

  • 2013 Revisiting the Balassa-Samuelson Model with Markup Variations
    by Romain RESTOUT

  • 2013 Imperfect Mobility of Labor across Sectors: a Reappraisal of the Balassa-Samuelson Effect
    by Olivier CARDI & Romain RESTOUT

  • 2013 Financial stability in open economies
    by Yuki Teranishi & Ippei Fujiwara

  • 2013 Global liquidity trap
    by Yuki Teranishi & Nao Sudo & Tomoyuki Nakajima & Ippei Fujiwara

  • 2013 The global impact of Chinese growth
    by Ippei Fujiwara

  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Broner, Fernando A & Erce, Aitor & Martin, Alberto & Ventura, Jaume

  • 2013 Market Deregulation and Optimal Monetary Policy in a Monetary Union
    by Cacciatore, Matteo & Fiori, Giuseppe & Ghironi, Fabio

  • 2013 Sovereign risk and belief-driven fluctuations in the euro area
    by Corsetti, Giancarlo & Kuester, Keith & Meier, André & Müller, Gernot

  • 2013 Optimal Exchange Rate Policy in a Growing Semi-Open Economy
    by Bacchetta, Philippe & Benhima, Kenza & Kalantzis, Yannick

  • 2013 Effects of Transitory Shocks to Aggregate Output on Consumption in Poor Countries
    by Brückner, Markus & Gradstein, Mark

  • 2013 Currency Risk in Currency Unions
    by Kriwoluzky, Alexander & Müller, Gernot & Wolf, Martin

  • 2013 International Competitiveness and Monetary Policy: Strategic Policy and Coordination with a Production Relocation Externality
    by Bergin, Paul R & Corsetti, Giancarlo

  • 2013 External Adjustment, Global Imbalances and Valuation Effects
    by Gourinchas, Pierre-Olivier & Rey, Hélène

  • 2013 The origins of the German current account surplus: Unbalanced productivity growth and structural change
    by Coricelli, Fabrizio & Ravasan, Farshad R & Wörgötter, Andreas

  • 2013 Capital Flows in the Euro Area
    by Lane, Philip R.

  • 2013 Why do governments default, and why don't they default more often?
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  • 2013 Capital Regulation, Monetary Policy, and Financial Stability
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  • 2013 Capital Flows and Financial Stability: Monetary Policy and Macroprudential Responses
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  • 2013 Economic Recovery after the Crisis and the Cohesion Policy
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  • 2013 Natural and Social Conditions for Economic Development: Case Study Northeastern Montenegro
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  • 2013 Economic growth, openness and foreign direct investment in oil-rich countries
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  • 2013 Systematic Positive Expected Returns in the UK Fixed Odds Betting Market: An Analysis of the Fink Tank Predictions
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  • 2013 European Markets’ Reactions to Exogenous Shocks: A High Frequency Data Analysis of the 2005 London Bombings
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  • 2013 Bank Regulation in Dollarized Economies: The Case of Turkey
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  • 2013 Organizational Mission and Revenue Diversification among Non-profit Sports Clubs
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  • 2013 How Does the Financial Crisis Affect Volatility Behavior and Transmission Among European Stock Markets?
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  • 2013 New Evidence on the Information and Predictive Content of the Baltic Dry Index
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  • 2013 On the Choice of the Discount Rate and the Role of Financial Variables and Physical Parameters in Estimating the Levelized Cost of Energy
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  • 2013 Quantity versus Price Rationing of Credit: An Empirical Test
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  • 2013 The Influence of Marketing Scholarship’s Legacy on Nonprofit Marketing
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  • 2013 Decomposing US Money Supply Changes since the Financial Crisis
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  • 2013 Inaugural Letter for the International Journal of Financial Studies (IJFS)
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  • 2013 Crowding out redefined: the role of reserve accumulation
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  • 2013 Potential Currency Areas in East Asia using United States, Japan, or China as the Monetary Anchor
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  • 2013 El papel de la tasa de interés real en el ciclo económico de México
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  • 2013 Is inflation targeting operative in an open economy setting?
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  • 2013 Endogenous money and public foreign debt during the Argentinean Convertibility
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  • 2013 Ideas económicas y unión monetaria: un análisis del Informe Emerson
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  • 2013 Euro Politics: An Interview with Roland Vaubel
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  • 2013 Turk Lirasi Reel Kuru Denge Degerinde Mi?
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  • 2013 Turkiye’nin Ithalat ve Ihracat Bagimliligi: Secilmis Ulke Ornekleri Uzerine Ampirik Bir Uygulama
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  • 2013 Zašto Hrvatska i Bosna i Hercegovina imaju relativno visoku kamatnu stopuc
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  • 2013 Regime switches in the Sino-American co-dependency: Growth and structural change in China
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  • 2013 An optimal government spending reversal rule in a small open economy
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  • 2013 Learning by devaluating: A supply-side effect of competitive devaluation
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  • 2013 Credit frictions and consumption dynamics in an open economy
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  • 2013 Uncovered interest parity puzzle: Asymmetric responses
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  • 2013 Financial shocks and exports
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  • 2013 International business cycle co-movement and vertical specialization reconsidered in multistage Bayesian DSGE model
    by Wong, Chin-Yoong & Eng, Yoke-Kee

  • 2013 Financial integration, nominal rigidity, and monetary policy
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  • 2013 Growth, productivity and capital accumulation: The effects of financial liberalization in the case of European integration
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  • 2013 Foreign direct investment and output growth volatility: A worldwide analysis
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  • 2013 Exchange rate misalignment and inflation rate persistence: Evidence from Latin American countries
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  • 2013 Do exchange rates affect consumer prices? A comparative analysis for Australia, China and India
    by Saha, Shrabani & Zhang, Zhaoyong

  • 2013 How Slovakia has kept the confidence fairy
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  • 2013 The accumulation of foreign exchange by central banks: Fear of capital mobility?
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  • 2013 Real wage rigidities and optimal monetary policy in a small open economy
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  • 2013 Exchange rate pass through, macro fundamentals and regime choice in Latin America
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  • 2013 Equilibrium stability in open economy models
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  • 2013 Measuring currency pressures: The cases of the Japanese yen, the Chinese yuan, and the UK pound
    by Hall, Stephen G. & Kenjegaliev, Amangeldi & Swamy, P.A.V.B. & Tavlas, George S.

  • 2013 Macroeconomic adjustment and the history of crises in open economies
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  • 2013 Optimal monetary policy in a small open economy with staggered wage and price contracts
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  • 2013 Convergence, capital accumulation and the nominal exchange rate
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  • 2013 Currency intervention: A case study of an emerging market
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  • 2013 The consumption-real exchange rate anomaly with extensive margins
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  • 2013 International diversification during the financial crisis: A blessing for equity investors?
    by Vermeulen, Robert

  • 2013 Exchange rate pass-through and the effects of tariffs on economic performance and welfare
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  • 2013 How central banks prepare for financial crises – An empirical analysis of the effects of crises and globalisation on international reserves
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  • 2013 Two fiscal policy puzzles revisited: New evidence and an explanation
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  • 2013 Oil shocks and the zero bound on nominal interest rates
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  • 2013 External and budget deficits in some developing countries
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  • 2013 On the solvency of nations: Cross-country evidence on the dynamics of external adjustment
    by Durdu, C. Bora & Mendoza, Enrique G. & Terrones, Marco E.

  • 2013 Strategic monetary policy in interdependent economies: Gains from coordination reconsidered
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  • 2013 Nonlinear relationship between the real exchange rate and economic fundamentals: Evidence from China and Korea
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  • 2013 Financial frictions and the strength of monetary transmission
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  • 2013 Hoarding of international reserves in China: Mercantilism, domestic consumption and US monetary policy
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  • 2013 Taylor rules and exchange rate predictability in emerging economies
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  • 2013 Housing investment: What makes it so volatile? Theory and evidence from OECD countries
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  • 2013 Behind the scenes of abandoning a fixed exchange rate regime
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  • 2013 Capital inflows and asset prices: Evidence from emerging Asia
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  • 2013 Modelling sovereign credit spreads with international macro-factors: The case of Brazil 1998–2009
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  • 2013 The gain from commitment in a two-country economy with inflation persistence
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  • 2013 Real interest parity in Central and Eastern European countries: Evidence on integration into EU and the US markets
    by Baharumshah, Ahmad Zubaidi & Soon, Siew-Voon & Boršič, Darja

  • 2013 The microstructure of covered interest arbitrage in a market with a dominant market maker
    by Liu, Hao-Chen & Witte, Mark David

  • 2013 Determinants of the real exchange rate in a small open economy: Evidence from Canada
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  • 2013 Global financial conditions, country spreads and macroeconomic fluctuations in emerging countries
    by Akıncı, Özge

  • 2013 Effects of transitory shocks to aggregate output on consumption in poor countries
    by Brückner, Markus & Gradstein, Mark

  • 2013 On the unstable relationship between exchange rates and macroeconomic fundamentals
    by Bacchetta, Philippe & van Wincoop, Eric

  • 2013 Causes of nonlinearities in low-order models of the real exchange rate
    by Ahmad, Yamin & Lo, Ming Chien & Mykhaylova, Olena

  • 2013 News and sovereign default risk in small open economies
    by Durdu, C. Bora & Nunes, Ricardo & Sapriza, Horacio

  • 2013 Exaggerated death of distance: Revisiting distance effects on regional price dispersions
    by Kano, Kazuko & Kano, Takashi & Takechi, Kazutaka

  • 2013 Dissecting the dynamics of the US trade balance in an estimated equilibrium model
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  • 2013 Financial crises and macro-prudential policies
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  • 2013 Investment composition and international business cycles
    by Oviedo, P. Marcelo & Singh, Rajesh

  • 2013 Foreign labor costs and domestic employment: What are the spillovers?
    by Dao, Mai Chi

  • 2013 Sudden stops: Are global and local investors alike?
    by Calderón, César & Kubota, Megumi

  • 2013 Varieties and the transfer problem
    by Corsetti, Giancarlo & Martin, Philippe & Pesenti, Paolo

  • 2013 The determinants of home bias puzzle in equity portfolio investment in Australia
    by Daly, Kevin & Vo, Xuan Vinh

  • 2013 Norwegian climate policy reforms in the presence of an international quota market
    by Bjertnæs, Geir H. & Tsygankova, Marina & Martinsen, Thomas

  • 2013 Has the Euro changed the business cycle?
    by Enders, Zeno & Jung, Philip & Müller, Gernot J.

  • 2013 Estimating the effects of coordinated fiscal actions in the euro area
    by Hebous, Shafik & Zimmermann, Tom

  • 2013 Revisiting the importance of non-tradable goods' prices in cyclical real exchange rate fluctuations
    by Bache, Ida Wolden & Sveen, Tommy & Torstensen, Kjersti Næss

  • 2013 Bilateral portfolio dynamics during the global financial crisis
    by Galstyan, Vahagn & Lane, Philip R.

  • 2013 An empirical analysis of the nexus between external balance and government budget balance: The case of the GIIPS countries
    by Algieri, Bernardina

  • 2013 Capital mobility and global factor shocks
    by Costantini, Mauro & Gutierrez, Luciano

  • 2013 Large labour unions and terms-of-trade externality
    by Cuciniello, Vincenzo

  • 2013 Volatility and persistence of simulated DSGE real exchange rates
    by Ahmad, Yamin & Lo, Ming Chien & Mykhaylova, Olena

  • 2013 A wavelet analysis of international risk-sharing
    by Trezzi, Riccardo

  • 2013 Is the exchange rate regime really irrelevant for external adjustment?
    by Ghosh, Atish R. & Qureshi, Mahvash S. & Tsangarides, Charalambos G.

  • 2013 Tariff-tax reform and exchange rate dynamics in a monetary economy
    by Chao, Chi-Chur & Hu, Shih-Wen & Lai, Ching-Chong & Tai, Meng-Yi & Wang, Vey

  • 2013 Fear of floating or monetary policy as usual? A structural analysis of Mexico's monetary policy
    by Best, Gabriela

  • 2013 Optimal monetary policy rules in a two-country economy with a zero bound on nominal interest rates
    by Ida, Daisuke

  • 2013 The impact of the global business cycle on small open economies: A FAVAR approach for Canada
    by Vasishtha, Garima & Maier, Philipp

  • 2013 The cost of adjustment: On comovement between the trade balance and the terms of trade
    by Dmitriev, Alexandre & Roberts, Ivan

  • 2013 Taylor rules and equilibrium determinacy in a two-country model with non-traded goods
    by Fujisaki, Seiya

  • 2013 Is world oil market “one great pool”?: An example from China's and international oil markets
    by Liu, Li & Chen, Ching-Cheng & Wan, Jieqiu

  • 2013 Exchange rate regime, real misalignment and currency crises
    by Holtemöller, Oliver & Mallick, Sushanta

  • 2013 On price convergence in Eurozone
    by Guerreiro, David & Mignon, Valérie

  • 2013 Tobin's Q channel and monetary policy rules under incomplete exchange rate pass-through
    by Ida, Daisuke

  • 2013 A wavelet decomposition approach to crude oil price and exchange rate dependence
    by Reboredo, Juan C. & Rivera-Castro, Miguel A.

  • 2013 Macroeconomic determinants of the credit risk in the banking system: The case of the GIPSI
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  • 2013 Hopf bifurcation in the Clarida, Gali, and Gertler model
    by Barnett, William A. & Eryilmaz, Unal

  • 2013 A structural VAR model of the Fiji Islands
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  • 2013 Structural versus matching estimation: Transmission mechanisms in Armenia
    by Poghosyan, Karen & Boldea, Otilia

  • 2013 The Relationship Between Immigration and Unemployment: The Case of France
    by Vincent Fromentin

  • 2013 The fiscal multiplier and spillover in a global liquidity trap
    by Fujiwara, Ippei & Ueda, Kozo

  • 2013 Exchange rate regimes and fiscal multipliers
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  • 2013 Fiscal consolidation in a currency union: Spending cuts vs. tax hikes
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  • 2013 Fiscal policy, banks and the financial crisis
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  • 2013 Fiscal deficits and current account deficits
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  • 2013 Should developing countries undervalue their currencies?
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  • 2013 How big are the gains from international financial integration?
    by Hoxha, Indrit & Kalemli-Ozcan, Sebnem & Vollrath, Dietrich

  • 2013 Economic shocks and civil conflict: Evidence from foreign interest rate movements
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  • 2013 Optimal fiscal policy and different degrees of access to international capital markets
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  • 2013 Trend shocks and economic development
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  • 2013 Monetary and exchange rate policy under remittance fluctuations
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  • 2013 Boom–bust cycle, asymmetrical fiscal response and the Dutch disease
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  • 2013 Limits of floating exchange rates: The role of foreign currency debt and import structure
    by Towbin, Pascal & Weber, Sebastian

  • 2013 On graduation from fiscal procyclicality
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  • 2013 Is foreign direct investment to China crowding out the foreign direct investment to other countries?
    by Resmini, Laura & Siedschlag, Iulia

  • 2013 Commodity prices and the macroeconomy: An extended dependent economy approach
    by Makin, Anthony J.

  • 2013 Terms of trade and output fluctuations in Colombia
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  • 2013 Colombia: términos de intercambio y fluctuaciones de la producción
    by Hernández, Gonzalo

  • 2013 Global Financial Crisis: Did Exchange Rate Politics Help Emerging Countries To Be More Resilient
    by Feryel Ouerghi

  • 2013 An Empirical Investigation of Budget and Trade Deficits: The Case of Bangladesh
    by Asrafuzzaman & Amit Roy & Sanat Das Gupta

  • 2013 Analysis of Macroeconomic Determinants of Exchange Rate Volatility in India
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  • 2013 Verluste auf das deutsche Nettoauslandsvermögen - wie sind sie entstanden?
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  • 2013 Einkommensverteilung, Finanzialisierung und makroökonomische Ungleichgewichte
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  • 2013 Europäische Bankenunion
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  • 2013 A Common Unemployment Insurance System for the Euro Area
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  • 2013 La demanda de dinero y las innovaciones financieras en Venezuela: equilibrio de largo plazo
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  • 2013 La coyuntura macroeconómica reciente
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  • 2013 Estimación del traspaso del tipo de cambio a los precios en México
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  • 2013 Estimating the Exchange Rate Pass-Through to Prices in Mexico
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  • 2013 The Perception Of Neighbour Countries In Bulgaria
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  • 2013 Realeinkommen und Terms of Trade
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  • 2013 Assessment of models to forecast exchange rates: The quetzal–U.S. dollar exchange rate
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  • 2013 Revisiting the Balassa-Samuelson Model with Markup Variations
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  • 2013 Rebalancing process from China's perspective
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  • 2013 What drives forex interventions? Evidence from the Brazilian Central Bank interventions on the BRL/USD market
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  • 2013 Wage dynamics and current account rebalancing in the euro area
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  • 2013 Dynamiques de salaires et rééquilibrage des comptes courants dans la zone euro
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  • 2013 The Effects of Real Exchange Rate Changes on Turkey's Foreign Trade Performance within the Framework of the Extended Marshall-Lerner Condition: Time Series Analysis with Multiple Structural Breaks
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  • 2013 The economic shocks after 2008 and their impact on the geographic structure of Bulgaria’s foreign trade
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  • 2013 Macroeconomic policy transmission and international interdependence: A SVAR application to Brazil and US
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  • 2013 International fisher effect under exchange rate regime shifts: Evidence from 10 examples
    by Petr Koráb & Svatopluk Kapounek

  • 2013 Impact Of Real Exchange Rates On Exports Of Agricultural Commodities: Evidence From India
    by Vikas Gautam & Suresh K G & Aviral Kumar Tiwari

  • 2013 Is African Interest-Rate Volatility Susceptible To International Spillovers?
    by Scott W. Hegerty

  • 2013 Losses from Membership in EMU: An Estimated Two-Country DSGE Model
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  • 2013 Home Bias in Open Economy Financial Macroeconomics
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  • 2013 Capital Controls with International Reserve Accumulation: Can This Be Optimal?
    by Philippe Bacchetta & Kenza Benhima & Yannick Kalantzis

  • 2013 Input Sourcing and Multinational Production
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  • 2013,1st quarter update fiscal multipliers
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  • 2012 Port gateways in globalisation. The case of Antwerp
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  • 2012 Is Price Dynamics Homogeneous Across Eurozone Countries?
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  • 2012 Output Volatility and Its Transmission in Transition Economies: Implications for European Integration
    by Hegerty, Scott W.

  • 2012 Fine-Tuning an Open Capital Account in a Developing Country: The Indonesian Experience
    by JAYASURIYA, SISIRA & CHEN-YU LEU, SHAWN

  • 2012 Effectiveness of Capital Controls: Evidence from Thailand
    by JONGWANICH, JUTHATHIP & KOHPAIBOON, ARCHANUN

  • 2012 How Effective are Capital Controls? Evidence from Malaysia
    by ATHUKORALA, PREMA-CHANDRA & JONGWANICH, JUTHATHIP

  • 2012 The Impact of Exchange Rate Volatility on Exports in Turkey
    by Harun Yuksel & Cemil Kuzey & Ender Sevinc

  • 2012 Financial market heterogeneity: Implications for the EMU
    by Gareis, Johannes & Mayer, Eric

  • 2012 What drives Ireland's housing market? A Bayesian DSGE approach
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  • 2012 Quo vadis Eurozone? A reappraisal of the real exchange rate criterion
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  • 2012 Fiscal Policy, Monetary Regimes and Current Account Dynamics
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  • 2012 A simple model of a currency union with endogenous money and saving-investment imbalances
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  • 2012 Capital inflows and asset prices: Evidence from emerging Asia
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  • 2012 A new comparative approach to macroeconomic modeling and policy analysis
    by Wieland, Volker & Cwik, Tobias & Müller, Gernot J. & Schmidt, Sebastian & Wolters, Maik Hendrik

  • 2012 FX intervention in the yen-US dollar market: A coordination channel perspective
    by Reitz, Stefan & Taylor, Mark P.

  • 2012 Globalisation effect on inflation in the great moderation era: New evidence from G10 countries
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  • 2012 A DSGE model for a SOE with systematic interest and foreign exchange policy in which policymakers exploit the risk premium for stabilization purposes
    by Escudé, Guillermo J.

  • 2012 Structural heterogeneity and partial budgetary cooperation in a monetary union
    by Menguy, Séverine

  • 2012 Asymmetric exchange rate pass-through in the Euro area: New evidence from smooth transition models
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  • 2012 Equity market liberalization, credit constraints and income inequality
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  • 2012 A new comparative approach to macroeconomic modeling and policy analysis
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  • 2012 Financial liberalization, growth, productivity and capital accumulation: The case of European integration
    by Gehringer, Agnieszka

  • 2012 Kvaliteta proizvoda, produktivnost zemlje i ravnotežni tečaj
    by Josip Tica

  • 2012 Utjecaj tečajne politike na ekonomsku aktivnost u visoko zaduženoj zemlji
    by Josip Tica & Lado Nazifovski

  • 2012 Output Volatility, Economic Growth, and Cross-Country Spillovers: New Evidence for the G7 Countries
    by Nikolaos Antonakakis & Harald Badinger

  • 2012 Monetary and Fiscal Policy Interactions in an Emerging Open Economy: a Non-Ricardian DSGE Approach
    by Aliya Algozhina

  • 2012 Financial liberalization, growth, productivity and capital accumulation: The case of European integration
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  • 2012 The Missing Food Problem
    by Trevor Tombe

  • 2012 The Great Synchronization of International Trade Collapse
    by Nikolaos Antonakakis & &

  • 2012 Output Volatility, Economic Growth, and Cross-Country Spillovers: New Evidence for the G7 Countries
    by Nikolaos Antonakakis & Harald Badinger

  • 2012 Business Cycle Synchronization During US Recessions Since the Beginning of the 1870's
    by Nikolaos Antonakakis

  • 2012 After Two Decades of Integration: How Interdependent are Eastern European Economies and the Euro Area?
    by Catherine Prettner & Klaus Prettner

  • 2012 Bilateral Exchange Rates and Jobs
    by Eddy Bekkers & Joseph F. Francois

  • 2012 Causes of Nonlinearities in low order models of the real exchange rate
    by Yamin Ahmad & Ming Chien Lo & Olena Mykhaylova

  • 2012 Non-traded Factor Appreciation in China
    by Gordon Menzies & Xiaolin Xiao

  • 2012 International debt deleveraging
    by Luca Fornaro

  • 2012 The Imprudence of Labour Market Flexibilization in a Fiscally Austere World
    by Jeronim Capaldo and Alex Izurieta

  • 2012 Capital Controls or Exchange Rate Policy? A Pecuniary Externality Perspective
    by Christopher Otrok & Gianluca Benigno & Huigang Chen & Alessandro Rebucci & Eric R. Young

  • 2012 Monetary and Macro-Prudential Policies: An Integrated Analysis
    by Christopher Otrok & Gianluca Benigno & Huigang Chen & Alessandro Rebucci & Eric R. Young

  • 2012 The Myth of Financial Protectionism: The New (and old) Economics of Capital Controls
    by Kevin Gallagher

  • 2012 Apertura, productividad y gasto agregado: un modelo de fundamentos del tipo de cambio real
    by Juan Benítez & Gabriela Mordecki

  • 2012 Fiscal shocks in a two sector open economy with endogenous markups
    by Olivier Cardi & Romain Restout

  • 2012 Currency devaluation with dual labor market : Which perspectives for the Euro Zone ?
    by Amélie Barbier-Gauchard & Francesco De Palma & Giuseppe Diana

  • 2012 Unanticipated vs. Anticipated Tax Reforms in a Two-Sector Open Economy
    by Olivier Cardi & Romain Restout

  • 2012 Investigating Global Imbalances: Empirical Evidence from a GVAR Approach
    by Timo Bettendorf

  • 2012 The Risk Premium and Long-Run Global Imbalances
    by YiLi Chien & Kanda Naknoi

  • 2012 Exchange rate pass-through to various price indices: empirical estimation using vector error correction models
    by Andreas Bachmann

  • 2012 The role of fiscal delegation in a monetary union: a survey of the political economy issues
    by Costain, James & de Blas, Beatriz

  • 2012 The Greek Sovereign Debt Crisis: A Conceptual and Empirical Analysis
    by Miguel Ramirez & Racha Menhem

  • 2012 Finansal Krizlerin Belirleyicileri Olarak Hizli Kredi Genislemeleri ve Cari Islemler Acigi
    by Aytul Ganioglu

  • 2012 Mitigating Turkey's Trilemma Tradeoffs
    by Yasin Akcelik & Orcan Cortuk & Ibrahim M. Turhan

  • 2012 Trend Shocks, Risk Sharing and Cross-Country Portfolio Holdings
    by Yavuz Arslan & Gursu Keles & Mustafa Kilinc

  • 2012 Multi-Product Firms and Exchange Rate Fluctuations
    by Arpita Chatterjee & Rafael Dix-Carneiro & Jade Vichyanond

  • 2012 Costs and benefits of Slovakia entering the euro area. A quantitative evaluation
    by Juraj Zeman

  • 2012 The double dividend in the presence of abatement technologies and local external effects
    by Geir H. Bjertnæs & Marina Tsygankova & Thomas Martinsen

  • 2012 Credit Constraints and Growth in a Global Economy
    by Nicolas Coeurdacier & Stéphane Guibaud & Keyu Jin

  • 2012 Market Structure and Exchange Rate Pass-Through
    by Raphael Anton Auer & Raphael S. Schoenle

  • 2012 Financial Integration in Emerging Europe: an Enviable Development Opportunity with Tail Risks
    by Aleksandra Iwulska & Naotaka Sugawara & Juan Zalduendo

  • 2012 Euro Zone Crisis and EU Governance: Tackling a Flawed Design and Inadequate Policy Arrangements
    by Daniel Daianu

  • 2012 Asian Financial Crisis and Korean Trade Dynamics
    by Artatrana Ratha & Eungmin Kang

  • 2012 Profits in (Partial) Equilibrium and (General) Disequilibrium
    by Seong-Hoon Kim & Seongman Moon

  • 2012 Models of Speculative Attacks and Crashes in International Capital Markets
    by Giancarlo Marini & Giovanni Piersanti

  • 2012 The Sustainability of Monetary Unions. Can the Euro Survive?
    by Paolo Canofari & Giancarlo Marini & Giovanni Piersanti

  • 2012 Reducerea finantarii externe si ajustarea absorbtiei interne, în tarile emergente europene
    by OLTEANU, Dan

  • 2012 Assessing the impact of different nominal anchors on the credibility of stabilisation programmes
    by Prazmowski, Peter A. & Sánchez-Fung, José R.

  • 2012 Endogenous Dollarization, Sovereign Risk Premia and the Taylor Principle
    by Airaudo, Marco

  • 2012 The Persistence of Current Account Balances and its Determinants: The Implications for Global Rebalancing
    by Clower, Erica & Ito, Hiro

  • 2012 The People’s Republic of China and Global Imbalances from a View of Sectorial Reforms
    by Ito, Hiro & Volz, Ulrich

  • 2012 New Measures of the Trilemma Hypothesis: Implications for Asia
    by Ito, Hiro & Kawai, Masahiro

  • 2012 Persistence in Real Exchange Rate Convergence
    by Thanasis Stengos & M. Ege Yazgan

  • 2012 Optimal level of reserve holding: an empirical investigation in the case of Albania
    by Shijaku, Gerti

  • 2012 Modeling exchange rate dynamics in Peru: A cointegration approach using the UIP and PPP
    by Jaramillo Franco, Miguel & Serván Lozano, Sergio

  • 2012 Monetary Transmission Mechanism in India: A Quarterly Model
    by Kapur, Muneesh & Behera, Harendra

  • 2012 Dampak Fluktuasi Harga Minyak Dunia Terhadap Perekonomian Indonesia
    by Nizar, Muhammad Afdi

  • 2012 Growth Forecasts for Foreign Exchange Constrained Economies
    by Worrell, DeLisle & Lowe, Shane & Naitram, Simon

  • 2012 Capital Inflows, Credit Booms and Their Risks
    by Reinhart, Carmen

  • 2012 Exchange Rate Misalignments, Fiscal Federalism and Redistribution: How to Adjust in a Monetary Union
    by Duwicquet, Vincent & Mazier, Jacques & Saadaoui, Jamel

  • 2012 Price Stability In Small Open Economies
    by Dmitriev, Mikhail & Hoddenbagh, Jonathan

  • 2012 Price Stability In Small Open Economies
    by Dmitriev, Mikhail & Hoddenbagh, Jonathan

  • 2012 The optimal design of a fiscal union
    by Dmitriev, Mikhail & Hoddenbagh, Jonathan

  • 2012 Tipo de Cambio Real en Chile: Dinámica, Tendencia y Equilibrio
    by Miranda, Jorge

  • 2012 Global Imbalances: Should We Use Fundamental Equilibrium Exchange Rates?
    by Saadaoui, Jamel

  • 2012 Firms' entry, monetary policy and the international business cycle
    by Cavallari, Lilia

  • 2012 In Search of an Optimal Strategy for Yuan’s Real Revaluation
    by Dai, Meixing

  • 2012 A Simple Model and Its Application in the Valuation of Five Asian Real Exchange Rates
    by Zhibai, Zhang

  • 2012 Macroeconomic Aspects of Real Exchange Rate Volatility in the Central European Countries
    by Mirdala, Rajmund

  • 2012 The link between government budget and current account in the Baltic countries
    by Misztal, Piotr

  • 2012 Hopf bifurcation in the Clarida, Gali, and Gertler model
    by Barnett, William A. & Eryilmaz, Unal

  • 2012 A simple model and its application in currency valuation
    by Zhang, Zhibai

  • 2012 An analytical and numerical search for bifurcations in open economy New Keynesian models
    by Barnett, William & Eryilmaz, Unal

  • 2012 Modelling the sectoral allocation of labour in open economy models
    by Povoledo, Laura

  • 2012 Trend shocks and the countercyclical U.S. current account
    by Amdur, David & Ersal Kiziler, Eylem

  • 2012 Taylor rules and equilibrium determinacy in a two-country model with non-traded goods
    by Fujisaki, Seiya

  • 2012 The great synchronization of international trade collapse
    by Antonakakis, Nikolaos

  • 2012 Transitional Dynamics of Disinflation in a Small Open Economy with Heterogeneous Agents
    by Sunel, Enes

  • 2012 Non-linearities in exchange rate pass-through: Evidence from smooth transition models
    by Ben Cheikh, Nidhaleddine

  • 2012 Workers’ remittances and economic growth in China and Korea: an empirical analysis
    by Jawaid, Syed Tehseen & Raza, Syed Ali

  • 2012 Effects of international monetary integration on inflation, economic growth and current account
    by Stanisic, Nenad

  • 2012 Business cycle synchronization during US recessions since the beginning of the 1870's
    by Antonakakis, Nikolaos

  • 2012 The economic and monetary union countries vs. the global crisis
    by Kowalski, Tadeusz

  • 2012 Buenos Aires to Athens: The Road to Perdition
    by Porzecanski, Arturo C.

  • 2012 A framework of coopetitive games:applications to the Greek crisis
    by Schilirò, Daniele & Carfì, David

  • 2012 Asymmetric monetary policy rules for open economies: Evidence from four countries
    by Caglayan, Mustafa & Jehan, Zainab & Mouratidis, Kostas

  • 2012 Interest Rate Control Rules and Macroeconomic Stability in a Heterogeneous Two-Country Model
    by Fujisaki, Seiya

  • 2012 The effects of real exchange rate volatility on productivity growth
    by Diallo, Ibrahima Amadou

  • 2012 A comment on "The effect of a common currency on the volatility of the extensive margin of trade"
    by Luís Alexandre Barbosa Guimarães

  • 2012 Transmission Lags and Optimal Monetary Policy
    by Alessandro Flamini

  • 2012 Open-economy Inflation Targeting Policies and Forecast Accuracy
    by Alessandro Flamini

  • 2012 How Effective are Capital Controls? Evidence from Malaysia
    by Prema-chandra Athukorala & Juthathip Jongwanich

  • 2012 The Euro Plus Pact: Competitiveness and External Capital Flows in the EU Countries
    by Hubert Gabrisch & Karsten Staehr

  • 2012 Current Account Benchmarks for Turkey
    by Oliver Röhn

  • 2012 Tackling Turkey's External and Domestic Macroeconomic Imbalances
    by Oliver Röhn & Rauf Gönenç & Vincent Koen & Ramazan Karaşahin

  • 2012 Structural Change and the Current Account: The Case of Germany
    by Fabrizio Coricelli & Andreas Wörgötter

  • 2012 Macroeconomic determinants of the credit risk in the banking system: The case of the GIPSI
    by Vítor Castro

  • 2012 International Reserves and Rollover Risk
    by Javier Bianchi & Juan Carlos Hatchondo & Leonardo Martinez

  • 2012 Importers, Exporters, and Exchange Rate Disconnect
    by Mary Amiti & Oleg Itskhoki & Jozef Konings

  • 2012 Is Inflation Targeting Still On Target?
    by Luis Felipe Céspedes & Roberto Chang & Andrés Velasco

  • 2012 Macroeconomic Performance During Commodity Price Booms and Busts
    by Luis Felipe Céspedes & Andrés Velasco

  • 2012 Monetary Rules for Commodity Traders
    by Luis Catão & Roberto Chang

  • 2012 Macroeconomic Adjustment and the History of Crises in Open Economies
    by Joshua Aizenman & Ilan Noy

  • 2012 Financial Intermediation, Exchange Rates, and Unconventional Policy in an Open Economy
    by Luis Felipe Céspedes & Roberto Chang & Andrés Velasco

  • 2012 Fiscal Multipliers: Liquidity Traps and Currency Unions
    by Emmanuel Farhi & Iván Werning

  • 2012 On the Solvency of Nations: Cross-Country Evidence on the Dynamics of External Adjustment
    by C. Bora Durdu & Enrique G. Mendoza & Marco E. Terrones

  • 2012 Home Production, Labor Wedges, and International Real Business Cycles
    by Loukas Karabarbounis

  • 2012 The Price Theory of Money, Prospero's Liquidity Trap, and Sudden Stop: Back to Basics and Back
    by Guillermo A. Calvo

  • 2012 Pegs, Downward Wage Rigidity, and Unemployment: The Role of Financial Structure
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2012 Optimal Holdings of International Reserves: Self-Insurance against Sudden Stop
    by Guillermo A. Calvo & Alejandro Izquierdo & Rudy Loo-Kung

  • 2012 Dealing with the Trilemma: Optimal Capital Controls with Fixed Exchange Rates
    by Emmanuel Farhi & Ivan Werning

  • 2012 Trade Wedges, Inventories, and International Business Cycles
    by George Alessandria & Joseph Kaboski & Virgiliu Midrigan

  • 2012 Income inequality, tax base and sovereign spreads
    by Joshua Aizenman & Yothin Jinjarak

  • 2012 Overcoming the Fear of Free Falling: Monetary Policy Graduation in Emerging Markets
    by Carlos A. Vegh & Guillermo Vuletin

  • 2012 Distance and Political Boundaries: Estimating Border Effects under Inequality Constraints
    by Fernando Borraz & Alberto Cavallo & Roberto Rigobon & Leandro Zipitría

  • 2012 Chronic Specie Scarcity and Efficient Barter: The Problem of Maintaining an Outside Money Supply in British Colonial America
    by Farley Grubb

  • 2012 Managing Currency Pegs
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2012 Macro-Prudential Policy in a Fisherian model of Financial Innovation
    by Javier Bianchi & Emine Boz & Enrique G. Mendoza

  • 2012 Prudential Policy for Peggers
    by Stephanie Schmitt-Grohe & Martin Uribe

  • 2012 Debt Overhangs: Past and Present
    by Carmen M. Reinhart & Vincent R. Reinhart & Kenneth S. Rogoff

  • 2012 Debt Deleveraging and The Exchange Rate
    by Pierpaolo Benigno & Federica Romei

  • 2012 International Portfolio Diversification and Multilateral Effects of Correlations
    by Paul R. Bergin & Ju Hyun Pyun

  • 2012 Nominal Stability and Financial Globalization
    by Michael B. Devereux & Ozge Senay & Alan Sutherland

  • 2012 Aging, labour market dynamics and fiscal imbalances
    by Luca Marchiori & Olivier Pierrard & Henri R. Sneessens

  • 2012 Importers, exporters, and exchange rate disconnect
    by Mary Amiti & Oleg Itskhoki & Jozef Konings

  • 2012 Fiscal policy, banks and the financial crisis
    by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in't Veld

  • 2012 Dissecting the dynamics of the US trade balance in an estimated equilibrium model
    by Punnoose Jacob & Gert Peersman

  • 2012 Firms, Destinations, and Aggregate Fluctuations
    by Julian di Giovanni & Andrei A. Levchenko & Isabelle Méjean

  • 2012 Capital Inflows and Asset Prices: Evidence from Emerging Asia
    by Peter Tillmann

  • 2012 Government Spending, Monetary Policy, and the Real Exchange Rate
    by Hafedh Bouakez & Aurélien Eyquem

  • 2012 International equity and bond positions in a DSGE model with variety risk in consumption
    by Hamano Masashige

  • 2012 Taylor rules, fear of floating and the role of the exchange rate in monetary policy: a case of observational equivalence
    by Juan Paez-Farrell

  • 2012 On the Solvency of Nations: Cross-Country Evidence on the Dynamics of External Adjustment
    by C. Bora Durdu & Enrique G. Mendoza & Marco E. Terrones

  • 2012 Hopf Bifurcation in the Clarida, Gali, and Gertler Model
    by William Barnett & Unal Eryilmaz

  • 2012 Bilateral Exchange Rates and Jobs
    by Eddy Bekkers & Joseph Francois

  • 2012 Experimental Labor Markets and Policy Considerations: Incomplete Contracts and Macroeconomic Aspects
    by Casoria, Fortuna & Riedl, Arno

  • 2012 Asymmetric Labor Market Institutions in the EMU and the Volatility of Inflation and Unemployment Differentials
    by Abbritti, Mirko & Mueller, Andreas I.

  • 2012 Asymmetric Labor Market Institutions in the EMU and the Volatility of Inflation and Unemployment Differentials
    by Abbritti, Mirko & Mueller, Andreas I.

  • 2012 Investment Composition and International Business Cycles
    by Oviedo, P. Marcelo & Singh, Rajesh

  • 2012 Purchasing power parity, wages and inflation in emerging markets
    by Goyal, Ashima

  • 2012 Why Does Monetary Policy Respond to the Real Exchange Rate in Small Open Economies? A Bayesian Perspective
    by Carlos Garcia

  • 2012 Optimal macroeconomic stabilization policy of food, metal, and energy price cycles in small open economies
    by Carlos Garcia & Jesisbé Mejía

  • 2012 Current Account Imbalances in Europe
    by Philip R. Lane & Barbara Pels

  • 2012 Optimal Policy for Macro-Financial Stability
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric Young

  • 2012 Optimal Policy for Macro-Financial Stability
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2012 Interest Rates and Business Cycles in Emerging Economies: The Role of Financial Frictions
    by Andrés Fernández Martín & Adam Gulan

  • 2012 The Dutch Disease in Australia: Policy Options for a Three-Speed Economy
    by W. Max Corden

  • 2012 China's Economic Growth, Structural Change and the Lewisian Turning Point
    by Kyoji Fukao & Tangjun Yuan

  • 2012 Nonparametric Identification and Estimation of the Number of Components in Multivariate Mixtures
    by Kazuko Kano & Takashi Kano & Kazutaka Takechi

  • 2012 Global Crisis and Credit Euroisation in Croatia
    by Tomislav Galac

  • 2012 Capital Inflows and Asset Prices: Evidence from Emerging Asia
    by Peter Tillmann

  • 2012 Trilemma Policy Convergence Patterns and Output Volatility
    by Joshua Aizenman & Hiro Ito

  • 2012 Optimal Monetary Policy in an Estimated Local Currency Pricing Model
    by Okano, Eiji & Eguchi, Masataka & Gunji, Hiroshi & Miyazaki, Tomomi

  • 2012 China's Economic Growth, Structural Change and the Lewisian Turning Point
    by Fukao, Kyoji & Yuan, Tang jun

  • 2012 Exaggerated Death of Distance: Revisiting Distance Effects on Regional Price Dispersions
    by Kano, Kazuko & Kano, Takashi & Takechi, Kazutaka

  • 2012 Distance Sensitivity of Export: A Firm-Product Level Approach
    by Jienwatcharamongkhol, Viroj

  • 2012 Distance Sensitivity of Export: A Firm-Product Level Approach
    by Jienwatcharamongkhol, Viroj

  • 2012 Regional Effects of Monetary Policy in Sweden
    by Svensson, Emma

  • 2012 Financial Repression and China’s Economic Imbalances
    by Johansson, Anders C.

  • 2012 Financial Repression and External Imbalances
    by Johansson, Anders C. & Wang, Xun

  • 2012 A DSGE-based assessment of nonlinear loan-to-Value policies: Evidence from Hong Kong
    by Michael Funke & Michael Paetz

  • 2012 Evaluating a Global Vector Autoregression for Forecasting
    by Neil R. Ericsson & Erica L. Reisman

  • 2012 Persistence in Real Exchange Rate Convergence
    by Thanasis Stengos & M. Ege Yazgan

  • 2012 Financial liberalization, growth, productivity and capital accumulation: The case of European integration
    by Agnieszka Gehringer

  • 2012 Testing for Nonlinear Adjustment in the Portuguese Target Zone: Is there a Honeymoon Effect?
    by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte

  • 2012 Country Portfolios with Heterogeneous Pledgeability
    by Tommaso Trani

  • 2012 Funding under Borrowing Limits in International Portfolios
    by Tommaso Trani

  • 2012 On optimality or non-optimality of the eurozone
    by Tomasz Brodzicki

  • 2012 Missing Import Price Changes and Low Exchange Rate Pass-Through
    by Gagnon, Etienne & Mandel, Benjamin R. & Vigfusson, Robert J.

  • 2012 Market structure and exchange rate pass-through
    by Auer, Raphael & Schoenle, Raphael

  • 2012 The few leading the many: foreign affiliates and business cycle comovement
    by Kleinert, Jörn & Martin, Julien & Toubal, Farid

  • 2012 Hedging against the government: a solution to the home asset bias puzzle
    by Berriel, Tiago C. & Bhattarai, Saroj

  • 2012 Bayesian estimation of NOEM models: identification and inference in small samples
    by Martínez-García, Enrique & Vilán, Diego & Wynne, Mark A.

  • 2012 The impact of structural policies on external accounts in infinite-horizon and finite-horizon models
    by Lukas Vogel

  • 2012 The performance of simple fiscal policy rules in monetary union
    by Lukas Vogel & Werner Roeger & Bernhard Herz

  • 2012 Measuring quality and non-cost competitiveness at a country-product level
    by Francesco Di Comite

  • 2012 Fiscal Policy, Banks and the Financial Crisis
    by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in't Veld

  • 2012 Trade concentration and crisis spillover: Case study of transmission of the supprime crisis to Thailand
    by Kornkarun Cheewatrakoolpong & Somprawin Manprasert

  • 2012 Efectos de variaciones en el tipo de cambio sobre el nivel general de precios: México 1980-2011
    by Jose Romero

  • 2012 Do real balance effects invalidate the Taylor principle in closed and open economies?
    by Stephen McKnight & Alexander Mihailov

  • 2012 Optimal policy for macro-financial stability
    by Gianluca Benigno & Huigang Chen & Chris Otrok & Alessandro Rebucci & Eric Young

  • 2012 Reserve accumulation, growth and financial crises
    by Gianluca Benigno & Luca Fornaro

  • 2012 Capital controls or exchange rate policy? A pecuniary externality perspective
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2012 Currency Intervention: A Case Study of an Emerging Market
    by Renee Fry-McKibbin & Sumila Wanaguru

  • 2012 The Fiscal Multiplier and Spillover in a Global Liquidity Trap
    by Ippei Fujiwara & Kozo Ueda

  • 2012 Sustainability of external imbalances in the OECD countries
    by Oscar Bajo-Rubio & Carmen Díaz-Roldán & Vicente Esteve

  • 2012 The Euro Plus Pact: Competitiveness and external capital flows in the EU countries
    by Hubert Gabrisch & Karsten Staehr

  • 2012 On Graduation from Fiscal Procyclicality
    by Frankel, Jeffrey A. & Vegh, Carlos A. & Vuletin, Guillermo

  • 2012 Fiscal Policy, Banks and the Financial Crisis
    by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in'tVeld

  • 2012 The Persistence of Current Account Balances and its Determinants : The Implications for Global Rebalancing
    by Erica Clower & Hiro Ito

  • 2012 The People’s Republic of China and Global Imbalances from a View of Sectorial Reforms
    by Hiro Ito & Ulrich Volz

  • 2012 New Measures of the Trilemma Hypothesis : Implications for Asia
    by Hiro Ito & Masahiro Kawai

  • 2012 The People’s Republic of China and Global Imbalances from a View of Sectorial Reforms
    by Hiro Ito & Ulrich Volz

  • 2012 New Measures of the Trilemma Hypothesis : Implications for Asia
    by Hiro Ito & Masahiro Kawai

  • 2012 Is price dynamics homogeneous across Eurozone countries?
    by David Guerreiro & Marc Joëts & Valérie Mignon

  • 2012 Housing Investment: What Makes It so Volatile? Theory and Evidence from OECD Countries
    by Quoc Hung Nguyen

  • 2012 Net Foreign Asset (Com)position: Does Financial Development Matter?
    by Robert Vermeulen & Jakob de Haan

  • 2012 Chronic Specie Scarcity and Efficient Barter: The Problem of Maintaining an Outside Money Supply in British Colonial America
    by Farley Grubb

  • 2012 Business Cycles, International Trade and Capital Flows: Evidence from Latin America
    by Guglielmo Maria Caporale & Alessandro Girardi

  • 2012 Welfare Reversal in Monetary Union
    by Stéphane Auray & Aurélien Eyquem

  • 2012 Welfare Reversal in Monetary Union
    by Stéphane Auray & Aurélien Eyquem

  • 2012 A Tale of Tax Policies in Open Economies
    by Stéphane Auray & Aurélien Eyquem & Paul Gomme

  • 2012 A Tale of Tax Policies in Open Economies
    by Stéphane Auray & Aurélien Eyquem & Paul Gomme

  • 2012 A Tale of Tax Policies in Open Economies
    by Stephane Auray & Aurelien Eyquem & Paul Gomme

  • 2012 The Demand for Liquid Assets, Corporate Saving, and Global Imbalances
    by Bacchetta, Philippe & Benhima, Kenza

  • 2012 Importers, Exporters, and Exchange Rate Disconnect
    by Amiti, Mary & Itskhoki, Oleg & Konings, Jozef

  • 2012 Has the Euro changed the Business Cycle?
    by Enders, Zeno & Jung, Philip & Müller, Gernot

  • 2012 Reserve Accumulation, Growth and Financial Crises
    by Benigno, Gianluca & Fornaro, Luca

  • 2012 Optimal Policy for Macro-Financial Stability
    by Benigno, Gianluca & Chen, Huigang & Otrok, Christopher & Rebucci, Alessandro & Young, Eric R

  • 2012 Fiscal Policy, Banks and the Financial Crisis
    by In''t Veld, Jan & Kollmann, Robert & Ratto, Marco & Roeger, Werner

  • 2012 Firms, Destinations, and Aggregate Fluctuations
    by di Giovanni, Julian & Levchenko, Andrei A. & Méjean, Isabelle

  • 2012 Fiscal Consolidation in a Currency Union: Spending Cuts vs. Tax Hikes
    by Erceg, Christopher & Lindé, Jesper

  • 2012 The Case For Temporary Inflation in the Eurozone
    by Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2012 The Few Leading The Many: Foreign Affiliates and Business Cycle Comovement
    by Kleinert, Jörn & Martin, Julien & Toubal, Farid

  • 2012 Credit Constraints and Growth in a Global Economy
    by Coeurdacier, Nicolas & Guibaud, Stéphane & Jin, Keyu

  • 2012 Is Monetary Policy in an Open Economy Fundamentally Different?
    by Monacelli, Tommaso

  • 2012 What Determines Government Spending Multipliers?
    by Corsetti, Giancarlo & Meier, André & Müller, Gernot

  • 2012 Exchange rate regimes and fiscal multipliers
    by Born, Benjamin & Juessen, Falko & Müller, Gernot

  • 2012 Managing Currency Pegs
    by Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2012 Prudential Policy for Peggers
    by Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2012 Current Account Imbalances in Europe
    by Lane, Philip R. & Pels, Barbara

  • 2012 Real exchange rate adjustment, wage-setting institutions, and fiscal stabilization policy: Lessons of the Eurozone’s first decade
    by Carlin, Wendy

  • 2012 Bilateral Exchange Rates and Jobs
    by Bekkers, Eddy & Francois, Joseph

  • 2012 Nominal Stability and Financial Globalization
    by Devereux, Michael B & Senay, Ozge & Sutherland, Alan

  • 2012 A New Comparative Approach to Macroeconomic Modeling and Policy Analysis
    by Cwik, Tobias & Mueller, Gernot & Schmidt, Sebastian & Wieland, Volker & Wolters, Maik H

  • 2012 Portfolio Allocation and International Risk Sharing
    by Benigno, Gianluca & Küçük, Hande

  • 2012 Capital Controls with International Reserve Accumulation: Can this Be Optimal?
    by Bacchetta, Philippe & Benhima, Kenza & Kalantzis, Yannick

  • 2012 The Risky Steady-State
    by Coeurdacier, Nicolas & Rey, Hélène & Winant, Pablo

  • 2012 International Capital Flows with Limited Commitment and Incomplete Markets
    by von Hagen, Jürgen & Zhang, Haiping

  • 2012 Home Bias in Open Economy Financial Macroeconomics
    by Coeurdacier, Nicolas & Rey, Hélène

  • 2012 A DSGE model for a SOE with Systematic Interest and Foreign Exchange policies in which policymakers exploit the risk premium for stabilization purposes
    by Escudé, Guillermo J.

  • 2012 Índice de Desbalance Macroeconómico
    by Carolina Arteaga & Carlos Huertas Campos & Sergio Olarte Armenta

  • 2012 Choques internacionales reales y financieros y su impacto sobre la economía colombiana
    by Juan José Echavarría & Andrés gonzález & Enrique López & Norberto Rodríguez

  • 2012 Assessing the Impact of Fiscal Measures on the Czech Economy
    by Robert Ambrisko & Jan Babecky & Jakub Rysanek & Vilem Valenta

  • 2012 Monetary Policy and Exchange Rate Dynamics: The Exchange Rate as a Shock Absorber
    by Volha Audzei & Frantisek Brazdik

  • 2012 Trend Shocks and Financial Frictions in Small Open Economies Modeling
    by Alberto Ortiz Bolaños & Jacob Wishart

  • 2012 The Impact of Market Regulations on Intra European Real Exchange Rates
    by Agnès Bénassy-Quéré & Dramane Coulibaly

  • 2012 Invoicing Currency, Firm Size, and Hedging
    by Julien Martin & Isabelle Méjean

  • 2012 The Few Leading the Many: Foreign Affiliates and Business Cycle Comovement
    by Jörn Kleinert & Julien Martin & Farid Toubal

  • 2012 Exchange rate pass-through, monetary policy, and variability of exchange rates
    by Konstantin Styrin & Oleg Zamulin

  • 2012 Optimal Monetary Responses to Oil Discoveries
    by Samuel Wills

  • 2012 Has the Euro Changed Business Cycle Synchronization?Evidence from the Core and the Periphery
    by Sybille Lehwald

  • 2012 Human Capital Accumulation and the Macroeconomy in an Ageing Society
    by Ben J. Heijdra & Laurie S. M. Reijnders

  • 2012 Business Cycles, International Trade and Capital Flows: Evidence from Latin America
    by Guglielmo Maria Caporale & Alessandro Girardi

  • 2012 Estimating the Effects of Coordinated Fiscal Actions in the Euro Area
    by Shafik Hebous & Tom Zimmermann

  • 2012 Exchange Rate Misalignment - The Case of the Chinese Renminbi
    by Yin-Wong Cheung

  • 2012 Monetary and Fiscal Policy Interactions in an Emerging Open Economy: A Non-Ricardian DSGE Approach
    by Aliya Algozhina

  • 2012 Is Fiscal Policy Procyclical in Resource-Rich Countries?
    by Ilkin Aliyev

  • 2012 Optimal Policy for Macro-Financial Stability
    by Gianluca Benigno & Huigang Chen & Chris Otrok & Alessandro Rebucci & Eric Young

  • 2012 Reserve Accumulation, Growth and Financial Crises
    by Gianluca Benigno & Luca Fornaro

  • 2012 Capital Controls or Exchange Rate Policy? A Pecuniary Externality Perspective
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2012 Is Openness Inflationary? Policy Commitment and Imperfect Competition
    by Richard W. Evans

  • 2012 Skill-Biased Technological Change and the Real Exchange Rate
    by Matthias Gubler & Christoph Sax

  • 2012 Are Chinese trade flows different?
    by Cheung, Yin-Wong & Chinn, Menzie D. & Qian, XingWang

  • 2012 A DSGE-based assessment of nonlinear loan-to-Value policies : Evidence from Hong Kong
    by Funke, Michael & Paetz, Michael

  • 2012 De facto currency baskets of China and East Asian economies : The rising weights
    by Fang, Ying & Huang, Shicheng & Niu, Linlin

  • 2012 International policy spillovers at the zero lower bound
    by Haberis, Alex & Lipińska, Anna

  • 2012 What drives oil prices? Emerging versus developed economies
    by Knut Are Aastveit & Hilde C. Bjørnland & Leif Anders Thorsrud

  • 2012 What drives oil prices? Emerging versus developed economies
    by Knut Are Aastveit & Hilde C. Bjørnland & Leif Anders Thorsrud

  • 2012 Precios de viviendas. una metodología para evaluar desvíos respecto a sus fundamentos
    by Fernando Borraz & Gerardo Licandro & Jorge Ponce

  • 2012 Capital Controls with International Reserve Accumulation: Can this Be Optimal?
    by Bacchetta, P. & Benhima, K. & Kalantzis, Y.

  • 2012 Financial Integration and External Sustainability
    by Towbin, P.

  • 2012 The Macroeconomic Effects of Reserve Requirements
    by Glocker, Ch. & Towbin P.

  • 2012 Reserve Requirements for Price and Financial Stability - When Are They Effective?
    by Glocker, C. & Towbin, P.

  • 2012 Euro area and global oil shocks: an empirical model-based analysis
    by Lorenzo Forni & Andrea Gerali & Alessandro Notarpietro & Massimiliano Pisani

  • 2012 Entry dynamics as a solution to the puzzling behaviour of real marginal costs in the Ghironi-Melitz model
    by Alberto Felettigh

  • 2012 Traded and nontraded goods prices, and international risk sharing: an empirical investigation
    by Giancarlo Corsetti & Luca Dedola & Francesca Viani

  • 2012 The international risk-sharing puzzle is at business-cycle and lower frequency
    by Giancarlo Corsetti & Luca Dedola & Francesca Viani

  • 2012 Smoothing shocks and balancing budgets in a currency union
    by James Costain & Beatriz de Blas

  • 2012 LOLA 2.0: Luxembourg OverLapping generation model for policy Analysis
    by Luca Marchiori & Olivier Pierrard

  • 2012 The Sensitivity of Producer Prices to Exchange Rates: Insights from Micro Data
    by Shutao Cao & Wei Dong & Ben Tomlin

  • 2012 Commodities and Monetary Policy: Implications for Inflation and Price Level Targeting
    by Donald Coletti & René Lalonde & Paul Masson & Dirk Muir & Stephen Snudden

  • 2012 The Impact of Liberalisation Policies on Inequality in Africa
    by Asongu Simplice & Michael E. Batuo

  • 2012 A Dynamic Model of Trade with Heterogeneous Firms
    by Peter Arendorf Bache

  • 2012 New Paradigms in Monetary Theory and Policy?
    by Morten Balling & David T. Llewellyn & Athanasios Orphanides & Luc Coene & Andy Haldane & Richard Davies & Dramane Coulibaly & Hubert Kempf & Nicola Brink & Michael Kock & Amund Holmsen & Øistein Røisland & Guonan Ma & Robert N. McCauley & Fabio C.Bagliano & Claudio Morana & Wim Boonstra & Tobias C. Michalak & Philipp C. Rother

  • 2012 Rebalancing der Leistungsbilanzdefizite in den Peripheriestaaten des Euroraums
    by Matthes, Jürgen

  • 2012 Asymmetric exchange rate pass-through in the Euro area: New evidence from smooth transition models
    by Ben Cheikh, Nidhaleddine

  • 2012 Impact of Trade Liberalization on Trade Balance in Pakistan: Cointegration and Error Correction Mechanism
    by Bushra Yasmin

  • 2012 An Empirical Study of Exchange Rate Pass-Through in China
    by Xiaowen Jin

  • 2012 The costs of rebalancing the China-US co-dependency
    by Luigi Bonatti & Andrea Fracasso

  • 2012 Fiscal Stimulus with Spending Reversals
    by Giancarlo Corsetti & André Meier & Gernot J. Müller

  • 2012 How Effective Are Capital Controls in Asia?
    by Maria Socorro Gochoco-Bautista & Juthathip Jongwanich & Jong-Wha Lee

  • 2012 Financial Fragility, Exchange-Rate Regimes, and Sudden Stops in a Small Open Economy
    by Wen-Yao Grace Wang & Paula Hernandez-Verme & Raymond A. K. Cox Author E-mail: rcox@unbc.ca

  • 2012 The Turkish Economy after the Global Financial Crisis
    by Dani Rodrik

  • 2012 The Effects of Foreign Transfers with Flexible Labor Supply
    by Serpil Bouza & Stephen J. Turnovsky

  • 2012 Macroeconomic Impacts Of The Interest Rate Shocks In The Selected Euro Area Countries
    by Júlia DURCOVÁ

  • 2012 Indian Foreign Trade in Post Liberalisation Era
    by Rajesh K PILLANIA

  • 2012 Foreign Direct Investment in India
    by Rajesh K. PILLANIA

  • 2012 Effects Of Single Monetary Policy On The Selected Economic And Monetary Union Countries. Case Of So-Called "Piigs" Countries
    by Ludmila BARTOKOVA

  • 2012 Türkiye’de Dolarizasyon Süreci ve Döviz Kuru Belirsizliği İlişkisi
    by Erşan SEVER

  • 2012 Terms of trade and economic growth in Poland in the period 1980?–2009 (Terms of trade i wzrost gospodarczy w Polsce w okresie 1980?–2009)
    by Piotr Misztal

  • 2012 El tipo de cambio real, el ingreso nacional y el ingreso foráneo en la determinación de la balanza comercial en Bolivia: 1992-2011
    by Hernández Barriga, Plinio & Rivero Ticona, Alexander & Frías Pinedo, Isidro

  • 2012 Is Per Capita GDP Non-linear Stationary in SAARC Countries?
    by Kumar Tiwari, Aviral & Shahbaz, Muhammad & Shahbaz Shabbir , Muhammad

  • 2012 To what Extent is the Chinese Renminbi Undervalued? A Two-Country Model of Monopolistic Competition - Quanto è sottovalutato il Renminbi cinese? Un modello a due paesi di concorrenza monopolistica
    by Tseng, Hui-Kuan

  • 2012 On Trade Balance and Exchange Rates: Further Evidence from China’s Bilateral Trade - La bilancia commerciale e i tassi di cambio: ulteriori evidenze dalle bilance commerciali bilaterali cinesi
    by Mohammadi, Hassan & Yue, Kan

  • 2012 Does Production Fragmentation Lower Exchange Rate Elasticity? Evidence from Mexico’s Trade Linkages - La frammentazione della produzione abbassa l’elasticità del tasso di cambio? Evidenze dai rapporti commerciali del Messico
    by Ghosh, Amit

  • 2012 The Impact of Trade Facilitation on the Extensive and Intensive Margins of Trade: An Application for Developing Countries
    by Lee, Hyo-young & Kim , Chong-Sup

  • 2012 Harrod Balassa Samuelson effect and the role of distribution sector: an empirical case study of Serbia and EMU
    by Predrag Petrovic

  • 2012 The relationship between exchange rate and macroeconomic variables in China
    by Chi-Wei Su

  • 2012 Inflows and their Macroeconomic Impact in India a VAR Analysis
    by Narayan Sethi

  • 2012 Financial Frictions and Total Factor Productivity: Accounting for the Real Effects of Financial Crises
    by Sangeeta Pratap & Carlos Urrutia

  • 2012 Temporary stabilization: a Fréchet-Weibullextreme value distribution approach
    by Francisco Venegas-Martinez & Ambrosio Ortiz-Ramírez & Francisco Ortiz-Arango

  • 2012 Německá ekonomická "lokomotiva" a česká ekonomika
    by Luboš Komárek & Martin Motl & Filip Novotný & Ladislav Prokop

  • 2012 Vliv globalizace na fungování mezinárodního obchodu
    by Marek Rojíček

  • 2012 Daně z příjmů versus daň z přidaní hodnoty v malé otevřené ekonomice
    by Tomáš Buus

  • 2012 China and the Dollar: An Optimum Currency Area View
    by Chee-Heong Quah & Patrick M. Crowley

  • 2012 On Net External Assets in Developed and Transition Countries
    by Petr Duczynski

  • 2012 Is There a Trade-off between Exchange Rate and Interest Rate Volatility? Evidence from an M-GARCH Model
    by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte

  • 2012 Possible Impact of the 2008-2009 Economic Crisis on Czech Potential Output Through the Labour Market
    by Martin Janíčko & Marek Mičúch & Zdeněk Chytil

  • 2012 Poverty Consequences of Globalisation in OIC Countries: A Comparative Analysis
    by M. Tariq Majeed

  • 2012 The Impact of Exchange Rate on Output Level: Bounds Testing Approach for Pakistan
    by Muhammad Nawaz

  • 2012 Were the Crises in Eurozone Countries Predictable?
    by Dapontas Dimitrios

  • 2012 The Features of the Romanian External Commercial Trades
    by Botescu Ion

  • 2012 Analysis of Banking Integration Degree in Romania
    by Marius-Corneliu Marinaº & Cristian Socol & Aura-Gabriela Socol

  • 2012 Linkages between Sectoral Output Growth and Financial Development in Nepal
    by Prof. Frank Westermann Ph.D.

  • 2012 Income Inequality, Tax Base and Sovereign Spreads
    by Joshua Aizenman & Yothin Jinjarak

  • 2012 Choques macroeconómicos al sector externo. Evidencia para la Argentina (1980-2011)/Macroeconomic Shocks to the External Sector. Evidence for Argentina (1980-2011)
    by LANTERI , LUIS N.

  • 2012 The Harberger-Laursen-Metzler Effect: Evidence from Pakistan
    by Tayyaba Idrees & Saira Tufail

  • 2012 Long-Term External Position and Equilibrium Real Exchange Rate in Colombia
    by Jair Ojeda & Jhon Torres

  • 2012 Determinants of Trade Misinvoicing
    by Ila Patnaik & Abhijit Sen Gupta & Ajay Shah

  • 2012 Military Threats and Growth: A Small Open Stochastic Growth Model
    by Cheng-Te Lee & Po-Sheng Lin

  • 2012 Globalization And Monetary-policy Independence In India
    by Biru Paksha Paul

  • 2012 The Saving-Investment Gap And Income Inequality:Evidence From 16 Countries
    by Mohsen Bahmani-Oskooee & Scott W. Hegerty & Harvey Wilmeth

  • 2012 The Impact Of Economic Reforms On Growth: A Case Study Of Bangladesh
    by Omar K M R Bashar & Habibullah Khan

  • 2012 A Reassessment of Pakistan's Aggregate Import Demand Function: An Application of Ardl Approach
    by Shaista Alam

  • 2012 Capital Flows, Maturity Mismatches, and Profitability in Emerging Markets: Evidence From Bank Level Data
    by Uluc Aysun

  • 2012 Comparing Savings Behavior in Asia and Latin America: The Role of Capital Inflows and Economic Growth
    by Marwan Abdul-Malik Thanoon & Ahmad Zubaidi Baharumshah

  • 2012 Assessing the Effects of Foreign Financial Shocks on the Chilean Economy
    by Francisco Cabezon

  • 2012 Global Banking and the Balance Sheet Channel of Monetary Transmission
    by Sami Alpanda & Uluc Aysun

  • 2012 Reserve Requirements for Price and Financial Stability: When Are They Effective?
    by Christian Glocker & Pascal Towbin

  • 2012 Tailwinds and Headwinds: How Does Growth in the BRICs Affect Inflation in the G-7?
    by Anna Lipínska & Stephen Millard

  • 2012 Is Exchange Rate Stabilization an Appropriate Cure for the Dutch Disease?
    by Ruy Lama & Juan Pablo Medina

  • 2012 Fundamentals of Equilibrium Real Exchange Rate
    by Juan Benítez & Gabriela Mordecki

  • 2012 China'S Economic Growth, Structural Change And The Lewisian Turning Point
    by FUKAO, KYOJI & YUAN, TANGJUN

  • 2012 House Price Forecasts, Forecaster Herding, and the Recent Crisis
    by Christian Pierdzioch & Jan Christoph Rülke & Georg Stadtmann

  • 2012 Doomsday for the Euro Area: Causes, Variants and Consequences of Breakup
    by Ansgar Belke & Florian Verheyen

  • 2012 Capital controls: a normative analysis
    by De Paoli, Bianca & Lipinska, Anna

  • 2012 The Subnational Penn Effect: Evidence from China
    by Huayi Yu & Xiang Tang & Rui Wu

  • 2012 Accounting for the ¡°Subnational Penn Effect¡±¡ªA General Theory of Regional and National Price Levels
    by Xiang Tang

  • 2012 Yeni Açık Ekonomi Makroiktisat Teorisi ve Para Politikasının Uluslararası Boyutları
    by Alpaslan AKÇORAOĞLU

  • 2012 Responses of Monetary Authorities in Emerging Economies to International Financial Crises: What Do We Really know?
    by Jean Pierre Allegret

  • 2012 The Policy Responses and Implications of the Global Financial Crisis in Asia: A Case Study for Malaysia
    by Goh Soo Khoon & Lim Mah Hui & Tan Yao Sua

  • 2012 El traspaso de movimientos del tipo de cambio a los precios. Un análisis para la economía mexicana
    by Capistrán, Carlos & Ibarra, Raúl & Ramos, Manuel

  • 2012 The impact of fiscal austerity in the Eurozone
    by Gennaro Zezza

  • 2012 Sources of economic fuctuations in France: A structural VAR model
    by Nabil Ben Arfa

  • 2012 The influence of Taylor rule deviations on the real exchange rate
    by Wilde, Wolfram

  • 2012 Exchange rate pass-through in deflation: The case of Taiwan
    by Lin, Po-Chun & Wu, Chung-Shu

  • 2012 Identifying aggregate supply and demand shocks in small open economies: Empirical evidence from African countries
    by Ahmad, A.H. & Pentecost, Eric J.

  • 2012 Technology shocks under varying degrees of financial openness
    by Cakici, S. Meral

  • 2012 Remittances and financial openness
    by Beine, Michel & Lodigiani, Elisabetta & Vermeulen, Robert

  • 2012 Boom–bust cycles and procyclical fiscal policy in a small open economy
    by Maravalle, Alessandro & Claeys, Peter

  • 2012 Reprint of: The dollar and the current account deficit: How much should we worry?
    by Mussa, Michael

  • 2012 Modelling oil price and exchange rate co-movements
    by Reboredo, Juan C.

  • 2012 Is openness inflationary? Policy commitment and imperfect competition
    by Evans, Richard W.

  • 2012 Labor market frictions and the international propagation mechanism
    by Patureau, Lise

  • 2012 Foreign reserve management during the global financial crisis
    by Dominguez, Kathryn M.E.

  • 2012 The impact of international portfolio composition on consumption risk sharing
    by Holinski, Nils & Kool, Clemens J.M. & Muysken, Joan

  • 2012 Has the euro affected the choice of invoicing currency?
    by Ligthart, Jenny E. & Werner, Sebastian E.V.

  • 2012 Mean reversion in long-horizon real exchange rates: Evidence from Latin America
    by Astorga, Pablo

  • 2012 International financial integration and national price levels: The role of the exchange rate regime
    by Hoffmann, Mathias & Tillmann, Peter

  • 2012 Thousands of models, one story: Current account imbalances in the global economy
    by Ca’ Zorzi, Michele & Chudik, Alexander & Dieppe, Alistair

  • 2012 Can enforcement constraints explain the patterns of capital flows after financial liberalizations?
    by Díaz, Julián P.

  • 2012 The effect of a common currency on the volatility of the extensive margin of trade
    by Auray, Stéphane & Eyquem, Aurélien & Poutineau, Jean-Christophe

  • 2012 Taylor rules and the Canadian–US equilibrium exchange rate
    by Berger, Tino & Kempa, Bernd

  • 2012 When does uncovered interest parity hold?
    by Moore, Michael J. & Roche, Maurice J.

  • 2012 Chronicle of currency collapses: Re examining the effects on output
    by Bussière, Matthieu & Saxena, Sweta C. & Tovar, Camilo E.

  • 2012 International welfare effects of monetary policy
    by Tervala, Juha

  • 2012 Financial friction in an emerging economy
    by Hwang, Yu-Ning

  • 2012 The global financial crisis: Explaining cross-country differences in the output impact
    by Berkmen, S. Pelin & Gelos, Gaston & Rennhack, Robert & Walsh, James P.

  • 2012 Current account imbalances and systemic risk within a monetary union
    by Angelini, Elisabetta Croci & Farina, Francesco

  • 2012 A new comparative approach to macroeconomic modeling and policy analysis
    by Wieland, Volker & Cwik, Tobias & Müller, Gernot J. & Schmidt, Sebastian & Wolters, Maik

  • 2012 Rational expectations, changing monetary policy rules, and real exchange rate dynamics
    by Chen, Shiu-Sheng & Chou, Yu-Hsi

  • 2012 Modelling the dynamics, structural breaks and the determinants of the real exchange rate of Australia
    by Chowdhury, Khorshed

  • 2012 Zone-quadratic preference, asymmetry and international reserve accretion in India: An empirical investigation
    by Srinivasan, Naveen & Kumar, Sudhanshu

  • 2012 International reserves and the global financial crisis
    by Dominguez, Kathryn M.E. & Hashimoto, Yuko & Ito, Takatoshi

  • 2012 Dollar illiquidity and central bank swap arrangements during the global financial crisis
    by Rose, Andrew K. & Spiegel, Mark M.

  • 2012 The financial crisis and the geography of wealth transfers
    by Gourinchas, Pierre-Olivier & Rey, Hélène & Truempler, Kai

  • 2012 Sovereign debt and corporate borrowing costs in emerging markets
    by Ağca, Şenay & Celasun, Oya

  • 2012 Decentralized borrowing and centralized default
    by Kim, Yun Jung & Zhang, Jing

  • 2012 The dynamic effects of a currency union on trade
    by Bergin, Paul R. & Lin, Ching-Yi

  • 2012 Capital liberalization and the US external imbalance
    by Prades, Elvira & Rabitsch, Katrin

  • 2012 Consumption and real exchange rates in professional forecasts
    by Devereux, Michael B. & Smith, Gregor W. & Yetman, James

  • 2012 Financial integration and international risk sharing
    by Bai, Yan & Zhang, Jing

  • 2012 Manufacturing restructuring and the role of real exchange rate shocks
    by Ekholm, Karolina & Moxnes, Andreas & Ulltveit-Moe, Karen Helene

  • 2012 Banking globalization and international business cycles: Cross-border chained credit contracts and financial accelerators
    by Ueda, Kozo

  • 2012 Switching to floating exchange rates, devaluations, and stock returns in MENA countries
    by Chortareas, Georgios & Cipollini, Andrea & Eissa, Mohamed Abdelaziz

  • 2012 The balance-of-payments constraint on economic growth in a long-term perspective: Spain, 1850–2000
    by Bajo-Rubio, Oscar

  • 2012 Measuring contagion between energy market and stock market during financial crisis: A copula approach
    by Wen, Xiaoqian & Wei, Yu & Huang, Dengshi

  • 2012 Estimating the demand for gasoline in developing countries: Senegal
    by Sene, Seydina Ousmane

  • 2012 Currency depreciations, financial transfers, and firm heterogeneity
    by Brei, Michael & Charpe, Matthieu

  • 2012 Resurrecting the weak credibility hypothesis in models of exchange-rate-based stabilization
    by Buffie, Edward F. & Atolia, Manoj

  • 2012 Net foreign assets, productivity and real exchange rates in constrained economies
    by Christopoulos, Dimitris K. & Gente, Karine & León-Ledesma, Miguel A.

  • 2012 Money market pressure in emerging economies: International contagion versus domestic determinants
    by Hegerty, Scott W.

  • 2012 Analysis of an unannounced foreign exchange regime change
    by Khemraj, Tarron & Pasha, Sukrishnalall

  • 2012 Financial openness, nontradable inflation and optimal monetary policy
    by Lartey, Emmanuel K.K.

  • 2012 The great synchronization of international trade collapse
    by Antonakakis, Nikolaos

  • 2012 Openness and inflation: New empirical panel data evidence
    by Jafari Samimi, Ahmad & Ghaderi, Saman & Hosseinzadeh, Ramezan & Nademi, Younes

  • 2012 Business cycle synchronization during US recessions since the beginning of the 1870s
    by Antonakakis, Nikolaos

  • 2012 Can producer currency pricing models generate volatile real exchange rates?
    by Povoledo, Laura

  • 2012 Exchange rate regime preferences of the international sector. Firm-level evidence
    by Fernández-Albertos, José

  • 2012 Business cycles through international shocks: A structural investigation
    by Yilmazkuday, Hakan

  • 2012 External deficits and non-performing loans in the recent financial crisis
    by Kauko, Karlo

  • 2012 Order flow in the South: Anatomy of the Brazilian FX market
    by Wu, Thomas

  • 2012 Trilemma policy convergence patterns and output volatility
    by Aizenman, Joshua & Ito, Hiro

  • 2012 The macro-financial factors behind the crisis: Global liquidity glut or global savings glut?
    by Bracke, Thierry & Fidora, Michael

  • 2012 Cross-section dependence and the monetary exchange rate model – A panel analysis
    by Beckmann, Joscha & Belke, Ansgar & Dobnik, Frauke

  • 2012 Monetary policy of a small open economy in the world production chain
    by Chu, Hsiao-Lei

  • 2012 Optimal monetary policy in a small open economy with inflation and output persistence
    by Rhee, Hyuk-jae & Turdaliev, Nurlan

  • 2012 Macroeconomic dynamics in Macedonia and Slovakia: Structural estimation and comparison
    by Melecky, Martin

  • 2012 Has Australia's floating exchange rate regime been optimal?
    by Makin, Anthony J. & Rohde, Nicholas

  • 2012 Structural reforms, fiscal consolidation and external rebalancing in monetary union: A model-based analysis
    by Vogel, Lukas

  • 2012 Simultaneity between export and import flows and the Marshall–Lerner condition
    by Sastre, Luis

  • 2012 Investment-specific shocks and real business cycles in emerging economies: Evidence from Brazil
    by Araújo, Eurilton

  • 2012 Macroeconomic consequences of increased productivity in less developed economies
    by Ali, Syed Zahid & Anwar, Sajid & Valadkhani, Abbas

  • 2012 The prospects of a monetary union in East Asia
    by Lee, Grace H.Y. & Koh, Sharon G.M.

  • 2012 Modeling income inequality and openness in the framework of Kuznets curve: New evidence from China
    by Jalil, Abdul

  • 2012 International Influences on the Australian Economy in the Interwar Years
    by Tom Valentine

  • 2012 International business cycles with complete markets
    by Dmitriev, Alexandre & Roberts, Ivan

  • 2012 Interest rate rules, endogenous cycles, and chaotic dynamics in open economies
    by Airaudo, Marco & Zanna, Luis-Felipe

  • 2012 Decreasing and increasing marginal impatience and the terms of trade in an interdependent world economy
    by Hirose, Ken-Ichi & Ikeda, Shinsuke

  • 2012 Currency substitution, inflation, and welfare
    by Özbilgin, Murat H.

  • 2012 Input-trade liberalization and firm export decisions: Evidence from Argentina
    by Bas, Maria

  • 2012 Structural breaks and the equilibrium real effective exchange rate of China: A NATREX approach
    by You, Kefei & Sarantis, Nicholas

  • 2012 Trade intensity and business cycle synchronization: East Asia versus Europe
    by Rana, Pradumna Bickram & Cheng, Tianyin & Chia, Wai-Mun

  • 2012 A reexamination of capital controls’ effectiveness: Recent experience of Thailand
    by Abhakorn, Pongrapeeporn & Tantisantiwong, Nongnuch

  • 2012 Eine gemeinsame Arbeitslosenversicherung für den Euroraum
    by Sebastian Dullien & Ferdinand Fichtner

  • 2012 Investigating structural differences of the Czech economy: Does asymmetry of shocks matter?
    by Pavel Herber & Daniel Němec

  • 2012 El impacto cambiario de la regla fiscal en Colombia
    by David Cano Ortiz

  • 2012 Determinantes de las exportaciones de manufacturas de Colombia a sus cinco principales socios comerciales, 1998-2009
    by Iader Giraldo Salazar

  • 2012 Posición externa de largo plazo y tipo de cambio real de equilibrio en Colombia
    by Ojeda Joya, Jair & Torres, Jhon Edwar

  • 2012 Globalización capitalista: mecanismos de regulación económica y política
    by William Ortiz Jiménez

  • 2012 Choques internacionales reales y financieros y su impacto sobre la economía colombiana
    by Juan José Echavarría & Andrés González & Enrique López & Norberto Rodríguez

  • 2012 Asimetrías del empleo y el producto, una aproximación de equilibrio general
    by Andrés González & Sergio Ocampo & Diego Rodríguez & Norberto Rodríguez

  • 2012 China-Brasil: industrialización y desindustrialización temprana""
    by Pierre Salama

  • 2012 Do tax cuts generate twin deficits? A multi-country analysis
    by Martin Boileau & Michel Normandin

  • 2012 Portfolio allocation and international risk sharing
    by Gianluca Benigno & Hande Küçük

  • 2012 Securitization of mortgage debt, domestic lending, and international risk sharing
    by Mathias Hoffmann & Thomas Nitschka

  • 2012 The international risk sharing puzzle is at business cycle and lower frequency
    by Giancarlo Corsetti & Luca Dedola & Francesca Viani

  • 2012 The Composition and Cyclical Behavior of Trade Flows in Emerging Economies
    by Reinout De Bock

  • 2012 Assessing the Financial Integration of Central and Eastern European Countries with the Euro Area: Evidence from Panel Data Cointegration Tests
    by Salem Boubakri & Cécile Couharde & Cyriac Guillaumin

  • 2012 Misalignment Under Different Exchange Rate Regimes: the Case of Turkey
    by Sengül Dagdeviren & Ayla Ogu? Binatli & Niloufer Sohrabji

  • 2012 Does price matter? The FMOLS and DOLS estimation of industrial countries tourists outbound to four ASEAN countries
    by Komkrit Wongkhae & Songsak Sriboonchitta & Kanchana Choketaworn & Chukiat Chaiboonsri

  • 2012 Les effets des politiques de quantitative easing sur le taux de change : les enseignements de l'expérience américaine
    by Michel Dupuy

  • 2012 Le retour des motifs mercantilistes dans la demande de réserves internationales des pays émergents
    by Anne-Laure Delatte & Julien Fouquau

  • 2012 Makroekonomické porovnanie štátov SNŠ - prípadová štúdia Ukrajina a Kazachstan
    by Leonid Raneta & Aisulu Kozhabayeva

  • 2012 Základné globálne nerovnováhy v súčasnej svetovej ekonomike
    by Chalotorn Sinproh

  • 2012 China - A Unique Image In A Globalized World
    by Ioana-Iulica MIHAI & Camelia CHIRILA

  • 2012 Business Cycle Synchronization Between Romania And The Euro Area. A Fresh Look In View Of The Recent Crisis
    by ALEXE Ileana & TATOMIR Cristina Flavia

  • 2012 The New Economy - A 360 Degree View
    by ANDREICA Marin & IOAN Ildiko & RADULESCU Carmen Valentina

  • 2012 Analysis Of Business Cycles Convergence In A Switching Regime View
    by ALUPOAIEI IANCU Alexie Ciprian

  • 2012 How integrated are the exchange markets of the Baltic Sea Region? An examination of market pressure and its contagion
    by Scott W. Hegerty

  • 2012 Current account imbalances in the euro area: competitiveness or demand shock?
    by G. Gaulier. & V. Vicard.

  • 2012 Taux de change d’équilibre et mesure de la compétitivité au sein de la zone euro
    by DURAND, C. & LOPEZ, C.

  • 2012 Évolution des déséquilibres courants dans la zone euro : choc de compétitivité ou choc de demande ?
    by GAULIER, G. & VICARD, V.

  • 2012 Choques internacionales reales y financieros y su impacto sobre la economía colombiana
    by Juan José Echavarría & Andrés González

  • 2012 Asimetrías del empleo y el producto, una aproximación de equilibrio general
    by Andrés González & Sergio Ocampo & Diego Rodríguez & Norberto Rodríguez

  • 2012 Cost Push Factors of Bulgarian Inflation
    by Stella Raleva

  • 2012 Effects Of International Trade On Employment: A Panel Data Analysis
    by Ekrem Gul & Ahmet Kamacı

  • 2012 EURO zone crisis and EU governance: Tackling a flawed design and inadequate policy arrangements
    by Daniel Dăianu

  • 2012 Current Account Sustainability of ECOWAS Countries
    by Yaya Sissoko & Niloufer Sohrabji

  • 2012 How Important Is Technology Capital for the United States?
    by Marek Kapička

  • 2012-13 Equilibrium exchange rate and competitiveness within the euro area
    by C. DURAND. & C. LOPEZ.

  • 2011 How Effective are Capital Controls in Asia?
    by Gochoco-Bautista,, Maria Socorro & Jongwanich, Juthathip & Lee, Jong-Wha

  • 2011 Inequality, the Crisis and After
    by Jean-Paul Fitoussi & Francesco Saraceno

  • 2011 Trade Flows, Financial Linkage, and Business Cycles in Latin America
    by Kandil, Magda

  • 2011 Exchange-Rate Regimes and the Effectiveness of Fiscal Policy
    by Karras, Georgios

  • 2011 An open economy new Keynesian macroeconomic model: The case of Turkey
    by Erhan YILDIRIM & Kenan LOPCU & Selim ÇAKMAKLI

  • 2011 Overvalued: Swedish monetary policy in the 1930s
    by Alexander Rathke & Tobias Straumann & Ulrich Woitek

  • 2011 Emerging from the war: Gold Standard mentality, current accounts and the international business cycle 1885-1939
    by Mathias Hoffmann & Ulrich Woitek

  • 2011 Fiscal adjustment in Greece: In search for sustainable public finances
    by van Aarle, Bas & Kappler, Marcus

  • 2011 Cross-section Dependence and the Monetary Exchange Rate Mode – A Panel Analysis
    by Beckmann, Joscha & Belke, Ansgar & Dobnik, Frauke

  • 2011 Oil Price Shocks and Cyclical Dynamics in an Asymmetric Monetary Union
    by Clausen, Volker & Wohltmann, Hans-Werner

  • 2011 On the Twin Deficits Hypothesis and the Import Propensity in Transition Countries
    by Gabrisch, Hubert

  • 2011 The international transmission of euro area monetary policy shocks
    by Jannsen, Nils & Klein, Melanie

  • 2011 Contagion effect of financial crisis on OECD stock markets
    by Kazi, Irfan Akbar & Guesmi, Khaled & Kaabia, Olfa

  • 2011 Monetary policy and unemployment in open economies
    by Engler, Philipp

  • 2011 The two-sided effect of financial globalization on output volatility
    by Meller, Barbara

  • 2011 How do credit supply shocks propagate internationally? A GVAR approach
    by Eickmeier, Sandra & Ng, Tim

  • 2011 Recent developments in quantitative models of sovereign default
    by Stähler, Nikolai

  • 2011 Kriza 2008-20XY: Populizam i puna zaposlenost kao sukobljeni ciljevi
    by Josip Tica

  • 2011 A New Open Economy Macroeconomic Model with Endogenous Portfolio Diversifi cation and Firms Entry
    by Marta Arespa

  • 2011 Globalisation versus Informality: Evidence from developing countries
    by PHAM Thi Hong Hanh

  • 2011 International Propagation of Financial Shocks in a Search and Matching Environment
    by Marlène Isoré

  • 2011 Impact of GDP volatility on current account balances
    by Michał Brzozowski & Sadananda Prusty

  • 2011 Growth Shocks and Portfolio Flows
    by Eylem Ersal Kiziler

  • 2011 Volatility and Persistence of Simulated DSGE Real Exchange Rates
    by Yamin Ahmad & Ming Chien Lo & Olena Mykhaylova

  • 2011 Dynamics, Structural Breaks and the Determinants of the Real Exchange Rate of Australia
    by Khorshed Chowdhury

  • 2011 Economic Integration, Inequality and Growth: Latin America vs. the European economies in transition
    by Giovanni Andrea Cornia

  • 2011 Las exportaciones uruguayas y el tipo de cambio real: un análisis sectorial a través de modelos VECM- 1993-2010
    by Alvaro Brunini & Gabriela Mordecki

  • 2011 Politique budgétaire et discipline budgétaire renforcée dans une union monétaire
    by Irem Zeyneloglu

  • 2011 Accounting for the economic relationship between Japan and the Asian Tigers
    by Hideaki Hirata & Keisuke Otsu

  • 2011 The Global Impact of Chinese Growth
    by Ippei Fujiwara & Keisuke Otsu & Masashi Saito

  • 2011 Driving Forces of the Swiss Output Gap
    by Stefan Leist

  • 2011 International Transmission of Medium-Term Technology Cycles: Evidence from Spain as a Recipient Country
    by Correa-López, Mónica & de Blas, Beatriz

  • 2011 World Technology Shocks and the Real Euro-Dollar Exchange Rate
    by Lambrias, Kyriacos

  • 2011 Learning by Devaluating: A Supply-Side Effect of Competitive Devaluation
    by Juha Tervala

  • 2011 International Welfare Effects of Monetary Policy
    by Juha Tervala

  • 2011 Public Infrastructure Investment, Output Dynamics, and Balanced Budget Fiscal Rules
    by Duarte Bom, P.R. & Ligthart, J.E.

  • 2011 The Dynamics of Revenue-Neutral Trade Liberalization
    by Ligthart, J.E. & van der Meijden, G.C.

  • 2011 Sovereigns, Upstream Capital Flows and Global Imbalances
    by Laura Alfaro & Sebnem Kalemli-Ozcan & Vadym Volosovych

  • 2011 Sovereign Default and the Stability of Inflation Targeting Regimes
    by Andreas Schabert & Sweder J.G. van Wijnbergen

  • 2011 Exchange Rate Policy under Sovereign Default Risk
    by Andreas Schabert

  • 2011 Fiscal policy and economic stability: Does PIGS stand for procyclicality in government spending?
    by Claeys Peter & Maravalle Alessandro

  • 2011 Global Imbalances, Current Account Rebalancing and Exchange Rate Adjustments
    by Yavuz Arslan & Mustafa Kilinc & M. Ibrahim Turhan

  • 2011 Remittances, Dutch Disease, and Competitiveness - A Bayesian Analysis
    by Mazhar Yasin MUGHAL & Farid MAKHLOUF

  • 2011 Exchange Rate Management in an Era of Global Financial Crises with special reference to Australia
    by J.W. Nevile & Peter Kriesler & Geoff Harcourt

  • 2011 Labour market adjustments in Estonia during the global crisis
    by Sandrine Levasseur

  • 2011 Global Imbalances and Imported Disinflation in the Euro Area
    by Jean Barthélemy & Guillaume Cléaud

  • 2011 Mark my Words: Information and the Fear of Declaring one’s Exchange Rate Regime
    by Pierre-Guillaume Méon & Geoffrey Minne

  • 2011 Financial Development and the Patterns of International Capital Flows
    by Jurgen von Hagen & Haiping Zhang

  • 2011 International Capital Flows and Aggregate Output
    by Jurgen von Hagen & Haiping Zhang

  • 2011 International Capital Flows with Limited Commitment and Incomplete Markets
    by Jurgen von Hagen & Haiping Zhang

  • 2011 Endogenous Entry, International Business Cycles, and Welfare
    by Stéphane Auray & Aurélien Eyquem

  • 2011 Ordering policy rules with an unconditionalwelfare measure
    by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan

  • 2011 Ordering Policy Rules with an Unconditional Welfare Measure
    by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan

  • 2011 Financial Integration in Emerging Asia: Challenges and Prospects
    by Park, Cyn-Young & Lee, Jong-Wha

  • 2011 Management of Exchange Rate Regimes in Emerging Asia
    by Rajan, Ramkishen

  • 2011 The Current State of Financial and Regulatory Frameworks in Asian Economies: The Case of India
    by Gupta, Abhijit Sen

  • 2011 The Effect of Exchange Rate Changes on Trade in East Asia
    by Thorbecke, Willem

  • 2011 A De Facto Asian-Currency Unit Bloc in East Asia: It Has Been There but We Did Not Look for It
    by Girardin, Eric

  • 2011 Dedollarization and financial robustness
    by Gondo, Rocio & Orrego, Fabrizio

  • 2011 Monetary Policy and Unemployment in Open Economies
    by Philipp Engler

  • 2011 The Risk Premium and Long-Run Global Imbalances
    by YiLi Chien & Kanda Naknoi

  • 2011 Fiscal Consolidation in a Small Euro Area Economy
    by Vanda Almeida & Gabriela Lopes de Castro & Ricardo Mourinho Félix & José R. Maria

  • 2011 The impact of the financial crisis on the global economy: Can the Islamic financial system help?
    by Trabelsi, Mohamed Ali

  • 2011 The Effects of Macroeconomic Policies in a Mercantilist Economy
    by Wang, Gaowang & Zou, Heng-fu

  • 2011 The role of exchange rate in Mongolia: A shock absorber or a source of shocks?
    by Doojav, Gan-Ochir

  • 2011 Accession to the WTO. Computable General Equilibrium Analysis: the Case of Ukraine
    by Eromenko, Igor

  • 2011 Sovereign Default and Capital Accumulation
    by Park, JungJae

  • 2011 Does financial development reduce the motivation to hoard foreign reserves?
    by Heng, Dyna

  • 2011 What Drives Some Countries to Hoard Foreign Reserves?
    by Heng, Dyna & Corbett, Jenny

  • 2011 Misalignment under different exchange rate regimes: the case of Turkey
    by Dağdeviren, Sengül & Ogus Binatli, Ayla & Sohrabji, Niloufer

  • 2011 A Growth Perspective on Foreign Reserve Accumulation
    by Cheng, Gong

  • 2011 Trade, Poverty and Employment: Empirical Evidence from Pakistan
    by Majeed, M Tariq

  • 2011 Trade, productivity, income, and profit: the comparative advantage of structural axiomatic analysis
    by Kakarot-Handtke, Egmont

  • 2011 The Real Exchange Rate and Real Interest Differentials: The Role of the Trend-Cycle Decomposition
    by Wada, Tatsuma

  • 2011 Some notes on the behavioral equilibrium exchange rate model
    by Zhang, Zhibai

  • 2011 The financial trilemma in China and a comparative analysis with India
    by Aizenman, Joshua & Sengupta, Rajeswari

  • 2011 Analysis of an unannounced foreign exchange regime change
    by Khemraj, Tarron & Pasha, Sukrishnalall

  • 2011 Borrowing constraints and the trade balance-output comovement
    by Zhao, Yan

  • 2011 Global Imbalances, Current Account Rebalancing and Exchange Rate Adjustments
    by Turhan, Ibrahim M. & Arslan, Yavuz & Kılınç, Mustafa

  • 2011 Eyes on Romania: what to look when investing here?
    by Tatomir, Cristina F. & Popovici, Oana

  • 2011 Structural Convergence of the Central and Eastern European Countries: Achivements in the Last Decade
    by Tatomir, Cristina F.

  • 2011 Turkey's trilemma trade-offs
    by Cortuk, Orcan & Singh, Nirvikar

  • 2011 Global imbalances and capital account openness: an empirical analysis
    by Saadaoui, Jamel

  • 2011 Finance and Inequality: How Does Globalization Change Their Relationship?
    by Kunieda, Takuma & Okada, Keisuke & Shibata, Akihisa

  • 2011 Collateral Constraints and Legal Protection of Lenders: A Macroeconomic Perspective
    by Kunieda, Takuma & Shibata, Akihisa

  • 2011 Too much of a good thing? on the effects of limiting foreign reserve accumulation
    by Yan, Isabel K. & Kumhof, Michael

  • 2011 Real Exchange Rates and Productivity: Evidence From Asia
    by Yan, Isabel K. & Kakkar, Vikas

  • 2011 Development of System Dynamic Model of Latvia’s Economic Integration in the EU
    by Skribans, Valerijs

  • 2011 Mercantilism, Foreign Asset Accumulation and Macroeconomic Policy
    by Wang, Gaowang & Zou, Heng-fu

  • 2011 Monetary sterilization and dual nominal anchors: some Caribbean examples
    by Khemraj, Tarron & Pasha, Sukrishnalall

  • 2011 The financial trilemma in China and a comparative analysis with India
    by Aizenman, Joshua & Sengupta, Rajeswari

  • 2011 Are Caribbean countries diverging or converging? evidence from spatial econometrics
    by CRAIGWELL, ROLAND & MAURIN, ALAIN

  • 2011 International investment positions and risk sharing: an empirical analysis on the coordinated portfolio investment survey
    by Pericoli, Filippo & Pierucci, Eleonora & Ventura, Luigi

  • 2011 Globalisation effect on inflation in the great moderation era: new evidence from G10 countries
    by Qin, Duo & He, Xinhua

  • 2011 An empirical model for the Turkish trade balance: new evidence from ARDL bounds testing analyses
    by Korap, Levent

  • 2011 Why transition economies did worse than others in 2008-09 recession?
    by Popov, Vladimir

  • 2011 The effects of real exchange rate misalignment and real exchange volatility on exports
    by Diallo, Ibrahima Amadou

  • 2011 Exchange rate arrangements and misalignments: contrasting words and deeds
    by Yougbaré, Lassana

  • 2011 The role of product variety and quality and of domestic supply in foreign trade
    by Athanasoglou, Panayiotis

  • 2011 Common factors of the exchange risk premium in emerging European markets
    by Byrne, Joseph P & Nagayasu, Jun

  • 2011 How applicable are the new keynesian DSGE models to a typical low-income economy?
    by Senbeta, Sisay

  • 2011 Is Malaysia exempted from impossible trinity: empirical evidence from 1991-2009
    by Lim, Ewe Ghee & Goh, SooKhoon

  • 2011 The effects of capital market openness on exchange rate pass-through and welfare in an inflation targeting small open economy
    by Mukherjee, Sanchita

  • 2011 Does the level of capital openness explain “fear of floating” amongst the inflation targeting countries?
    by Mukherjee, Sanchita

  • 2011 Averting Currency Crises: The Pros and Cons of Financial Openness
    by Gus, Garita & Chen, Zhou

  • 2011 A small open economy New Keynesian model for a foreign exchange constrained economy
    by Senbeta, Sisay

  • 2011 Divergent competitiveness in the eurozone and the optimum currency area theory
    by João Rebelo Barbosa & Rui Henrique Alves

  • 2011 The Dutch Disease in Australia Policy Options for a Three-Speed Economy
    by W. Max Corden

  • 2011 Inflation Persistence and Exchange Rate Regime: Implications for dynamic adjustment to shocks in a small open economy
    by Karlygash Kuralbayeva

  • 2011 Fiscal Policy Adjustment to Shocks in Commodity-Producing Countries
    by Karlygash Kuralbayeva

  • 2011 Aid and Dutch Disease in Sub-Saharan Africa
    by David Fielding & Fred Gibson

  • 2011 New Zealand: The Last Bastion of Textbook Open-Economy Macroeconomics
    by David Fielding

  • 2011 Global Imbalances: Trade Effects and Policy Challenges
    by Przemyslaw Kowalski & Molly Lesher

  • 2011 Understanding the Recent Surge in the Accumulation of International Reserves
    by Petar Vujanovic

  • 2011 Avro'nun Geleceğinin AB'nin Geleceği Üzerindeki (Olası) Etkileri - Possible Effects of the Euro’s Future on the EU’s Future
    by Aykut Kibritcioglu

  • 2011 Home Bias in Open Economy Financial Macroeconomics
    by Nicolas Coeurdacier & Hélène Rey

  • 2011 On Graduation from Fiscal Procyclicality
    by Jeffrey A. Frankel & Carlos A. Végh & Guillermo Vuletin

  • 2011 When Bonds Matter: Home Bias in Goods and Assets
    by Nicolas Coeurdacier & Pierre-Olivier Gourinchas

  • 2011 On the Connections between Intertemporal and Intra-temporal Trades
    by Jiandong Ju & Kang Shi & Shang-Jin Wei

  • 2011 A Forensic Analysis of Global Imbalances
    by Menzie D. Chinn & Barry Eichengreen & Hiro Ito

  • 2011 Traded and Nontraded Goods Prices, and International Risk Sharing: an Empirical Investigation
    by Giancarlo Corsetti & Luca Dedola & Francesca Viani

  • 2011 Fiscal Policy in Debt Constrained Economies
    by Mark A. Aguiar & Manuel Amador

  • 2011 Aggregate Hours Worked in OECD Countries: New Measurement and Implications for Business Cycles
    by Lee E. Ohanian & Andrea Raffo

  • 2011 Sovereigns, Upstream Capital Flows, and Global Imbalances
    by Laura Alfaro & Sebnem Kalemli-Ozcan & Vadym Volosovych

  • 2011 International Reserves and the Global Financial Crisis
    by Kathryn M.E. Dominguez & Yuko Hashimoto & Takatoshi Ito

  • 2011 Dollar Illiquidity and Central Bank Swap Arrangements During the Global Financial Crisis
    by Andrew K. Rose & Mark M. Spiegel

  • 2011 The Financial Crisis and The Geography of Wealth Transfers
    by Pierre-Olivier Gourinchas & Hélène Rey & Kai Truempler

  • 2011 External Adjustment and the Global Crisis
    by Philip R. Lane & Gian Maria Milesi Ferretti

  • 2011 Country Size, International Trade, and Aggregate Fluctuations in Granular Economies
    by Julian di Giovanni & Andrei A. Levchenko

  • 2011 Unemployment in Latin America and the Caribbean
    by Laurence M. Ball & Nicolás De Roux & Marc Hofstetter

  • 2011 House Price Booms and the Current Account
    by Klaus Adam & Pei Kuang & Albert Marcet

  • 2011 International Recessions
    by Fabrizio Perri & Vincenzo Quadrini

  • 2011 Risk, Monetary Policy and the Exchange Rate
    by Gianluca Benigno & Pierpaolo Benigno & Salvatore Nisticò

  • 2011 Sharing the Burden: Monetary and Fiscal Responses to a World Liquidity Trap
    by David Cook & Michael B. Devereux

  • 2011 Exchange Rates in Emerging Countries: Eleven Empirical Regularities from Latin America and East Asia
    by Sebastian Edwards

  • 2011 A Solution to Fiscal Procyclicality: The Structural Budget Institutions Pioneered by Chile
    by Jeffrey A. Frankel

  • 2011 Pegs and Pain
    by Stephanie Schmitt-Grohé & Martin Uríbe

  • 2011 Capital Controls: Myth and Reality - A Portfolio Balance Approach
    by Nicolas E. Magud & Carmen M. Reinhart & Kenneth S. Rogoff

  • 2011 International Risk Sharing in the Short Run and in the Long Run
    by Marianne Baxter

  • 2011 A Darwinian Perspective on "Exchange Rate Undervaluation"
    by Qingyuan Du & Shang-Jin Wei

  • 2011 Transition to FDI Openness: Reconciling Theory and Evidence
    by Ellen R. McGrattan

  • 2011 Financial Integration, Entrepreneurial Risk and Global Imbalances
    by George-Marios Angeletos & Vasia Panousi

  • 2011 Stochastic Growth in the United States and Euro Area
    by Peter N. Ireland

  • 2011 Conceptualizing interdependences between regulatory and monetary policies. Some preliminary considerations
    by Lukasz Hardt

  • 2011 Financial frictions and optimal monetary policy in an open economy
    by Marcin Kolasa & Giovanni Lombardo

  • 2011 Competitiveness channel in Poland and Slovakia: a pre-EMU DSGE analysis
    by Andrzej Toroj

  • 2011 Foreign Output Shocks and Monetary Policy Regimes in Small Open Economies: A DSGE Evaluation of East Asia
    by Joseph D. ALBA & Wai–Mun CHIA & Donghyun PARK

  • 2011 On the Individual Optimality of Economic Integration
    by CASTRO, Rui & KOUMTINGUÉ, Nelnan

  • 2011 On the Individual Optimality of Economic Integration
    by CASTRO, Rui & KOUMTINGUÉ, Nelnan

  • 2011 Business Cycle Similarity Measuring in the Eurozone Member and Candidate Countries: an Alternative Approach
    by Petr Rozmahel & Nikola Najman

  • 2011 Organizational Capital and the International Co-movement of Investment
    by Alok Johri & Marc-Andre Letendre & Daqing Luo

  • 2011 International Financial Integration and National Price Levels: The Role of the Exchange Rate Regime
    by Mathias Hoffmann & Peter Tillmann

  • 2011 Fiscal Policy and External Adjustment: New Evidence
    by Hafedh Bouakez & Foued Chihi & Michel Normandin

  • 2011 The Harrod-Balassa-Samuelson effect and endogenous extensive margins
    by Masashige Hamano

  • 2011 Housing and Banking in a Small Open Economy DSGE Model
    by Viktors Ajevskis & Kristine Vitola

  • 2011 Fixed Exchange Rate Versus Inflation Targeting: Evidence from DSGE Modelling
    by Viktors Ajevskis & Kristine Vitola

  • 2011 Can Portugal Escape Stagnation without Opting Out from the Eurozone?
    by Pedro Leao & Alfonso Palacio-Vera

  • 2011 Capital Controls with International Reserve Accumulation: Can this Be Optimal ?
    by Philippe Bacchetta & Kenza Benhima & Yannick Kalantzis

  • 2011 Un Marco para el Análisis de los Procesos Macroeconómicos en la obra de Prebisch
    by Martín Guzmán & Martín Fiszbein

  • 2011 Global Liquidity Trap
    by Ippei Fujiwara & Tomoyuki Nakajima & Nao Sudo & Yuki Teranishi

  • 2011 Search Frictions, Financial Frictions and Labor Market Fluctuations in Emerging Economies
    by Sumru Altug & Serdar Kabaca & Meltem Poyraz

  • 2011 Default Risk Premium and Aggregate Fluctuations in a Small Open Economy
    by S. Meral Cakici

  • 2011 Labor Share Fluctuations in Emerging Markets: The Role of the Cost of Borrowing
    by Serdar Kabaca

  • 2011 Emerging Market Business Cycles Revisited: Learning about the Trend
    by Emine Boz & Christian Daude & C. Bora Durdu

  • 2011 Optimal Government Spending Reversal in a Small Open Economy
    by Shigeto Kitano & Kenya Takaku

  • 2011 Predetermined Exchange Rate, Monetary Targeting, and Inflation Targeting Regimes
    by Shigeto Kitano

  • 2011 The impact of oil prices, real effective exchange rate and inflation on economic activity: Novel evidence for Vietnam
    by Le Viet Trung & Nguyen Thi Thuy Vinh

  • 2011 Characterizing the Business Cycles of Emerging Economies
    by César Calderón & Rodrigo Fuentes.

  • 2011 The World Has More Than Two Countries: Implications of Multi- Country International Real Business Cycle Models
    by Hirokazu Ishise

  • 2011 The Dynamics of Ireland?s Net External Position
    by Philip R. Lane

  • 2011 Terms of Trade in the Medium-run
    by Vahagn Galstyan

  • 2011 External Imbalances and Macroeconomic Policy in New Zealand
    by Philip R. Lane

  • 2011 Bilateral Portfolio Dynamics During the Global Financial Crisis
    by Vahagn Galstyan & Philip Lane

  • 2011 Capital Controls: Myth and Reality--A Portfolio Balance Approach
    by Nicolas E. & Carmen M. & Kenneth S. Rogoff

  • 2011 The Real Exchange Rate, Real Interest Rates, and the Risk Premium
    by Engel, Charles

  • 2011 The Dynamics of Deposit Euroization in European Post-transition Countries: Evidence from Threshold VAR
    by Marina Tkalec

  • 2011 How Will the Food Price Shock Affect Inflation in Latin America and the Caribbean?
    by Eduardo Lora & Andrew Powell & Pilar Tavella

  • 2011 Financial Crises and Macro-Prudential Policies
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric Young

  • 2011 Financial Crises and Macro-Prudential Policies
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2011 China in the World Economy: Dynamic Correlation Analysis of Business Cycles
    by Jarko, Fidrmuc & Iikka, Korhonen & Ivana, Bátorová

  • 2011 The Effects of Trade on Unemployment: Evidence from 20 OECD countries
    by Kim, Jaewon

  • 2011 Housing Prices and the Business Cycle: An Empirical Application to Hong Kong
    by Michael Funke & Michael Paetz

  • 2011 Shifts in exchange rate regime and inflation persistence in Vietnam, 1992-2010
    by Tran-Phuc Nguyen & DT Nguyen & Jen Je Su & Tarlok Singh

  • 2011 Ordering policy rules with an unconditional welfare measure
    by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan

  • 2011 Trade in secured debt, adjustment in haircuts and international portfolios
    by Tommaso Trani

  • 2011 Country Portfolios with Imperfect Corporate Governance
    by Rahul Mukherjee

  • 2011 Symmetry of External Shock responses within the Andean Community of Nations: A SVAR Approach
    by Andrea Gabriela Bonilla Bolaños

  • 2011 Government Spending, Monetary Policy, and the Real Exchange Rate
    by Hafedh Bouakez & Aurélien Eyquem

  • 2011 A Tale of Tax Policies in Open Economies
    by Stéphane Auray & Aurélien Eyquem & Paul Gomme

  • 2011 Monetary Policy and the Dutch Disease in a Small Open Oil Exporting Economy
    by Mohamed Tahar Benkhodja

  • 2011 Inflation Targeting, Exchange Rate and Financial Globalization
    by Muhammad Naveed Tahir

  • 2011 Ramsey Policies in a Small Open Economy with Sticky Prices and Capital
    by Stéphane Auray & Beatriz de Blas & Aurélien Eyquem

  • 2011 The natural rate of interest in a small open economy
    by Fernando de Holanda Barbosa

  • 2011 Oil Shocks through International Transport Costs: Evidence from U.S. Business Cycles
    by Hakan Yilmazkuday

  • 2011 Exchange rate pass-through: evidence based on vector autoregression with sign restrictions
    by An, Lian & Wang, Jian

  • 2011 Thousands of models, one story: current account imbalances in the global economy
    by Zorzi, Michele Ca' & Chudik, Alexander & Dieppe, Alistair

  • 2011 The Natural Rate of Interest in a Small Open Economy
    by Fernando de Holanda Barbosa

  • 2011 labour markets adjustments in Estonia during the global crisis
    by Sandrine Levasseur &

  • 2011 Impact of Institutions on Cross-Border Price Dispersion
    by Jiøí Schwarz

  • 2011 The International Risk-Sharing Puzzle is at Business Cycle and Lower Frequency
    by Giancarlo Corsetti & Luca Dedola & Francesca Viani

  • 2011 Structural reforms and external rebalancing in the euro area: a model-based analysis
    by Lukas Vogel

  • 2011 Investment and interest rate policy in the open economy
    by Stephen McKnight

  • 2011 Real indeterminacy and the timing of money in open economies
    by Stephen McKnight

  • 2011 El papel de la tasa de interés real en el ciclo económico de México
    by Arturo Antón-Sarabia & Alan Villegas

  • 2011 Business cycles in a small open economy: The case of Hong Kong
    by Echeverria Garaigorta, Paulina Elisa & Iza Padilla, María Amaya

  • 2011 Factor proportions and international business cycles
    by Keyu Jin & Nan Li

  • 2011 Credit constraints and growth in a global economy
    by Keyu Jin & Stéphane Guibaud & Nicolas Coeurdacier

  • 2011 Study the relation between monetary and exchange rate policy: The case of Belarus
    by Miksjuk Alexei

  • 2011 Has the Euro Affected the Choice of Invoicing Currency?
    by Jenny E. Ligthart & Sebastian E. V. Werner

  • 2011 A Lesson from the South for Fiscal Policy in the US and Other Advanced Countries
    by Frankel, Jeffrey A.

  • 2011 Monetary Policy in Emerging Markets: A Survey
    by Frankel, Jeffrey

  • 2011 A Solution to Overoptimistic Forecasts and Fiscal Procyclicality: The Structural Budget Institutions Pioneered by Chile
    by Frankel, Jeffrey

  • 2011 The Effect of Exchange Rate Changes on Trade in East Asia
    by Willem Thorbecke

  • 2011 A De Facto Asian-Currency Unit Bloc in East Asia : It Has Been There but We Did Not Look for It
    by Eric Girardin

  • 2011 The Effect of Exchange Rate Changes on Trade in East Asia
    by Willem Thorbecke

  • 2011 Management of Exchange Rate Regimes in Emerging Asia
    by Ramkishen S. Rajan

  • 2011 A De Facto Asian-Currency Unit Bloc in East Asia : It Has Been There but We Did Not Look for It
    by Eric Girardin

  • 2011 The Current State of Financial and Regulatory Frameworks in Asian Economies : The Case of India
    by Abhijit Sen Gupta

  • 2011 Management of Exchange Rate Regimes in Emerging Asia
    by Ramkishen S. Rajan

  • 2011 A De Facto Asian-Currency Unit Bloc in East Asia : It Has Been There but We Did Not Look for It
    by Eric Girardin

  • 2011 The Effect of Exchange Rate Changes on Trade in East Asia
    by Willem Thorbecke

  • 2011 The Current State of Financial and Regulatory Frameworks in Asian Economies : The Case of India
    by Abhijit Sen Gupta

  • 2011 On price convergence in Eurozone
    by David Guerreiro & Valérie Mignon

  • 2011 International Diversification During the Financial Crisis: A Blessing for Equity Investors?
    by Robert Vermeulen

  • 2011 Remittances and Financial Openness
    by Michel Beine & Elisabetta Lodigiani & Robert Vermeulen

  • 2011 Price dispersion in Europe: Does the business cycle matter?
    by Marco Hoeberichts & Ad Stokman

  • 2011 Financial-Sector Shocks in a Credit-View Model
    by Burton A. Abrams

  • 2011 Financial Integration and Macroeconomic Stability: What Role for Large Banks?
    by Franziska Bremus

  • 2011 Cross-Section Dependence and the Monetary Exchange Rate Model: A Panel Analysis
    by Joscha Beckmann & Ansgar Belke & Frauke Dobnik

  • 2011 A World Macro Saving Fact and an Explanation
    by Ray C. Fair

  • 2011 Essays on a positive theory of economic growth
    by Heng-fu Zou

  • 2011 Foreign Asset Accumulation, Macroeconomic Policies and Mercantilism
    by Gaowang Wang & Heng-fu Zou

  • 2011 Fiscal Shocks in a Two-Sector Open Economy
    by Olivier CARDI & Romain RESTOUT

  • 2011 A Tale of Tax Policies in Open Economies
    by Stephane Auray & Aureline Eyquem & Paul Gomme

  • 2011 How Do Credit Supply Shocks Propagate Internationally? A GVAR approach
    by Eickmeier, Sandra & Ng, Tim

  • 2011 When Bonds Matter: Home Bias in Goods and Assets
    by Coeurdacier, Nicolas & Gourinchas, Pierre-Olivier

  • 2011 Sovereigns, Upstream Capital Flows, and Global Imbalances
    by Alfaro, Laura & Kalemli-Ozcan, Sebnem & Volosovych, Vadym

  • 2011 How Big are the Gains from International Financial Integration?
    by Hoxha, Indrit & Kalemli-Ozcan, Sebnem & Vollrath, Dietrich

  • 2011 Traded and nontraded goods prices, and international risk sharing: an empirical investigation
    by Corsetti, Giancarlo & Dedola, Luca & Viani, Francesca

  • 2011 Dollar Illiquidity and Central Bank Swap Arrangements During the Global Financial Crisis
    by Rose, Andrew K & Spiegel, Mark

  • 2011 Spillovers from the Euro Area Sovereign Debt Crisis: A Macroeconometric Model Based Analysis
    by Bayoumi, Tamim & Vitek, Francis

  • 2011 International Capital Flows and Aggregate Output
    by von Hagen, Jürgen & Zhang, Haiping

  • 2011 The International Risk-Sharing Puzzle is at Business Cycle and Lower Frequency
    by Corsetti, Giancarlo & Dedola, Luca & Viani, Francesca

  • 2011 Business Cycle Synchronization Since 1880
    by Artis, Michael J & Chouliarakis, George & Harischandra, PKG

  • 2011 Pegs and Pain
    by Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2011 Carry Trades, Monetary Policy and Speculative Dynamics
    by Plantin, Guillaume & Shin, Hyun Song

  • 2011 Floats, pegs and the transmission of fiscal policy
    by Corsetti, Giancarlo & Kuester, Keith & Müller, Gernot

  • 2011 Financial Crisis and Macro-Prudential Policies
    by Benigno, Gianluca & Chen, Huigang & Otrok, Christopher & Rebucci, Alessandro & Young, Eric R

  • 2011 Taking Perturbation to the Accuracy Frontier: A Hybrid of Local and Global Solutions
    by Maliar, Lilia & Maliar, Serguei & Villemot, Sébastien

  • 2011 Will ageing lead to a higher real exchange rate for the Netherlands?
    by Casper van Ewijk & Maikel Volkerink

  • 2011 Normas de cuenta corriente y tasa de cambio real de equilibrio en Colombia
    by Carolina Arteaga & Roderick Luna & Jair Ojeda-Joya

  • 2011 Asimetrías del empleo y el producto, una aproximación de equilibrio general
    by Andrés González & Sergio Ocampo & Diego Rodríguez & Norberto Rodríguez

  • 2011 Monetary Policy and the Exchange Rate in Colombia
    by Hernando Vargas Herrera

  • 2011 Policy Analysis Tool Applied to Colombian Needs: PATACON Model Description
    by Andrés González & Lavan Mahadeva & Juan D. Prada & Diego Rodríguez

  • 2011 Labor, Output and Consumption in Business Cycle Models of Emerging Economies: A Comment
    by Andrés Fernández & Felipe Meza

  • 2011 "Tropical" Real Business Cycles? A Bayesian Exploration
    by Andrés Fernández

  • 2011 Unemployment in Latin America and the Caribbean
    by Laurence Ball & Nicolás De Roux & Marc Hofstetter

  • 2011 EMU, EU, Market Integration and Consumption Smoothing
    by Atanas Christev & Jacques Melitz

  • 2011 Financial Frictions and Total Factor Productivity: Accounting for the Real Effects of Financial Crises
    by Sangeeta Pratap & Carlos Urrutia

  • 2011 A Solution to Fiscal Procyclicality: The Structural Budget Institutions Pioneered by Chile
    by Jeffrey Frankel

  • 2011 Monetary Policy in Emerging Markets: A Survey
    by Jeffrey Frankel

  • 2011 Optimal Capital Controls and Real Exchange Rate Policies: A Pecuniary Externality Perspective
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2011 Optimal Control and Resources
    by Micahel Caputo

  • 2011 Global banking and the balance sheet channel of monetary transmission
    by Uluc Aysun & Sami Alpanda

  • 2011 Financial Frictions and the Credit Channel of Monetary Transmission
    by Uluc Aysun & Ryan Brady & Adam Honig

  • 2011 Overvalued: Swedish Monetary Policy in the 1930s
    by Alexander Rathke & Tobias Straumann & Ulrich Woitek

  • 2011 Exchange Rate Misalingment Estimates - Sources of Differences
    by Yin-Wong Cheung & Eiji Fujii

  • 2011 Unemployment and Debt Dynamics in a Highly Indebted Small Open Economy
    by Burkhard Heer & Stefan Franz Schubert

  • 2011 Factor Proportions and International Business Cycles
    by Keyu Jin & Nan Li

  • 2011 House Price Booms and the Current Account
    by Klaus Adam & Pei Kuang & Albert Marcet

  • 2011 Portfolio Allocation and International Risk Sharing
    by Gianluca Benigno & Hande Küçük-Tuger

  • 2011 Challenges for the dollar as a reserve currency
    by Gianluca Benigno

  • 2011 Os mecanismos de funcionamento do “Padrão Ouro”: uma visão crítica
    by Cláudio Gontijo

  • 2011 An Empirical Analysis of Current Account Determinants in Emerging Asian Economies
    by Yang, Lucun

  • 2011 The Timeless Perspective vs. Discretion: Theory and Monetary Policy Implications for an Open Economy
    by Alfred Guender

  • 2011 Reverse FDI in Europe: An Analysis of Angola’s FDI in Portugal
    by Carlos Barros & Bruno Damásio & João Faria

  • 2011 The Balassa-Samuelson Effect Reversed: New Evidence from OECD Countries
    by Matthias Gubler & Christoph Sax

  • 2011 The role of product variety and quality and of domestic supply in foreign trade
    by Panayiotis P. Athanasoglou

  • 2011 China's macroeconomic imbalances : causes and consequences
    by Knight, John & Wang, Wei

  • 2011 Global rebalancing: the macroeconomic impact on the United Kingdom
    by Haberis, Alex & Markovic, Bojan & Mayhew, Karen & Zabczyk, Pawel

  • 2011 The world is not enough! Small open economies and regional dependence
    by Knut Are Aastveit & Hilde C. Bjørnland & Leif Anders Thorsrud

  • 2011 The world is not enough! Small open economies and regional dependence
    by Knut Are Aastveit & Hilde C. Bjørnland & Leif Anders Thorsrud

  • 2011 Aplicación de un Modelo de Real Business Cycle para la economía uruguaya
    by Helena Rodríguez & Ina Tiscordio

  • 2011 Global Imbalances and Imported Disinflation in the Euro Area
    by Barthélemy, J. & Cléaud, G.

  • 2011 Policy Response to External Shocks: Lessons from the Crisis
    by Carlos Capistrán & Gabriel Cuadra & Manuel Ramos Francia

  • 2011 Exchange Rate Pass-Through to Prices: Evidence from Mexico
    by Carlos Capistrán & Raúl Ibarra-Ramírez & Manuel Ramos Francia

  • 2011 The welfare effect of foreign monetary conservatism with non-atomistic wage setters
    by Vincenzo Cuciniello

  • 2011 Which Households Use Banks? Evidence from the Transition Economies
    by Thorsten Beck & Martin Brown

  • 2011 The Impact of the Global Business Cycle on Small Open Economies: A FAVAR Approach for Canada
    by Garima Vasishtha & Philipp Maier

  • 2011 External Stability, Real Exchange Rate Adjustment and the Exchange Rate Regime in Emerging-Market Economies
    by Olivier Gervais & Lawrence Schembri & Lena Suchanek

  • 2011 International transmission of medium-term technology cycles: Evidence from Spain as a recipient country
    by Monica Correa Lopez & Beatriz De Blas

  • 2011 Effects of a Free Trade Agreement on the Exchange Rate Pass-Through to Import Prices
    by Arnoldo Lopez Marmolejo

  • 2011 Are Wages Equal Across Sectors of Production? A Panel Data Analysis for Tradable and Non-Tradable Goods
    by Achim Schmillen

  • 2011 How applicable are the new Keynesian DSGE models to a typical low-income economy?
    by SENBATA, Sisay Regassa

  • 2011 A small open economy new Keynesian DSGE model for a foreign exchange constrained economy
    by SENBETA, Sisay Regassa

  • 2011 Sustainability of external imbalances in the OECD countries
    by Oscar Bajo-Rubio & Carmen Díaz-Roldán & Vicente Esteve

  • 2011 Do exports cause growth? Some evidence for the new EU members
    by Oscar Bajo-Rubio & Carmen Díaz-Roldán

  • 2011 Economic growth and the balance-ofpayments constraint: The case of the Spanish regions, 1988-2008
    by Oscar Bajo-Rubio & Carmen Díaz-Roldán

  • 2011 The Euro Area Ten Years after Its Creation: (Divergent) Competitiveness and the Optimum Currency Area Theory
    by João Rebelo Barbosa & Rui Henrique Alves

  • 2011 Linguistic Globalization Consequence Of Economic Globalization
    by Camelia FIRICÄ‚ & Jean FIRICÄ‚

  • 2011 On Reserve Hoarding In Emes: The Case Of Turkey
    by Ä°mre ERSOY

  • 2011 Financial And Current Account Interrelationship: An Empirical Test
    by Evan LAU & Nelson FU

  • 2011 Credit Risk Tools: An Overview
    by Francesco P. Esposito

  • 2011 Portfolio Investments In The Selected European Transition Economies
    by Ludmila Bartókova

  • 2011 Effects Of Fdi In The European Transition Economies
    by Júlia ÏURÈOVÁ & Rajmund MIRDALA

  • 2011 Securitization As a Factor Of Economic Integration
    by Divvio GALLEGOS-PANIAGUA & José G. VARGAS-HERNÁNDEZ

  • 2011 Reel Döviz Kuru İstihdam İlişkisi: Türkiye İmalat Sanayi Örneği
    by Nilgün ACAR BALAYLAR

  • 2011 Post-keynésiens et régulationnistes :Une alternative à la crise de l’économie standard ?
    by Boyer, Robert

  • 2011 Country Risk Importance on Investment Decision Making
    by Elena Mihaela ILIESCU & Felicia Alina DINU

  • 2011 Approaching Economic Issues through Epidemiology–An Introduction to Business Epidemiology
    by Bolos, Bradut & Bacarea, Vladimir & Marusteri, Marius

  • 2011 The Economic Recovery In The Central And Eastern European Eu Countries
    by GURGU, Elena

  • 2011 Políticas de Demanda, Choques Externos y Regímenes de Tipo de Cambio: un Análisis Formal
    by Liquitaya Briceño, José

  • 2011 “India in the Outsourcing/Offshoring Process: A Western Perspective” - L’India nel processo di outsourcing/offshoring: un punto di vista occidentale
    by Beretta, Silvio & Targetti Lenti, Renata

  • 2011 Decomposition into Tradables and Nontradables and the Purchasing Power Parity (PPP) Hypothesis of the Real Won-dollar Exchange Rate
    by Ryu , Deockhyun & Ko , Heechae

  • 2011 Changes in China's Influence on Korean Exports by Production Phase
    by Kim, Wanjoong

  • 2011 Trade Openness and Real Exchange Rate: Some Evidence from Pakistan
    by Muhammad Zakaria & Ahmed Bilal Ghauri

  • 2011 Accounting for Output Drops in Latin America
    by Ruy Lama

  • 2011 Modeling News-Driven International Business Cycles
    by Paul Beaudry & Martial Dupaigne & Franck Portier

  • 2011 Investment Specific Technology Shocks and International Business Cycles: An Empirical Assessment
    by Federico Mandelman & Pau Rabanal & Juan Francisco Rubio-Ramirez & Diego Vilan

  • 2011 Cyclical Wage Movements in Emerging Markets Compared to Developed Economies: the Role of Interest Rates
    by Nan Li

  • 2011 Gains from Trade and Measured Total Factor Productivity
    by Pedro Cavalcanti Ferreira & Alberto Trejos

  • 2011 Estimación bayesiana de unmodelo de pequeña economía abierta con dolarización parcial
    by Salas, Jorge

  • 2011 La formulación de políticas desde una perspectiva macroprudencial en economías emergentes
    by Moreno, Ramón

  • 2011 Los mecanismos de transmisión de la política monetaria en Perú
    by Castillo, Paul & Pérez, Fernando & Tuesta, Vicente

  • 2011 The Current Account Dynamics in Pakistan: An Intertemporal Optimisation Perspective
    by Tahir Mukhtar & Aliya H. Khan

  • 2011 Has the Euro Boosted Intra-Euro Area Exports? Evidence from Industry Data
    by Gavin Murphy & Iulia Siedschlaga

  • 2011 Economic Integration, Inequality and Growth: Latin America Versus the European Economies in Transition
    by Giovanni Andrea Cornia

  • 2011 Adam Smith’s conceptual contributions to international economics:Based on the Wealth of Nations
    by Ismail Kucukaksoy

  • 2011 Country Risk - an Externality of the Globalization Process
    by Iovitu Mariana & Iliescu Elena Mihaela

  • 2011 The Impact Of The Crisis On The Quality Of Life And Solutions To Reduce The Crisis Effects. Case Study: Romania
    by Mester Liana & Bugnar Nicoleta & Fora Andreea

  • 2011 Políticas comercial e cambial, vulnerabilidade externa e crescimento econômico: a experiência da economia brasileira a partir dos anos 1980 [Trade and exchange rate policies, external vulnerability and economic growth: the experience of the Brazilian economy beginning in the 1980s]
    by Fernando Ferrari Filho & Gustavo Teixeira Ferreira da Silva & Samira Schatzmann

  • 2011 The NNP and Sustainability in Open Economy: Highlights on Recent World Economy and on Open Economy of Bangladesh
    by Haradhan Kumar Mohajan

  • 2011 An Empirical Model for the Turkish Trade Balance: New Evidence from ARDL Bounds Testing Analyses
    by H. Bayram Irhan & Nur Dilbaz Alacahan & Levent Korap

  • 2011 Los efectos de la política fiscal y el producto externo en una economía emergente abierta al exterior
    by Rodríguez-Arana, Alejandro.

  • 2011 Crecimiento económico y restricción externa del Ecuador 1970-2008
    by Ochoa-Jiménez, Diego & Ordóñez-Ordóñez, Jenny M. & Loaiza-Peña, Andrea

  • 2011 Some challenging (macro)economic aspects of FDI in Romania
    by Gheorghe ZAMAN & Valentina VASILE & Mirela MATEI & Carmen CROITORU & George ENESCU

  • 2011 Fluctuaciones del Tipo de Cambio Real y Transabilidad de Bienes en el Comercio Bilateral Chile- Estados Unidos
    by Andres Sanger T.

  • 2011 Did Easy Money in the Dollar Bloc Fuel the Oil Price Run-Up?
    by Christopher Erceg & Luca Guerrieri & Steven B. Kamin

  • 2011 The Effects of Housing Prices and Monetary Policy in a Currency Union
    by Oriol Aspachs-Bracons & Pau Rabanal

  • 2011 ¿Condiciona la apertura exterior el tamaño del sector público? Un panorama
    by Estela Sáenz Rodríguez & Marcela Sabaté Sort & Mª. Dolores Gadea Rivas

  • 2011 Global Reserve Currency System: Why Will the Dollar Standard Give Way to a Tripolar Currency Order?
    by Vivekanand Jayakumar & Barbara Weiss

  • 2011 An Announced Regime Switch: Optimal Policy for the Transition Period
    by František Brázdik

  • 2011 The Determinants of Financial Euroization in a Post-Transition Country: Do Threshold Effects Matter?
    by Marijana Ivanov & Marina Tkalec & Maruška Vizek

  • 2011 The New Keynesian Phillips Curve: In Search of Improvements for Adaptation to the Turkish Economy
    by Ayşegül ERUYGUR

  • 2011 Has the Accession of Greece in the EU Influenced the Dynamics of the Country’s “Twin Deficits”? An Empirical Investigation
    by Katrakilidis Constantinos & Trachanas Emmanouil

  • 2011 Are the Mexican States and the United States Business Cycles Synchronized? Evidence from the Manufacturing Production
    by Pablo Mejía-Reyes & Jeanett Campos-Chávez

  • 2011 External Shocks and Sources of Macroeconomic Fluctuation: A SVEC Model based proposal for Argentina’s Economy
    by Luis N. Lanteri

  • 2011 International capital movements, speculation, and the 'conservation of saving' principle. A 'Harcourtian' interpretation of global imbalances and the global crisis
    by Lilia Costabile

  • 2011 Turkiye Ekonomisinde Verimlilik, Ihracat ve Ithalat Arasindaki Nedensellik Iliskisinin Analizi
    by Harun UCAK & Ibrahim ARISOY

  • 2011 An assessment of another decade of capital controls in Colombia: 1998–2008
    by Concha, Alvaro & Galindo, Arturo José & Vasquez, Diego

  • 2011 Identifying shocks in regionally integrated East Asian economies with structural VAR and block exogeneity
    by Sato, Kiyotaka & Zhang, Zhaoyong & McAleer, Michael

  • 2011 Home bias, distribution services and determinants of real exchange rates
    by Chaban, Maxym

  • 2011 Capital controls and welfare
    by Kitano, Shigeto

  • 2011 Organizational capital and the international co-movement of investment
    by Johri, Alok & Letendre, Marc-André & Luo, Daqing

  • 2011 Inventories and optimal monetary policy in a small open economy
    by Teo, Wing Leong

  • 2011 How much should inflation targeters care about the exchange rate?
    by Garcia, Carlos J. & Restrepo, Jorge E. & Roger, Scott

  • 2011 Real exchange rate dynamics revisited: A case with financial market imperfections
    by Fujiwara, Ippei & Teranishi, Yuki

  • 2011 Real exchange rate dynamics: The role of elastic labor supply
    by Mahbub Morshed, A.K.M. & Turnovsky, Stephen J.

  • 2011 Financial integration and business cycles in a small open economy
    by Cakici, S. Meral

  • 2011 International real business cycles with endogenous markup variability
    by Davis, J. Scott & Huang, Kevin X.D.

  • 2011 The yield curve in a small open economy
    by Kulish, Mariano & Rees, Daniel

  • 2011 Habit formation and fiscal transmission in open economies
    by Cardi, Olivier & Müller, Gernot J.

  • 2011 Valuation effects with transitory and trend productivity shocks
    by Nguyen, Ha

  • 2011 Monetary autonomy in emerging market economies: The role of foreign reserves
    by Taguchi, Hiroyuki

  • 2011 Exchange rate exposure: A nonparametric approach
    by Aysun, Uluc & Guldi, Melanie

  • 2011 Sources of exchange rate fluctuations with Taylor rule fundamentals
    by Kempa, Bernd & Wilde, Wolfram

  • 2011 Remittances flow and financial development in Bangladesh
    by Chowdhury, Mamta B.

  • 2011 Application of factor models for the identification of countries sharing international reference-cycles
    by Santos, Sonia de Lucas & Rodríguez, María Jesús Delgado & Ayuso, Inmaculada Álvarez

  • 2011 The precise form of uncovered interest parity: A heterogeneous panel application in ASEAN-5 countries
    by Tang, Kin-Boon

  • 2011 Macroeconomics, finance, commodities: Interactions with carbon markets in a data-rich model
    by Chevallier, Julien

  • 2011 Stock market wealth effects in an estimated DSGE model for Hong Kong
    by Funke, Michael & Paetz, Michael & Pytlarczyk, Ernest

  • 2011 Leader of the pack? German monetary dominance in Europe prior to EMU
    by Reade, J. James & Volz, Ulrich

  • 2011 Inside the black box: How important is the credit channel relative to the interest and exchange rate channels?
    by Claus, Iris

  • 2011 Price Effects of Monetary Policy: The Case of a Small Open Economy of New Zealand
    by Shahnawaz Karim & Minsoo Lee & Christopher Gan

  • 2011 An empirical study on the hysteresis of currency substitution in Cambodia
    by Samreth, Sovannroeun

  • 2011 Monetary autonomy in selected Asian economies: The role of international reserves
    by Taguchi, Hiroyuki & Nataraj, Geethanjali & Sahoo, Pravakar

  • 2011 The role of production fragmentation in international business cycle synchronization in East Asia
    by Takeuchi, Fumihide

  • 2011 Real Exchange Rate, Foreign Trade And Real Output Growth: The Case Of Spain, 1970-2009
    by HSING, Yu & GUISAN, M.C.

  • 2011 Los ciclos económicos internacionales: antecedentes y revisión de la literatura
    by Sonia de Lucas Santos & M. Jesús Delgado Rodríguez & Inmaculada Álvarez Ayuso & José Luis Cendejas Bueno

  • 2011 Determinantes de la elección del régimen cambiario en América Latina: una aproximación a un modelo logit multinomial mixto
    by Pedro Álvarez Ondina & José Luis Pérez Rivero & Saúl de Vicente Queijeir & María Rosalía Vicente Cuervo

  • 2011 Policy Analysis Tool Applied to Colombian Needs: Patacon Model Description
    by Andrés González & Lavan Mahadeva & Juan D. Prada & Diego Rodríguez

  • 2011 Fragilidad financiera y tasa de cambio
    by Juan Carlos Castro Fernández

  • 2011 Acumulación de reservas internacionales en economías emergentes
    by José De Gregorio

  • 2011 A dynamic small open economy model with involuntary unemployment
    by Zuzana Janko

  • 2011 Risk aversion, exchange-rate uncertainty, and the law of one price: insights from the market for online air-travel tickets
    by Michael G. Arghyrou & Andros Gregoriou & Panayiotis M. Pourpourides

  • 2011 International business cycles and the relative price of investment goods
    by Parantap Basu & Christoph Thoenissen

  • 2011 Equity home bias, incomplete financial markets, and nominal rigidities
    by Ke Pang

  • 2011 The transfer effect: A comparative perspective between the European monetary union regime and fixed and floating regimes
    by Meriem Bouchoucha

  • 2011 Trade Imbalances – Causes, Consequences and Policy Measures: Ifo’s Statement for the Camdessus Commission
    by Hans-Werner Sinn & Teresa Buchen & Timo Wollmershäuser

  • 2011 The Impact of Fiscal Rules on Public Finances in the Euro Area
    by Wim Marneffe & Bas van Aarle & Wouter van der Wielen & Lode Vereeck

  • 2011 Does exchange rate pass-through respond to measures of macroeconomic instability?
    by Reginaldo P. Nogueira, Jr. & Miguel A. León-Ledesma

  • 2011 Pays émergents, pays de l'OCDE : les politiques mises en place seront-elles coopératives ou non coopératives ?
    by Patrick Artus

  • 2011 Le renminbi est-il une arme dans la « guerre des devises » asiatiques ? Une analyse comparative de la structure des exportations chinoises
    by Luca Silipo

  • 2011 Quelle est la vraie stratégie du panier de monnaies du renminbi ?
    by Bei Xu

  • 2011 Le choix d'un régime de change dans les pays émergents et en développement peut-il être optimal en dehors des solutions bipolaires ?
    by Jean-Pierre Allegret & Mohamed Ayadi & Leila Haouaoui Khouni

  • 2011 Policy Analysis Tool Applied to Colombian Needs: Patacon Model Description
    by Andrés González & Lavan Mahadeva & Juan D. Prada & Diego Rodríguez

  • 2011 The Effects of Real and Nominal Shocks on Real and Nominal Exchange Rates: The Case of Turkey
    by Ahmet Murat ALPER

  • 2011 “EUROPE 2020” Strategy and Bulgaria's Economic Growth
    by Rossitsa Rangelova

  • 2011 Influence of the Foreign Environment and the Financial Crisis on the Economic Stability of the New Member States of the European Union
    by Emil Panusheff

  • 2011 “Europe 2020” Strategy and Bulgaria's Economic Growth
    by Rossitsa Rangelova

  • 2011 The effect of the milieu and the financial crisis on the economic stability of the EU Member States
    by Emil Panusheff

  • 2011 Effects of Different Currencies and Exchange Rate Regimes in Post-Yugoslav Countries during the Global Financial and Economic Crisis
    by Ivanka Petkova

  • 2011 A Abertura Comercial e a Volatilidade da Produção Industrial do Brasil no Período 1996/2008
    by Synthia Kariny Silva de Santana & Jocildo Fernandes Bezerra & Tatiane Almeida de Menezes

  • 2011 Time Series Analyses Of Twin Deficits Hypothesis In Turkey
    by Bedriye Tuncsiper & Dilek Surekci

  • 2011 To devalue or not to devalue?
    by V. Popov

  • 2011 Comparing 1994, 2001 And 2008 Currency Crises In Turkey
    by Dimitrios Dapontas

  • 2011 The Bazaar Economy Hypothesis Revisited. A New Trade-Related Measure for Germany's International Openness
    by Ansgar Belke & Anselm Mattes & Lars Wang

  • 2011(XXI) Aspecte ale impactului ISD din România asupra exporturilor si dezvoltarii durabile
    by Gheorghe Zaman & Valentina Vasile & Mirela Matei & Carmen Croitoru & George Enescu

  • 2011(XXI) Aspecte ale impactului ISD din România asupra exporturilor si dezvoltarii durabile
    by Gheorghe Zaman & Valentina Vasile & Mirela Matei & Carmen Croitoru & George Enescu

  • 2010 Dynamic analysis of a renewable resource in a small open economy: The role of environmental policies for the environment
    by Koichi Futagami & Yasuhiro Nakamoto

  • 2010 Dynamic analysis of a renewable resource in a small open economy: The role of environmental policies for the environment
    by Koichi Futagami & Yasuhiro Nakamoto

  • 2010 Budget Deficits and Current Account in Japan and the U.S.: An Empirical Evidence on the Twin Deficits Hypothesis
    by Yoichi Matsubayashi

  • 2010 Financial Intermediation, Capital Flow and Macro Economy: An Effective Demand Model for an Emerging Market Economy
    by Basu, Rilina & Narayan Nag, Ranjanendra

  • 2010 Government Spending, Distortionary Taxation and the International Transmission of Business Cycles
    by Pía Olivero, María

  • 2010 Liberalization and India’s Business Cycle Synchronization with the US
    by PAUL, BIRU PAKSHA

  • 2010 The Impact of Exchange Rate Volatility on World and Intra-trade Flows of SAARC Countries
    by HOOY, CHEE-WOOI & CHOONG, CHEE-KEONG

  • 2010 Has the Euro Increased International Price Elasticities?
    by Holtemöller, Oliver & Zeddies, Götz

  • 2010 A conditionally heteroskedastic global inflation model
    by Morales-Arias, Leonardo & Moura, Guilherme V.

  • 2010 Is the Chinese currency substantially misaligned to warrant further appreciation?
    by Qin, Duo & He, Xinhua

  • 2010 Beggar-thyself or beggar-thy-neighbour? The welfare effects of monetary policy
    by Tervala, Juha & Engler, Philipp

  • 2010 Ökonomische Effekte der Dienstleistungsfreiheit in der EU. Die Dienstleistungsrichtlinie im Lichte empirischer Untersuchungen
    by Lammers, Konrad

  • 2010 The home bias in equities and distribution costs
    by Harms, Philipp & Hoffmann, Mathias & Ortseifer, Christina

  • 2010 On the nonlinear influence of Reserve Bank of Australia interventions on exchange rates
    by Reitz, Stefan & Ruelke, Jan C. & Taylor, Mark P.

  • 2010 Real Interest Parity in New Europe
    by Robert J. Sonora & Josip Tica

  • 2010 Does Export Pricing Explain ‘Fear of Floating’ in Small Open Emerging Market Economies?
    by M Farid

  • 2010 Does the nominal exchange rate regime affect the real interest parity condition?
    by Christian Dreger

  • 2010 International Spillovers of Output Growth and Output Growth Volatility: Evidence from the G7
    by Nikolaos Antonakakis & Harald Badinger

  • 2010 An Overhaul of a Doctrine: Has Inflation Targeting Opened a New Era in Developing-country Peggers?
    by Marjan Petreski

  • 2010 The Synchronization of GDP Growth in the G7 during U.S. Recessions. Is this Time Different?
    by Nikolaos Antonakakis & Johann Scharler

  • 2010 Exaggerated Death of Distance: Revisiting Distance Effects on Regional Price Dispersions
    by Kazuko Kano & Takashi Kano & Kazutaka Takechi

  • 2010 Asset Price Regulators Unite: You Have Macroeconomic Stability to Win and the Microeconomic Losses are Second-order
    by Ron Bird & Gordon Menzies & Peter Dixon & Maureen Rimmer

  • 2010 The International Circuit of Key Currencies and the Global Crisis: Is there Scope for Reform?
    by Lilia Costabile

  • 2010 External constraint and financial crises with balance sheet effects
    by Meixing Dai

  • 2010 Fiscal policy efficiency and coordination: The New Open Economy Macroeconomics Approach
    by Gilbert Koenig & Irem Zeyneloglu

  • 2010 Net Foreign Assets, Productivity and Real Exchange Rates in Constrained Economies
    by Dimitris K. Christopoulos & Karine Gente & Miguel A. Leon-Ledesma

  • 2010 International Business Cycle Accounting
    by Keisuke Otsu

  • 2010 Is low inflation really causing the decline in exchange rate pass-through?
    by Miguel A. León-Ledesma & Reginaldo P. Nogueira Júnior

  • 2010 Capital mobility, balance of payments constraints, and economic growth: an empirical dynamic analysis
    by Sérgio Fornazier Meirelles Filho & Frederico Gonzaga Jayme Jr

  • 2010 Bank globalization and the balance sheet channel of monetary transmission
    by Sami Alpanda & Uluc Aysun

  • 2010 Securitization and the balance sheet channel of monetary transmission
    by Uluc Aysun & Melanie Guldi & Ralf Hepp

  • 2010 The Missing Food Problem: How Low Agricultural Imports Contribute to International Income and Productivity Differences
    by Trevor Tombe

  • 2010 International Transmission of Environmental Policy: A New Keynesian Perspective
    by Giovanni Ganelli & Juha Tervala

  • 2010 Globalization and the Output-Inflation Tradeoff : New Time Series Evidence
    by Eijffinger, S.C.W. & Qian, Z.

  • 2010 Output Dynamics, Technology, and Public Investment
    by Duarte Bom, P.R. & Heijdra, B.J. & Ligthart, J.E.

  • 2010 Pensions, Debt and Inflation Risk in a Monetary Union
    by Yvonne Adema

  • 2010 Price-Level Convergence: New Evidence from U.S. Cities
    by M. Ege Yazgan & Hakan Yilmazkuday

  • 2010 Welfare Gains from Disinflation in an Economy With Currency Substitution (Para Ikamesinin Oldugu Bir Ekonomide Enflasyonun Dusurulmesinden Kaynaklanan Refah Kazanimlari)
    by H. Murat Ozbilgin

  • 2010 On the Sources of Oil Price Fluctuations (Petrol Fiyatlarindaki Dalgalanmalarin Kaynaklari)
    by Deren Unalmis & Ibrahim Unalmis & Derya Filiz Unsal

  • 2010 Economic Integration and Productive Specialization in the EU27: does FDI influence Countries’ Specialization?
    by Farid MAKHLOUF & Natalia VECHIU

  • 2010 La vulnerabilite des pays mediterraneens aux chocs des prix des matieres premieres
    by Serge REY

  • 2010 FDI waves, waves of neglect of political risk
    by Pierre-Guillaume Méon & Khalid Sekkat

  • 2010 Need Singapore Fear Floating? A DSGE-VAR Approach
    by Hwee Kwan Chow & Paul D. McNelis

  • 2010 International Capital Flows and Aggregate Output
    by Juergen von Hagen & Haiping zhang

  • 2010 Financial Development and the Patterns of International Capital Flows
    by Juergen von Hagen & Haiping Zhang

  • 2010 International Capital Flows and World Output Gains
    by Juergen von Hagen & Haiping Zhang

  • 2010 Exchange Market Pressure Index in Pakistan
    by Imran Naveed Khan

  • 2010 The Timing of Asset Trade and Optimal Policy in Dynamic Open Economies
    by Ozge Senay & Alan Sutherland

  • 2010 Local Currency Pricing, Foreign Monetary Shocks and Exchange Rate Policy
    by Ozge Senay & Alan Sutherland

  • 2010 Should Central Banks of Small Open Economies Respond to Exchange Rate Fluctuations? The Case of South Africa
    by Sami Alpanda & Kevin Kotze & Geoffrey Woglom

  • 2010 For Rich or for Poor: When does Uncovered Interest Parity Hold?
    by Maurice J. Roche & Michael J. Moore

  • 2010 Disaggregating Real Exchange Rate Dynamics: A Structural Approach
    by P. JACOB

  • 2010 Stabilizing Rational Speculation and Price Level Targeting
    by Reither, Franco & Bennöhr, Lars

  • 2010 Estimating the Baumol-Bowen and Balassa-Samuelson effects in the Polish economy - a disaggregated approach
    by Konopczak, Karolina & Torój, Andrzej

  • 2010 Adjustment capacity in a monetary union: a DSGE evaluation of Poland and Slovakia
    by Torój, Andrzej

  • 2010 Does Financial and Goods Market Integration Matter for the External Balance? A Comparison of OECD Countries and Canadian Provinces
    by Smith, Constance

  • 2010 How Elastic is East Asian Demand for Consumption Goods?
    by Thorbecke, Willem

  • 2010 Asset Market Structures and Monetary Policy in a Small Open Economy
    by Jung, Yongseung

  • 2010 Investigating the Effect of Exchange Rate Changes on Transpacific Rebalancing
    by Thorbecke, Willem & Komoto, Ginalyn

  • 2010 Asian Tigers' Choices: An Overview
    by Chow, Hwee Kwan

  • 2010 Rebalancing the US Economy in a Postcrisis World
    by Bosworth, Barry & Collins, Susan M.

  • 2010 Asia's Role in the Global Economic Architecture
    by Kawai, Masahiro & Petri, Peter

  • 2010 How Would an Appreciation of the Yuan Affect the People's Republic of China's Surplus in Processing Trade?
    by Thorbecke, Willem

  • 2010 The Financial Crisis, Rethinking of the Global Financial Architecture, and the Trilemma
    by Aizenman, Joshua & Chinn, Menzie & Ito, Hiro

  • 2010 Asia Confronts the Impossible Trinity
    by Patnaik, Ila & Shah, Ajay

  • 2010 Investigating the Effect of Exchange Rate Changes on the People's Republic of China's Processed Exports
    by Thorbecke, Willem

  • 2010 On the Stationarity of Current Account Deficits in the European Union
    by Mark J. Holmes & Jesús Otero & Theodore Panagiotidis

  • 2010 Inflation Dynamics in the New EU Member States: How Relevant Are External Factors?
    by Alexander Mihailov & Fabio Rumler & Johann Scharler

  • 2010 Los Mecanismos de Transmisión de la Política Monetaria en Perú
    by Castillo, Paul & Perez, Fernando & Tuesta, Vicente

  • 2010 Bayesian Estimation of a Simple Macroeconomic Model for a Small Open and Partially Dollarized Economy
    by Salas, Jorge

  • 2010 Learning in an Estimated Small Open Economy Model
    by Jarkko Jääskelä & Rebecca McKibbin

  • 2010 Exchange Rate Misalignments: Historical Experience of Japan, Germany, Singapore and Taiwan Compared to China Today
    by Duo Qin & Xinhua He & Yimeng Liu

  • 2010 Developing Country Business Cycles: Revisiting the Stylised Facts
    by Rachel Male

  • 2010 Is the Chinese Currency Substantially Misaligned to Warrant Further Appreciation?
    by Duo Qin & Xinhua He

  • 2010 Fiscal stimulus and exit strategies in a small euro area economy
    by Vanda Almeida & Gabriela Lopes de Castro & Ricardo Mourinho Félix & José R. Maria

  • 2010 Fiscal Stimulus in a Small Euro Area Economy
    by Vanda Almeida & Gabriela Lopes de Castro & Ricardo Mourinho Félix & José R. Maria

  • 2010 Accession to the WTO. Computable General Equilibrium Analysis: the Case of Ukraine. Part I
    by Eromenko, Igor

  • 2010 Accession to the WTO. Computable General Equilibrium Analysis: the Case of Ukraine. Part II
    by Eromenko, Igor

  • 2010 Financial Liberalization and Banking Profitability: A Panel Data Analysis for Tunisian Banks
    by Hakimi, Abdelazizi & Hamdi, Helmi & Djelassi, Mouldi

  • 2010 International Portfolios and the U.S. Current Account
    by Leon, Jorge

  • 2010 Sources of Macroeconomic Fluctuations in MENA Countries
    by Balcilar, Mehmet & Bagzibagli, Kemal

  • 2010 A comparison of the BEER and Penn effect models via their applications on the valuation of the Renminbi
    by Zhang, Zhibai

  • 2010 Prospects for a Single Asian Currency
    by Sen Gupta, Abhijit

  • 2010 The impact of the global economic crisis on non-oil operations of ports in Iran
    by Ahmadzadeh Mashinchi, Sina

  • 2010 Exports as an engine for the economic growth: the case of Romania
    by Dumitriu, Ramona & Stefanescu, Razvan & Nistor, Costel

  • 2010 Co-movements Of Business Cycles In The Maghreb: Does Trade Matter?
    by Belhadj, Aam & Eggoh, Jude

  • 2010 Does foreign capital inflows really stimulate domestic investment: a case study of Pakistan
    by Hasanat Shah, Syed & Hasnat, Hafsa & Li, Junjiang

  • 2010 The equilibrium real exchange rate of China: a productivity approach
    by Yan, Isabel K. & Kakkar, Vikas

  • 2010 The Achilles' heels of growth: factor price distortion and consequential adverse wealth transfers in China
    by Zhang, Shuguang & Cheng, Lian

  • 2010 The economic and monetary union vs. shifts in competitiveness of member states
    by Kowalski, Tadeusz & Pietrzykowski, Maciej

  • 2010 Monetary policy and sunspot fluctuation in the U.S. and the Euro area
    by Hirose, Yasuo

  • 2010 The impact of real oil price on real effective exchange rate: The case of Azerbaijan
    by Hasanov, Fakhri

  • 2010 Implications of real exchange rate misalignment in developing countries: theory, empirical evidence and application to growth performance in Zimbabwe
    by Ndlela, Thandinkosi

  • 2010 Latvia’s incoming in European Union economic effect estimation
    by Skribans, Valerijs

  • 2010 Explaining the saving-investment relationship with threshold effects
    by Herzog, Ryan W.

  • 2010 An empirical estimation of Balassa – Samuelson Effect in case of Eastern European Countries
    by Paun, Cristian

  • 2010 Expanding Varieties in the Nontraded Goods Sector and the Real Exchange Rate Depreciation
    by He, Qichun

  • 2010 Accumulation of reserves and keeping up with the Joneses: the case of LATAM economies
    by Cheung, Yin-Wong & Sengupta, Rajeswari

  • 2010 The Impact of Real Effective Exchange Rate on the Non-oil Export: The Case of Azerbaijan
    by Fakhri, Hasanov

  • 2010 Exchange rate pass-through to consumer prices in Ghana: Evidence from structural vector auto-regression
    by Sanusi, Aliyu Rafindadi

  • 2010 Export Performance and Determinants in Ethiopia
    by Menji, Sisay

  • 2010 Latvijas iestāšanās Eiropas Savienībā ekonomiskā efekta novērtēšana
    by Skribans, Valerijs

  • 2010 Capital mobility and macroeconomic volatility: evidence from Greece
    by Anastasios, Pappas

  • 2010 Is Optimal Monetary and Fiscal Policy in a Small Open Economy Time Consistent?
    by Liu, X

  • 2010 Δυναμική Του Δημοσίου Χρέους, Οικονομική Πολιτική Και Κοινωνική Συνοχή Στην Ελλάδα: Μία Σημείωση
    by Mariolis, Theodore & Papoulis, Κostas

  • 2010 Екзогенні Чинники Розвитку Національної Фінансової Системи
    by Petrushchak, Bohdan

  • 2010 To devalue or not to devalue? How East European countries responded to the outflow of capital in 1997-99 and in 2008-09
    by Popov, Vladimir

  • 2010 Current account and relative prices: cointegration in the presence of structural breaks in emerging economies
    by Uz, Idil & Ketenci, Natalya

  • 2010 Lessons of global experience and european road transport - infrastructure investment and pricing methods
    by Cernaianu, Nicolae

  • 2010 Strategic vector of romanian road transport process
    by Cernaianu, Nicolae

  • 2010 Risk management in road transport
    by Cernaianu, Nicolae

  • 2010 Strategic planning in road transport - operational instrument of strategic management
    by Cernaianu, Nicolae

  • 2010 Re-examination of the long-run purchasing power parity: further evidence from Turkey
    by Korap, Levent & Aslan, Özgür

  • 2010 On inflation, wealth inequality and welfare in emerging economies
    by Sunel, Enes

  • 2010 Fear of Appreciation in East and Southeast Asia: The Role of the Chinese Renminbi
    by Pontines, Victor & Siregar, Reza Y.

  • 2010 Exchange Rate Asymmetry and Flexible Exchange Rates under Inflation Targeting Regimes: Evidence from Four East and Southeast Asian Countries
    by Pontines, Victor & Siregar, Reza Y.

  • 2010 The Common Component in the Forward Premium: Evidence from the Asia-Pacific Region
    by Nagayasu, Jun

  • 2010 Twin deficits and the Feldstein-Horioka puzzle: a comparison of the EU member states and candidate countries
    by Aristovnik, Aleksander & Djurić, Sandra

  • 2010 The sustainability of trade balances in Sub-Saharan Africa: panel cointegration tests with cross-section dependence
    by HASHIGUCHI, Yoshihiro & HAMORI, Shigeyuki

  • 2010 The Collapse of Global Trade: What a Tangled Web We Weave
    by Spehar, Ann / AOS

  • 2010 Management of International Capital Flows: The Indian Experience
    by Sen Gupta, Abhijit

  • 2010 Δυναμική Του Χρέους, ‘Δίδυμα Ελλείμματα’ Και Διεθνής Ανταγωνιστικότητα Της Ελληνικής Οικονομίας
    by Mariolis, Theodore & Papoulis, Κostas

  • 2010 Capital Based Macroeconomic model and 100 percent reserve system, free banking system and BFH system: A Comparism among Latvia, Lithuania, Kazakhstan, and Kyrgyzstan
    by Baafi Antwi, Joseph

  • 2010 Remittances, Inflation and Exchange Rate Regimes in Small Open Economies
    by Ball, Christopher & Lopez, Claude & Reyes, Javier & Cruz-Zuniga, Martha

  • 2010 Pricing to Market in Business Cycle Models
    by Drozd, Lukasz A. & Nosal, Jaromir B.

  • 2010 Measuring Persistence of U.S. City Prices: New Evidence from Robust Tests
    by Basher, Syed Abul & Carrion-i-Silvestre, Josep Lluis

  • 2010 Food and Global Crises impacts on Middle East and North African Region: What lesson can we learn for the future?
    by Drine, Imed

  • 2010 Degré de répercussion du Taux de change sur l’Inflation en République Démocratique du Congo de 2002 à 2007
    by Luyinduladio, Menga

  • 2010 Indian Capital Control Liberalization: Evidence from NDF Markets
    by Hutchison, Michael & Kendall, Jake & Pasricha, Gurnain & Singh, Nirvikar

  • 2010 External constraint and financial crises with balance sheet effects
    by Dai, Meixing

  • 2010 The interdependence of Taiwanese and Japanese stock prices
    by Hsieh, Kunlin & Hsieh, Yuching & Hamori, Shigeyuki

  • 2010 Dynamic inter-relationship between trade, economic growth and tourism in Malaysia
    by Sarmidi, Tamat & Salleh, Norlida H

  • 2010 Trade, Growth and Povety: A Case of Pakistan
    by Khan, Rana Ejaz Ali & Sattar, Rashid

  • 2010 No decoupling, more interdependence: business cycle comovements between advanced and emerging economies
    by Wälti, Sébastien

  • 2010 Default Risk and Risk Averse International Investors
    by Lizarazo, Sandra

  • 2010 Does the uncovered interest parity hold in short horizons?
    by Levent, Korap

  • 2010 International economic theory and politics: world structure before, during and after the early 21st Century Crisis
    by Naqvi, Nadeem

  • 2010 Macroeconomic Dynamics in Macedonia and Slovakia: Structural Estimation and Comparison
    by Melecky, Martin

  • 2010 Malaysian Economy in Three Crises
    by Prema-chandra Athukorala

  • 2010 Mean Reversion in Long-Horizon Real Exchange Rates: Evidence from Latin America
    by Pablo Astorga

  • 2010 Resource-based FDI and Expropriation in Developing Economies
    by Chris Hajzler

  • 2010 Capital Accumulation, Non-traded Goods and International Macroeconomic Dynamics with Heterogeneous Firms
    by Daniel Farhat

  • 2010 Environmental discounting in a small open economy with a renewable resource
    by Koichi Futagami & Yasuhiro Nakamoto

  • 2010 Has the Euro changed the Business Cycle?
    by Zeno Enders & Gernot J. Müller

  • 2010 Resolving and Avoiding Unsustainable Imbalances in the Euro Area
    by Sebastian Barnes

  • 2010 Current Account Imbalances in the Euro Area: A Comparative Perspective
    by Sebastian Barnes & Jeremy Lawson & Artur Radziwill

  • 2010 After the Crisis: Mitigating Risks of Macroeconomic Instability in Turkey
    by Łukasz Rawdanowicz

  • 2010 The Impact of Structural Policies on Saving, Investment and Current Accounts
    by Clovis Kerdrain & Isabell Koske & Isabelle Wanner

  • 2010 Structural and Cyclical Factors behind Current-Account Balances
    by Calista Cheung & Davide Furceri & Elena Rusticelli

  • 2010 Internationalised Production in a Small Open Economy
    by Aurelien Eyquen & Güneş Kamber

  • 2010 Mean Reversion in Long-Horizon Real Exchange Rates: Evidence from Latin America
    by Pablo Astorga

  • 2010 Business Cycle Synchronization and the Euro: a Wavelet Analysis
    by Luís Francisco Aguiar & Maria Joana Soares

  • 2010 Manufacturing employment and exchange rates in the Portuguese economy: the role of openness, technology and labour market rigidity
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2010 Employment, exchange rates and labour market rigidity
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2010 The Domestic and International Effects of Interstate U.S. Banking
    by Fabio Ghironi & Viktors Stebunovs

  • 2010 World Food Prices and Monetary Policy
    by Luis Catão & Roberto Chang

  • 2010 How Big (Small?) are Fiscal Multipliers?
    by Ethan Ilzetzki & Enrique G. Mendoza & Carlos A. Végh

  • 2010 Fiscal fragility: what the past may say about the future
    by Joshua Aizenman & Gurnain Kaur Pasricha

  • 2010 International Differences in Fiscal Policy During the Global Crisis
    by Agustín S. Bénétrix & Philip R. Lane

  • 2010 The Dynamic Effects of Currency Union on Trade
    by Paul Bergin & Ching-Yi Lin

  • 2010 Monetary Policy and the Uncovered Interest Parity Puzzle
    by David K. Backus & Federico Gavazzoni & Christopher Telmer & Stanley E. Zin

  • 2010 Business Cycles, Consumption and Risk-Sharing: How Different Is China?
    by Chadwick C. Curtis & Nelson Mark

  • 2010 Monetary Policy in Emerging Markets: A Survey
    by Jeffrey A. Frankel

  • 2010 Overborrowing, Financial Crises and 'Macro-prudential' Taxes
    by Javier Bianchi & Enrique G. Mendoza

  • 2010 Do Sticky Prices Increase Real Exchange Rate Volatility at the Sector Level?
    by Mario J. Crucini & Mototsugu Shintani & Takayuki Tsuruga

  • 2010 In Search of Real Rigidities
    by Gita Gopinath & Oleg Itskhoki

  • 2010 Financial Innovation, the Discovery of Risk, and the U.S. Credit Crisis
    by Emine Boz & Enrique G. Mendoza

  • 2010 The Collapse of International Trade During the 2008-2009 Crisis: In Search of the Smoking Gun
    by Andrei A. Levchenko & Logan T. Lewis & Linda L. Tesar

  • 2010 A Sexually Unbalanced Model of Current Account Imbalances
    by Qingyuan Du & Shang-Jin Wei

  • 2010 Decoupling and Recoupling
    by Anton Korinek & Agustín Roitman & Carlos A. Végh

  • 2010 Pass-Through of Oil Prices to Japanese Domestic Prices
    by Etsuro Shioji & Taisuke Uchino

  • 2010 Surfing the Waves of Globalization: Asia and Financial Globalization in the Context of the Trilemma
    by Joshua Aizenman & Menzie D. Chinn & Hiro Ito

  • 2010 The Harrod-Balassa-Samuelson Hypothesis: Real Exchange Rates and their Long-Run Equilibrium
    by Yanping Chong & Òscar Jordà & Alan M. Taylor

  • 2010 Globalization, Pass-Through and Inflation Dynamic
    by Pierpaolo Benigno & Ester Faia

  • 2010 Terms of Trade Shocks and Fiscal Cycles
    by Graciela L. Kaminsky

  • 2010 What Determines European Real Exchange Rates?
    by Martin Berka & Michael B. Devereux

  • 2010 Management of International Capital Flows: The Indian Experience
    by Abhijit Sen Gupta

  • 2010 Unemployment and relative labor market institutions between trading partners
    by Hervé Boulhol

  • 2010 Does Inflation Targeting decrease Exchange Rate Pass-through in Emerging Countries?
    by Dramane Coulibaly & Hubert Kempf

  • 2010 Exchange-Rate Pass Through, Openness, and the Sacrifice Ratio
    by Daniels, Joseph P & VanHoose, David D

  • 2010 Real Exchange Rates and Real Interest Differentials: The Case of a Transitional Economy - Cambodia
    by Tuck Cheong Tang

  • 2010 The Role of Financial Factors in the Trade Collapse: A Skeptic's View
    by Andrei A. Levchenko & Logan T. Lewis & Linda L. Tesar

  • 2010 Decentralized Borrowing and Centralized Default
    by Yun Jung Kim & Jing Zhang

  • 2010 Digging Out the PPP Hypothesis: an Integrated Empirical Coverage
    by Miguel de Carvalho & Paulo Julio

  • 2010 Organizational Capital and the International Co-movement of Investment
    by Alok Johri & Marc-Andre Letendre & Daqing Luo

  • 2010 The International Wealth Channel: A Global Error-Correcting Analysis
    by Nils Holinski & Robert Vermeulen

  • 2010 The Meltdown of the Global Economy: A Keynes-Minsky Episode?
    by Sunanda Sen

  • 2010 Terms of Trade Shocks and Economic Performance Under Different Exchange Rate Regimes
    by A. H. Ahmad & Eric J. Pentecost

  • 2010 The Demand for Liquid Assets, Corporate Saving, and Global Imbalances
    by Bacchetta Philippe & Benhima Kenza

  • 2010 A Reappraisal of the Allocation Puzzle through the Portfolio Approach
    by Benhima Kenza

  • 2010 Imperfect Knowledge, Asset Price Swings and Structural Slumps: A Cointegrated VAR Analysis of Their Interdependence
    by Katarina Juselius

  • 2010 Financial Integration and International Transmission of Business Cycles: Evidence from Dynamic Correlations
    by Jarko Fidrmuc & Kentaro Iwatsubo & Taro Ikeda

  • 2010 Capital Accumulation, Vintage, and Productivity:The Japanese Experience from 1980 to 2007
    by Taiji Hagiwara & Yoichi Matsubayashi

  • 2010 Business Cycle Dynamics in the CEE Countries: A Political Economy Approach
    by Muge Adalet & Sumru Oz

  • 2010 Structural Change in Current Account and Real Exchange Rate Dynamics: Evidence from the G7 Countries
    by Masahiko Shibamoto & Shigeto Kitano

  • 2010 The Intranational Business Cycle in Japan
    by Michael Artis & Toshihiro Okubo

  • 2010 Capital Controls and Welfare
    by Shigeto Kitano

  • 2010 Banks, Financial Markets and International Consumption Risk Sharing
    by Markus Leibrecht & Johann Scharler

  • 2010 The Synchronization of GDP Growth in the G7 during U.S. Recessions. Is this Time Different?
    by Nikolaos Antonakakis & Johann Scharler

  • 2010 International real business cycles : a re-visit
    by Nguyen, Quoc Hung

  • 2010 Large Fluctuations in Consumption in Least Developed Countries
    by Kodama, Masahiro

  • 2010 Worthy Transfers? A Dynamic Analysis of Turkey's Accession to the European Union
    by Gul Ertan Ozguzer & Luca Pensieroso

  • 2010 Manufacturing Employment and Exchange Rates in the Portuguese Economy: The Role of Openness, Technology and Labour Market Rigidity
    by Alexandre, Fernando & Bação, Pedro & Cerejeira, João & Portela, Miguel

  • 2010 Manufacturing Employment and Exchange Rates in the Portuguese Economy: The Role of Openness, Technology and Labour Market Rigidity
    by Alexandre, Fernando & Bação, Pedro & Cerejeira, João & Portela, Miguel

  • 2010 Employment, Exchange Rates and Labour Market Rigidity
    by Alexandre, Fernando & Bação, Pedro & Cerejeira, João & Portela, Miguel

  • 2010 Employment, Exchange Rates and Labour Market Rigidity
    by Alexandre, Fernando & Bação, Pedro & Cerejeira, João & Portela, Miguel

  • 2010 Revisiting business cycle synchronisation in the European Union
    by António Afonso & Ana Sequeira

  • 2010 The Dynamics of the Trade Balance and the Terms of Trade in Central and Eastern European Countries
    by Alexandra Ferreira-Lopes & Tiago Neves Sequeira

  • 2010 Degree of Openness and Inflation Targeting Policy: Model of a Small Open Economy
    by Bousrih Jihene & Bousrih Jihene

  • 2010 Evolution of India's exchange rate regime
    by Ashima Goyal

  • 2010 Globalization, Pass-Through and Inflation Dynamic
    by Pierpaolo Benigno & Ester Faia

  • 2010 Banking Globalization and International Business Cycles
    by Kozo Ueda

  • 2010 Global Liquidity Trap
    by Ippei Fujiwara & Tomoyuki Nakajima & Nao Sudo & Yuki Teranishi

  • 2010 The Fiscal Multiplier and Spillover in a Global Liquidity Trap
    by Ippei Fujiwara & Kozo Ueda

  • 2010 ¿Cómo funcionan y se pueden enfrentar los shocks bursátiles en economías abiertas y emergentes?
    by Carlos Garcia & Luis González & Alejandro Granda

  • 2010 Is more exchange rate intervention necessary in small open economies? The role of risk premium and commodity shocks
    by Carlos Garcia & Wildo Gonzalez

  • 2010 International Risk Sharing and the Irish Economy
    by Agustin Benetrix

  • 2010 International Differences in Fiscal Policy During the Global Crisis
    by Philip Lane

  • 2010 Financial Remoteness and the Net External Position
    by Martin Schmitz

  • 2010 International Asset Holdings and the Euro
    by Pels

  • 2010 Estimation of De Facto Flexibility Parameter and Basket Weights in Evolving Exchange Rate Regimes
    by Jeffrey Frankel & Daniel

  • 2010 Macroeconomic Effects of China’s Fiscal Stimulus
    by Pietro Cova & Massimiliano Pisani & Alessandro Rebucci

  • 2010 Revisiting Overborrowing and its Policy Implications
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric Young

  • 2010 Macroeconomic Effects of China's Fiscal Stimulus
    by Pietro Cova & Massimiliano Pisani & Alessandro Rebucci

  • 2010 Revisiting Overborrowing and Its Policy Implications
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2010 Growth by Destination (Where you Export Matters): Trade with China and Growth in African Countries
    by Mina Baliamoune-Lutz

  • 2010 Impact of External Shocks on Domestic Inflation and GDP
    by Ivo Krznar & Davor Kunovac

  • 2010 Capital Inflows and Efficiency of Sterilisation – Estimation of Sterilisation and Offset Coefficients
    by Igor Ljubaj & Ana Martinis & Marko Mrkalj

  • 2010 Habit Persistence and International Comovements
    by Alexandre Dmitriev & Ivo Krznar

  • 2010 Sind Chinas Flitterwochen mit dem Dollar vorbei?
    by Faxin Teng

  • 2010 Global Financial Crisis, Protectionism and Current Account Deficit: South Africa on the Brink?
    by Andreas Freytag & Sebastian Voll & Peter Draper

  • 2010 "Red Star Spangled Banner" Scrutinizing the Root Causes of Financial Crisis
    by Christian Fahrholz & Andreas Kern

  • 2010 The International Financial Crisis: The Case of Iceland - Are there Lessons to be Learnt?
    by Jon Baldvin Hannibalsson

  • 2010 Measuring Renminbi Misalignment: Where Do We Stand?
    by Yin-Wong Cheung & Menzie D. Chinn & Eiji Fujii

  • 2010 Housing Investment: What Makes It so Volatile? Theory and Evidence from OECD Countries
    by Quoc Hung Nguyen

  • 2010 Monetary Policy and Trade Globalization
    by Dudley Cooke

  • 2010 Financial Markets in East Asia and Europe during the Global Financial Crisis
    by Johansson, Anders C.

  • 2010 Milestones of European Integration: Which matters most for Export Openness?
    by Hiller, Sanne & Kruse, Robinson

  • 2010 What can an open-economy DSGE model tell us about Hong Kong’s housing market?
    by Michael Funke & Michael Paetz

  • 2010 Stock market wealth effects in an estimated DSGE model for Hong Kong
    by Michael Funke & Michael Paetz & Ernest Pytlarczyk

  • 2010 How Should Macroeconomic Policy Respond to Foreign Financial Crises?
    by Anthony J. Makin

  • 2010 Manufacturing employment and exchange rates in the Portuguese economy: the role of openness, technology and labour market rigidity
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2010 The duration of business cycle expansions and contractions: Are there change-points in duration dependence?
    by Vitor Castro

  • 2010 Exchange Rate Target Zones: A Survey of the Literature
    by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte

  • 2010 Employment, exchange rates and labour market rigidity
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2010 Microstructure order flow: statistical and economic evaluation of nonlinear forecasts
    by Mario Cerrato & Hyunsok Kim & Ronald MacDonald

  • 2010 Distributional and Poverty Consequences of Globalization: A Dynamic Comparative Analysis for Developing Countries
    by Muhammad Tariq Majeed & Ronald MacDonald

  • 2010 Do Foreign Asset Holdings Affect Household Consumption?
    by Cameron McLoughlin

  • 2010 The Evolution of International Consumption Risk Sharing Over Time And Frequency
    by Cameron McLoughlin

  • 2010 Into the Allocation Puzzle - A sectoral analysis
    by Dennis Reinhardt

  • 2010 Limits of Floats: The Role of Foreign Currency Debt and Import Structure
    by Pascal Towbin & Sebastian Weber

  • 2010 Um Modelo Dinâmico de Macroeconomia Aberta com Metas de Inflação, “Conflito Distributivo” e Equilíbrio na Conta Corrente
    by Eduardo Drumond & Gabriel Porcile

  • 2010 Securitization and the Balance Sheet Channel of Monetary Transmission
    by Uluc Aysun & Ralf Hepp

  • 2010 Multinational Firms' Entry and Productivity: Some Aggregate Implications of Firm-level Heterogeneity
    by Contessi, Silvio

  • 2010 Real exchange rate dynamics revisited: a case with financial market imperfections
    by Fujiwara, Ippei & Teranishi, Yuki

  • 2010 International real business cycles with endogenous markup variability
    by Davis, Scott & Huang, Kevin X. D.

  • 2010 Banking globalization and international business cycles
    by Ueda, Kozo

  • 2010 Global liquidity trap
    by Fujiwara, Ippei & Sudo, Nao & Nakajima, Tomoyuki & Teranishi, Yuki

  • 2010 The fiscal multiplier and spillover in a global liquidity trap
    by Fujiwara, Ippei & Ueda, Kozo

  • 2010 Limited asset market participation and the consumption-real exchange rate anomaly
    by Kollmann, Robert

  • 2010 Inequality and Macroeconomic Performance
    by Jean-Paul Fitoussi & Francesco Saraceno

  • 2010 Optimal monetary policy in open economies
    by Giancarlo Corsetti & Luca Dedola & Sylvain Leduc

  • 2010 Trade Elasticities: A Final Report for the European Commission
    by Jean Imbs & Isabelle Mejean

  • 2010 Adjustment in the Euro Area and Regulation of Product and Labour Markets: An Empirical Assessment
    by Pietro Biroli & Gilles Mourre & Alessandro Turrini

  • 2010 Business Cycle Synchronization in Europe: Evidence from the Scandinavian Currency Union
    by U. Michael Bergman & Lars Jonung

  • 2010 External deficits in the Baltics 1995 to 2007: Catching up or imbalances
    by Julia Lendvai & Werner Roeger

  • 2010 Short and long run macroeconomic effects of trade policy in the presence of debt servicing
    by Murshed, S.M.

  • 2010 Identifying Shocks in Regionally Integrated East Asian Economies with Structural VAR and Block Exogeneity
    by Sato, K. & Zhang, Z. & McAleer, M.J.

  • 2010 Fiscal Policy and Economic Stability: Does PIGS stand for Procyclicality In Government Spending?
    by Claeys, Peter & Maravalle, Alessandro

  • 2010 The role of the terms of trade in the trade channel of transmission of oil price shocks
    by Maravalle, Alessandro

  • 2010 Prices and the Real Exchange Rate in Hong Kong: 1985-2006
    by Echeverria Garaigorta, Paulina Elisa & Iza Padilla, María Amaya

  • 2010 External imbalances in a monetary union. Does the Lawson doctrine apply to Europe?
    by Mariam Camarero & Josep Lluís Carrion-i-Silvestre & Cecilio Tamarit

  • 2010 Estimation of De Facto Flexibility Parameter and Basket Weights in Evolving Exchange Rate Regimes
    by Frankel, Jeffrey & Xie, Daniel

  • 2010 Productive Government Purchases and the Real Exchange Rate
    by Parantap Basu & Robert Kollmann

  • 2010 How Elastic is East Asian Demand for Consumption Goods?
    by Willem Thorbecke

  • 2010 Asian Tigers’ Choices : An Overview
    by Hwee Kwan Chow

  • 2010 Rebalancing the US Economy in a Postcrisis World
    by Barry Bosworth & Susan M. Collins

  • 2010 The Financial Crisis, Rethinking of the Global Financial Architecture, and the Trilemma
    by Joshua Aizenman & Menzie D. Chinna & Hiro Ito

  • 2010 How Elastic is East Asian Demand for Consumption Goods?
    by Willem Thorbecke

  • 2010 Asset Market Structures and Monetary Policy in a Small Open Economy
    by Yongseung Jung

  • 2010 Monetary Autonomy in Select Asian Economies : Role of International Reserves
    by Hiroyuki Taguchi & Geethanjali Nataraj & Pravakar Sahoo

  • 2010 Inflation Targeting and Pass-through Rate in East Asian Economies
    by Hiroyuki Taguchi & Woong-Ki Sohn

  • 2010 How Would an Appreciation of the Yuan Affect the People’s Republic of China’s Surplus in Processing Trade?
    by Willem Thorbecke

  • 2010 Asia Confronts the Impossible Trinity
    by Ila Patnaik & Ajay Shah

  • 2010 Asset Market Structures and Monetary Policy in a Small Open Economy
    by Yongseung Jung

  • 2010 Asset Market Structures and Monetary Policy in a Small Open Economy
    by Yongseung Jung

  • 2010 Investigating the Effect of Exchange Rate Changes on the People’s Republic of China’s Processed Exports
    by Willem Thorbecke

  • 2010 Imperfectly-Credible Disinflation of Small Inflations
    by Lynne Evans & Anamaria Nicolae

  • 2010 Cointegrated TFP Processes and International Business Cycles
    by Pau Rabanal & Juan Francisco Rubio-Ramirez & Vicente Tuesta Reátegui

  • 2010 Money-Multiplier Shocks in a Credit-View Model
    by Burton A. Abrams

  • 2010 The Impact of Real Oil Price on Real Effective Exchange Rate: The Case of Azerbaijan
    by Fakhri Hasanov

  • 2010 Optimal Monetary Policy in a Monetary Union with Housing and Credit Market Heterogeneity
    by Steffen Elstner & Nikolay Hristov & Oliver Hülsewig & Timo Wollmershäuser

  • 2010 The Impact of Trade Integration and Competition on Real and Nominal Price Rigidities: Insights from a New-Keynesian DSGE Model
    by Anna Watson

  • 2010 Terms of Trade Volatility and Precautionary Savings in Developing Economies
    by Salim B. Furth

  • 2010 Multiple Equilibria and Indeterminacy in an Optimal Growth Model with Endogenous Capital Depreciation
    by Gaowang Wang & Heng-fu Zou

  • 2010 Markets Integration and Macroeconomic Dispersion in a Monetary Union
    by Aurélien Eyquem & Jean-Christophe Poutineau

  • 2010 Sectoral Effects of Tax Reforms in an Open Economy
    by Olivier CARDI & Romain RESTOUT

  • 2010 Financial shocks and macroeconomic policies during the Argentine crisis of 2001-2002
    by Jose MOURELLE

  • 2010 The Great Depression in Belgium: an Open-Economy Analysis
    by Luca PENSIEROSO

  • 2010 Remittances and Financial Openness
    by Michel Beine & Elisabetta Lodigiani & Robert Vermuelen

  • 2010 What Causes Exchange Rate Volatility? Evidence from Selected EMU Members and Candidates for EMU Membership Countries
    by Nikolaos Giannellis & Athanasios Papadopoulos

  • 2010 Why crises happen - nonstationary macroeconomics
    by Davidson, James & Meenagh, David & Minford, Patrick & Wickens, Michael R.

  • 2010 Optimal monetary policy in open economies
    by Corsetti, Giancarlo & Dedola, Luca & Leduc, Sylvain

  • 2010 Habit Formation and Fiscal Transmission in Open Economies
    by Cardi, Olivier & Müller, Gernot

  • 2010 Does Trade Integration Alter Monetary Policy Transmission?
    by Cwik, Tobias & Müller, Gernot & Wolters, Maik H

  • 2010 Adjustment in the Euro Area and Regulation of Product and Labour Markets: An Empirical Assessment
    by Biroli, Pietro & Mourre, Gilles & Turrini, Alessandro Antonio

  • 2010 International Differences in Fiscal Policy During the Global Crisis
    by Bénétrix, Agustín & Lane, Philip R.

  • 2010 The Effects of Foreign Shocks When Interest Rates Are at Zero
    by Bodenstein, Martin & Erceg, Christopher & Guerrieri, Luca

  • 2010 Technology Shocks: Novel Implications for International Business Cycles
    by Raffo, Andrea

  • 2010 The First Global Recession in Decades
    by Imbs, Jean

  • 2010 Financial Innovation, the Discovery of Risk, and the U.S. Credit Crisis
    by Boz, Emine & Mendoza, Enrique G

  • 2010 International Business Cycle Spillovers
    by Yilmaz, Kamil

  • 2010 The Harrod-Balassa-Samuelson Hypothesis: Real Exchange Rates and their Long-Run Equilibrium
    by Chong, Yanping & Jordà, Òscar & Taylor, Alan M.

  • 2010 Revisiting Overborrowing and its Policy Implications
    by Benigno, Gianluca & Chen, Huigang & Otrok, Christopher & Rebucci, Alessandro & Young, Eric R

  • 2010 EMU, EU, capital market integration and consumption smoothing
    by Christev, Atanas & Melitz, Jacques

  • 2010 How do Fiscal and Technology Shocks affect Real Exchange Rates? New Evidence for the United States
    by Enders, Zeno & Müller, Gernot & Scholl, Almuth

  • 2010 Globalization and the Output-inflation Tradeoff: New Time Series Evidence
    by Eijffinger, Sylvester C W & Qian, Zongxin

  • 2010 Global Imbalances: In Midstream?
    by Blanchard, Olivier J & Milesi-Ferretti, Gian Maria

  • 2010 Financial Development and the Patterns of International Capital Flows
    by von Hagen, Jürgen & Zhang, Haiping

  • 2010 Common Factors in Latin America’s Business Cycles
    by Aiolfi, Marco & Catão, Luis A. V. & Timmermann, Allan G

  • 2010 An Optimum Currency Area Odyssey
    by Dellas, Harris & Tavlas, George

  • 2010 Asset Price Regulators, Unite: you have Macroeconomic Stability to Win and the Microeconomic Losses are Second-order
    by G. Menzies & R. Bird & P. Dixon & M. Rimmer

  • 2010 The Economic Costs of US Stock Mispricing
    by G. Menzies & R. Bird & P. Dixon & M. Rimmer

  • 2010 Descomposición histórica de choques del tipo de cambio real en Colombia: un enfoque DSGE
    by Luis Alejandro Lee P & Angélica María Quiroga E.

  • 2010 Early Warning Indicators for Latin America""
    by Fernando Tenjo & Martha López

  • 2010 China o el triunfo del mercantilismo en la era de la globalización
    by Hernando Matallana

  • 2010 A Case for Intermediate Exchange-Rate Regimes
    by Agnès Bénassy-Quéré & Véronique Salins

  • 2010 Crises and the Collapse of World Trade: the Shift to Lower Quality
    by Antoine Berthou & Charlotte Emlinger

  • 2010 Wage Bargaining and the Boundaries of the Multinational Firm
    by Maria Bas & Juan Carluccio

  • 2010 Redemption or Abstinence? Original Sin, Currency Mismatches and Counter-Cyclical Policies in the New Millenium
    by Ricardo Hausmann & Ugo Panizza

  • 2010 The Impact of Fiscal Rules on Public Finances: Theory and Empirical Evidence for the Euro Area
    by Wim Marneffe & Bas Van Aarle & Wouter Van Der Wielen & Lode Vereeck

  • 2010 The Greek Debt Crisis: Likely Causes, Mechanics and Outcomes
    by Michael G. Arghyrou & John D. Tsoukalas

  • 2010 Financial Frictions and Inflation Differentials in a Monetary Union
    by Nikolay Hristov & Oliver Hülsewig & Timo Wollmershäuser

  • 2010 Remittances and Financial Openness
    by Michel Beine & Elisabetta Lodigiani & Robert Vermeulen

  • 2010 Monetary Policy, Model Uncertainty and Exchange Rate Volatility
    by Agnieszka Markiewicz

  • 2010 Discretionary Fiscal Policy: Review and Estimates for the EU
    by Roel Beetsma & Massimo Giuliodori

  • 2010 Financial Crises and Macro-Prudential Policies
    by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young

  • 2010 Bank Bailouts, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr

  • 2010 Monetary Policy Rules and Foreign Currency Positions
    by Bianca De Paoli & Hande Küçük-Tuger & Jens Søndergaard

  • 2010 Revisiting Overborrowing and Its Policy Implications
    by Gianluca Benigno & Huigang Chen & Chris Otrok & Alessandro Rebucci & Eric Young

  • 2010 How Big (Small?) are Fiscal Multipliers?
    by Ethan Ilzetzki & Enrique G. Mendoza & Carlos A. Végh

  • 2010 A country-risk approach to the business cycle. With an application to Argentina
    by Jorge C. Ávila

  • 2010 The Greek Debt Crisis: Likely Causes, Mechanics and Outcomes
    by Arghyrou, Michael G & Tsoukalas, John D.

  • 2010 Why crises happen - nonstationary macroeconomics
    by Davidson, James & Meenagh, David & Minford, Patrick & Wickens, Michael

  • 2010 Financial Choice in a Non-Ricardian Model of Trade
    by Katheryn Russ & Diego Valderrama

  • 2010 Interest Rate Rules, Endogenous Cycles, and Chaotic Dynamics in Open Economies
    by Marco Airaudo & Luis-Felipe Zanna

  • 2010 Identifying Shocks in Regionally Integrated East Asian Economies with Structural VAR and Block Exogeneity
    by Kiyotaka Sato & Zhaoyong Zhang & Michael McAleer

  • 2010 Productivity, the Terms of Trade, and the Real Exchange Rate: Balassa-Samuelson Hypothesis Revisited
    by Ehsan U. Choudhri & Lawrence L. Schembri

  • 2010 International Menu Costs and Price Dynamics
    by Raphael Schoenle

  • 2010 Bilateral Trade, Openness and Asset Holdings
    by Alexandra Peter

  • 2010 Monetary policy rules and foreign currency positions
    by De Paoli, Bianca & Küçük-Tuğer, Hande & Søndergaard, Jens

  • 2010 DSGE model restrictions for structural VAR identification
    by Liu, Philip & Theodoridis, Konstantinos

  • 2010 The Domestic and International Effects of Interstate U.S. Banking
    by Fabio Ghironi & Viktors Stebunovs

  • 2010 How does monetary policy respond to exchange rate movements? New international evidence
    by Hilde C. Bjørnland & Jørn I. Halvorsen

  • 2010 Fiscal and exchange rate policies during the Argentine and Uruguayan crisis of 2001-2002
    by José Mourelle

  • 2010 Beggar Thy Neighbour: British Imports during the Inter-War Years and the effect of the 1932 tariff
    by Nicholas Horsewood & Somnath Sen & Anca Voicu

  • 2010 Too Much to Lose, or More to Gain? Should Sweden Join the Euro?
    by J James Reade & Ulrich Volz

  • 2010 Does Inflation Targeting decrease Exchange Rate Pass-through in Emerging Countries?
    by Coulibaly, D. & Kempf, H.

  • 2010 External trade and monetary policy in a currency area
    by Martina Cecioni

  • 2010 Monetary Policy Transmission and Macroeconomic Dynamics in Luxembourg: Results from a VAR Analysis
    by Romuald Morhs

  • 2010 The Transmission of Shocks to the Chinese Economy in a Global Context: A Model-Based Approach
    by Jeannine Bailliu & Patrick Blagrave

  • 2010 Determinants of the structural real exchange rates and economic structures in Argentina, Chile and Mexico
    by VALDIVIA, Fernando Zarzosa

  • 2010 The balance-of-payments constraint on economic growth in a long-term perspective: Spain, 1850-2000
    by Oscar Bajo-Rubio

  • 2010 External imbalances in a monetary union. Does the Lawson doctrine apply to Europe?
    by Mariam Camarero & Josep Lluís Carrion-i-Silvestre & Cecilio Tamarit

  • 2010 Australia-New Zealand Currency Union: A Structural Approach
    by Daisy McGregor

  • 2010 Milestones of European Integration: Which matters most for Export Openness?
    by Robinson Kruse & Sanne Hiller

  • 2010 Weathering the financial storm: The importance of fundamentals and flexibility
    by Thorvardur Tjörvi Ólafsson & Thórarinn G. Pétursson

  • 2010 Monetary and Exchange Rate Policies
    by Levy Yeyati, Eduardo & Sturzenegger, Federico

  • 2010 INTERNATIONAL FINANCE AND OPEN-ECONOMY MACROECONOMICS:Theory, History, and Policy
    by Hendrik Van den Berg

  • 2010 MACROECONOMICS:(With Study Guide CD-ROM)
    by Jagdish Handa

  • 2010 Contagion and Spillovers: New Insights from the Crisis
    by Peter Backé & Martin Feldkircher & Ernest Gnan & Mathias Lahnsteiner & Ewald Nowotny & Jürgen Kröger & Stefan Kuhnert & Mary McCarthy & Sebastián Nieto-Parra & Javier Santiso & Stéphane Dees & Filippo di Mauro & Catherine Keppel & Julia Wörz & Már Gudmundsson & Thorsteinn Thorgeirsson & Eugenio Cerutti & Anna Ilyina & Yulia Makarova & Christian Schmieder & Ove Sten Jensen & Claus Johansen & Sonsoles Gallego & Sándor Gardó & Reiner Martin & Luis Molina & José Maria Serena & Violetta Klyviene & Lars Tranberg Rasmussen & Dimitry Sologoub

  • 2010 The Quest for Stability: the macro view
    by Willem H. Buiter & Stefan Gerlach & Clemens J.M. Kool & José Viñals

  • 2010 Does the Nominal Exchange Rate Regime Affect the Real Interest Parity Condition?
    by Dreger, Christian

  • 2010 Country Risk – Barrier or Key Factor of Globalization
    by Elena-Mihaela ILIESCU & Marilena CIOBANASU

  • 2010 Uncovering Developing Countries’ Performance in Trade in Services
    by Saez, Sebastian & Grover, Arti

  • 2010 Exchange Rate and Interest Rate Distribution and Volatility under the Portuguese Target Zone
    by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte

  • 2010 Indo - Brazilian Trade: Trends, Composition And Future
    by Rajesh K. PILLANIA

  • 2010 International Division Of Labour In The Context Of Globalisation: The Case Of The Czech Republic
    by Michal TVRDON

  • 2010 Euro and Technology Effects on Job Turnover in Greek Manufacturing
    by Yu Hsing

  • 2010 The Law of One Price: Survey of a Failure
    by Alessio Emanuele BIONDO

  • 2010 International Policy Coordination and Simple Monetary Policy Rules
    by Wolfram Berger

  • 2010 Discussion: Measuring the Natural Output Level by DSGE Models: An Empirical Investigation for Switzerland
    by Yvan Lengwiler & Jean-Marc Natal

  • 2010 Measuring the Natural Output Level by DSGE Models: An Empirical Investigation for Switzerland
    by Stefan Leist & Klaus Neusser

  • 2010 A Tale of Two Thailands: A Minskyan Analysis of Growth in Different Regimes
    by David M. Brennan

  • 2010 An Estimated Small Open Economy New-Keynesian Model of the Australian Economy
    by Heidari, Hassan

  • 2010 The Balassa-Samuelson Effect in Romania
    by Dedu, Vasile & Dumitrescu, Bogdan Andrei

  • 2010 Business Cycle Correlation of the New Meber States with Eurozone - The Case of Romania
    by Dumitru, Ionut & Dumitru, Ionela

  • 2010 Responses of Real Output in Serbia to the Financial and Global Economic Conditions
    by Hsing, Yu & Hsieh, Wen-jen

  • 2010 Consideraciones sobre el nivel óptimo de reservas internacionales para Bolivia: 2003-2009
    by Cerezo Aguirre, Sergio Cerezo Aguirre

  • 2010 Macroeconomic Adjustment to the Lehman Shock in Japan
    by Asako, Kazumi & Ochiai, Katsuaki

  • 2010 Explaining Home Bias in Trade: The Role of Time Costs
    by Lee, Inkoo

  • 2010 Quantitative properties of sovereign default models: solution methods
    by Juan Carlos Hatchondo & Leonardo Martinez & Horacio Sapriza

  • 2010 Fiscal Policy and Default Risk in Emerging Markets
    by Gabriel Cuadra & Juan Sanchez & Horacio Sapriza

  • 2010 How Much Does Household Collateral Constrain Regional Risk Sharing?
    by Hanno Lustig & Stijn Van Nieuwerburgh

  • 2010 Estimating the Baumol-Bowen and Balassa-Samuelson Effects in the Polish Economy - a Disaggregated Approach
    by Karolina Konopczak & Andrzej Torój

  • 2010 Exchange Rate Pass-through to Consumer Prices in Pakistan: Does Misalignment Matter?
    by Atif Ali Jaffri

  • 2010 The Global Financial Crisis, Where Does Place Romanian Economy In EU?
    by Paul-Bogdan Zamfir

  • 2010 The Concept of Intellectual Capital in Maritime Transport
    by Utureanu Simona & Nistor Cristina

  • 2010 Advantages and Disadvantages of Globalization
    by Podasca Raluca

  • 2010 The external competitiveness of the New Member States
    by Ciurila Nicoleta

  • 2010 Demo-economic Processes within the Context of Globalization
    by BRAN Florina

  • 2010 Does Trade Openness Reduce Inflation? Empirical Evidence from Pakistan
    by Tahir Mukhtar

  • 2010 The Non-Linear Dynamic Relationship between Exchange Rates and Macroeconomic Fundamentals in G-7 Countries
    by Chien-Chiang Lee & Tsangyao Chang & Chi-Chuan Lee & Hsin-Yi Lin

  • 2010 A Graphical Analyzing the Honeymoon Effect of Exchage Rate Target Zones with Uncertain Policy in an Open Economy?An Example of Disturbances in Aggregate Supply
    by Peir-Shyan Liaw & Yu-Shin Shen

  • 2010 Escape Clauses and Targeting of the Real Exchange Rate: The case of Nominal Exchange Rate Peggin
    by Pablo Gonzalez M.

  • 2010 The Zero Lower Bound and Monetary Policy in a Global Economy: A Simple Analytical Investigation
    by Ippei Fujiwara & Nao Sudo & Yuki Teranishi

  • 2010 Commentary: Inflation Pressures and Monetary Policy in a Global Economy
    by Jordi Galí

  • 2010 Policies to Rebalance the Global Economy After the Financial Crisis
    by Charles Freedman & Michael Kumhof & Douglas Laxton & Dirk Muir

  • 2010 The Role of Macro Imbalances in the US Recession of 2007¡V2009
    by Biru Paksha Paul

  • 2010 China’s Equilibrium Exchange Rate Dynamics 1994–2004: A Cointegration Analysis
    by Jingtao Yi

  • 2010 Exchange Rate Pass-Through: The Case of China
    by Jinbin Wang & Nan Li

  • 2010 The Taylor Rules and Macroeconomic Fluctuation in China: 1994–2006
    by Qiong Li & Zhiwei Wang

  • 2010 The Internal and External Equilibrium Exchange Rate of RMB: 1982–2010
    by Yizhong Wang

  • 2010 The Model and Empirical Estimation of the Optimal Flexibility of RMB Exchange-Rate Regime: A Study Based on the Price-Stabilization
    by Xiaohui Liu & Conglai Fan

  • 2010 Purchasing Power Parity in CEE and Post-War Former Yugoslav States
    by Robert J. Sorona & Josip Tica

  • 2010 Planes no creíbles de estabilización de precios, riesgo cambiario y opciones reales para posponer consumo. Un análisis con volatilidad estocástica
    by Venegas-Martínez, Francisco

  • 2010 Efectividad de la intervención cambiaria en Guatemala
    by Castillo Maldonado, Carlos Eduardo

  • 2010 The Euro: It Happened, It's Not Reversible, So… Make It Work
    by Lars Jonung & Eoin Drea

  • 2010 The Euro and the German Veto
    by Roland Vaubel

  • 2010 The Secret of the Euro's Success
    by George Selgin

  • 2010 Mundell Changed His Mind
    by Ronald I. McKinnon

  • 2010 There Was No Analytical Alternative to the Theory of Optimum Currency Areas
    by Peter B. Kenen

  • 2010 It Has Happened—And It Will Continue to Succeed
    by Otmar Issing

  • 2010 Reflections on Currency Reform and the Euro
    by Steve H. Hanke

  • 2010 Understanding the Euro Requires Political Economy, Not Just Economics
    by Charles Goodhart

  • 2010 A Political Scientist's Perspective
    by Jeffry Frieden

  • 2010 I Was a Euro Enthusiast
    by C. Fred Bergsten

  • 2010 It Can't Happen, It's a Bad Idea, It Won't Last: U.S. Economists on the EMU and the Euro, 1989–2002
    by Lars Jonung & Eoin Drea

  • 2010 “Dvostruki deficit” u Hrvatskoj i njegove posljedice
    by Mladen Vedriš & Nenad Ran?i?

  • 2010 Platna bilanca, inozemna zaduženost i ekonomska politika Hrvatske
    by Dubravko Radoševi?

  • 2010 Cointegration Analysis Of Tourism Demand For Turkey
    by KETENCI, Natalya

  • 2010 German Exports on the Rise: Domestic Demand Should Follow
    by Mechthild Schrooten & Isabel Teichmann

  • 2010 Export wieder auf Touren: Binnennachfrage muss nachziehen
    by Mechthild Schrooten & Isabel Teichmann

  • 2010 El sector externo y su incidencia en la ocupación en Colombia 1985-2006
    by Esperanza Bonilla Olano

  • 2010 Paul Krugman y el nuevo comercio internacional
    by Jose Zacarias Mayorga Sanchez & Clemencia Martinez Aldana

  • 2010 IMPUESTOS LATINOAMERICANOS, BOLIVIA,COLOMBIA, PANAMA; Impuesto al valor agregado e impuesto sobre la renta
    by Campo Alcides Avellaneda Bautista & Rosa Trujillo Rendon

  • 2010 Early Warning Indicators for Latin America
    by Fernando Tenjo & Martha López

  • 2010 What Drives Business Cycles And International Trade In Emerging Market Economies?
    by MARCELO SÁNCHEZ

  • 2010 “Tropical” Real Business Cycles? A Bayesian Exploration
    by ANDRÉS FERNÁNDEZ

  • 2010 Crecimiento restringido por balanza de pagos en Brasil (1963-2005)
    by Yanod Márquez Aldana

  • 2010 Markets Integration and Macroeconomic. Dispersion in a Monetary Union
    by Aurélien Eyquem & Jean-Christophe Poutineau

  • 2010 Déséquilibres mondiaux, taux de change et ajustements macroéconomiques. Un modèle « stock flux cohérent » à trois pays
    by Jacques Mazier & Gnanonobodom Tiou-Tagba Aliti

  • 2010 La trappe à liquidité globale
    by Olivier Jeanne

  • 2010 Currency collapses and output dynamics: a long-run perspective
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  • 2010 What Drives Business Cycles and International Trade in Emerging Market Economies?
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    by Ph.D Student Marjan Petreski

  • 2010 Euro-dollar ratio of forces in the current stage of economic-financial crisis
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    by Olivier Jeanne & Anton Korinek

  • 2010-2011 Monetary Policy and Boom-Bust Cycles: The Role of Central Bank Communication
    by Rolf Knütter & Helmut Wagner

  • 2009 Currency Substitution and Central Bank Independence in the Central and Eastern European Economies
    by Bouyon, Sylvain

  • 2009 Exchange Rate Fluctuations and the Balance of Payments: Channels of Interaction in Developing and Developed Countries
    by Kandil, Magda

  • 2009 Post liberalization global financial crises: Comparison with 2006-2007 fluctuations
    by Leyla BAŞTAV

  • 2009 Exchange Rate Behaviour in an Oil-Dependent Economy: The Experience of the Sudanese Dinar
    by Marial A. Yol

  • 2009 Liberalization and India’s Business Cycle Synchronization with the US
    by Paksha, Biru

  • 2009 Consumption Smoothing and Current Account Balance in India: Further Evidence
    by Khundrakpam , J. K. & Ranjan, Rajiv

  • 2009 Real exchange rates and real interest rate differentials: a present value interpretation
    by Mathias Hoffmann & Ronald MacDonald

  • 2009 When does it hurt? The exchange rate "pain threshold" for German exports
    by Belke, Ansgar & Göcke, Matthias & Guenther, Martin

  • 2009 When Does It Hurt? The Exchange Rate ""Pain Threshold"" for German Exports
    by Belke, Ansgar & Goecke, Matthias & Guenther, Martin

  • 2009 Inflation differentials in the Euroa area and their determinants: an empirical vies
    by Žďárek, Václav & Aldasoro, Juan Ignacio

  • 2009 Global rebalancing in a three-country model
    by Engler, Philipp

  • 2009 Comparing monetary policy rules in a small open economy framework: An empirical analysis using Bayesian techniques
    by Eschenhof, Sabine

  • 2009 Deciding to peg the exchange rate in developing countries: the role of private-sector debt
    by Harms, Philipp & Hoffmann, Mathias

  • 2009 Transmission of nominal exchange rate changes to export prices and trade flows and implications for exchange rate policy
    by Hoffmann, Mathias & Holtemöller, Oliver

  • 2009 The relationship between trade openness and public expenditure. The spanish case, 1960-2000
    by Mª Dolores Gadea Rivas & Marcela Sabaté Sort & Estela Sáenz Rodríguez

  • 2009 Cari İşlemler Dengesi Gelişmeleri
    by Fazıl Kayıkçı

  • 2009 Türkiye'de ve Yükselen Piyasa Ekonomilerinde Is Çevrimleri (Business Cycles in Turkey and in Emerging Market Economies)
    by Sumru Altug

  • 2009 An Estimated DSGE Model of Austria, the Euro Area and the U.S.: Some Welfare Implications of EMU
    by Fritz Breuss & Jorge A. Fornero

  • 2009 The implementation of monetary and fiscal rules in the EMU: a welfare-based analysis
    by Amedeo Argentiero

  • 2009 International Outsourcing and Wage Rigidity: A Formal Approach and First Empirical Evidence
    by Daniel Horgos

  • 2009 Will the "Great Recession" further drift apart the competitiveness in the EU?
    by Fritz Breuss

  • 2009 Banks, Financial Markets and International Consumption Risk Sharing
    by Markus Leibrecht & Johann Scharler

  • 2009 Dynamic Factor Price Equalization and International Convergence
    by Joseph F. Francois & Clinton R. Shiells

  • 2009 Entwicklungen der Weltwirtschaft im Kontext der Finanzmarktkrise
    by Michael Landesmann & Roman Stöllinger

  • 2009 Inflation Differentials in the Euro Area and their Determinants ??? an empirical view
    by Juan Ignacio Aldasoro & V??clav ??????rek

  • 2009 Currency Substitution: A Case Of Kazakhstan (2000:1-2007:12)
    by Mesut Yilmaz & Yessengali Oskenbayev & Kanat Abdulla

  • 2009 The Dynamic Interrelations between Unequal Neighbors: An Austro-German Case Study
    by Klaus Prettner & Robert M. Kunst

  • 2009 Macroeconomic Interdependence in a Two-Country DSGE Model under Diverging Interest-Rate Rules
    by Ulrich Gunter

  • 2009 The Volatility of the Tradeable and Nontradeable Sectors: Theory and Evidence
    by Laura Povoledo

  • 2009 The Volatility of the Tradeable and Nontradeable Sectors: Theory and Evidence
    by Laura Povoledo

  • 2009 Heterogeneous Expectations and Exchange Rate Dynamics
    by Carl Chiarella & Xue-Zhong He & Min Zheng

  • 2009 The macroeconomics of financial crises: How risk premiums, liquidity traps and perfect traps affect policy options
    by Manfred Gärtner & Florian Jung

  • 2009 Bubbles, External Imbalances & Demand for International Liquidity in the Bretton Woods II System
    by Andrea Ricci

  • 2009 Assessing Monetary Policy Efficiency in the ASEAN-5 Countries
    by Arief Ramayandi

  • 2009 Mananging Financial Instability: Why Prudence is not Enough?
    by Yilmaz Akyüz

  • 2009 Monetary policy transparency and inflation persistence in a small open economy
    by Meixing DAI & Moïse SIDIROPOULOS & Eleftherios Spyromitros

  • 2009 External constraint and financial crises with balance sheet effects
    by Meixing DAI

  • 2009 Sources of Current Account Fluctuations in Industrialized Countries
    by Aikaterini Karadimitropoulou & Miguel A. León-Ledesma

  • 2009 Financial Frictions and Monetary Transmission Strength: A Cross-Country Analysis
    by Uluc Aysun & Ryan Brady & Adam Honig

  • 2009 Exchange rate exposure: A nonparametric approach
    by Uluc Aysun & Melanie Guldi

  • 2009 State-Uncertainty preferences and the Risk Premium in the Exchange rate market
    by Juan-Ángel Jiménez-Martín & Alfonso Novales Cinca

  • 2009 Hours Worked and Permanent Technology Shocks in Open Economies
    by Dupaigne, Martial & Fève, Patrick

  • 2009 Modeling News-Driven International Business Cycles
    by Beaudry, Paul & Dupaigne, Martial & Portier, Franck

  • 2009 How Important is the Currency Denomination of Exports in Open-Economy Models?
    by Michael Dotsey & Margarida Duarte

  • 2009 Monetary Shocks and Central Bank Liquidity with Credit Market Imperfections
    by Pierre-Richard Agenor & Koray Alper

  • 2009 Des insuffisances de la PPA à l’apport du NATREX : une revue critique des théories du taux de change réel d’équilibre
    by Serge REY

  • 2009 When bonds matter: home bias in goods and assets
    by Nicolas Coeurdacier & Pierre-Olivier Gourinchas

  • 2009 International portfolios with supply, demand and redistributive shocks
    by Nicolas Coeurdacier & Robert Kollmann & Philippe Martin

  • 2009 How do different exporters react to exchange rate changes? Theory, empirics and aggregate implications
    by Nicolas Berman & Thierry Mayer & Philippe Martin

  • 2009 Ramsey Policies in a Small Open Economy with Sticky Prices and Capital
    by Stéphane Auray & Beatriz de Blas & Aurélien Eyquem

  • 2009 La stratégie de croissance accélérée du Sénégal est t-elle pro-pauvre
    by François Joseph Cabral

  • 2009 Inflation Targets in a Monetary Union with Endogenous Entry
    by Stéphane Auray & Aurélien Eyquem & Jean-Christophe Poutineau

  • 2009 Central Bank Preferences, Distribution Forecasts and Economic Stability in a Small Open-economy
    by Alessandro Flamini

  • 2009 International business cycles and the relative price of investment goods
    by Parantap Basu & Christoph Thoenissen

  • 2009 The Volatility of the Tradeable and Nontradeable Sectors: Theory and Evidence
    by Laura Povoledo

  • 2009 Solving Exchange Rate Puzzles with neither Sticky Prices nor Trade Costs
    by Maurice J. Roche & Michael J. Moore

  • 2009 A bayesian estimation of a DSGE model with financial frictions
    by Rossana Merola

  • 2009 The Elasticity of Substitution and the Sector Bias of International Outsourcing: Solving the Puzzle
    by Horgos, Daniel

  • 2009 Transport Costs, Relative Prices, and International Risk Sharing
    by Lee , Inkoo & Oh , Yonghyup

  • 2009 Exchange Rate Regimes in the Asia-Pacific Region and the Global Financial Crisis
    by McKibbin, Warwick J. & Chanthapun, Waranya Pim

  • 2009 Impacts of the Global Financial Crisis on Small and Medium Enterprises in the People's Republic of China
    by Liu, Xiangfeng

  • 2009 Fiscal Policy in the Crisis: Impact, Sustainability, and Long-Term Implications
    by Padoan, Pier Carlo

  • 2009 The Role and Effectiveness of Unconventional Monetary Policy
    by Morgan, Peter

  • 2009 Why was Japan Hit So Hard by the Global Financial Crisis?
    by Kawai, Masahiro & Takagi, Shinji

  • 2009 The Republic of Korea's Economy in the Swirl of Global Crisis
    by Cho, Dong Chul

  • 2009 Causes and Consequences of Global Imbalances: Perspective from Developing Asia
    by Adams, Charles & Park, Donghyun

  • 2009 Equilibrium Real Exchange Rate, Misalignment, and Export Performance in Developing Asia
    by Jongwanich, Juthathip

  • 2009 Are Eu Budget Deficits Stationary?
    by Mark J. Holmes & Jesús Otero & Theodore Panagiotidis

  • 2009 Modelo de Proyección Trimestral del BCRP
    by Departamento de Modelos Macroeconómicos

  • 2009 A Dynamic Stochastic General Equilibrium Model with Dollarization for the Peruvian Economy
    by Castillo, Paul & Montoro, Carlos & Tuesta, Vicente

  • 2009 Macroeconomic Volatility and Terms of Trade Shocks
    by Dan Andrews & Daniel Rees

  • 2009 Currency Misalignments and Optimal Monetary Policy: A Re-examination
    by Charles Engel

  • 2009 Consumption and Real Exchange Rates in Professional Forecasts
    by Michael B. Devereux & Gregor W. Smith & James Yetman

  • 2009 The Monetary Transmission Mechanism for a Small Open Economy in a Monetary Union
    by Bernardino Adão

  • 2009 Exchange rate pass-through to inflation in Mongolia
    by Doojav, Gan-Ochir

  • 2009 Measuring Switzerland's Productivity Performance (1960-2008)
    by Jalil, Muaz

  • 2009 Does Purchasing Power Parity hold in Thailand?
    by Jiranyakul, Komain & Batavia, Bala

  • 2009 How did the Malaysian real exchange rate misalign during the 1997 Asian crisis?
    by niaz ahmad mohd, Naseem & yusop, Zulkornain & masron, Tajul ariffin

  • 2009 Perturbaciones Internacionales y Fluctuaciones del Producto Interno Bruto en una Economía en Desarrollo: Evidencia de República Dominicana para el Período 1998-2008
    by Ramirez, Francisco A.

  • 2009 Exchange rate regimes and monetary autonomy: Empirical evidence from selected Caribbean countries
    by Craigwell, Roland & Greenidge, Kevin & Maynard, Tracy

  • 2009 A model for assessing Romania's real convergence based on distances and clusters methods
    by Miron, Dumitru & Dima, Alina & Paun, Cristian

  • 2009 The contribution of domestic, regional and international factors to Latin America's business cycle
    by Boschi, Melisso & Girardi, Alessandro

  • 2009 Measuring exchange rate flexibility in Europe
    by Gaetano, D'Adamo

  • 2009 Foreign Direct Investment in Bangladesh: An Empirical Analysis on its Determinants and Impacts
    by Quader, Syed Manzur

  • 2009 The impacts of economic structures on the performance of simple policy rules in a small open economy
    by Siok Kun, Sek

  • 2009 Exchange Rate Pass-through in Nigeria: Evidence from a Vector Error Correction Model
    by Aliyu, Shehu Usman Rano & Yakub, Ma'aji Umar & Sanni, Ganiyu Kayode & Duke, Omolara

  • 2009 Financial Integration and Capital Accumulation
    by Panousi, Vasia

  • 2009 Innovation and the Elasticity of Trade Volumes to Tariff Reductions
    by Rubini, Loris

  • 2009 Trade costs, Openness and Productivity: Market Access at Home and Abroad
    by Lejour, Arjan & Rojas Romasgosa, Hugo & Rodriguez, Victor & Montalvo, Carvos & Van der Zee, Frans

  • 2009 Business cycle synchronicity, amplitude and the euro: one size does not yet fit all
    by Wälti, Sébastien

  • 2009 The myth of decoupling
    by Wälti, Sébastien

  • 2009 Contagion of Financial Crises in Sovereign Debt Markets
    by Lizarazo, Sandra

  • 2009 How Does Financial Openness Affect Economic Growth and its Components?
    by Garita, Gus

  • 2009 Are real exchange rates mean reverting? Evidence from a panel of OECD countries
    by Levent, Korap

  • 2009 A Small Open Economy with Heterogenous Agents Facing Interest Rate Ceilings on Loans
    by Arend, Mario

  • 2009 Endogenous Growth Models in Open Economies: A Possibility of Permanent Current Account Deficits
    by Harashima, Taiji

  • 2009 External rebalancing is not just an exporters' story: real exchange rates, the non-tradable sector and the euro
    by Ruscher, Eric & Wolff, Guntram B.

  • 2009 Latin America: The Missing Financial Crisis
    by Porzecanski, Arturo C.

  • 2009 Managing the Impossible Trinity: The Case of Malaysia
    by Goh, Soo Khoon

  • 2009 Ageing and Export Dependency
    by Vistesen, Claus

  • 2009 Saving-Investment Relationship and Capital Mobility:Evidence from Chinese Provincial Data, 1980—2007
    by Yoshihiro, Hashiguchi & Shigeyuki, Hamori

  • 2009 Empirical Analysis of Export Demand Behavior of LDCs: Panel Cointegration Approach
    by Shigeyuki, Hamori & Yoichi, Matsubayashi

  • 2009 The quest for monetary integration – the Hungarian experience
    by Zoican, Marius Andrei

  • 2009 Empirical Analysis of Import Demand Behavior of Least Developed Countries
    by Yoichi, Matsubayashi & Shigeyuki, Hamori

  • 2009 Intervention index and exchange rate regimes: the cases of selected East-Asian economies
    by Pontines, Victor & Siregar, Reza

  • 2009 Private Debt with Default Risk within and across Border
    by Gao, Xiang

  • 2009 Competitiveness and the real exchange rate: the standpoint of countries in the CEMAC zone
    by Lendjoungou, Francis

  • 2009 Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy
    by Hernandez-Verme, Paula & Wang, Wen-Yao

  • 2009 Dynamic Effects of Oil Price Shocks and their Impact on the Current Account
    by Schubert, Stefan Franz

  • 2009 A Dynamic Model of Economic Growth in a Small Tourism Driven Economy
    by Schubert, Stefan Franz & Brida, Juan Gabriel

  • 2009 The pass-through effect: a twofold analysis
    by Forte, Antonio

  • 2009 Impact of Oil Price Shock and Exchange Rate Volatility on Economic Growth in Nigeria: An Empirical Investigation
    by Aliyu, Shehu Usman Rano

  • 2009 The Determinants of International Reserves in the Emerging Countries: a Non-Linear Approach
    by Delatte, Anne-Laure & Fouquau, Julien

  • 2009 Overborrowing and Systemic Externalities in the Business Cycle
    by Bianchi, Javier

  • 2009 Is there a Role for International Trade Costs in Explaining the Central Bank Behavior?
    by Hakan, Yilmazkuday

  • 2009 Equity Returns and Business Cycles in Small Open Economies
    by Jahan-Parvar, Mohammad R. & Liu, Xuan & Rothman, Philip

  • 2009 Long-run validity of purchasing power parity and rank tests for cointegration for Central Asian Countries
    by Liew, Venus Khim-Sen & Chia, Ricky Chee-Jiun & Ling, Tai-Hu

  • 2009 An Overinvestment Cycle in Central and Eastern Europe?
    by Hoffmann, Andreas

  • 2009 Overborrowing and Systemic Externalities in the Business Cycle
    by Bianchi, Javier

  • 2009 The Volatility of the Tradeable and Nontradeable Sectors: Theory and Evidence
    by Povoledo, Laura

  • 2009 Does Fed Funds Target Interest Rate Lead Bank of England’s Bank Rate and European Central Bank’s Key Interest Rate?
    by Çelik, Sadullah & Deniz, Pınar

  • 2009 Asymmetric cointegration relationship between real exchange rate and trade variables: The case of Malaysia
    by Duasa, Jarita

  • 2009 Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy
    by Wang, Wen-Yao & Hernandez-Verme, Paula

  • 2009 The first global financial crisis of the 21st century: Part II, June-December, 2008
    by Reinhart, Carmen & Felton, Andrew

  • 2009 The new architecture of economies' typology within the globalization context
    by Popa, Catalin C.

  • 2009 Tariff and Equilibrium Indeterminacy
    by Zhang, Yan

  • 2009 The prospects for Romania and state of the conduct ISPA Program
    by Duduiala-Popescu, Lorena

  • 2009 Risk Matters: The Real Effects of Volatility Shocks
    by Jesus Fernandez-Villaverde & Pablo Guerron-Quintana & Juan F. Rubio-Ramírez & Martin Uribe

  • 2009 Monetary Policy in a Currency Union with Heterogeneous Limited Asset Markets Participation
    by Fabian Eser

  • 2009 Too Much to Lose, or More to Gain? Should Sweden Join the Euro?
    by J. James Reade & Ulrich Volz

  • 2009 Leader of the Pack? German Monetary Dominance in Europe Prior to EMU
    by J. James Reade & Ulrich Volz

  • 2009 Demographic Changes and the Gains from Globalisation: An Overlapping Generations CGE Analysis
    by Marcel Mérette & Patrick Georges

  • 2009 Monetary Policy in a Currency Union with Heterogeneous Limited Asset Markets Participation
    by Fabian Eser

  • 2009 Employment and exchange rates: the role of openness and technology
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2009 Aggregate and sector-specific exchange rate indexes for the Portuguese economy
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2009 Estimation of De Facto Flexibility Parameter and Basket Weights in Evolving Exchange Rate Regimes
    by Jeffrey A. Frankel & Daniel Xie

  • 2009 Financial Choice in a Non-Ricardian Model of Trade
    by Katheryn N. Russ & Diego Valderrama

  • 2009 The Feldstein-Horioka fact
    by Domenico Giannone & Michele Lenza

  • 2009 Financial Globalization, Financial Crises and Contagion
    by Enrique G. Mendoza & Vincenzo Quadrini

  • 2009 FINANCIAL CRISES AND LIQUIDITY SHOCKS: A Bank-Run Perspective
    by Guillermo A. Calvo

  • 2009 One TV, One Price?
    by Jean Imbs & Haroon Mumtaz & Morten O. Ravn & Hélène Rey

  • 2009 Are Hard Pegs Ever Credible in Emerging Markets? Evidence from the Classical Gold Standard
    by Kris James Mitchener & Marc D. Weidenmier

  • 2009 Lost in Transit: Product Replacement Bias and Pricing to Market
    by Emi Nakamura & Jón Steinsson

  • 2009 Trending Current Accounts
    by Horag Choi & Nelson C. Mark

  • 2009 Capital Market Integration and Wages
    by Anusha Chari & Peter Blair Henry & Diego Sasson

  • 2009 Policy Responses to Exchange-Rate Movements
    by Laurence M. Ball

  • 2009 Hedging Price Volatility Using Fast Transport
    by David L. Hummels & Georg Schaur

  • 2009 Transmission of the U.S. Subprime Crisis to Emerging Markets: Evidence on the Decoupling-Recoupling Hypothesis
    by Michael P. Dooley & Michael M. Hutchison

  • 2009 Global Savings and Global Investment: The Transmission of Identified Fiscal Shocks
    by James Feyrer & Jay C. Shambaugh

  • 2009 Effects of Japanese Macroeconomic Announcements on the Dollar/Yen Exchange Rate: High-Resolution Picture
    by Yuko Hashimoto & Takatoshi Ito

  • 2009 On the Unstable Relationship between Exchange Rates and Macroeconomic Fundamentals
    by Philippe Bacchetta & Eric van Wincoop

  • 2009 Risk Matters: The Real Effects of Volatility Shocks
    by Jesús Fernández-Villaverde & Pablo A. Guerrón-Quintana & Juan Rubio-Ramírez & Martín Uribe

  • 2009 The Finnish Great Depression: From Russia with Love
    by Yuriy Gorodnichenko & Enrique G. Mendoza & Linda L. Tesar

  • 2009 The Law of One Price Without the Border: The Role of Distance Versus Sticky Prices
    by Mario J. Crucini & Mototsugu Shintani & Takayuki Tsuruga

  • 2009 Currency Misalignments and Optimal Monetary Policy: A Reexamination
    by Charles Engel

  • 2009 Financial Instability, Reserves, and Central Bank Swap Lines in the Panic of 2008
    by Maurice Obstfeld & Jay C. Shambaugh & Alan M. Taylor

  • 2009 Time of Troubles: The Yen and Japan's Economy, 1985-2008
    by Maurice Obstfeld

  • 2009 Consumption and Real Exchange Rates in Professional Forecasts
    by Michael B. Devereux & Gregor W. Smith & James Yetman

  • 2009 Valuation Effects and the Dynamics of Net External Assets
    by Michael B. Devereux & Alan Sutherland

  • 2009 How Big are the Gains from International Financial Integration?
    by Indrit Hoxha & Sebnem Kalemli-Ozcan & Dietrich Vollrath

  • 2009 The Macroeconomic Effects of Losing Autonomous Monetary Policy after the Euro Adoption in Poland
    by Michał Gradzewicz & Krzysztof Makarski

  • 2009 VARMA models for Malaysian Monetary Policy Analysis
    by Mala Raghavan & George Athanasopoulos & Param Silvapulle

  • 2009 External imbalances and collateral constraints in a two-country world
    by Eleni Iliopulos

  • 2009 Exchange-Rate Pass Through, Openness, Inflation, and the Sacrifice Ratio
    by Joseph P. Daniels & David D. VanHoose

  • 2009 Sacrifice Ratio Data to Accompany Paper 0901
    by Joseph P. Daniels & David D. VanHoose

  • 2009 Purchasing Power Parity (PPP) in a Transition Economy - Cambodia: Empirical Evidence from Bilateral Exchange Rates
    by Tuck Cheong Tang & Venus Khim-Sen Liew

  • 2009 An Empirical Investigation of Purchasing Power Parity for a Transition Economy - Cambodia
    by Venus Khim-Sen Liew & Tuck Cheong Tang

  • 2009 Capital liberalization and the US external imbalance
    by Elvira Prades & Katrin Rabitsch

  • 2009 International Reserves and Underdeveloped Capital Markets
    by Kathryn M.E. Dominguez

  • 2009 Financial Integration and International Risk Sharing
    by Yan Bai & Jing Zhang

  • 2009 The Collapse of International Trade During the 2008-2009 Crisis: In Search of the Smoking Gun
    by Andrei A. Levchenko & Logan Lewis & Linda L. Tesar

  • 2009 International Trade and Aggregate Fluctuations in Granular Economies
    by Julian di Giovanni & Andrei A. Levchenko

  • 2009 Aggregate and sector-specific exchange rate indexes for the Portuguese economy
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2009 Employment and Exchange rates: the Role of Openness and Technology
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2009 Coordination and Stabilization Gains of Fiscal Policy in a Monetary Union
    by Susana Salvado

  • 2009 Fiscal Policy in a Monetary Union: Gains from Changing Institutions
    by Susana Salvado

  • 2009 On the stationarity of current account deficits in the European Union
    by Mark J. Holmes & Theodore Panagiotidis & Jesus Otero

  • 2009 What Drives US Foreign Borrowing? Evidence on External Adjustment to Transitory and Permanent Shocks
    by Giancarlo Corsetti & Panagiotis Th. Konstantinou

  • 2009 Remittances and Financial Openness
    by Michel Beine & Elisabetta Lodigiani & Robert Vermeulen

  • 2009 Advantages of Fixed Exchange Rate Regime from a General Equilibrium Perspective
    by Viktors Ajevskis & Kristine Vitola

  • 2009 Can Parameter Instability Explain the Meese-Rogoff Puzzle?
    by Philippe Bacchetta & Eric van Wincoop & Toni Beutler

  • 2009 Tacit On the Unstable Relationship between Exchange Rates and Macroeconomic Fundamentals
    by Philippe Bacchetta & Eric van Wincoop

  • 2009 Market Share and Exchange Rate Pass-through:Competition among Exporters of the Same Nationality
    by Yushi Yoshida

  • 2009 Structural and Cyclical Movements of the Current Account in the U.S. 1976-2007
    by Yoichi Matsubayashi

  • 2009 International Business Cycle Spillovers
    by Kamil Yilmaz

  • 2009 Maturity, Indebtedness, and Default Risk
    by Satyajit Chatterjee & Burcu Eyigungor

  • 2009 Banks, Financial Markets and International Consumption Risk Sharing
    by Markus Leibrecht & Johann Scharler

  • 2009 Inflation Dynamics in the New EU Member States: How Relevant Are External Factors?
    by Alexander Mihailov & Fabio Rumler & Johann Scharler

  • 2009 Elasticities of Turkish Exports and Imports
    by Ayla Ogus & Niloufer Sohrabji

  • 2009 Firm Dynamics and Real Exchange Rate Fluctuations: Does Trade Openness Matter? Evidence from Mexico’s Manufacturing Sector
    by Fuentes, Miguel & Ibarrarán, Pablo

  • 2009 Firm Dynamics and Real Exchange Rate Fluctuations: Does Trade Openness Matter? Evidence from Mexico’s Manufacturing Sector
    by Fuentes, Miguel & Ibarrarán, Pablo

  • 2009 Employment and Exchange Rates: The Role of Openness and Technology
    by Alexandre, Fernando & Bação, Pedro & Cerejeira, João & Portela, Miguel

  • 2009 Employment and Exchange Rates: The Role of Openness and Technology
    by Alexandre, Fernando & Bação, Pedro & Cerejeira, João & Portela, Miguel

  • 2009 Search and Offshoring in the Presence of "Animal Spirits"
    by Mitra, Devashish & Ranjan, Priya

  • 2009 Search and Offshoring in the Presence of "Animal Spirits"
    by Mitra, Devashish & Ranjan, Priya

  • 2009 The Finnish Great Depression: From Russia with Love
    by Gorodnichenko, Yuriy & Mendoza, Enrique G. & Tesar, Linda L.

  • 2009 The Finnish Great Depression: From Russia with Love
    by Gorodnichenko, Yuriy & Mendoza, Enrique G. & Tesar, Linda L.

  • 2009 Has Globalization Transformed U.S. Macroeconomic Dynamics?
    by Fabio Milani

  • 2009 The Effect of Global Output on U.S. Inflation and Inflation Expectations: A Structural Estimation
    by Fabio Milani

  • 2009 Global Slack and Domestic Inflation Rates: A Structural Investigation for G-7 Countries
    by Fabio Milani

  • 2009 Heterogenous Behavioral Expectations, FX Fluctuations and Dynamic Stability in a Stylized Two-Country Macroeconomic Model
    by Christian R. Proano

  • 2009 Global Liquidity Trap: A Simple Analytical Investigation
    by Ippei Fujiwara & Nao Sudo & Yuki Teranishi

  • 2009 International Business Cycle Accounting
    by Keisuke Otsu

  • 2009 Financial Stability in Open Economies
    by Ippei Fujiwara & Yuki Teranishi

  • 2009 Incorporation financial sector risk into monetary policy models: application to Chile
    by Dale F. Gray & Carlos Garcia & Leonardo Luna & Jorge Restrepo

  • 2009 Rationale behind the responses of monetary policy to the real exchange rate in small open economies
    by Carlos Garcia & Wildo Gonzalez

  • 2009 Fiscal Rules for Commodity Exporters:Prudence and Procyclicality
    by Carlos Garcia & Jorge Restrepo & Evan Tanner

  • 2009 Hybrid Inflation Targeting Regimes1
    by Carlos Garcia & Jorge Restrepo & Scott Roger

  • 2009 The Impact of the Financial Crisis on Emerging Asia
    by Morris Goldstein & Daniel Xie

  • 2009 A Financial Approach to the Balance of Payments
    by Peijie Wang

  • 2009 Putting Up a Good Fight: The Galí-Monacelli Model versus “The Six Major Puzzles in International Macroeconomicsâ€
    by Stefan Ried

  • 2009 An Estimated Two-Country DSGE Model: losses from UK membership in EMU
    by Moons, Cindy

  • 2009 Re-examining Symmetry of Shocks for East Asia: Results Using a VAR with Sign Restrictions
    by Vu Tuan Khai

  • 2009 Optimal International Reserves of the CNB with Endogenous Probability of Crisis
    by Ana Maria Čeh & Ivo Krznar

  • 2009 Structural Change and Counterfactual Inflation-Targeting in Hong Kong
    by Paul D. McNelis

  • 2009 A Multiple-Horizon Search for the Role of Trade and Financial Factors in Bilateral Real Exchange Rate Volatility
    by Yin-Wong Cheung & Kon S. Lai

  • 2009 Disconnect and Information Content of International Capital Flows: Evidence and Theory
    by Cedric Tille & Eric van Wincoop

  • 2009 A Portfolio Model of Capital Flows to Emerging Markets
    by Michael B Devereux & Alan Sutherland

  • 2009 The Effects of Real Exchange Rate Depreciation in an Economy with Extreme Liability Dollarization
    by Melander, Ola

  • 2009 Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy
    by Paula Hernandez-Verme & Wen-Yao Wang

  • 2009 Exchange Rate Mean Reversion within a Target Zone: Evidence from a Country on the Periphery of the ERM
    by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte

  • 2009 Employment and exchange rates: the role of openness and technology
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2009 Aggregate and sector-specific exchange rate indexes for the Portuguese economy
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2009 An investigation of customer order flow in the foreign exchange market
    by Mario Cerrato & Nicholas Sarantis & Alex Saunders

  • 2009 International Diversification in Debt vs Equity
    by David Amdur

  • 2009 The Welfare Gains of Trade Integration in the European Monetary Union
    by Céline Gimet

  • 2009 The Welfare Gains of Trade Integration in the European Monetary Union
    by Stéphane Auray & Aurélien Eyquem & Jean-Christophe Poutineau

  • 2009 The Effects of Foreign Shocks when Interest Rates are at Zero
    by Bodenstein, Martin & Erceg, Christopher J. & Guerrieri, Luca

  • 2009 State-dependent pricing, local-currency pricing, and exchange rate pass-through
    by Landry, Anthony E.

  • 2009 Global slack and domestic inflation rates: a structural investigation for G-7 countries
    by Milani, Fabio

  • 2009 Has globalization transformed U.S. macroeconomic dynamics?
    by Milani, Fabio

  • 2009 Fiscal stabilization with partial exchange rate pass-through
    by Kersting, Erasmus K.

  • 2009 Investment and trade patterns in a sticky-price, open-economy model
    by Martinez-Garcia, Enrique & Sondergaard, Jens

  • 2009 Exchange rate pass-through in a competitive model of pricing-to-market
    by Auer, Raphael & Chaney, Thomas

  • 2009 Regime Switching Interest Rates and Fluctuations in Emerging Markets
    by Bertrand Gruss & Karel Mertens

  • 2009 The euro: It can't happen, It's a bad idea, It won't last. US economists on the EMU, 1989-2002
    by Lars Jonung & Eoin Drea

  • 2009 Price rigidity in the euro area - An assessment
    by Emmanuel Dhyne & Jerzy Konieczny & Fabio Rumler & Patrick Sevestre

  • 2009 External rebalancing is not just an exporters' story: real exchange rates, the non-tradable sector and the euro
    by Eric Ruscher & Guntram B. Wolff

  • 2009 International Transmission of Business Cycles Between Ireland and its Trading Partners
    by Goggin, Jean & Siedschlag, Iulia

  • 2009 Labor Market Frictions and the International Propagation Mechanism
    by Lise Patureau

  • 2009 Monetary policy under alterative asset market structures: the case of a small open economy
    by Bianca De Paoli

  • 2009 Monetary policy under alternative asset market structures: the case of a small open economy
    by Bianca De Paoli

  • 2009 On the international dimension of fiscal policy
    by Gianluca Benigno & Bianca De Paoli

  • 2009 International business cycles with heterogeneous sectors
    by Keyu Jin

  • 2009 Industrial structure and financial capital flows
    by Keyu Jin

  • 2009 Capital flows and asset prices
    by Kosuke Aoki & Gianluca Benigno & Nobuhiro Kiyotaki

  • 2009 Studying the Relation between the Interest Rates and the Exchange Rate in Belarus under the Speculative Motives Assumption
    by Miksjuk Alexei

  • 2009 Exchange Rate Regimes in the Asia-Pacific Region and the Global Financial Crisis
    by Warwick McKibbin & Waranya Pim Chanthapun

  • 2009 Modelling International Linkages for Large Open Economies: US and Euro Area
    by Mardi Dungey & Denise Osborn

  • 2009 The Feldstein-Horioka Fact
    by Domenico Giannone & Michèle Lenza

  • 2009 Examining the decoupling hypothesis for India
    by Shruthi Jayaram & Ila Patnaik & Ajay Shah

  • 2009 The Impact Of Economic Reforms On Indian Manufacturers : Evidence From A Small Sample Survey
    by Eckhard Siggel & Pradeep Agrawal

  • 2009 The Balassa-Samuelson model in general equilibrium with markup variations
    by Romain Restout

  • 2009 When Does It Hurt?: The Exchange Rate "Pain Threshold" for German Exports
    by Ansgar Belke & Matthias Göcke & Martin Günther

  • 2009 International Outsourcing and Wage Rigidity: A Formal Approach and First Empirical Evidence
    by Daniel Horgos

  • 2009 Exchange Rate Pass-Through in India an Exploration with Sectoral Import Prices
    by Pradyut Kumar Pyne & Saikat Sinha Roy

  • 2009 Sovereign Risk in International Bond Markets and Nonconvergence
    by Volker Böhm & George Vachadze

  • 2009 Nonlinearities in the Real Exchange Rate and Monetary Policy: Interest Rate Rules Reconsidered
    by Konstantinos D. Mavromatis

  • 2009 Worthy Transfers ? A Dynamic Analysis of Turkey’s Accession to the European Union
    by Gul ERTAN OZGUZER & Luca PENSIEROSO

  • 2009 International Competition and Inflation: A New Keynesian Perspective
    by Guerrieri, Luca & Gust, Christopher & López-Salido, J David

  • 2009 One TV, One Price?
    by Imbs, Jean & Mumtaz, Haroon & Ravn, Morten O & Rey, Hélène

  • 2009 How do different exporters react to exchange rate changes? Theory, empirics and aggregate implications
    by Berman, Nicolas & Martin, Philippe & Mayer, Thierry

  • 2009 Limited Asset Market Participation and the Consumption-Real Exchange Rate Anomaly
    by Kollmann, Robert

  • 2009 Government Purchases and the Real Exchange Rate
    by Kollmann, Robert

  • 2009 Can Parameter Instability Explain the Meese-Rogoff Puzzle?
    by Bacchetta, Philippe & Beutler, Toni & van Wincoop, Eric

  • 2009 The process by which the Dollar will fall: the effect of forward-looking consumers
    by Kuralbayeva, Karlygash & Vines, David

  • 2009 Fiscal Stimulus with spending reversals
    by Corsetti, Giancarlo & Meier, André & Müller, Gernot

  • 2009 Household Heterogeneity and the Real Exchange Rate: Still a Puzzle
    by Kollmann, Robert

  • 2009 Estimating the Border Effect: Some New Evidence
    by Gopinath, Gita & Gourinchas, Pierre-Olivier & Hsieh, Chang-Tai & Li, Nicholas

  • 2009 Valuation Effects and the Dynamics of Net External Assets
    by Devereux, Michael B & Sutherland, Alan

  • 2009 Risk Matters: The Real Effects of Volatility Shocks
    by Fernández-Villaverde, Jesús & Guerron-Quintana, Pablo A. & Rubio-Ramírez, Juan Francisco & Uribe, Martín

  • 2009 On the International Dimension of Fiscal Policy
    by Benigno, Gianluca & De Paoli, Bianca

  • 2009 Exchange Rate Forecasting, Order Flow and Macroeconomic Information
    by Rime, Dagfinn & Sarno, Lucio & Sojli, Elvira

  • 2009 Elasticity Optimism
    by Imbs, Jean & Mejean, Isabelle

  • 2009 Contrasting Trends in Firm Volatility: Theory and Evidence
    by Thesmar, David & Thoenig, Mathias

  • 2009 What Drives US Foreign Borrowing? Evidence on External Adjustment to Transitory and Permanent Shocks
    by Corsetti, Giancarlo & Konstantinou, Panagiotis T

  • 2009 Varieties and the terms of trade
    by Free Huizinga & S. Smulders

  • 2009 Long-run economic growth: modeling exercise for emerging markets
    by Daniel Toro Gonzalez

  • 2009 The international cycle and Colombian monetary policy
    by Lavan Mahadeva & Javier Gómez Pineda

  • 2009 Trade, Foreign Inputs and Firms’ Decisions: Theory and Evidence
    by Maria Bas

  • 2009 Term of Trade Shocks in a Monetary Union: an Application to West-Africa
    by Loïc Batté & Agnès Bénassy-Quéré & Benjamin Carton & Gilles Dufrénot

  • 2009 The welfare effect of foreign monetary conservatism with non-atomistic wage setters
    by Vincenzo Cuciniello

  • 2009 Monetary-Labor Interactions, International Monetary Regimes, and Central Bank Conservatism
    by Vincenzo Cuciniello

  • 2009 Macroeconomic interdependence under collective wage bargaining
    by Vincenzo Cuciniello

  • 2009 International monetary policy cooperation revisited: conservatism and non-atomistic wage setting
    by Vincenzo Cuciniello

  • 2009 Optimal Exchange-Rate Targeting with Large Labor Unions
    by Vincenzo Cuciniello & Luisa Lambertini

  • 2009 The Impact of the Global Financial Crisis on Business Cycles in Asian Emerging Economies
    by Jarko Fidrmuc & Iikka Korhonen

  • 2009 Low Skill but High Volatility?
    by Claudia M. Buch & Christian Pierdzioch

  • 2009 Securitization of Mortgage Debt, Asset Prices and International Risk Sharing
    by Mathias Hoffmann & Thomas Nitschka

  • 2009 'Large' vs. 'Small' Players: A Closer Look at the Dynamics of Speculative Attacks
    by Geir H. Bjønnes & Steinar Holden & Dagfinn Rime & Haakon O. Aa. Solheim

  • 2009 Announced Regime Switch: Optimal Policy for Transition Period
    by Frantisek Brazdik

  • 2009 Monetary Policy Under Alterative Asset Market Structures: the Case of a Small Open Economy
    by Bianca De Paoli

  • 2009 Capital Flows and Asset Prices
    by Kosuke Aoki & Gianluca Benigno & Nobuhiro Kiyotaki

  • 2009 On the International Dimension of Fiscal Policy
    by Gianluca Benigno & Bianca De Paoli

  • 2009 Exchange rate uncertainty and deviations from Purchasing Power Parity: Evidence from the G7 area
    by Arghyrou, Michael G & Gregoriou, Andros & Pourpourides, Panayiotis M.

  • 2009 A new solution to the purchasing power parity puzzles? Risk-aversion, exchange rate uncertainty and the law of one price: Insights from the market of online air-travel tickets
    by Arghyrou, Michael G & Gregoriou, Andros & Pourpourides, Panayiotis M.

  • 2009 Structural Change, Innovation and Growth in the Single EU Market
    by Paul J.J. Welfens & Dora Borbély

  • 2009 An Optimum-Currency-Area Odyssey
    by Harris Dellas & George S.Tavlas

  • 2009 Public infrastructures, public consumption and welfare in a new open economy macro model
    by Ganelli, Giovanni & Tervala, Juha

  • 2009 Assessing McCallum and Taylor rules in a cross-section of emerging market economies
    by Mehrotra, Aaron & Sánchez-Fung, José R.

  • 2009 International spillover effects and monetary policy activism
    by Lipinska, Anna & Spange, Morten & Tanaka, Misa

  • 2009 The Valuation Channel of External Adjustment
    by Fabio Ghironi & Jaewoo Lee & Alessandro Rebucci

  • 2009 Stochastic Growth in the United States and Euro Area
    by Peter N. Ireland

  • 2009 Monetary policy and exchange rate overshooting: Dornbusch was right after all
    by Hilde C. Bjørnland

  • 2009 The role of house prices in the monetary policy transmission mechanism in small open economies
    by Hilde C. Bjørnland & Dag Henning Jacobsen

  • 2009 Revisiting the importance of non-tradable goods' prices in cyclical real exchange rate fluctuations
    by Ida Wolden Bache & Kjersti Næss & Tommy Sveen

  • 2009 How Changes in Oil Prices Affect the Macroeconomy
    by Brian DePratto & Carlos de Resende & Philipp Maier

  • 2009 Exchange Rate Pass-through and Monetary Policy: How Strong is the Link?
    by Stephen Murchison

  • 2009 Productivity, the Terms of Trade, and the Real Exchange Rate: The Balassa-Samuelson Hypothesis Revisited
    by Ehsan U. Choudhri & Lawrence L. Schembri

  • 2009 Canada and the IMF: Trailblazer or Prodigal Son?
    by Michael Bordo & Tamara Gomes & Lawrence Schembri

  • 2009 Credit Rationing and Exchange-Rate Stabilization: Examining the Relation between Financial Frictions, Exchange-Rate Volatility, Lending Rates, and Capital Inflows
    by Gabriel Martinez

  • 2009 Portfolio and short-term capital inflows to the new and potential EU countries: Patterns, determinants and policy responses
    by PIROVANO Mara & VANNESTE, Jacques & VAN POECK, André

  • 2009 A Resolution of the Purchasing Power Parity Puzzle: Imperfect Knowledge and Long Swings
    by Roman Frydman & Michael D. Goldberg & Søren Johansen & Katarina Juselius

  • 2009 Determinants of foreign direct investment in Macedonia. Evidence from time series 1994 – 2008
    by Bardhyl DAUTI

  • 2009 Institutiile Uniunii Europene in perioada Post Nisa. O perspectiva de drept constitutional - European Union’s Institutions in the Post Nisa Period. A Constitutional Law Perspective (Romanian Version)
    by

  • 2009 DSGE Models and Central Banks
    by Tovar, Camilo Ernesto

  • 2009 Monetary and Exchange Rate Regimes Changes: The Cases of Poland, Czech Republic, Slovakia and Republic of Serbia
    by Kosta Josifidis & Jean-Pierre Allegret & Emilija Beker Pucar

  • 2009 Long Term Dynamic of Real Exchange Rate, Trade Liberalization and Financial Integration: The Case of South-East Mediterranean Countries
    by Hadj Amor Thouraya & El Araj Rita

  • 2009 Coordonate Ale Şocurilor Asimetrice În Zona Monetară
    by Criste, Adina

  • 2009 On the Dynamics of the Greek Twin Deficits: Empirical evidence over the period 1960 – 2007
    by Panagiotis Pantelidis & Emmanouil Trachanas & Athanasios L. Athanasenas & Constantinos Katrakilidis

  • 2009 Reexamination of Real Business Cycles in a Small Open Economy
    by Jang-Ting Guo & Zuzana Janko

  • 2009 An Assessment of the Current Account Sustainability in Romania – An Inter-temporal Perspective
    by Dumitru, Ionut & Dumitru, Ionela

  • 2009 La paridad del poder de compra: una revisión crítica
    by Gómez, Mario

  • 2009 Monetary Union of Small Open Economies: The Role of Trasparency Misperceptions
    by Sánchez, Marcelo

  • 2009 What is Driving Global Imbalances? The Global Savings Glut Hypothesis Reexamined
    by Ryou, Jai-Won

  • 2009 Devaluation and trade balance in Latin American countries
    by Huseyin Kalyoncu & Ilhan Ozturk & Seyfettin Artan & Kahraman Kalyoncu

  • 2009 Technology shocks around the world
    by Martial Dupaigne & Patrick Feve

  • 2009 Un modelo de equilibrio general con dolarización para la economía peruana
    by Castillo, Paul & Montoro, Carlos & Tuesta, Vicente

  • 2009 Multiple reserve requirements, exchange rates, sudden stops and equilibrium dynamics in a small open economy
    by Paula Hernandez-Verme & Wen-Yao Wang

  • 2009 Od parity kupní síly k natrexu - případ české koruny
    by Jiří Škop & Jan Vejmělek

  • 2009 On Net External Assets in Regions And States of the U.S.A
    by Petr Duczynski

  • 2009 What Do Productivity Shocks Tell Us About the Saving-Investment Relationship?
    by Lutfi Erden & Ibrahim Ozkan & Burak Gunalp

  • 2009 Economic- Financial Crisis In The National And International Context
    by Berinde Mihai

  • 2009 Globalisation And Export Competitiveness: A Theoretical Approach
    by GIURGIU Adriana & DODESCU Anca

  • 2009 The Competitiveness Of The Romanian Exports During The Eu Integration Process
    by GIURGIU Adriana

  • 2009 Determination of the Real Exchange Rate of the Ruble and Assessment of Long-Run Policy of Real Exchange Rate Targeting
    by Sosunov, K. & Ushakov, N.

  • 2009 Price convergence in the European Union and in the New Member States
    by Joanna Wolszczak-Derlacz & Rembert De Blander

  • 2009 Monetary Policy and Trade Balance in Indonesia: Evidence from a Structural VAR Analysis
    by Lestano

  • 2009 Growth Consequences Of Foreign Direct Investment: Some Results For Turkey
    by Ali F. Darrat & Jayanta Sarkar

  • 2009 A Multiple-Horizon Search for the Role of Trade and Financial Factors in Bilateral Real Exchange Rate Volatility
    by Yin-Wong Cheung & Kon S. Lai

  • 2009 Anclas Nominales y su Impacto en Economías Pequeñas: un Análisis Comparativo entre los Esquemas Determinista y Estocástico
    by Venegas-Martínez, Francisco & Rodríguez-Nava, Abigail

  • 2009 The New Coordinates of Globalization and Regional Integration: Resizing the Euro-Mediterranean Partnership
    by Marcel Moldoveanu

  • 2009 Is Telecommunications Productivity Characterized by Steady State Conditions? Some Empirical Evidence for 13 OECD Countries
    by Claudia CURI & Paolo MANCUSO

  • 2009 Aggregate and sector-specific exchange rate indexes for the Portuguese economy
    by Fernando Alexandre & Pedro Bação & João Cerejeira & Miguel Portela

  • 2009 Reserve requirement, reserve requirement tax and money control in China: 1984¨C2007
    by ZHANG Xiaohui & JI Zhihong & CUI Yong

  • 2009 Crecimiento global y “reciprocidad implícita”. Un modelo estructuralista
    by Mario Cimoli & Gabriel Porcile

  • 2009 The Short-Term Effects of Fiscal Policy in Mexico: An Empirical Study
    by Víctor M. Cuevas Ahumada

  • 2009 Terms of Trade and Balance of Trade: Some Evidence for the Argentine Economy
    by Luis N. Lanteri

  • 2009 Yerlesik Iktisatta Küresel Makroekonomik Teori: Yeni Acik Makroekonomide (Noem) Cari Islemler Dinamikleri
    by S. Sevinc Orhan

  • 2009 The suitability of a monetary union in East Asia: What does the cointegration approach tell?
    by Sato, Kiyotaka & Zhang, Zhaoyong & Allen, David

  • 2009 Is there a case for domestic inflation target?
    by Divino, Jose Angelo

  • 2009 Economic Exposure To Exchange Rates In Jordan Companies: A Monthly Econometric Model Of The Rate Of Return Of Firms, 2004-2007
    by Shotar, M.M. & El-Mefleh, M.A.

  • 2009 An Estimated Model of the Small Open Czech Economy with a Non-tradable Sector
    by Karel Musil

  • 2009 Beyond Cheap Talks: Assessing the Undervaluation of the Chinese Currency Between 1994 and 2007
    by Jinzhao Chen

  • 2009 Chocs asymétriques et bien-être en union monétaire avec marchés financiers incomplets
    by Stéphane Auray & Aurélien Eyquem

  • 2009 Heterogeneity in Inflation Persistence and Monetary Policy in a Monetary Union
    by Séverine Menguy

  • 2009 Government size and macroeconomic stability
    by M S Mohanty & Fabrizio Zampolli

  • 2009 On the Generality of the New Keynesian Phillips Curves
    by Maritta Paloviita

  • 2009 Quotas and Voting Shares in the IMF: Theory and Evidence
    by Martín Gonzalez-Eiras

  • 2009 Saldos Comerciais e Taxa de Câmbio Real: Uma Nova Análise do Caso Brasileiro
    by Emerson Fernandes Marçal & Marislei Nishijima & Wagner Oliveira Monteiro

  • 2009 Inflation Targeting and Fear of Floating in Brazil, Mexico and South Korea
    by Reginaldo Pinto Nogueira Junior

  • 2009 The Analysis Of Financial Fragility’S Effects On Textile Industry With The Assistance Of Financial Ratios- 1992-2003 Analysis
    by Arman Aziz Karagul & Bilge Kagan Ozdemir

  • 2009 Emerging Economies Faced With The Downside Of Financial Globalization: Hedges And Way Outs
    by Sorin BURNETE

  • 2009 The International Diversification Puzzle When Goods Prices Are Sticky: It's Really about Exchange-Rate Hedging, Not Equity Portfolios
    by Charles Engel & Akito Matsumoto

  • 2009 Trade and the Diffusion of the Industrial Revolution
    by Robert E. Lucas

  • 2009 Expropriation Dynamics
    by Mark Aguiar & Manuel Amador & Gita Gopinath

  • 2008 The Decline of the Exchange Rate Pass-Through in Brazil: Explaining the ‘Fear of Floating’
    by Carlos Eduardo Schönerward da Silva & Matías Vernengo

  • 2008 Is FDI into China Crowding Out FDI into the European Union?
    by Resmini, Laura & Siedschlag, Iulia

  • 2008 China as an Integrated Area?
    by Poncet, Sandra & Barthélemy, Jean

  • 2008 A Study of Optimum Currency Area in East Asia: a Cluster Analysis
    by Ibrahim, Saifuzzaman

  • 2008 Foreign Capital Inflows and the Current Account Imbalance: Which Causality Direction?
    by Yan, Ho-don & Yang, Cheng-lang

  • 2008 Macrodynamics of Stabilization under Dual Exchange Rate: an Effective Demand Model
    by Narayan Nag, Ranjanendra

  • 2008 An Econometric Investigation of Currency Substitution and Capital Mobility in a Two-Country Portfolio-Balance Financial Asset Model
    by John M. Paleologos & Christos Papazoglou

  • 2008 İkiz açıklar hipotezi: Türkiye analizi
    by A. Öznur ÜMİT & Kemal YILDIRIM

  • 2008 Securitization of Mortgage Debt, Asset Prices and International Risk Sharing
    by Mathias Hoffmann & Thomas Nitschka

  • 2008 DSGE Models and Central Banks
    by Tovar, Camilo Ernesto

  • 2008 The Effects of the Real Exchange Rate Volatility and Misalignments on Foreign Trade Flows in Uzbekistan
    by Olimov, Ulugbek & Sirajiddinov, Nishanbay

  • 2008 Should We Trust the Empirical Evidence from Present Value Models of the Current Account?
    by Mercereau, Benoît & Miniane, Jacques Alain

  • 2008 Does trade integration alter monetary policy transmission?
    by Cwik, Tobias J. & Müller, Gernot J. & Wolters, Maik H.

  • 2008 How do fiscal and technology shocks affect real exchange rates? New evidence for the United States
    by Enders, Zeno & Müller, Gernot J. & Scholl, Almuth

  • 2008 International evidence on sticky consumption growth
    by Carroll, Christopher D. & Slacalek, Jirka & Sommer, Martin

  • 2008 Anticipated and unanticipated oil price shocks and optimal monetary policy
    by Wohltmann, Hans-Werner & Winkler, Roland C.

  • 2008 International financial competitiveness and incentives to foreign direct investment
    by Jochem, Axel

  • 2008 International financial markets' influence on the welfare performance of alternative exchange rate regimes
    by Hoffmann, Mathias

  • 2008 Global business cycles: convergence or decoupling?
    by Kose, M. Ayhan & Otrok, Christopher M. & Prasad, Eswar S.

  • 2008 The global dimension of inflation: evidence from factor-augmented Phillips curves
    by Eickmeier, Sandra & Moll, Katharina

  • 2008 Financial globalization and monetary policy
    by Devereux, Michael B. & Sutherland, Alan

  • 2008 Integration of financial markets and national price levels: the role of exchange rate volatility
    by Hoffmann, Mathias & Tillmann, Peter

  • 2008 Oil Price Shocks, Macroeconomics Stability and Welfare in a Small Open Economy
    by Deren Unalmis & Ibrahim Unalmis & Derya Filiz Unsal

  • 2008 Globalization,the Output-Inflation Tradeoff, and Inflation
    by Harald Badinger

  • 2008 Western Balkan Countries: Adjustment Capacity to External Shocks, with a Focus on Labour Markets
    by Vladimir Gligorov & Anna Iara & Michael Landesmann & Robert Stehrer & Hermine Vidovic

  • 2008 Inflation Differentials in EU New Member States: An Empirical Evidence
    by Roman Horvath & Kamila Koprnicka

  • 2008 Yuan Real Exchange Rate Undervaluation, 1997-2006. How Much, How Often? Not Much, Not Often
    by Jeff Chen & Wende Deng & David Kemme

  • 2008 How Important Are Foreign Shocks in Small Open Economy? The Case of Slovakia
    by Roman Horv??th & Marek Rusn??k

  • 2008 What Are the Driving Forces of International Business Cycles?
    by Mario J. Crucini & M. Ayhan Kose & Christopher Otrok

  • 2008 The Balance of Payments as a Constraint on Turkey’s Growth: 1960-2004
    by Secil Pacaci Elitok & Al Campbell

  • 2008 Debt sustainability in historical perspective: The role of fiscal repression
    by Joachim Voth & Mauricio Drelichman

  • 2008 The Exchange Rate and Macroeconomic Determinants: Time-Varying Transitional Dynamics
    by Chunming Yuan

  • 2008 Monetary and Fiscal Policy Efficiency and Coordination in an Open-Economy General Equilibrium Model with Three Production Sectors
    by Gilbert Koenig & Irem Zeyneloglu

  • 2008 Money, Prices and Liquidity Effects: Separating Demand from Supply
    by Jagjit S. Chadha & Luisa Corrado & Qi Sun

  • 2008 Productivity, Preferences and UIP Deviations in an Open Economy Business Cycle Model
    by Jagjit S. Chadha

  • 2008 Exchange Rate Pass-Through Into Inflation: The Role of Asymmetries and NonLinearities
    by Reginaldo P. Nogueira Junior & Miguel Leon-Ledesma

  • 2008 Bankruptcy Costs, Liability Dollarization, and Vulnerability to Sudden Stops
    by Uluc Aysun & Adam Honig

  • 2008 International Transmission of Shocks under Financial Frictions: Some Implications for International Business Cycle Comovement
    by de Blas, Beatriz

  • 2008 Nontraded Goods, Market Segmentation, and Exchange Rates
    by Michael Dotsey & Margarida Duarte

  • 2008 Why so much wage restraint in EMU? The role of country size - Integrating trade theory with monetary policy regime accounts
    by Marzinotto Benedicta

  • 2008 Oil Price Shocks, Macroeconomic Stability and Welfare in a Small Open Economy
    by Deren Unalmis & Ibrahim Unalmis & Derya Filiz Unsal

  • 2008 Neo-Keynesian Macroeconomics of Inter-National Factor Allocation
    by Hannu Laurila

  • 2008 When Is Money Neutral Under Flexible Exchange Rates?
    by Pekka Ahtiala

  • 2008 Net Foreign Assets, Productivity and Real Exchange Rates in Constrained Economies
    by Dimitris K. Christopoulos & Karine Gente & Miguel A. Leon-Ledesma

  • 2008 Croissance par les exportations, fragilité financière et gradualisme: Quels défis pour la Chine ?
    by Jean-Luc Gaffard & Francesco Saraceno

  • 2008 Taux de change d'équilibre et politiques économiques : Une approche contingente
    by Antoine Bouveret & Bruno Ducoudre

  • 2008 Cost Pass Through in a Competitive Model of Pricing-to-Market
    by Raphael Anton Auer & Thomas Chaney

  • 2008 Régimes de politique monétaire et effet de variété
    by Stéphane Auray & Aurélien Eyquem & Jean-Christophe Poutineau

  • 2008 On Financial Markets Incompleteness, Price Stickiness, and Welfare in a Monetary Union
    by Stéphane Auray & Aurélien Eyquem

  • 2008 Effets des chocs asymétriques en union monétaire avec marchés financiers incomplets
    by Stéphane Auray & Aurélien Eyquem

  • 2008 The Welfare Gains of Trade Integration in the European Monetary Union
    by Stéphane Auray & Aurélien Eyquem & Jean-Christophe Poutineau

  • 2008 The Extensive Margin of Trade under Alternative Monetary Policy Regimes
    by Stéphane Auray & Aurélien Eyquem & Jean-Christophe Poutineau

  • 2008 Economic Openness, Disciplined Government and Ethnic Peace
    by Nava Ravi Kumaran & Tilak Abeysinghe

  • 2008 An Analysis of Pakistan's Vulnerability to Crisis
    by Safdar Ullah Khan & Omar Farooq Saqib

  • 2008 Productivity, Preferences and UIP deviations in an Open Economy Business Cycle Model
    by Arnab Bhattacharjee & Jagjit S. Chadha & Qi Sun

  • 2008 Linear-Quadratic Approximation to Unconditionally Optimal Policy: The Distorted Steady-State
    by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan

  • 2008 Exchange rate dynamics, asset market structure and the role of the trade elasticity
    by Christoph Thoenissen

  • 2008 Dissecting the Dynamics of the US Trade Balance in an Estimated Equilibrium Model
    by P. JACOB & G. PEERSMAN

  • 2008 Real and Financial Integration in East Asia
    by Kim, Soyoung & Lee, Jong-Wha

  • 2008 Patterns and Determinants of Cross-border Financial Asset Holdings in East Asia
    by Lee, Jong-Wha

  • 2008 Trade with the West and Russia - A Long-term Perspective on Finnish Economic Growth, Fluctuations and Policies
    by Alho, Kari E.O.

  • 2008 The Small Open-Economy New Keynesian Phillips Curve: Empirical Evidence and Implied Inflation Dynamics
    by Alexander Mihailov & Fabio Rumler & Johann Scharler

  • 2008 The Role of International Shocks in Australia’s Business Cycle
    by Philip Liu

  • 2008 Monetary Transmission and the Yield Curve in a Small Open Economy
    by Mariano Kulish & Daniel Rees

  • 2008 Divergence in Labor Market Institutions and International Business Cycles
    by Raquel Fonseca & Lise Patureau

  • 2008 The Benefit of Exchange Rate Flexibility, Trade Openness and Extensive Margin
    by Kanda Naknoi

  • 2008 Improving Competition in the Non-Tradable Goods and Labour Markets: The Portuguese Case
    by Vanda Almeida & Gabriela Lopes de Castro & Ricardo Mourinho Félix

  • 2008 The Effects of the Real Exchange Rate Volatility and Misalignments on Foreign Trade Flows in Uzbekistan
    by Olimov, Ulugbek & Sirajiddinov, Nishanbay

  • 2008 El Riesgo País y el Tipo de Cambio Nominal entre el Perú y Estados Unidos. Una aproximación a través de un Modelo de Mercado de Activos de determinación del Tipo de Cambio. (1998:12 – 2007:12)
    by Salazar, Eduardo

  • 2008 Development of international investment position in the selected new European Union member countries
    by Mirdala, Rajmund

  • 2008 Structural heterogeneity or asymmetric shocks? Poland and the euro area through the lens of a two-country DSGE model
    by Kolasa, Marcin

  • 2008 Tariff and Equilibrium Indeterminacy--(I)
    by Zhang, Yan

  • 2008 Intervención cambiaria en Guatemala: ¿Ha sido efectiva?
    by Castillo-Maldonado, Carlos Eduardo

  • 2008 Real interest rate parity: evidence from East Asian economies relative to China
    by Liew, Venus Khim-Sen & Ling, Tai-Hu

  • 2008 Capital flows and their implications for central bank policies in Mongolia
    by Doojav, Gan-Ochir

  • 2008 Asymmetric-shocks-on-its-head and lender-of-last-resort theories of optimal currency areas
    by Buiter, Willem & Sibert, Anne

  • 2008 Have Economic Reforms Affected Exchange Rate Pass-Through to Prices in India?
    by Khundrakpam, Jeevan Kumar

  • 2008 Can an Inter-temporal Model Explain India's Current Account Balance?
    by Khundrakpam, J. K. & Ranjan, Rajiv

  • 2008 Capital flight, saving rate and the golden rule level of capital: policy recommendations for Latin America countries
    by Joaquin, Vespignani L

  • 2008 Exchange Rate Misalignment, Volatility and Import Flows in Malaysia
    by Naseem, N.A.M & Tan, Hui-Boon & Hamizah, M.S

  • 2008 Openness and growth in Sub-Saharan Africa: Time series and cross-country analysis
    by Sanusi, Aliyu Rafindadi

  • 2008 The determinants of home bias puzzle in equity portfolio investment in Australia
    by Vo, Xuan Vinh

  • 2008 Incentives from Exchange Rate Regimes in an Institutional Context
    by Goyal, Ashima

  • 2008 Testing international parity hypothesis in a multivariate identified co-integrating system: the Turkish evidence
    by Levent, Korap

  • 2008 Exchange rate determination of TL/US$: a co-integration approach
    by Levent, Korap

  • 2008 Les déterminants des flux de capitaux privés dans l’UMOA: Une approche empirique sur données de panel
    by Kinda, Tidiane

  • 2008 Infrastructures et flux de capitaux privés vers les pays en développement
    by Kinda, Tidiane

  • 2008 An assessment of the current account sustainability in Romania
    by Dumitru, Ionut

  • 2008 The Dynamic Effects of Subsidizing the Tourism Sector
    by Schubert, Stefan Franz & Brida, Juan Gabriel

  • 2008 The Maastricht Criteria and Optimal Monetary and Fiscal Policy Mix for the EMU Accession Countries
    by Lipinska, Anna

  • 2008 The Maastricht Convergence Criteria and Monetary Regimes for the EMU Accession Countries
    by Lipinska, Anna

  • 2008 Estimating Money Demand Function in Cambodia: ARDL Approach
    by Samreth, Sovannroeun

  • 2008 Exchange Rate Volatility and the extent of Currency Substitution in Nigeria
    by Yinusa, D. Olalekan & Akinlo, A.E.

  • 2008 The center and the periphery: The globalization of financial turmoil
    by Reinhart, Carmen & Kaminsky, Graciela

  • 2008 Improving competition in the non-tradable goods and labour markets: the Portuguese case
    by Mourinho Félix, Ricardo & Almeida, Vanda & Castro, Gabriela

  • 2008 Monetary policy transparency and inflation persistence in a small open economy
    by Dai, Meixing & Sidiropoulos, Moïse & Spyromitros, Eleftherios

  • 2008 A functional overview of financial crises development and propagation
    by Popa, Catalin C.

  • 2008 Measures of compliance with sustainable development objectives adopted by Romania in the pre-and post-accession
    by Duduiala-Popescu, Lorena

  • 2008 A major controversy: globalization or not?
    by Duduiala-Popescu, Lorena

  • 2008 Russian economic report No. 17 (November 2008), The World Bank
    by Zeljko, Bogetic & Karlis, Smits & Sergey, Ulatov & Olga, Emelyanova & Marco, Hernandez

  • 2008 Interactions between monetary policy and exchange rate in inflation targeting emerging countries: the case of three East Asian countries
    by Sek, Siok Kun

  • 2008 Tariff and Equilibrium Indeterminacy
    by Zhang, Yan

  • 2008 The Impact of Yuan/Ringgit on Bilateral Trade Balance of China and Malaysia
    by Hooy, Chee Wooi & Chan, Tze-Haw

  • 2008 Purchasing Power Parity and Real Exchange Rate in Japan
    by Long, Dara

  • 2008 Exchange rate pass-through and volatility: Impacts on domestic prices in four Asian countries
    by Sek, Siok Kun & Kapsalyamova, Zhanna

  • 2008 Examining Exchange Rates Exposure, J-Curve and the Marshall-Lerner Condition for High Frequency Trade Series between China and Malaysia
    by Hooy, Chee-Wooi & Chan, Tze-Haw

  • 2008 Financial openness and the size of the public sector: a portfolio approach
    by Erauskin-Iurrita, Inaki

  • 2008 Panel Cointegration and the Monetary Exchange Rate Model
    by Basher, Syed A. & Westerlund, Joakim

  • 2008 International Portfolio Allocation and Income Smoothing: Evidence from Recent Changes in Euro Region
    by Balli, Faruk & Louis, Rosmy J. & Osman, Mohammad

  • 2008 International Portfolio Inflows to GCC Markets. Are There any General Patterns?
    by Balli, Faruk & Osman, Mohammad & Louis, Rosmy J.

  • 2008 Tariff and Equilibrium Indeterminacy--A Note
    by Zhang, Yan & Chen, Yan

  • 2008 Tariff and Equilibrium Indeterminacy--(II)
    by Zhang, Yan

  • 2008 Implementable Fiscal Rules for an Oil-Exporting Small Open Economy Facing Depletion
    by Anamaria Pieschacon

  • 2008 Employment Adjustments in High-Trade-Exposed Manufacturing in Canada
    by Serge Coulombe

  • 2008 Oil Price Shocks, Rigidities and the Conduct of Monetary Policy: Some Lessons from a New Keynesian Perspective
    by Romain Duval & Lukas Vogel

  • 2008 Does Openness to International Financial Flows Raise Productivity Growth?
    by M. Ayhan Kose & Eswar S. Prasad & Marco E. Terrones

  • 2008 Can Structural Small Open Economy Models Account for the Influence of Foreign Disturbances?
    by Alejandro Justiniano & Bruce Preston

  • 2008 Assessing the Emerging Global Financial Architecture: Measuring the Trilemma's Configurations over Time
    by Joshua Aizenman & Menzie D. Chinn & Hiro Ito

  • 2008 Re-Evaluating Swedish Membership in EMU: Evidence from an Estimated Model
    by Ulf Söderström

  • 2008 Monetary Policy Trade-Offs in an Estimated Open-Economy DSGE Model
    by Malin Adolfson & Stefan Laséen & Jesper Lindé & Lars E.O. Svensson

  • 2008 Sudden Stops, Financial Crises and Leverage: A Fisherian Deflation of Tobin's Q
    by Enrique G. Mendoza

  • 2008 Real Exchange Rate Movements and the Relative Price of Non-traded Goods
    by Caroline M. Betts & Timothy J. Kehoe

  • 2008 Sudden Stops, Sectoral Reallocations, and the Real Exchange Rate
    by Timothy J. Kehoe & Kim J. Ruhl

  • 2008 International Capital Flows under Dispersed Information: Theory and Evidence
    by Cédric Tille & Eric van Wincoop

  • 2008 What Are the Driving Forces of International Business Cycles?
    by Mario J. Crucini & M. Ayhan Kose & Christopher Otrok

  • 2008 Inflation-Output Tradeoff as Equilibrium Outcome of Globalization
    by Alon Binyamini & Assaf Razin

  • 2008 Country Portfolios in Open Economy Macro Models
    by Michael B. Devereux & Alan Sutherland

  • 2008 Global Business Cycles: Convergence or Decoupling?
    by M. Ayhan Kose & Christopher Otrok & Eswar S. Prasad

  • 2008 The Macroeconomic Implications of a Key Currency
    by Matthew Canzoneri & Robert E. Cumby & Behzad Diba & David Lopez-Salido

  • 2008 Financial Stability, the Trilemma, and International Reserves
    by Maurice Obstfeld & Jay C. Shambaugh & Alan M. Taylor

  • 2008 Frequency of Price Adjustment and Pass-through
    by Gita Gopinath & Oleg Itskhoki

  • 2008 Procyclical Fiscal Policy in Developing Countries: Truth or Fiction?
    by Ethan Ilzetzki & Carlos A. Vegh

  • 2008 Private Information and a Macro Model of Exchange Rates: Evidence from a Novel Data Set
    by Menzie D. Chinn & Michael J. Moore

  • 2008 Pitfalls in Measuring Exchange Rate Misalignment: The Yuan and Other Currencies
    by Yin-Wong Cheung & Menzie D. Chinn & Eiji Fujii

  • 2008 Optimal Monetary Policy in an Operational Medium-Sized DSGE Model
    by Malin Adolfson & Stefan Laséen & Jesper Lindé & Lars E.O. Svensson

  • 2008 Systemic Sudden Stops: The Relevance Of Balance-Sheet Effects And Financial Integration
    by Guillermo A. Calvo & Alejandro Izquierdo & Luis-Fernando Mejía

  • 2008 Estimation of De Facto Exchange Rate Regimes: Synthesis of the Techniques for Inferring Flexibility and Basket Weights
    by Jeffrey A. Frankel & Shang-Jin Wei

  • 2008 Globalization, Macroeconomic Performance, and Monetary Policy
    by Frederic S. Mishkin

  • 2008 Interest Rates and the Exchange Rate: A Non-Monotonic Tale
    by Viktoria Hnatkovska & Amartya Lahiri & Carlos A. Vegh

  • 2008 The Dynamic Behavior of the Real Exchange Rate in Sticky Price Models
    by Jón Steinsson

  • 2008 Exchange Rate Pass-Through And Monetary Policy
    by Frederic S. Mishkin

  • 2008 Capital Account Liberalization, Real Wages, and Productivity
    by Peter Blair Henry & Diego Sasson

  • 2008 International Evidence on Sticky Consumption Growth
    by Christopher D. Carroll & Jiri Slacalek & Martin Sommer

  • 2008 Global Rebalancing with Gravity: Measuring the Burden of Adjustment
    by Robert Dekle & Jonathan Eaton & Samuel Kortum

  • 2008 Varieties and the Transfer Problem: The Extensive Margin of Current Account Adjustment
    by Giancarlo Corsetti & Philippe Martin & Paolo Pesenti

  • 2008 Global Forces and Monetary Policy Effectiveness
    by Jean Boivin & Marc Giannoni

  • 2008 Trade, Production Sharing, and the International Transmission of Business Cycles
    by Ariel Burstein & Christopher Kurz & Linda Tesar

  • 2008 Structural heterogeneity or asymmetric shocks? Poland and the euro area through the lens of a two-country DSGE model
    by Marcin Kolasa

  • 2008 Domestic debt structures in emerging markets : new empirical evidence
    by Arnaud Mehl & Julien Reynaud

  • 2008 Unemployment and interactions between trade and labour market institutions
    by Hervé Boulhol

  • 2008 Tourism And Openness To Merchandise And Services Trade In Singapore: An Empirical Investigation
    by Koi Nyen Wong & Tuck Cheong Tang

  • 2008 Oil price shocks: Demand vs Supply in a two-country model
    by Alessia Campolmi

  • 2008 Adjustment of US External Imbalances: At What Horizon?
    by Panagiotis Th. Konstantinou

  • 2008 Exchange Rate Volatility and Output Volatility: a Theoretical Approach
    by Maria Grydaki & Stilianos Fountas

  • 2008 Are EU budgets stationary?
    by Mark J. Holmes & Theodore Panagiotidis & Jesus Otero

  • 2008 Do Tax Cuts Generate Twin Deficits? A Multi-Country Analysis
    by Martin Boileau & Michel Normandin

  • 2008 External and Budget Deficits in Developing Countries
    by Foued Chihi & Michel Normandin

  • 2008 Fluctuations in the Foreign Exchange Market: How Important are Monetary Policy Shocks?
    by Hafedh Bouakez & Michel Normandin

  • 2008 The impact of FX Central Bank Intervention in a Noise Trading Framework
    by Michel Beine & Paul De Grauwe & Marianna Grimaldi

  • 2008 The Dark Side of Global Integration: Increasing Tail Dependence
    by Michel Beine & Antonio Cosma & Robert Vermeulen

  • 2008 Análisis del entorno nacional e internacional de la economía colombiana en 2007-2008: coyuntura y perspectivas
    by Alexander Tobón Arias & Ramón Javier Mesa Callejas & Diana Constanza Restrepo Ochoa

  • 2008 Comouvements économiques dans les pays de la Zone CFA : Une analyse par le modèle factoriel dynamique généralisé
    by DIAGNE, Abdoulaye & NIANG, Abdou-Aziz

  • 2008 A New Evidence for Exchange Rate Pass-through: Disaggregated Trade Data from Local Ports
    by Yushi Yoshida

  • 2008 A Resolution of the Purchasing Power Parity Puzzle: Imperfect Knowledge and Long Swings
    by Roman Frydman & Michael D. Goldberg & Søren Johansen & Katarina Juselius

  • 2008 Globalization and Business Cycle Transmission
    by Michael Artis & Toshihiro Okubo

  • 2008 The Intranational Business Cycle: Evidence from Japan
    by Michael Artis & Toshihiro Okubo

  • 2008 Dynamic Factor Price Equalization & International Convergence
    by Joseph Francois & Clinton R. Shiells

  • 2008 The Small Open-Economy New Keynesian Phillips Curve: Empirical Evidence and Implied Inflation Dynamics
    by Alexander Mihailov & Fabio Rumler & Johann Scharler

  • 2008 Intertemporal solvency of Turkey’s current account
    by Ayla Ogus & Niloufer Sohrabji

  • 2008 Analyzing the Present Sustainability of Turkey’s Current Account Position
    by Ayla Ogus & Niloufer Sohrabji

  • 2008 Enlarging the EMU to the East: What Effects on Trade?
    by Belke, Ansgar H. & Spies, Julia

  • 2008 Enlarging the EMU to the East: What Effects on Trade?
    by Belke, Ansgar & Spies, Julia

  • 2008 Does Openness to International Financial Flows Contribute to Productivity Growth?
    by Kose, M. Ayhan & Prasad, Eswar & Terrones, Marco E.

  • 2008 Does Openness to International Financial Flows Contribute to Productivity Growth?
    by Kose, M. Ayhan & Prasad, Eswar & Terrones, Marco E.

  • 2008 Informality and Macroeconomic Fluctuations
    by Fiess, Norbert M. & Fugazza, Marco & Maloney, William F.

  • 2008 Informality and Macroeconomic Fluctuations
    by Fiess, Norbert M. & Fugazza, Marco & Maloney, William F.

  • 2008 Global Business Cycles: Convergence or Decoupling?
    by Kose, M. Ayhan & Otrok, Christopher & Prasad, Eswar

  • 2008 Global Business Cycles: Convergence or Decoupling?
    by Kose, M. Ayhan & Otrok, Christopher & Prasad, Eswar

  • 2008 International Business Cycles with Mutliple Input Investment Technologies
    by Oviedo, P. Marcelo & Singh, Rajesh

  • 2008 In or Out? The Welfare Costs of EMU Membership
    by Alexandra Ferreira-Lopes

  • 2008 Economic integration and industrial sector fluctuations: evidence from Italy
    by Tatiana Cesaroni

  • 2008 The contribution of domestic, regional, and international factors to Latin America’s business cycle
    by Melisso Boschi & Alessandro Girardi

  • 2008 Does Global Slack Matter More than Domestic Slack in Determining U.S. Inflation?
    by Fabio Milani

  • 2008 Prices and Exchange Rates: A Theory of Disconnect
    by Jose Antonio Rodriguez Lopez

  • 2008 Oil Price Shocks and Exchange Rate Management: The Implications of Consumer Durables for the Small Open Economy
    by Michael Plante

  • 2008 A Model of Exchange-Rate-Based Stabilization for Turkey
    by Ozlem Aytac

  • 2008 The Natural interest rate in emerging markets
    by Ashima Goyal

  • 2008 The Structure of inflation, information and labour markets: Implications for monetary policy
    by Ashima Goyal

  • 2008 Feasibility of an Asian Currency Unit
    by Abhijit Sen Gupta & Amitendu Palit

  • 2008 Feasibility of an Asian Currency Unit
    by Abhijit Sen Gupta & Amitendu Palit

  • 2008 The Global Impact of Chinese Growth
    by Ippei Fujiwara & Keisuke Otsu & Masashi Saito

  • 2008 Multilateralism beyond Doha
    by Aaditya Mattoo & Arvind Subramanian

  • 2008 Systemic Sudden Stops: The Relevance of Balance-Sheet Effects and Financial Integration
    by Guillermo A. Calvo & Alejandro Izquierdo & Luis Fernando Mejía

  • 2008 Booms and Busts in Latin America: The Role of External Factors
    by Alejandro Izquierdo & Randall Romero & Ernesto Talvi

  • 2008 The Impact of Macroeconomic Factors on Risks in the Banking Sector: A Cross-Country Empirical Assessment
    by Olga Bohachova

  • 2008 Monetary and fiscal policy in an estimated two country DSGE Model: micro-economic foundations and applications to the euro area and the UK
    by Cindy, Cindy

  • 2008 The Intranational Business Cycle: Evidence from Japan
    by Michael Artis & Toshihiro Okubo

  • 2008 Elasticity Optimism
    by Jean Imbs & Isabelle Mˆmjean

  • 2008 Re-Evaluating Swedish Membership in EMU: Evidence from an Estimated Model
    by Söderström, Ulf

  • 2008 Exchange Rate and Interest Rate Volatility in a Target Zone: The Portuguese Case
    by António Portugal Duarte & João Sousa Andrade & Adelaide Duarte

  • 2008 Common and idiosyncratic factors of the exchange risk premium in emerging European markets
    by Joseph P. Byrne & Jun Nagayasu

  • 2008 The Global Side of the Investments-Savings Puzzle
    by Joseph P. Byrne & Giorgio Fazio & Norbert Fiess

  • 2008 Current Account Adjustment and Financial Integration
    by Pascal Towbin

  • 2008 Competition and the Ratchet Effect
    by Olivier Cardi & Romain Restout

  • 2008 Le choix d’un régime de change dans les pays émergents et en développement peut-il être optimal en dehors des solutions bi-polaires ?
    by Jean-Pierre Allégret & Mohamed Ayadi & Leila Haouaoui Khouni

  • 2008 La contagion liée au changement des anticipations : évidence de la crise coréenne
    by Wajih Khallouli & René Sandretto & Mohamed Ayadi

  • 2008 Monopolistic Competition and the Dependent Economy Model
    by Romain Restout

  • 2008 Vertical specialization and international business cycle synchronization
    by Arkolakis, Costas & Ramanarayanan, Ananth

  • 2008 The real exchange rate in sticky price models: does investment matter?
    by Martinez-Garcia, Enrique & Søndergaard, Jens

  • 2008 Country portfolios in open economy macro models
    by Devereux, Michael B. & Sutherland, Alan

  • 2008 Inflation Differentials in EU New Member States: An Empirical Evidence
    by Roman Horváth & Kamila Koprnická

  • 2008 How Important Are Foreign Shocks in Small Open Economy? The Case of Slovakia
    by Roman Horváth & Marek Rusnák

  • 2008 Inflation Bias with Dynamic Phillips Curves and Impatient Policy Makers
    by Tatiana Kirsanova & David Vines & Simon Wren-Lewis

  • 2008 Collateral constraints, external imbalances and heterogeneous agents in a two-country world
    by Eleni Iliopulos

  • 2008 Fiscal Policy, intercountry adjustment and the real exchange rate within Europe
    by Christopher Allsopp & David Vines

  • 2008 Implications of EMU for Global Macroeconomic and Financial Stability
    by Björn Döhring & Heliodoro Temprano-Arroyo

  • 2008 Adjustment Dynamics in the Euro Area - A Fresh Look at the Role of Fiscal Policy Using a DSGE Approach
    by G. Russell Kincaid

  • 2008 Study on the Impact of the Euro on Trade and Foreign Direct Investment
    by Richard Baldwin & Virginia DiNino & Lionel Fontagné & Roberto A. De Santis & Daria Taglioni

  • 2008 The Impact of the Euro on International Stability and Volatility
    by Stefan Gerlach & Mathias Hoffmann

  • 2008 The Effect of the Euro on Export Patterns: Empirical Evidence from Industry Data
    by Gavin Murphy & Iulia Siedschlag

  • 2008 Managing Capital Flows: Experiences from Central and Eastern Europe
    by Jurgen Von Hagen & Iulia Siedschlag

  • 2008 Divergence in Labor Market Institutions and International Business Cycles
    by Raquel Fonseca & Lise Patureau & Thepthida Sopraseuth

  • 2008 Trade, technology adoption and wage inequalities: theory and evidence
    by Maria Bas

  • 2008 Central banks and financial crises
    by Willem H. Buiter

  • 2008 The Determinants of Exchange Rate Regimes in Emerging Market Economies
    by Mehmet Guclu

  • 2008 Expecting The Unexpected: Macroeconomic Volatility And Climate Policy
    by Warwick McKibbin & Adele Morris & Peter Wilcoxen

  • 2008 The Contribution Of Domestic, Regional And International Factors To Latin America'S Business Cycle
    by Melisso Boschi & Alessandro Girardi

  • 2008 The Natural Interest Rate in Emerging Markets
    by Ashima Goyal

  • 2008 The Structure of Inflation, Information and Labour Markets - Implications for monetary policy
    by Ashima Goyal

  • 2008 What Can Be Learned About the Economies of China and India from Purchasing Power Comparisons?
    by Alan Heston

  • 2008 Feasibility of an Asian Currency Unit
    by Abhijit Sen Gupta & Amitendu Palit

  • 2008 India’s Macroeconomic Performance and Policies since 2000
    by Shankar Acharya

  • 2008 Economic Openess, Disciplined Government and Ethnic Peace
    by Nava Ravi Kumaran & Tilak Abeysinghe

  • 2008 Real Exchange Rate Dynamics in the Presence of Nontraded Goods and Transaction Costs
    by Inkoo LEE & Jonghyup SHIN

  • 2008 Monopolistic Competition and the Dependent Economy Model
    by Romain Restout

  • 2008 A Regime Switching Analysis of Exchange Rate Pass-through
    by Kólver Hernández & Asli Leblebicioglu

  • 2008 Does the Nominal Exchange Rate Regime Affect the Real Interest Parity Condition?
    by Christian Dreger

  • 2008 Does the Nominal Exchange Rate Regime Affect the Real Interest Parity Condition?
    by Christian Dreger

  • 2008 Dynamic Factor Price Equalization & International Convergence
    by Francois, Joseph & Shiells, Clinton R.

  • 2008 Re-Evaluating Swedish Membership in EMU: Evidence from an Estimated Model
    by Söderström, Ulf

  • 2008 Fundamentals at Odds? The US Current Account Deficit and The Dollar
    by Milesi-Ferretti, Gian Maria

  • 2008 Globalization and Business Cycle Transmission
    by Artis, Michael J & Okubo, Toshihiro

  • 2008 Fear of Floating and Pegging: A Simultaneous Choice Model of De Jure and De Facto Exchange Rate Regimes
    by von Hagen, Jürgen & Zhou, Jizhong

  • 2008 The International Dimension of Productivity and Demand Shocks in the US Economy
    by Corsetti, Giancarlo & Dedola, Luca & Leduc, Sylvain

  • 2008 Monetary Policy and Inflation Modeling in a More Open Economy in South Africa
    by Aron, Janine & Muellbauer, John

  • 2008 Do Trade Costs in Goods Market Lead to Home Bias in Equities?
    by Coeurdacier, Nicolas

  • 2008 International Capital Flows under Dispersed Information: Theory and Evidence
    by Tille, Cédric & van Wincoop, Eric

  • 2008 The International Diversification Puzzle is Not as Bad as You Think
    by Heathcote, Jonathan & Perri, Fabrizio

  • 2008 Manufacturing Restructuring and the Role of Real Exchange Rate Shocks
    by Ekholm, Karolina & Moxnes, Andreas & Ulltveit-Moe, Karen-Helene

  • 2008 The Composition of Government Spending and the Real Exchange Rate
    by Galstyan, Vahagn A. & Lane, Philip R.

  • 2008 Arbitrage in the Foreign Exchange Market: Turning on the Microscope
    by Akram, Farooq & Rime, Dagfinn & Sarno, Lucio

  • 2008 Can Central Banks Go Broke?
    by Buiter, Willem H.

  • 2008 Labour Market Asymmetries in a Monetary Union
    by Andersen, Torben M & Seneca, Martin

  • 2008 International Capital Flows
    by Tille, Cédric & van Wincoop, Eric

  • 2008 Macroeconomic Interdependence and the International Role of the Dollar
    by Goldberg, Linda S. & Tille, Cédric

  • 2008 Financial Stability, the Trilemma, and International Reserves
    by Obstfeld, Maurice & Shambaugh, Jay C & Taylor, Alan M.

  • 2008 The Intranational Business Cycle: Evidence from Japan
    by Artis, Michael J & Okubo, Toshihiro

  • 2008 Varieties and the Transfer Problem: the Extensive Margin of Current Account Adjustment
    by Corsetti, Giancarlo & Martin, Philippe & Pesenti, Paolo

  • 2008 Where Did All The Borrowing Go? A Forensic Analysis of the U.S. External Position
    by Lane, Philip R. & Milesi-Ferretti, Gian Maria

  • 2008 Globalización Asimétrica Y Desarrollo Precario: Una Perspectiva Andina
    by EDGARDO MONCAYO JIMENEZ

  • 2008 Financial Intermediation and Monetary Policy in a Small Open Economy
    by Juan David Prada Sarmiento

  • 2008 Capital Flows and Financial Assets in Colombia: Recent Behavior, Consequences and Challenges for the Central Bank
    by Hernando Vargas Herrera & Carlos Varela

  • 2008 Testing the law of one price in food markets: evidence for Colombia using disaggregated data
    by Ana María Iregui & Jesús Otero

  • 2008 Estructura a plazo, hipótesis de expectativas y paridad descubierta de intereses en Colombia
    by Juan Camilo Rojas

  • 2008 Sticky Prices and Moderate Inflation
    by Marc Hofstetter

  • 2008 Estimating SARB's Policy Reaction Rule
    by Alberto Ortiz & Federico Sturzenegger & Ashoka Mody

  • 2008 Multilateralism Beyond Doha
    by Arvind Subramanian & Aaditya Mattoo

  • 2008 Regional Origins of Employment Volatility: Evidence from German States
    by Claudia M. Buch & Martin Schlotter

  • 2008 Unlocking the Value of Cross-Border Mergers and Acquisitions
    by Steven Brakman & Gus Garita & Harry Garretsen & Charles van Marrewijk

  • 2008 The Implications of Structural Asymmetries for Monetary Policy and Welfare in a Small Open Economy: A Linear Quadratic Framework
    by Yuliya Rychalovska

  • 2008 Macroeconomic Stability: Transition Towards the Nominal Exchange Rate Stability
    by Frantisek Brazdik & Juraj Antal

  • 2008 Trade, Technology Adoption and Wage Inequalities: Theory and Evidence
    by Maria Bas

  • 2008 Indexed Sovereign Debt: An Applied Framework
    by Guido Sandleris & Horacio Sapriza & Filippo Taddei

  • 2008 Money, Prices and Liquidity Effects: Separating Demand from Supply
    by Chadha, J.S. & Corrado, L. & Sun, Q.

  • 2008 Portfoliomodell und langfristiges Wachstum: Neue Makroperspektiven
    by Paul J.J. Welfens

  • 2008 Openness, imported commodities and the Phillips Curve
    by Andrew Pickering & Hector Valle

  • 2008 Monetary Policy and Sunspot Fluctuation in the U.S. and the Euro Area
    by Yasuo Hirose

  • 2008 Exchange rate pass-through in the global economy : the role of emerging market economies
    by Bussiére, Matthieu & Peltonen, Tuomas

  • 2008 China in the world economy : dynamic correlation analysis of business cycles
    by Fidrmuc, Jarko & Korhonen, Iikka & Bátorová, Ivana

  • 2008 The conduct of global monetary policy and domestic stability
    by Blake, Andrew P & Markovic, Bojan

  • 2008 International monetary co-operation in a world of imperfect information
    by Tan, Kang Yong & Tanaka, Misa

  • 2008 The role of house prices in the monetary policy transmission mechanism in the U.S
    by Hilde C. Bjørnland & Dag Henning Jacobsen

  • 2008 Does the law of one price hold in international financial markets? Evidence from tick data
    by Q. Farooq Akram & Dagfinn Rime & Lucio Sarno

  • 2008 How does monetary policy respond to exchange rate movements? New international evidence
    by Hilde C. Bjørnland & Jørn I. Halvorsen

  • 2008 Estimating New Keynesian import price models
    by Ida Wolden Bache & Bjørn E. Naug

  • 2008 Assessing estimates of the exchange rate pass-through
    by Ida Wolden Bache

  • 2008 Política fiscal y vulnerabilidad fiscal en Uruguay: 1976-2006
    by Isabel Rial & Leonardo Vicente

  • 2008 Financial Integration And Cyclicality Of Monetary Policy In Small Open Economies
    by Yossi Yakhin

  • 2008 Some Preliminary Evidence on the Globalization-Inflation Nexus
    by Guilloux, S. & Kharroubi, E.

  • 2008 Real exchange rate volatility and disconnect: an empirical investigation
    by Riccardo Cristadoro & Andrea Gerali & Stefano Neri & Massimiliano Pisani

  • 2008 Do trade and financial linkages foster business cycle synchronization in a small economy?
    by Alicia García-Herrero & Juan M. Ruiz

  • 2008 Dangerous Liaisons? An Empirical Assessment of Inflation Targeting and Exchange Rate Regimes
    by Horacio Aguirre & Tamara Burdisso

  • 2008 Regional mc parity: do common pricing points reduce deviations from the law of one price?
    by Thomas Y. Mathä

  • 2008 A Model of Housing Boom and Bust in a Small Open Economy
    by Hajime Tomura

  • 2008 Markups in Canada: Have They Changed and Why?
    by Danny Leung

  • 2008 Import Price Dynamics in Major Advanced Economies and Heterogeneity in Exchange Rate Pass-Through
    by Stephane Dees & Matthias Burgert & Nicolas Parent

  • 2008 Do Trade and Financial Linkages Foster Business cycle Synchronization in a small economy?
    by Alicia Garcia-Herrero & Juan M. Ruiz

  • 2008 An eclectic third generation model of financial and exchange rate crises
    by Joaquin Novella Izquierdo & Joan Ripoll i Alcon

  • 2008 Testing hypotheses in an I(2) model with applications to the persistent long swings in the Dmk/$ rate
    by Søren Johansen & Katarina Juselius & Roman Frydberg & Michael Goldberg

  • 2008 Macroeconomic Differentials and Adjustment in the Euro Area
    by Iulia Siedschlag

  • 2008 Should We Trust the Empirical Evidence from Present Value Models of the Current Account?
    by Mercereau, Benoît & Miniane, Jacques Alain

  • 2008 Decomposition of External Capital Inflows and Outflows in the Small Open Transition Economy (The Case Analysis of the Slovak Republic)
    by Rajmund Mirdala

  • 2008 O Abordare A Conceptului De Competitivitate Naţională
    by Criste, Adina & Mosneanu, Elena Ana & Glod, Alina Georgeta

  • 2008 Argentinean real exchange rate 1900-2006, test purchasing power parity theory
    by Marcos José Dal Bianco

  • 2008 Debt Sustainability in Historical Perspective: The Role of Fiscal Repression
    by Mauricio Drelichman & Hans-Joachim Voth

  • 2008 Openness and the Sectoral Effects of Fiscal Policy
    by Tommaso Monacelli & Roberto Perotti

  • 2008 An Investigation on the Shuttle Trade Dynamics of a Small-Open-Economy
    by Afsin Sahin & Yilmaz Akdi & Cemal Atakan

  • 2008 Monetary Policy and External Shocks in a Dollarized Economy with Credit Market Imperfections
    by Koray Alper

  • 2008 Gelişmekte Olan Ülkelerde Döviz Kuru Rejimi Tercihi: Yerel Sorunlara Global Çözümler
    by Rüstem YANAR

  • 2008 Demand Shocks and Equilibrium Relative Prices in the Euro Area
    by Pietro Cova

  • 2008 An Analysis Of Domestic And External Shocks On Romanian Economy Using A Dsge Model
    by Caraiani, Petre

  • 2008 Una reconsideración del modelo Balassa-Samuelson en la zona euro
    by Ana R. Martínez Cañete

  • 2008 Aggregate Investment Expenditures on Tradable and Nontradable Goods
    by Rudolfs Bems

  • 2008 Are Shocks to the Terms of Trade Shocks to Productivity?
    by Timothy J. Kehoe & Kim J. Ruhl

  • 2008 A Neoclassical Analysis of The Korean Crisis
    by Keisuke Otsu

  • 2008 Real Exchange Rate of the Czech Koruna and the Prices of Non-tradable Goods and Services
    by Martin Mandel & Vladimír Tomšík

  • 2008 The Exchange Rate Adjustment Role in Imperfect Competition: the Case of the Czech Republic
    by Filip Novotný

  • 2008 A Structural Vector Auto-Regression Model of The Indonesian Economy
    by Siwage Dharma Negara

  • 2008 International trade transmission channel of a local crisis: a simple model
    by Diego Cerdeiro & Ariel Wirkierman

  • 2008 Exchange Rate Changes and Income Distribution
    by Yongkul Won

  • 2008 Relative Price Distortion and Optimal Monetary Policy in Open Economies
    by Jinill Kim & Andrew T. Levin & Tack Yun

  • 2008 Long-Run Pass-Through From The Exchange Rate To Import Prices In African Countries
    by Mark J. Holmes

  • 2008 The pula-dollar exchange rate and the purchasing power parity in Botswana
    by M. Thamas Paul* & G. R. Motlaleng*

  • 2008 The size and sustainability of the Nigerian current account deficits
    by Olumuyiwa S. Adedeji & Jagdish Handa

  • 2008 Exchange Rate Determination Of Tl/Us$:A Co-Integration Approach
    by Levent KORAP

  • 2008 Productive Government Spending, Welfare and Exchange Rate Dynamics
    by Juha Tervala

  • 2008 Optimal Monetary Policy in an Estimated DSGE Model of the Euro Area with Cross-Country Heterogeneity
    by Eric Jondeau & Jean-Guillaume Sahuc

  • 2008 Does Monetary Policy Have Expansionary Bias with External Wealth?
    by Takamatsu, Satoko

  • 2008 Inflation Differentials in New EU Member States: Empirical Evidence
    by Roman Horváth & Kamila Koprnická

  • 2008 Competition and Relative Prices when the Exchange Rate Changes: Evidence from Exporting Companies
    by Jiøí Podpiera & Marie Raková

  • 2008 Deficit commerciale, crisi di bilancio e politica deflazionista
    by Emiliano Brancaccio

  • 2008 ¿Puede la política fiscal ayudar a alcanzar la convergencia de la inflación? La experiencia española
    by Martín-Moreno, José María

  • 2008 Uzroci nastanka inflacije u Hrvatskoj uloga posrednika
    by Miroslav Gregurek & Neven Vidakovic

  • 2008 Is Current Account Deficit A Message For Economic Crises For Turkey
    by SEKMEN, Fuat

  • 2008 Trade Balances and the Terms of Trade in G-7 Countries: Penal Cointegration Approach
    by Shigeyuki HAMORI

  • 2008 A Contribution To The Analysis Of The Economic Growth Of Qatar
    by EL-MEFLEH, Muhannad A. & SHOTAR, Manhal M.

  • 2008 Nash Bargaining, Money Creation, and Currency Union
    by Stephane Auray & Aurelien Eyquem & Gerard Hamiache & Jean-Christophe Poutineau

  • 2008 Cross-border mergers and acquisitions: does the exchange rate matter? Some evidence for Canada
    by George J. Georgopoulos

  • 2008 Exchange-rate pass-through at the product level
    by Guillaume Gaulier & Amina Lahrèche-Révil & Isabelle Méjean

  • 2008 The optimal choice of monetary policy instruments in a small open economy
    by Rajesh Singh & Chetan Subramanian

  • 2008 A Two-Sector Small Open Economy Model with Monopolistically Competitive Non Traded Markets
    by Romain Restout

  • 2008 Bestimmungsfaktoren der Unterschiede einzelbetrieblicher Exportaktivitäten in Ost- und Westdeutschland
    by Sabine Engelmann & Michaela Fuchs

  • 2008 Imperfections du marché du crédit et mécanisme de transmission de la politique monétaire dans les pays à moyen revenu
    by Pierre-Richard Agénor & Karim El Aynaoui

  • 2008 Taux de change d'équilibre et politiques économiques. Une approche contingente
    by Antoine Bouveret & Bruno Ducoudré

  • 2008 Recent Developments in Monetary Policy Analysis for Emerging Countries
    by Javier García-Cicco

  • 2008 O Retorno dos Fluxos de Capitais à América Latina na Década de Noventa: Uma Explicação Alternativa à Visão Convencional
    by Alessandro Maia Pinheiro

  • 2008 Analysis Oftwin Deficits Hypothesis In Turkey Between 1950-2005, Using Cointegration Analaysis And Granger Cousalitytest
    by Zeynep Erdinc

  • 2008 The Openness Of The Economy As A Dynamic Process
    by Ivan Iliev & Georgi Marinov

  • 2008 The International Business Environment And The Issue Of Risks For International Businesses
    by Ioan Rotariu & Emoke-Szidonia Feder

  • 2008 Stock Prices and the Exchange Rate in a Monetary Model: A ARDL Bounds Testing Approach Using South African Data
    by Smile Dube

  • 2007 International Relocation, Difference in Production Costs, and Welfare: Analysis Based on the Two-Country Model
    by Kohjiro Dohwa

  • 2007 Domestic–foreign Interest Rate Differentials: Near Unit Roots and Symmetric Threshold Models
    by Jack Strauss & Mark E. Wohar

  • 2007 Trade Effects of the Euro: a Comparison of Estimators
    by Baldwin, Richard

  • 2007 Currency Crisis and Stabilization Programme: A Third Generation Approach
    by Narayan Nag, Ranjanendra

  • 2007 The Monetary Exchange Rate Model: Long-run, Short-run, and Forecasting Performance
    by Zhang, Shidong & Lowinger, Thomas C.

  • 2007 Sterilization, Capital Mobility and Interest Rate Determination for East Asia
    by Cavoli, Tony

  • 2007 International Migration of Labor, Efficiency Wages, and Monetary Policies
    by Shimada, Akira

  • 2007 Global FDI Convergence Patterns?: Evidence from International Comparisons
    by Kottaridi, Constantina & Thomakos, Dimitrios D.

  • 2007 Analyzing the Technical Efficiency of School Districts in Oklahoma
    by Lee C. Adkins & Ronald L. Moomaw

  • 2007 The impact of financial liberalization on macroeconomic dynamics: A two-country analysis
    by Ekin TOKAT

  • 2007 Finansal serbestleşme sürecinde Türkiye’de kısa vadeli sermaye akımlarının makroekonomik etkileri
    by Ahmet ŞENGÖNÜL & Metin ALTIOK & Rana GÜRBÜZ

  • 2007 Alternatif para politikası değişkenlerinde maliye politikası, döviz kuru ve enflasyonun büyüme üzerindeki etkisi
    by Ahmet ÇETİN & Birol ÇETİN

  • 2007 Türkiye’de faiz oranları ve döviz kuru arasındaki nedensellik ilişkisi: 1984 – 2006
    by Ekrem GÜL & Aykut EKİNCİ & Mustafa ÖZER

  • 2007 İhracat, ithalat ve reel döviz kuru ilişkisi: Türkiye için bir VAR modeli
    by Ömer YILMAZ & Vedat KAYA

  • 2007 Financial Liberalization and the Dynamics of Inflation, Nominal Exchange Rate, and Terms of Trade
    by Rangan Gupta

  • 2007 Why are the Effects of Recent Oil Price Shocks so Small?
    by Schmidt, Torsten & Zimmermann, Tobias

  • 2007 Enlarging the EMU to the east: What effects on trade?
    by Belke, Ansgar & Spies, Julia

  • 2007 Labour Market Asymmetries in a Monetary Union
    by Andersen, Torben M. & Seneca, Martin

  • 2007 Technology Shocks and Employment in Open Economies
    by Tervala, Juha

  • 2007 Debt and Interest Rates: The U.S. and the Euro Area
    by Frankel, Jeffrey & Chinn, Menzie D.

  • 2007 Exchange rates and global imbalances: the importance of asset valuation effects and interest rate changes
    by Oberpriller, Christian M.

  • 2007 Global current account imbalances and exchange rate adjustment: the role of oil suppliers
    by Oberpriller, Christian M.

  • 2007 The timeless perspective vs. discretion: theory and monetary policy implications for an open economy
    by Guender, Alfred V.

  • 2007 The timing and magnitude of exchange rate overshooting
    by Hoffmann, Mathias & Søndergaard, Jens & Westelius, Niklas J.

  • 2007 Exchange rate dynamics in a target zone: a heterogeneous expectations approach
    by Bauer, Christian & De Grauwe, Paul & Reitz, Stefan

  • 2007 Vom kurzfristigen zum mittelfristigen Gleichgewicht in einer offenen Volkswirtschaft unter fixen und flexiblen Wechselkursen
    by Harald Badinger & Ingrid Kubin

  • 2007 A Saddlepoint Approximation to the Distribution of the Half-Life Estimator in an Autoregressive Model: New Insights Into the PPP Puzzle
    by Qian Chen & David E. Giles

  • 2007 Production of commodities by means of labour. A theory of international relations
    by Gianpaolo Mariutti

  • 2007 Composition of Trade between Australia and Latin America: Gravity Model
    by Cortes, Maria

  • 2007 Testing the Keynesian Proposition of Twin Deficits in the Presence of Trade Liberalisation: Evidence from Sri Lanka after War: the case of a bridge too far?
    by Chowdhury, Khorshed & Saleh, Ali Salman

  • 2007 Are The Real Exchange Rate Indices of Australia Non-Stationary in the Presence of Structural Break?
    by Chowdhury, Khorshed

  • 2007 Financial Integration and Fiscal Policy Efficiency in a Monetary Union
    by Gilbert Koenig & Irem Zeyneloglu

  • 2007 Another Pass-Through Bites The Dust? Oil Prices And Inflation
    by José De Gregorio & Oscar Landerretche & Christopher Neilson

  • 2007 Modelling Ireland’s exchange rates : from EMS to EMU
    by D. (Derek) Bond & Michael J. Harrison & Edward J. (Edward Joseph) O'Brien

  • 2007 Asymmetric investment returns and the sustainability of US external imbalances
    by Phil Garton

  • 2007 Nontraded Goods, Market Segmentation, and Exchange Rates
    by Michael Dotsey & Margarida Duarte

  • 2007 A Microfounded Sectoral Model for Open Economies
    by Plasmans, J.E.J. & Fornero, J. & Michalak, T.

  • 2007 Ageing and the Relative Price of Nontradeables
    by Leon Bettendorf & Hans Dewachter

  • 2007 Monetary Policy and External Shocks in a Dollarized Economy with Credit Market Imperfections
    by Koray Alper

  • 2007 Inter-Regional Factor Allocation in the Neo-Keynesian Macroeconomic Model
    by Hannu Laurila

  • 2007 On the Contingency of Equilibrium Exchange Rates with Time - Consistent Economic Policies
    by Antoine Bouveret & Bruno Ducoudre

  • 2007 Globalization, markups and the natural rate of interest
    by Jean-Marc Natal & Nicolas Stoffels

  • 2007 Applying the Hirose-Kamada filter to Swiss data: Output gap and exchange rate pass-through estimates
    by Franziska Bignasca & Enzo Rossi

  • 2007 Exchange rate pass-through in Switzerland: Evidence from vector autoregressions
    by Jonas Stulz

  • 2007 A Welfare Analysis of Capital Account Liberalization
    by Haiping Zhang & Jurgen von Hagen

  • 2007 Financial Development and International Capital Flows
    by Haiping Zhang & Jurgen von Hagen

  • 2007 Who’s Afraid of a Globalized World? Foreign Direct Investments, Local Knowledge and Allocation of Talents
    by Giovanni Pica & José V. Rodríguez Mora

  • 2007 Unconditionally Optimal Monetary Policy
    by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan

  • 2007 Interest Rate Rules and Welfare in Open Economies
    by Ozge Senay

  • 2007 Investment Frictions and the Relative Price of Investment Goods in an Open Economy Model
    by Parantap Basu & Christoph Thoenissen

  • 2007 Country Portfolio Dynamics
    by Michael B Devereux & Alan Sutherland

  • 2007 Inflation persistence: Implications for a design of monetary policy in a small open economy subject to external shocks
    by Karlygash Kuralbayeva

  • 2007 Optimal Monetary Policy and the Sources of Local-Currency Price Stability
    by Giancarlo Corsetti & Luca Dedola & Sylvain Leduc

  • 2007 Monetary and Fiscal Policies in the Euro Area
    by Carlberg, Michael

  • 2007 Re-examining the Importance of Trade Openness for Aggregate Instability
    by Stephen McKnight & Alexander Mihailov

  • 2007 Investment and Interest Rate Policy in the Open Economy
    by Stephen McKnight

  • 2007 Volatility of the Tradeable and Non-Tradeable Sectors: Theory and evidence
    by Laura Povoledo

  • 2007 Real Indeterminacy and the Timing of Money in Open Economies
    by Stephen McKnight

  • 2007 Re-examining the Importance of Trade Openness for Aggregate Instability
    by Stephen McKnight & Alexander Mihailov

  • 2007 Investment and Interest Rate Policy in the Open Economy
    by Stephen McKnight

  • 2007 Volatility of the Tradeable and Non-Tradeable Sectors: Theory and evidence
    by Laura Povoledo

  • 2007 Real Indeterminacy and the Timing of Money in Open Economies
    by Stephen McKnight

  • 2007 Monetary Policy in Dual Currency Environment
    by Felices Guillermo & Tuesta Vicente

  • 2007 Dynamic Pricing and Imperfect Common Knowledge
    by Kristoffer Nimark

  • 2007 Global Imbalances and the Global Saving Glut – A Panel Data Assessment
    by Anthony Legg & Nalini Prasad & Tim Robinson

  • 2007 The Butterfly Effect of Small Open Economies
    by Jarkko Jääskelä & Mariano Kulish

  • 2007 A Structural Model of Australia as a Small Open Economy
    by Kristoffer Nimark

  • 2007 Diversification économique en Afrique centrale : Etats des lieux et enseignements
    by KAMGNA, Severin Yves

  • 2007 The Effects of Joining a Monetary Union on Output and Inflation Variability in Accession Countries
    by Holtemöller, Oliver

  • 2007 A structural investigation of third-currency shocks to bilateral exchange rates
    by Melecky, Martin

  • 2007 How do nominal and real rigidities interact? A tale of the second best
    by Duval, Romain & Vogel, Lukas

  • 2007 Decomposition of external capital inflows and outflows in the small open transition economy (The case analysis of the Slovak republic)
    by Mirdala, Rajmund

  • 2007 Islamic Economic Revolution of the Century
    by Khan, Dr.Niaz Ahmed

  • 2007 Empirical analysis of monetary policy: croatia vs. Slovenia
    by Vidakovic, Neven

  • 2007 The Costs to Consumers of a Depreciated Conversion Rate to the Euro
    by Marques, Luis B

  • 2007 Welfare Implications of Exchange Rate Changes
    by Marques, Luis B

  • 2007 Testing Export-led Growth Hypothesis in Kenya: An ADRL Bounds Test Approach
    by Mohan, Ramesh & Nandwa, Boaz

  • 2007 Political Economic Pressures in Financial Crisis Resolution
    by Lim, Jamus Jerome

  • 2007 China currency dispute: is a rise in the yuan inevitable, necessary or desirable?
    by Tatom, John

  • 2007 Foreign exchange intervention and central bank independence: The Latin American experience
    by Nunes, Mauricio & Da Silva, Sergio

  • 2007 La Ley De Thirlwall. Una Aproximación Teórica Y Empírica. El Caso De Argentina Durante Los Años 1970-2003
    by Capraro, Santiago

  • 2007 Economic Integration and the Foreign Exchange
    by Weber, Enzo

  • 2007 An estimated New Keynesian policy model for Australia
    by Buncic, Daniel & Melecky, Martin

  • 2007 Co-movements in international dollar price levels
    by Shelley, Gary & Wallace, Frederick

  • 2007 Le choix du régime de change pour les économies émergentes
    by Sfia, Mohamed Daly

  • 2007 A Two-Country NATREX Model for the Euro/Dollar
    by Belloc, Marianna & Federici, Daniela

  • 2007 Toward Maghreb monetary unification:what does the theory and history tell us?
    by Belhadj, Aam & bangake, Chrysost & Jedlane, NABIL

  • 2007 Strategic monetary policy in a monetary union with non-atomistic wage setters
    by Cuciniello, Vincenzo

  • 2007 Optimal exchange rate policy in a low interest rate environment
    by Pavasuthipaisit, Robert

  • 2007 A sectoral analysis of Barbados’ GDP business cycle
    by CRAIGWELL, ROLAND & MAURIN, ALAIN

  • 2007 An Evaluation of the Exchange Rate Forecasting Performance of the New Keynesian Model
    by Vitek, Francis

  • 2007 Latin American foreign exchange intervention - Updated
    by Da Silva, Sergio & Nunes, Mauricio

  • 2007 Does the interest differential explain future exchange rate return? a re-examination of the UIP hypothesis for the Turkish economy
    by Levent, Korap

  • 2007 Modeling purchasing power parity using co-integration: evidence from Turkey
    by Levent, Korap

  • 2007 Increasing private capital flows to developing countries: The role of physical and financial infrastructure
    by Kinda, Tidiane

  • 2007 Trade Openness and the Cost of Sudden Stops: The Role of Financial Friction
    by Liu, Xuan

  • 2007 Shadows of economic prosperity in india in retrospection of the capital market
    by Lahiri, Soumitra

  • 2007 Capital controls: An evaluation
    by Reinhart, Carmen & Magud, Nicolas

  • 2007 A new Test of Uncovered Interest Rate Parity: Evidence from Turkey
    by Erdemlioglu, Deniz M

  • 2007 TÜRKİYE İMALAT SANAYİNDE İTHALATIN PİYASAYI DİSİPLİNE ETME HİPOTEZİNİN TESTİ: PANEL VERi YAKLASIMI
    by Saatci, Mustafa & Aslan, Alper

  • 2007 Uncovered Interest Parity: Cross-sectional Evidence
    by Lee, Byung-Joo

  • 2007 Risk Sharing among OECD and EU Countries: The Role of Capital Gains, Capital Income, Transfers, and Saving
    by Balli, Faruk & Sorensen, Bent E.

  • 2007 Being rich in energy resources – a blessing or a curse
    by Schubert, Samuel R.

  • 2007 The Malaysian Capital Controls: A Success Story?
    by Prema-Chandra Athukorala

  • 2007 Optimal Fiscal Feedback on Debt in an Economy with Nominal Rigidities
    by Simon Wren-Lewis & Tatiana Kirsanova

  • 2007 The Optimal Monetary Policy Response to Exchange Rate Misalignments
    by Simon Wren-Lewis & Campbell Leith

  • 2007 Local linear impulse responses for a small open economy
    by Alfred A. Haug & Christie Smith

  • 2007 Aid and Dutch Disease in the South Pacific
    by David Fielding

  • 2007 Transmission of Business Cycle Shocks between Unequal Neighbours: Germany and Austria
    by Gerhard Fenz & Martin Schneider

  • 2007 Understanding the New Zealand current account: A structural approach
    by Anella Munro & Rishab Sethi

  • 2007 Local linear impulse responses for a small open economy
    by Alfred A Haug & Christie Smith

  • 2007 Open economy DSGE-VAR forecasting and policy analysis - head to head with the RBNZ published forecasts
    by Kirdan Lees & Troy Matheson & Christie Smith

  • 2007 Optimal monetary policy with a regime-switching exchange rate in a forward-looking model
    by Fernando Alexandre & Pedro Bação & John Driffill

  • 2007 The Transmission of Domestic Shocks in the Open Economy
    by Christopher J. Erceg & Christopher Gust & David López-Salido

  • 2007 Modeling Great Depressions: The Depression in Finland in the 1990s
    by Juan Carlos Conesa & Timothy J. Kehoe & Kim J. Ruhl

  • 2007 Endogenous Discounting, the World Saving Glut and the U.S. Current Account
    by Horag Choi & Nelson C. Mark & Donggyu Sul

  • 2007 Optimal Monetary Policy and the Sources of Local-Currency Price Stability
    by Giancarlo Corsetti & Luca Dedola & Sylvain Leduc

  • 2007 Computing Stochastic Dynamic Economic Models with a Large Number of State Variables: A Description and Application of a Smolyak-Collocation Method
    by Benjamin Malin & Dirk Krueger & Felix Kubler

  • 2007 Openness, Technology Capital, and Development
    by Ellen McGrattan & Edward C. Prescott

  • 2007 The International Diversification Puzzle Is Not As Bad As You Think
    by Jonathan Heathcote & Fabrizio Perri

  • 2007 Financial Integration within EU Countries: The Role of Institutions, Confidence and Trust
    by Mehmet Fatih Ekinci & Sebnem Kalemli-Ozcan & Bent Sorensen

  • 2007 Currency Choice and Exchange Rate Pass-through
    by Gita Gopinath & Oleg Itskhoki & Roberto Rigobon

  • 2007 International Portfolios with Supply, Demand and Redistributive Shocks
    by Nicolas Coeurdacier & Robert Kollmann & Philippe Martin

  • 2007 East Asia and Global Imbalances: Saving, Investment, and Financial Development
    by Hiro Ito & Menzie Chinn

  • 2007 Globalization and Monetary Control
    by Michael Woodford

  • 2007 Explaining the Effects of Government Spending Shocks on Consumption and the Real Exchange Rate
    by Morten O. Ravn & Stephanie Schmitt-Grohé & Martín Uribe

  • 2007 Exchange Rate Models Are Not as Bad as You Think
    by Charles Engel & Nelson C. Mark & Kenneth D. West

  • 2007 Returns on FDI: Does the U.S. Really Do Better?
    by Barry Bosworth & Susan M. Collins & Gabriel Chodorow-Reich

  • 2007 Random Walk Expectations and the Forward Discount Puzzle
    by Philippe Bacchetta & Eric van Wincoop

  • 2007 Interest Rate Rules, Inflation Stabilization, and Imperfect Credibility: The Small Open Economy Case
    by Guillermo A. Calvo

  • 2007 Portfolio Choices with Near Rational Agents: A Solution of Some International-Finance Puzzles
    by Pierpaolo Benigno

  • 2007 Segmented Asset Markets and Optimal Exchange Rate Regimes
    by Amartya Lahiri & Rajesh Singh & Carlos A. Vegh

  • 2007 Precautionary Demand for Foreign Assets in Sudden Stop Economies: An Assessment of the New Merchantilism
    by Ceyhun Bora Durdu & Enrique G. Mendoza & Marco E. Terrones

  • 2007 Are Shocks to the Terms of Trade Shocks to Productivity?
    by Timothy J. Kehoe & Kim J. Ruhl

  • 2007 Unbalanced Trade
    by Robert Dekle & Jonathan Eaton & Samuel Kortum

  • 2007 International Evidence on Fiscal Solvency: Is Fiscal Policy "Responsible"?
    by Enrique G. Mendoza & Jonathan D. Ostry

  • 2007 The Valuation Channel of External Adjustment
    by Fabio Ghironi & Jaewoo Lee & Alessandro Rebucci

  • 2007 Current Account Deficits in Rich Countries
    by Olivier Blanchard

  • 2007 The Returns to Currency Speculation in Emerging Markets
    by Craig Burnside & Martin Eichenbaum & Sergio Rebelo

  • 2007 Financial Integration, Financial Deepness and Global Imbalances
    by Enrique G. Mendoza & Vincenzo Quadrini & Jose-Victor Rios-Rull

  • 2007 Pricing-to-Market in a Ricardian Model of International Trade
    by Andrew Atkeson & Ariel Burstein

  • 2007 International Capital Flows
    by Eric Van Wincoop & Cedric Tille

  • 2007 Computing Stochastic Dynamic Economic Models with a Large Number of State Variables: A Description and Application of a Smolyak-Collocation Method
    by Benjamin Malin & Dirk Krueger & Felix Kubler

  • 2007 Openness, Income-Tax Progressivity, and Inflation
    by Joseph P. Daniels & David D. VanHoose

  • 2007 Trade Openness, Capital Mobility, and the Sacrifice Ratio
    by Joseph P. Daniels & David D. VanHoose

  • 2007 Switzerland and Euroland: European Monetary Union, Monetary Stability and Financial Stability
    by Martin Hellwig

  • 2007 Convergence, capital accumulation and the nominal exchange rate
    by Péter Benczúr & István Kónya

  • 2007 Does Instrument Independence Matter under the Constrained Discretionof an Inflation Targeting Goal? Lessons from UK Taylor Rule Empirics
    by Alexander Mihailov

  • 2007 The Law of One Price: Nonlinearities in Sectoral Real Exchange Rate Dynamics
    by Luciana Juvenal & Mark P. Taylor

  • 2007 The Costs of EMU for Transition Countries
    by Alexandra Ferreira Lopes

  • 2007 From Currency Unions to a World Currency: A Possibility?
    by Davide Furceri

  • 2007 Caution or Activism? Monetary Policy Strategies in an Open Economy
    by Martin Ellison & Lucio Sarno & Jouko Vilmunen

  • 2007 The determinants of "domestic" original sin in emerging market economies
    by Julien Reynaud & Arnaud Mehl

  • 2007 Real exchange rates and current account imbalances in the Euro-area
    by Michael G Arghyrou & Georgios Chortareas

  • 2007 The International Diversification Puzzle Is Not as Bad as You Think
    by Fabrizio Perri & Jonathan Heathcote

  • 2007 An Evaluation of the Working Income Tax Benefit
    by William Scarth & Lei Tang

  • 2007 An Evaluation of the Working Income Tax Benefit
    by William Scarth & Lei Tang

  • 2007 Solving Exchange Rate Puzzles with neither Sticky Prices nor Trade Costs
    by Maurice J. Roche & Michael J. Moore

  • 2007 Politiques commerciales, intégration régionale, pauvreté et distribution de revenus au Sénégal/Trade Policies, Regional Integration, Poverty and Income Distribution in Senegal
    by Abdoulaye Diagne & François Joseph Cabral & Fatou Cisse & Mamadou Dansokho & Samba Ba

  • 2007 On Financial Markets Incompleteness, Price Stickiness, and Welfare in a Monetary Union
    by Stéphane Auray & Aurélien Eyquem

  • 2007 When countries do not do what they say: Systematic discrepancies between exchange rate regime announcements and de facto policies
    by Bersch, Julia & Klüh, Ulrich H.

  • 2007 On The Sustainability of the EU’s Current Account Deficits
    by Mark J. Holmes & Jesus Otero & Theodore Panagiotidis

  • 2007 Are EU budget deficits sustainable?
    by Mark J. Holmes & Jesus Otero & Theodore Panagiotidis

  • 2007 Testing Hypotheses in an I(2) Model with Applications to the Persistent Long Swings in the Dmk/$ Rate
    by Søren Johansen & Katarina Juselius & Roman Frydman & Michael Goldberg

  • 2007 The PPP Puzzle: What the Data Tell when Allowed to Speak Freely
    by Katarina Juselius

  • 2007 How do Capital Controls Affect the Transmission of Foreign Shocks?
    by Dudley Cooke

  • 2007 Globalisation and Inflation in OECD Countries
    by Gernot Pehnelt

  • 2007 Is It Worthwhile for Indonesia to Rush into a Free Trade Deal with Japan?
    by Oyamada, Kazuhiko

  • 2007 Business Cycle Synchronization and Insurance Mechanisms in the EU
    by António Afonso & Davide Furceri

  • 2007 Sectoral Business Cycle Synchronization in the European Union
    by António Afonso & Davide Furceri

  • 2007 Pass-Through to Import Prices: Evidence from Developing Countries
    by Miguel Fuentes

  • 2007 A General equilibrium open economy model for emerging markets: Monetary policy with a dualistic labor market
    by Ashima Goyal

  • 2007 Does Capital Account Openness Lower Inflation?
    by Abhijit Sen Gupta

  • 2007 Does Capital Account Openness Lower Inflation?
    by Abhijit Sen Gupta

  • 2007 Financial Globalization and Emerging Market Portfolios
    by Michael B Devereux

  • 2007 Monetary Policy in East Asia: the Case of Singapore
    by Bennett T. McCallum

  • 2007 Designing fiscal rules for commodity exporters
    by Carlos Garcia & Jorge Restrepo & Evan Tanner

  • 2007 Efectividad de la política monetaria en algunas economías latinoamericanas
    by Carlos Garcia & Wildo Gonzalez

  • 2007 A (Lack of) Progress Report on China's Exchange Rate Policies
    by Morris Goldstein

  • 2007 Incomplete Intertemporal Consumption Smoothing and Incomplete Risksharing
    by Pierfederico Asdrubali & Soyoung Kim

  • 2007 On The Empirics Of International Smoothing
    by Pierfederico Asdrubali & Soyoung Kim

  • 2007 Consumption Smoothing Channels in Open Economies
    by Pierfederico Asdrubali & Soyoung Kim

  • 2007 International Banking and the Allocation of Risk
    by Claudia M. Buch & Gayle L. DeLong & Katja Neugebauer

  • 2007 Economic Integration and the Foreign Exchange
    by Enzo Weber

  • 2007 The Timing and Magnitude of Exchange Rate Overshooting
    by Niklas J. Westelius & Mathias Hoffmann & Jens Sondergaard

  • 2007 The Bazaar Economy Hypothesis Revisited
    by Ansgar Belke & Anselm Mattes & Lars Wang

  • 2007 Solving for Country Portfolios in Open Economy Macro Models
    by Michael B. Devereux & Alan Sutherland

  • 2007 International Capital Flows
    by Cedric Tille & Eric van Wincoop

  • 2007 The Overvaluation of Renminbi Undervaluation
    by Yin-wong Cheung & Menzie D. Chinn & Eiji Fujii

  • 2007 Is the Hong Kong Dollar Real Exchange Rate Misaligned?
    by Frank Leung & Philip Ng

  • 2007 The geography of asset holdings: Evidence from Sweden
    by Coeurdacier , Nicolas & Martin, Philippe

  • 2007 Price Setting Transactions and the Role of Denominating Currency in FX Markets
    by Friberg, Richard & Wilander, Fredrik

  • 2007 The Transition to Marked-Based Monetary Policy: What Can China Learn from the European Experience?
    by Oxelheim, Lars & Forssbæck , Jens

  • 2007 Optimal monetary policy with a regime-switching exchange rate in a forward-looking model
    by Fernando Alexandre & Pedro Bação & John Driffill

  • 2007 Disaggregate Real Exchange Rate Behaviour
    by Giorgio Fazio & Ronald MacDonald & Peter McAdam

  • 2007 Parametric and Non-parametric Approaches to Exits from Fixed Exchange Rate Regimes
    by Ahmet Atil Asici

  • 2007 Optimal monetary policy under a floating regime with non-atomistic wage setters
    by Vincenzo Cuciniello

  • 2007 A "Simple" Currency Union Model with Labor Market Frictions, Real Wage Rigidities and Equilibrium Unemployment
    by Mirko Abbritti

  • 2007 Asymmetric Labor Market Institutions in the EMU: Positive and Normative Implications
    by Mirko Abbritti & Andreas Mueller

  • 2007 Permanent vs Temporary Fiscal Expansion in a Two-Sector Small Open Economy Model
    by Olivier Cardi & Romain Restout

  • 2007 Taxa Real de Câmbio, Mobilidade de Capitais e Mudança Estrutural num Modelo Kaldoriano Modificado de Causalidade Cumulativa
    by José Luís Oreiro & Breno Pascualote Lemos

  • 2007 Efeitos do câmbio e juros sobre as exportações da indústria brasileira
    by Luciano Nakabashi & Marcio José Vargas da Cruz & Fábio Dória Scatolin

  • 2007 Smart Forward Shooting
    by Manoj Atolia & Edward F. Buffie

  • 2007 A monetary model of the exchange rate with informational frictions
    by Martinez-Garcia, Enrique

  • 2007 Efficiency of stability-oriented institutions: the European case
    by Fabrice Capoen & Jerome Creel

  • 2007 Optimal Fiscal Feedback on Debt in an Economy with Nominal Rigidities
    by Tatiana Kirsanova & Simon Wren-Lewis

  • 2007 Argentina's Monetary and Exchange Rate Policies after the Convertibility Regime Collapse
    by Roberto Frenkel & Martín Rapetti

  • 2007 Competitive diversification in resource abundant countries
    by Serino, L.A.

  • 2007 Apertura y empleos: la economía de los sectores comerciables y no comerciables de las regiones de México
    by Kurt Unger

  • 2007 Exchange rate regimes and monetary policies in emerging markets: a showdown for few theoretical misconceptions
    by Marko Malovic

  • 2007 The Maastricht convergence criteria and optimal monetary policy for the EMU accession countries
    by Anna Lipinska

  • 2007 Trade Openness and Inflation in Latin American Countries
    by Rajagopal

  • 2007 Stabilizing The Australian Business Cycle: Good Luck Or Good Policy?
    by Philip Liu

  • 2007 Increasing Returns, Financial Capital Mobility And Real Exchange Rate Dynamics
    by Steven Pennings & Rod Tyers

  • 2007 Open Economy Dsge-Var Forecasting And Policy Analysis: Head To Head With The Rbnz Published Forecasts
    by Kirdan Lees & Troy Matheson & Christie Smith

  • 2007 Transmitting Shocks To The Economy: The Contribution Of Interest And Exchange Rates And The Credit Channel
    by Edda Claus & Iris Claus

  • 2007 A Welfare Analysis of Capital Liberalization
    by Jurgen von Hageny & Haiping Zhang

  • 2007 Future Fiscal and Budgetary Shocks
    by Hian Teck Hoon & Edmund S. Phelps

  • 2007 Financial Development and International Capital Flows
    by Jurgen von Hagen & Haiping Zhang

  • 2007 A General Equilibrium Open Economy Model for Emerging Markets - Monetary Policy with a Dualistic Labor Market
    by Ashima Goyal

  • 2007 Does Capital Account Openness Lower Inflation?
    by Abhijit Sen Gupta

  • 2007 A Roadmap for East Asian Monetary Integration : The Necessary First Step
    by Kyung Tae Lee & Deok Ryong Yoon

  • 2007 Power Structure and Its Stability in North-East Asia
    by Yuzhu Wang

  • 2007 Return The Output Effect of Stopping Inflation when Velocity is Time Varying
    by Lynne Evans & Anamaria Nicolae

  • 2007 Revisiting the relationship between governance and foreign direct investment
    by Pierre-Guillaume Méon & Khalid Sekkat

  • 2007 Regional real exchange rates and Phillips curves in monetary unions - Evidence from the US and EMU
    by Jan Marc Berk & Job Swank

  • 2007 Does the Nominal Exchange Rate Regime Affect the Long Run Properties of Real Exchange Rates?
    by Christian Dreger & Eric Girardin

  • 2007 Outward FDI and Domestic Investment
    by Dierk Herzer & Mechthild Schrooten

  • 2007 Behavior Equilibrium Exchange Rate and Misalignment of Renminbi: A Recent Empirical Study
    by Jinzhao Chen

  • 2007 Inflation dynamics and trade openness: with an application to South Africa
    by Janine Aron & John Muellbauer

  • 2007 New Open Economy Macroeconomics
    by Corsetti, Giancarlo

  • 2007 The Transmission of Domestic Shocks in Open Economies
    by Erceg, Christopher & Gust, Christopher & López-Salido, J David

  • 2007 Optimal Monetary Policy and the Sources of Local-Currency Price Stability
    by Corsetti, Giancarlo & Dedola, Luca & Leduc, Sylvain

  • 2007 Twin Deficits, Openness and the Business Cycle
    by Corsetti, Giancarlo & Müller, Gernot

  • 2007 International Portfolios with Supply, Demand and Redistributive Shocks
    by Coeurdacier, Nicolas & Kollmann, Robert & Martin, Philippe

  • 2007 Pooling Risk Among Countries
    by Imbs, Jean & Mauro, Paolo

  • 2007 Globalization and Monetary Control
    by Woodford, Michael

  • 2007 Inflation Dynamics and Trade Openness
    by Aron, Janine & Muellbauer, John

  • 2007 Country Portfolio Dynamics
    by Devereux, Michael B & Sutherland, Alan

  • 2007 The Returns to Currency Speculation in Emerging Markets
    by Burnside, Craig & Eichenbaum, Martin & Rebelo, Sérgio

  • 2007 Financial Globalization and Monetary Policy
    by Devereux, Michael B & Sutherland, Alan

  • 2007 Monetary Policy in a Small Open Economy with a Preference for Robustness
    by Dennis, Richard & Leitemo, Kai & Söderström, Ulf

  • 2007 The Geography of Asset Trade and the Euro: Insiders and Outsiders
    by Coeurdacier, Nicolas & Martin, Philippe

  • 2007 Pricing to Habits and the Law of One Price
    by Ravn, Morten O & Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2007 The geography of asset trade and the euro: insiders and outsiders
    by Coeurdacier, Nicolas & Martin, Philippe

  • 2007 El comportamiento de las exportaciones colombianas y las condiciones económicas de sus países socios comerciales
    by Efraín Cuadro Guzmán & Antonio Orozco Gallo

  • 2007 Determinantes de la Tasa de Cambio Nominal: Verificación Empírica del Modelo de Precios Rígidos en la Economía Colombiana, 1995:I–2006:I
    by Humberto Franco González & Alfonso de Jesús Gómez Cifuentes & Andrés Ramírez Hassan

  • 2007 Inflación y apertura: evidencia para Colombia (1980-2005)
    by Carlos Esteban Posada & Camilo Morales J.

  • 2007 Financial Globalization, Economic Growth, and Macroeconomic Volatility
    by Hernán Rincón

  • 2007 The Convergence of a Transition Economy: The Case of the Czech Republic
    by Jan Bruha & Jiri Podpiera & Stanislav Polak

  • 2007 Welfare-Based Optimal Monetary Policy in a Two-Sector Small Open Economy
    by Yuliya Rychalovska

  • 2007 The Effects of Anticipated Future Change in the Monetary Policy Regime
    by Juraj Antal & Frantisek Brazdik

  • 2007 Location Decisions and Minimum Wages
    by Isabelle Méjean & Lise Patureau

  • 2007 On the Benefits of a Monetary Union: Does it Pay to Be Bigger?
    by Chiara Forlati

  • 2007 Terms of Trade, Catch-up, and Home Market Effect: The Example of Japan
    by Dieter M. Urban

  • 2007 Exchange Rates Dynamics in a Target Zone – A Heterogeneous Expectations Approach
    by Christian Bauer & Paul De Grauwe & Stefan Reitz

  • 2007 A Role Model for China? Exchange Rate Flexibility and Monetary Policy in Japan
    by Gunther Schnabl & Christian Danne

  • 2007 Retirement, Pensions, and Ageing
    by Ben J. Heijdra & Ward E. Romp

  • 2007 The Maastricht Convergence Criteria and Optimal Monetary Policy for the EMU Accession Countries
    by Anna Lipinska

  • 2007 Considerações teóricas e empíricas acerca da relação entre déficit público e déficit externo
    by Taiana Fortunato Araujo & Alessandra Coelho de Oliveira & Marco Flavio da Cunha Resende & Sueli Moro

  • 2007 Calvo Contracts - Optimal Indexation in General Equilibrium
    by Le, Vo Phuong Mai & Minford, Patrick

  • 2007 Fiscal Policy in a Stock-Flow consistent (SFC) Model: A Comment
    by Bill Martin

  • 2007 Optimum Policy Domains in an Interdependent World
    by Michael P. Evers

  • 2007 Optimal Monetary Policy in an Interdependent World
    by Michael Evers

  • 2007 The Contribution of Sectoral Productivity Differentials to Inflation in Greee
    by Heather D. Gibson & Jim Malley

  • 2007 The international transmission of monetary policy in a dollar pricing model
    by Tervala, Juha

  • 2007 Instrument rules in monetary policy under heterogeneity in currency trade
    by Bask, Mikael

  • 2007 Optimal monetary policy under heterogeneity in currency trade
    by Bask, Mikael

  • 2007 Equilibrium exchange rates in oil-dependent countries
    by Korhonen, Iikka & Juurikkala, Tuuli

  • 2007 Currency substitution in a de-dollarizing economy : the case of Russia
    by Harrison, Barry & Vymyatnina, Yulia

  • 2007 Exchange rate forecasting, order flow and macroeconomic information
    by Dagfinn Rime & Lucio Sarno & Elvira Sojli

  • 2007 Economic reforms and exchange rate pass-through to domestic prices in India
    by Jeevan K Khundrakpam

  • 2007 What explains the US net income balance?
    by Alexandra Heath

  • 2007 Optimal Fiscal Policy in a Small Open Economy and the Structure of International Financial Markets
    by Josué Fernando Cortés Espada

  • 2007 Fiscal Policy and Default Risk in Emerging Markets
    by Gabriel Cuadra & Horacio Sapriza

  • 2007 Trade patterns, trade balances and idiosyncratic shocks
    by Claudia Canals & Xavier Gabaix & Josep M. Vilarrubia & David Weinstein

  • 2007 ARGEM: A DSGE Model with Banks and Monetary Policy Regimes with Two Feedback Rules, Calibrated for Argentina
    by Guillermo Escudé

  • 2007 IMF-Supported Adjustment Programs: Welfare Implications and the Catalytic Effect
    by Carlos de Resende

  • 2007 A No-Arbitrage Analysis of Macroeconomic Determinants of Term Structures and the Exchange Rate
    by Fousseni Chabi-Yo & Jun Yang

  • 2007 The Uncertainty Channel of Contagion
    by Fritzi Koehler-Geib

  • 2007 Accession to the Euro-area: A stylized analysis using a NK model
    by VAN AARLE, Bas & GARRETSEN, Harry & MOONS, Cindy

  • 2007 Monetary policy in the new-Keynesian model: An application to the Euro-Area
    by MOONS, Cindy & GARRETSEN, Harry & VAN AARLE, Bas & FORNERO, Jorge

  • 2007 Fiscal Reform, Growth and Current Account Dynamics
    by Creina Day & Garth Day

  • 2007 Foreign Prices Shocks in a Small Open Economy
    by Marias Halldor Gestsson

  • 2007 Institutiile Uniunii Europene in perioada Post Nisa. O perspectiva de drept constitutional - European Union’s Institutions in the Post Nisa Period. A Constitutional Law Perspective (Romanian Version)
    by

  • 2007 Technology Shocks and Employment in Open Economies
    by Tervala, Juha

  • 2007 Technology Shocks and Employment in Open Economies (rev.)
    by Tervala, Juha

  • 2007 Which Currency Exchange Regime for Emerging Markets? Corner Solutions under Question
    by Jean-Pierre Allegret

  • 2007 Volatility of Shocks and Degree of Exchange Rate Flexibility
    by Jean-Pierre Allegret & Mohamed Ayadi & Leila Haouaoui

  • 2007 Optimal Exchange Rate Regimes: Turning Mundell-Fleming's Dictum on its Head
    by Amartya Lahiri & Rajesh Singh & Carlos A. Vegh

  • 2007 Current Account Deficits in Rich Countries
    by Olivier Blanchard

  • 2007 How Does Information Affect the Comovement Between Interest Rates and Exchange Rates?
    by Marcelo SANCHEZ

  • 2007 Muss das hohe US-Leistungsbilanzdefizit zu einer massiven Aufwertung der europäischen Währungen führen? Eine andere Sicht
    by Jonas Dovern & Carsten-Patrick Meier & Joachim Scheide

  • 2007 Real Exchange Rate Fluctuations and Relative Prices in Turkey
    by Ugur Ciplak

  • 2007 Editor’s Overview
    by Andrew Sharpe

  • 2007 Staggered Wages, Financial Frictions, and the International Comovement Problem
    by Yossi Yakhin

  • 2007 The Inflation Tax in an Open Economy with Imperfect Competition
    by David Arseneau

  • 2007 Long range dependence and the purchasing power parity (in Russian)
    by Oleg Obrezkov

  • 2007 Dynamics of Hume's Law
    by David Martinčík & Blanka Šedivá

  • 2007 Exchange Rate Dynamics and the Disconnect
    by Miroslava Jindrová

  • 2007 Current Account Dynamics and the Feldstein and Horioka Puzzle: the Case of Greece
    by Anastasios Mastroyiannis

  • 2007 Reserve Adequacy In Asia Revisited: New Benchmarks Based On The Size And Composition Of Capital Flow
    by Jung Sik Kim & Jie Li & Ramkishen S. Rajan & Ozan Sula & Thomas D. Willett

  • 2007 Currency Substitution and Currency Crises
    by Yu-Fong Sun & Tien-Wang Tsaur

  • 2007 Is Latin America Overcoming its Fear of Floating?
    by Carlos AIbarra

  • 2007 Monetary Policy in East Asia: The Case of Singapore
    by Bennett T. McCallum

  • 2007 Financial Globalization and Emerging Market Portfolios
    by Michael B. Devereux

  • 2007 Speculative currency attacks: role of inconsistent macroeconomic policies and real exchange rate overvaluation
    by Alfredo Pistelli

  • 2007 El papel de la estructura productiva en la transmisión de efectos de un shock monetario y de oferta en una pequeña economía abierta
    by Juan Antonio García-Cebro & Ramón Varela Santamaría

  • 2007 Exchange Rate Regimes and Monetary Policies in Emerging Markets: A Showdown for Few Theoretical Misconceptions
    by Marko Malovic

  • 2007 Fiscal Policy and the Current Account in a Small Open Economy
    by Juha Tervala

  • 2007 Optimal currency area: An empirical study on selected East Asian economies
    by GAO Haihong

  • 2007 Vulnerability to Shocks in EMU: 1991–2004 (in English)
    by Oscar Bajo-Rubio & Carmen Díaz-Roldán

  • 2007 Daraltıcı Devalüasyon Hipotezi: Türkiye Üzerine Bir Uygulama
    by A. Nazif ÇATIK

  • 2007 Reallocation of Resources within the National Productive System in Bolivia: A View from the Perspective of Tradable and Non-Tradable Goods
    by Sergio G. Villarroel-Böhrt

  • 2007 Cointegration And Causality Among Exchange Rate, Export, And Import: Empirical Evidence From Turkey
    by SEKMEN, Fuat & SARIBAS, Hakan

  • 2007 Reassessment Of Currency Index By Fundamentals
    by Hiroya Akiba & Yonghui Jia

  • 2007 La relación euro-dólar: seis años después que el euro presentase su mínimo nivel
    by John Jairo García Rendón

  • 2007 Verificación empírica del modelo de precios rígidos en la economía colombiana, 1995:I-2006:I
    by Humberto Franco González & Alfonso de Jesús Gómez Cifuentes & Andrés Ramírez Hassan

  • 2007 Impacto de las noticias sobre el mercado de deuda pública interna en Colombia
    by Carolina Ramírez L.

  • 2007 Tests of the functional form, the substitution effect, and the wealth effect of Mexico´s money demand function
    by Yu Hsing

  • 2007 Exchange Rate Pass-Through Effects:A Disaggregate Analysis Of Colombianimports Of Manufactured Goods
    by HERNÁN RINCÓN & ÉDGAR CAICEDO & NORBERTO RODRÍGUEZ

  • 2007 Investment-specific shocks and external balances in a small open economy model
    by Marc-André Letendre & Daqing Luo

  • 2007 Dollarization and the inflation threshold
    by Gaetano Antinolfi & Claudia M. Landeo & Maxim Nikitin

  • 2007 L'impact des chocs externes dans les economies du Mercosur : un modele var structurel
    by Celine Gimet

  • 2007 How Did European Institutional Integration and Intra-European Trade Interact?
    by Itai Agur & Ettore Dorrucci & Francesco Paolo Mongelli

  • 2007 Role of debt maturity on firms´ fixed assets during sudden stop episodes: Evidence from Thailand
    by Maria Pia Iannariello & Hanan Morsy & Akiko Terada-Hagiwara

  • 2007 Échange international et distorsions internes. Comment gouverner la globalisation ?
    by Jean-Luc Gaffard & Francesco Saraceno

  • 2007 Revisiting the relationship between governance and foreign direct investment
    by Pierre-Guillaume Méon & Khalid Sekkat

  • 2007 Le projet d'Union Monétaire dans le Mercosur :Etude de la position actuelle dans les pays par rapport à une carte de critères de soutenabilité
    by Céline Gimet

  • 2007 L’influence des non-résidents sur la création monétaire dans la zone euro
    by BOUTILLIER, M. & NIVAT, D. & OUNG, V.

  • 2007 Exchange Rate Pass-Through Effects: A Disaggregate Analysis Of Colombian Imports Of Manufactured Goods
    by HERNÁN RINCÓN & ÉDGAR CAICEDO & NORBERTO RODRÍGUEZ

  • 2007 Alternative Monetary Regimes in a DSGE Model of a Small Open Economy with Two Sectors and Sticky Prices and Wages
    by Guillermo J. Escudé

  • 2007 Exchange Rate and Monetary Policy After the Convertibility Regime Collapse
    by Roberto Frenkel & Martín Rapetti

  • 2007 Análise da Taxa de Câmbio a Partir do Índice de Pressão Cambial: A Experiência Brasileira de 1994 a 1999
    by Fernando Antˆonio Ribeiro Soares & Maurício Barata de Paula Pinto & Tito Belchior Silva Moreira

  • 2006 Multinational Corporations and the Moderation of U.S. Output Volatility
    by Luis San Vicente Portes

  • 2006 Exchange Rate Variability in a Dollarized Small Open Economy
    by Luca Martino Francesco Colantoni

  • 2006 The Costs of EMU for Transition Countries
    by Alexandra Lopes

  • 2006 Fiscal Policy, Inflation Tax and Default Risk in Emerging Economies
    by Horacio Sapriza & Gabriel Cuadra

  • 2006 Optimal Fiscal Policy and Sovereign Debt: A signaling model
    by Guido Sandler

  • 2006 "News" Shocks in International Business Cycles
    by Martial Dupaigne & Franck Portier

  • 2006 Estimating the Equilibrium Real Exchange Rate for Namibia
    by J. H. Eita & Moses M. Sichei

  • 2006 Testing Monetary Policy Intentions in Open Economies
    by Jim Granato & Melody Lo & M. C. Sunny Wong

  • 2006 Current Account Dynamics in OECD Countries and in the New EU Member States: An Intertemporal Approach
    by Bussière, Matthieu & Fratzscher, Marcel

  • 2006 Why Are Crisis-Induced Devaluations Contractionary? Exploring Alternative Hypotheses
    by Rajan, Ramkishen S. & Shen, Chung-Hua

  • 2006 Trade Openness, Economic Size, and Macroeconomic Volatility: Theory and Empirical Evidence
    by Karras, Georgios

  • 2006 Application of the IS-MP-IA Model and the Taylor Rule to Croatia: Policy Implications for Economic Integration
    by Hsing, Yu

  • 2006 İhracata dayalı büyüme hipotezinin Türkiye’de 1974-2004 dönemi için sınır (bound) testi yaklaşımı ile incelenmesi
    by Erman ERBAYKAL & Dilek SÜREKÇİ

  • 2006 Uluslararası sermaye serbestliği : OECD ülkeleri üzerine yatay-kesit ve panel veri analizi uygulaması
    by Hüseyin KALYONCU

  • 2006 Türk dış ticaretinin uzun dönem dengesi üzerine ekonometrik bir analiz
    by Şahabettin GÜNEŞ

  • 2006 Euro - Dolar paritesindeki oynaklığın ihracat üzerine etkisi: Türkiye örneği
    by Hakan KAHYAOĞLU & Utku UTKULU

  • 2006 Hisse Senetlerinin Fiyatları Ve Makroekonomik Değişkenler Arasında Bir İlişki Var Mı?
    by Saadet K. KASMAN

  • 2006 Imperfect Capital Mobility in an Open Economy Model of Capital Accumulation
    by Vladimir Klyuev

  • 2006 The Money Demand Behaviour in Bangladesh, 1973-2003: An Application of the Cointegration and Error-Correction Methods
    by Akhtar Hossain

  • 2006 Financial openness and macroeconomic volatility
    by von Hagen, Jürgen & Zhang, Haiping

  • 2006 A welfare analysis of capital account liberalization
    by von Hagen, Jürgen & Zhang, Haiping

  • 2006 Teaching New Keynesian Open Economy Macroeconomics at the Intermediate Level
    by Bofinger, Peter & Mayer, Eric & Wollmershäuser, Timo

  • 2006 Hedging, speculation, and investment in balance-sheet triggered currency crises
    by Röthig, Andreas & Semmler, Willi & Flaschel, Peter

  • 2006 The Poole analysis in the new open economy macroeconomic framework
    by Hoffmann, Mathias & Kempa, Bernd

  • 2006 Reasons for real appreciation in Central Europe
    by Brandmeier, Michael

  • 2006 Anticipated Raw Materials Price Shocks and Monetary Policy Response - A New Keynesian Approach
    by Winkler, Roland C. & Wohltmann, Hans-Werner

  • 2006 Does trade openness increase firm-level volatility?
    by Strotmann, Harald & Döpke, Jörg & Buch, Claudia M.

  • 2006 How strong is the impact of exports and other demand components on German import demand? Evidence from euro-area and non-euro-area imports
    by Stirböck, Claudia

  • 2006 Has the export pricing behaviour of German enterprises changed? Empirical evidence from German sectoral prices
    by Stahn, Kerstin

  • 2006 The coordination channel of foreign exchange intervention: a nonlinear microstructural analysis
    by Reitz, Stefan & Taylor, Mark P.

  • 2006 Has the impact of key determinants of German exports changed? Results from estimations of Germany's intra euro-area and extra euro-area exports
    by Stahn, Kerstin

  • 2006 The Harrod-Balassa-Samuelson Effect: A Survey of Empirical Evidence
    by Josip Tica & Ivo Družić

  • 2006 A Relative Unit Labor Cost: Case of Accession Countries
    by Josip Tica & Ljubo Jurčić

  • 2006 Trade Costs and the Open Macroeconomy
    by Novy, Dennis

  • 2006 Real Exchange Rates Over the Past Two Centuries : How Important is the Harrod-Balassa-Samuelson Effect?
    by Lothian, James R. & Taylor, Mark P.

  • 2006 The Costs of Fiscal Inflexibility
    by Campbell Leith & Simon Wren-lewis

  • 2006 Tunisia: Sources of Real Exchange Rate Fluctuations
    by Sfia Mohamed Daly & &

  • 2006 Endogenous Stabilization in Open Democracies
    by David Kiefer

  • 2006 The Impact of Exchange Rate Volatility on Indonesia’s Exports to the USA: An Application of ARDL Bounds Testing Procedure
    by Arief Bustaman & Kankesu Jayanthakumaran

  • 2006 La Politique Budgetaire Dans La Nouvelle Macroeconomie Internationale
    by Gilbert Koenig & Irem Zeyneloglu

  • 2006 Efficiency and coordination of fiscal policy in open economies
    by Gilbert KOENIG & Irem ZEYNELOGLU

  • 2006 Inflation Targeting, Exchange Rate Pass-Through and 'Fear of Floating'
    by Reginaldo P. Nogueira Jnr

  • 2006 Periodically Collapsing Rational Bubbles in Exchange Rates: A Markov-Switching Analysis for a Sample of Industrialised Markets
    by Jose Eduardo de A. Ferreira

  • 2006 Effects of Fundamentals on the Exchange Rate: A Panel Analysis for a Sample of Industrialised and Emerging Economies
    by Jose Eduardo de A. Ferreira

  • 2006 Inflation Targeting and the Role of Exchange Rate Pass-through
    by Reginaldo P. Nogueira Jnr

  • 2006 Capital Flows, Maturity Mismatches and Profitability in Emerging Markets: Evidence from Bank Level Data
    by Uluc Aysun

  • 2006 Testing for Balance Sheet Effects in Emerging Market Countries
    by Uluc Aysun

  • 2006 Automatic Stabilizer Feature of Fixed Exchange Rate Regimes in Emerging Markets
    by Uluc Aysun

  • 2006 Greed, impatience and exchange rate determination
    by Frank Bohn

  • 2006 The short and long-run determinants of the real exchange rate in Mexico
    by Antonia López Villavicencio & Josep Lluís Raymond Bara

  • 2006 Real equilibrium exchange rates. A panel data approach for advanced and emerging economies
    by Antonia López Villavicencio

  • 2006 Currency Areas and Monetary Coordination
    by Qing Liu & Shouyong Shi

  • 2006 The Impact of Explicit Deposit Insurance on Market Discipline
    by Ioannidou, V. & de Dreu, J.

  • 2006 Debt, Deficits, and Destabilizing Monetary Policy in Open Economies
    by Andreas Schabert & Sweder van Wijnbergen

  • 2006 Purchasing Power Parity: The Irish Experience Re-visited
    by Derek Bond & Michael J. Harrison & Edward J. O'Brien

  • 2006 Some Empirical Observations on the Forward Exchange Rate Anomaly
    by Derek Bond & Michael J. Harrison & Niall Hession & Edward J. O'Brien

  • 2006 Removing policy based comparative advantage for energy intensive production. Necessary adjustments of the real exchange rate and industry structure
    by Torstein Bye & Erling Holmøy & Kim Massey Heide

  • 2006 Globalization and Emerging Markets: With or Without Crash?
    by Philippe Martin & Hélène Rey

  • 2006 Euro-Dollar Real Exchange Rate Dynamics in an Estimated Two-Country Model
    by Pau Rabanal

  • 2006 Optimal Monetary Policy in a Small Open Economy with Home Bias
    by Ester Faia & Tommaso Monacelli

  • 2006 Exchange-Rate-Based Stabilization, Durables Consumption, and Stylized Facts
    by Manoj Atolia & Edward F. Buffie

  • 2006 Oil Price Shocks, Monetary Policy Rules and Welfare
    by Fiorella de Fiore & Giovenni Lombardo & Viktors Stebunovs

  • 2006 Learning to Forecast the Exchange Rate: Two Competing Approaches
    by Paul De Grauwe & Agnieszka Markiewicz

  • 2006 Monetary regime choice in the accession countries - a theoretical analysis
    by Anna Lipinska

  • 2006 Caution or Activism? Monetary Policy Strategies in an Open Economy
    by Martin Ellison & Lucio Sarno & Jouko Vilmunen

  • 2006 Relative Price Distortion and Optimal Monetary Policy in Open Economies
    by Jinill Kim & Andrew Levin & Tack Yun

  • 2006 Can Miracles Lead to Crises? An Informational Frictions Explanation of Emerging Markets Crises
    by Emine Boz

  • 2006 The Coordination Channel of Foreign Exchange Intervention
    by Stefan Reitz & M.P Taylor

  • 2006 Are Indexed Bonds a Remedy for Sudden Stops?
    by C. Bora Durdu

  • 2006 Real Exchange Rate Volatility and Asset Market Structure
    by Christoph Thoenissen

  • 2006 Optimal Time Consistent Monetary Policy
    by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan

  • 2006 Optimal Fiscal Feedback on Debt in an Economy with Nominal Rigidities
    by Tatiana Kirsanova & Simon Wren-Lewis

  • 2006 Trade First and Trade Fast: A Duration Analysis of Recovery from Currency Crisis
    by Saubhik Deb

  • 2006 Interactions between Monetary and Fiscal Policies in the Euro Area
    by Carlberg, Michael

  • 2006 Global Imbalances and the Asian Economies: Implications for Regional Cooperation
    by Eichengreen, Barry

  • 2006 Sovereign default risk with heterogenous borrowers
    by Juan Carlos Hatchondo & Leonardo Martinez & Horacio Sapriza

  • 2006 Distribution Costs and International Business Cycles
    by P. Marcelo Oviedo & Rajesh Singh

  • 2006 Trade Adjustment and the Composition of Trade
    by Christopher Erceg & Luca Guerrieri & Christopher Gust

  • 2006 Imported Capital Goods and Open Economy Business Cycles
    by Reinout De Bock

  • 2006 Financial Integration, Credit Market Imperfections and Consumption Smoothing
    by Asli Leblebicioglu

  • 2006 Can Structural Small Open Economy Models Account for the Influence of Foreign Disturbances?
    by Alejandro Justiniano & Bruce Preston

  • 2006 Financial Integration and International Risk Sharing
    by Yan Bai & Jing Zhang

  • 2006 Nontraded Goods, Market Segmentation, and Exchange Rates
    by Michael Dotsey & Margarida Duarte

  • 2006 Free trade agreements and the environment with pre-existing subsidies
    by Claustre Bajona & David Kelly

  • 2006 Could capital gains smooth a current account rebalancing?
    by Michele Cavallo & Cedric Tille

  • 2006 Explaning the Correlation Between Output and Volatility in a Model of International Risk-Sharing and Limited Commitment
    by Pietro Reichlin

  • 2006 Default, Settlement, and Repayment History: A Unified Model of Sovereign Debt
    by Irani Arraiz

  • 2006 The Valuation Channel of External Adjustment
    by Fabio Ghironi & Jaewoo Lee & Alessandro Rebucci

  • 2006 Trade Integration, Competiton, and the Decline in Exchange-rate Pass-through
    by Christopher Gust & Sylvain Leduc & Robert Vigfusson

  • 2006 Net Exports, Consumption Volatility and International Real Business Cycle Models
    by Andrea Raffo

  • 2006 Expectations and Exchange Rate Dynamics: A State-Dependent Pricing Approach
    by Anthony Landry

  • 2006 Do trade costs in goods market lead to home bias in equities?
    by Nicolas Coeurdacier

  • 2006 The Equilibrium Real Exchange Rate in Peru: BEER Models and Confidence Band Building
    by Jesús Ferreyra & Jorge Salas

  • 2006 Measuring the Natural Interest Rate for the Peruvian Economy
    by Paul Castillo & Carlos Montoro & Vicente Tuesta

  • 2006 Depreciation expectations and interest rate differentials: Are there regime switches? The Peruvian case
    by Alberto Humala

  • 2006 Limiting Foreign Exchange Exposure through Hedging: The Australian Experience
    by Chris Becker & Daniel Fabbro

  • 2006 Industry Restructuring, Mark-ups, and Exchange Rate Pass-Through
    by Beverly Lapham & Danny Leung

  • 2006 On the Relevance of Exchange Rate Regimes for Stabilization Policy
    by Bernardino Adão & Isabel Horta Correia & Pedro Teles

  • 2006 Real Exchange Rate Dynamics With Endogenous Distribution Costs
    by Mulraine, Millan L. B.

  • 2006 Rent seeing distortions and fiscal procyclicality
    by Ilzetzki, Ethan

  • 2006 Measuring the Stance of Monetary Policy in a Small Open Economy: A Dynamic Stochastic General Equilibrium Approach
    by Vitek, Francis

  • 2006 Monetary Policy Analysis in a Small Open Economy: A Dynamic Stochastic General Equilibrium Approach
    by Vitek, Francis

  • 2006 Aggregate Import demand and Expenditure Components in Ghana:An Econometric Analysis
    by Frimpong, Joseph Magnus & Oteng-Abayie, Eric Fosu

  • 2006 Special Interests, Regime Choice, and Currency Collapse
    by Lim, Jamus Jerome

  • 2006 The Role of Distribution of the Income Shares of Individuals in Tradables and Nontradables on Exchange Rate Fluctuations and Delay of Stabilizations
    by Aysan, Ahmet Faruk

  • 2006 Distributional Effects of Boom-Bust Cycles in Developing Countries with Financial Frictions
    by Aysan, Ahmet Faruk

  • 2006 Exchange Rate Pass-Through:Evidence Based on Vector Autoregression with Sign Restrictions
    by An, Lian

  • 2006 Surges and Sudden Stops of Capital Flows to Emerging Markets
    by Sula, Ozan

  • 2006 Tunisia: Sources Of Real Exchange Rate Fluctuations
    by Sfia, Mohamed Daly

  • 2006 An Analysis of Cambodia’s Trade Flows: A Gravity Model
    by Kim, Sokchea

  • 2006 Testing the Equilibrium Exchange Rate Model - Updated
    by Guilherme, Moura & Sergio, Da Silva

  • 2006 The Maastricht convergence criteria and optimal monetary policy for the EMU accession countries
    by Lipinska, Anna

  • 2006 The Taylor rule: can it be supported by the data?
    by Leon, Costas

  • 2006 Independent inflation-targeting regime versus monetary union: An analysis of dynamic stability under endogenous inflation expectations
    by Dai, Meixing

  • 2006 The real exchange rate of the rand and competitiveness of South Africa's trade
    by Mtonga, Elvis

  • 2006 Türki̇ye’Ni̇n Dişa Açilma Oraninin Ölçümü, 1965-1995
    by Kaplan, Muhittin & Aslan, Alper

  • 2006 New Patterns in International Portfolio Allocation and Income Smoothing
    by Faruk, Balli

  • 2006 Revisiting the oil curse: are oil rich nations really doomed to autocracy and inequality?
    by Schubert, Samuel R.

  • 2006 Exchange Rate Regimes, Capital Account Opening and Real Exchange Rates: Evidence from Thailand
    by Juthathip Jongwanich

  • 2006 Tracking U.S. Inflation Expectations with Domestic and Global Indicators
    by Efrem Castelnuovo

  • 2006 Regime Shifts and the Stability of Backward Looking Phillips Curves in Open Economies
    by Efrem Castelnuovo

  • 2006 Open Economy Codependence: U.S. Monetary Policy and Interest Rate Pass-through
    by Christopher Bowdler & John C. Bluedorn

  • 2006 The Open Economy Consequences of U.S. Monetary Policy
    by John C. Bluedorn & Christopher Bowdler

  • 2006 Sovereign Risk in the Classical Gold Standard Era
    by Gavin Cameron & Kang Yong Tan

  • 2006 Identifying Determinants of Germany's International Price Competitiveness: A Structural VAR Approach
    by Martin Meurers

  • 2006 Past, Present and Future Developments in New Zealand’s Terms of Trade
    by Philip Borkin

  • 2006 The Present Value Model and New Zealand’s Current Account
    by Anella Munro & Rishab Sethi

  • 2006 Assessing the fit of small open economy DSGEs
    by Troy Matheson

  • 2006 Uncovering the Hit-list for Small Inflation Targeters: A Bayesian Structural Analysis
    by Timothy Kim & Kirdan Lees & Philip Liu

  • 2006 What do robust policies look like for open economy inflation targeters?
    by Kirdan Lees

  • 2006 How costly is exchange rate stabilisation for an inflation targeter? The case of Australia
    by Mark Crosby & Tim Kam & Kirdan Lees

  • 2006 The Open Economy Consequences of U.S. Monetary Policy
    by John Bluedorn & Christopher Bowdler

  • 2006 On the Macroeconomics of Asset Shortages
    by Ricardo J. Caballero

  • 2006 The Nature of Exchange Rate Regimes
    by Michael W. Klein & Jay C. Shambaugh

  • 2006 Is Home Bias in Assets Related to Home Bias in Goods?
    by Eric van Wincoop & Francis E. Warnock

  • 2006 The "Great Moderation" and the US External Imbalance
    by Alessandra Fogli & Fabrizio Perri

  • 2006 Deflationary Shocks and Monetary Rules: an Open-Economy Scenario Analysis
    by Douglas Laxton & Papa N'Diaye & Paolo Pesenti

  • 2006 Pricing-to-Market, the Interest-Rate Rule, and the Exchange Rate
    by Maurice Obstfeld

  • 2006 Optimal exchange rate regimes: Turning Mundell-Fleming's dictum on its head
    by Amartya Lahiri & Rajesh Singh & Carlos A. Vegh

  • 2006 Euros and Zeros: The Common Currency Effect on Trade in New Goods
    by Richard E. Baldwin & Virginia Di Nino

  • 2006 Real Business Cycles in Emerging Countries?
    by Javier García-Cicco & Roberto Pancrazi & Martín Uribe

  • 2006 Endogenous Sudden Stops in a Business Cycle Model with Collateral Constraints:A Fisherian Deflation of Tobin's Q
    by Enrique G. Mendoza

  • 2006 Are Currency Appreciations Contractionary in China?
    by Jianhuai Shi

  • 2006 Productivity, External Balance and Exchange Rates: Evidence on the Transmission Mechanism Among G7 Countries
    by Giancarlo Corsetti & Luca Dedola & Sylvain Leduc

  • 2006 Electoral Uncertainty and the Volatility of International Capital Flows
    by Roberto Chang

  • 2006 Exchange Rate Changes and Inflation in Post-Crisis Asian Economies: VAR Analysis of the Exchange Rate Pass-Through
    by Takatoshi Ito & Kiyotaka Sato

  • 2006 Individual Versus Aggregate Collateral Constraints and the Overborrowing Syndrome
    by Martín Uribe

  • 2006 Are Valuation Effects Desirable from a Global Perspective?
    by Pierpaolo Benigno

  • 2006 Portfolio Choice in a Monetary Open-Economy DSGE Model
    by Charles Engel & Akito Matsumoto

  • 2006 Phoenix Miracles in Emerging Markets: Recovering without Credit from Systemic Financial Crises
    by Guillermo A. Calvo & Alejandro Izquierdo & Ernesto Talvi

  • 2006 Lessons From the Debt-Deflation Theory of Sudden Stops
    by Enrique G. Mendoza

  • 2006 Simulation, estimation and welfare implications of monetary policies in a 3-country NOEM model
    by Joseph Plasmans & Tomasz Michalak & Jorge Fornero

  • 2006 Wealth Accumulation and Growth in a Specific-Factors Model of Trade and Finance
    by Petrucci, Alberto

  • 2006 Business Cycle Synchronization in the Enlarged EU
    by Zsolt Darvas & György Szapáry

  • 2006 Fiscal Policies, External Deficits, and Budget Deficits
    by Michel Normandin

  • 2006 Global versus Country-Specific Shocks and International Business Cycles
    by Michel Normandin & Bruno Powo Fosso

  • 2006 Capital Income Taxation and Specialization Patterns: Investment Tax vs. Saving Tax
    by Yoshiyasu Ono & Akihisa Shibata

  • 2006 Monetary Policy and Open-Economy Uncertainty
    by Alessandro Flamini

  • 2006 Monetary and Exchange Rate Policy in Malaysia before the Asian Crisis
    by Umezaki, So

  • 2006 Business Cycles of Non-mono-cultural Developing Economies: The Case of ASEAN Countries
    by Kodama, Masahiro

  • 2006 An Intertemporal Benchmark Model for Turkey’s Current Account
    by Ayla Ogus & Niloufer Sohrabji

  • 2006 How Do Trade and Financial Integration Affect the Relationship between Growth and Volatility?
    by M. Ayhan Kose & Eswar S. Prasad & Marco E. Terrones

  • 2006 How Do Trade and Financial Integration Affect the Relationship between Growth and Volatility?
    by Kose, M. Ayhan & Prasad, Eswar & Terrones, Marco E.

  • 2006 The Welfare Cost of the EMU for Transition Countries
    by Alexandra Ferreira-Lopes

  • 2006 Pricing to market of Italian exporting firms
    by Roberto Basile & Sergio de Nardis & Alessandro Girardi

  • 2006 Tipo de Cambio Nominal en un Régimen de Flotación: Chile 2000-2005
    by Luis Felipe Lagos & Rodrigo Cerda

  • 2006 Firm Dynamics and Real Exchange Rate Fluctuations: Does Trade Openness Matter? Evidence from Mexico's Manufacturing Sector
    by Miguel Fuentes & Pablo Ibarrarán

  • 2006 Incentives from exchange rate regimes in an institutional context
    by Ashima Goyal

  • 2006 Fiscal Policies, External Deficits, and Budget Deficits
    by Michel Normandin

  • 2006 Implications of the Modigliani-Miller Theorem for the Study of Exchange Rate Regimes
    by Alexandre B. Cunha

  • 2006 External Shocks, U.S. Monetary Policy and Macroeconomic Fluctuations in Emerging Markets
    by Bartosz Mackowiak

  • 2006 The Illusion of Precision and the Role of the Renminbi in Regional Integration
    by Yin-wong Cheung & Menzie D. Chinn & Eiji Fujii

  • 2006 Currency Appreciation and Current Account Adjustment
    by Michael B. Devereux & Hans Genberg

  • 2006 A Reappraisal of the Border Effect on Relative Price Volatility
    by Yin-wong Cheung & Kon S. Lai

  • 2006 Chartist Trading in Exchange Rate Theory
    by Selander, Carina

  • 2006 Arbitrage in the Foreign Exchange Market: Turning on the Microscope
    by Akram, Q. Farooq & Rime, Dagfinn & Sarno, Lucio

  • 2006 A Simultaneous Model of the Swedish Krona, the US Dollar and the Euro
    by Lindblad, Hans & Sellin, Peter

  • 2006 Nominal growth of a small open economy
    by Péter Benczúr & István Kónya

  • 2006 Reasons for Real Appreciation in Central Europe
    by Michael Brandmeier

  • 2006 A Re-examination of the link between Real Exchange Rates and Real Interest Rate Differentials
    by Mathias Hoffmann & Ronald MacDonald

  • 2006 The Costs of Fiscal Inflexibility - Extended
    by Campbell Leith & Simon Wren-Lewis

  • 2006 Acumulação De Capital, Abertura Econômica E Poupança Externa: Um Modelo Macroeconômico Pós-Keynesiano Com Câmbio Flexível E Mobilidade De Capitais
    by Flávio A. C. Basilio & José Luís Oreiro

  • 2006 Resurrecting the Weak Credibility Hypothesis in Models of Exchange-Rate-Based Stabilization
    by Edward F. Buffie & Manoj Atolia

  • 2006 Optimal Fiscal Policy Rules in a Monetary Union
    by Tatiana Kirsanova & Mathan Satchi & David Vines & Simon Wren-Lewis

  • 2006 Can Using Interest Rates to Check Domestic Demand Raise the Strength of the Sterling in the Long Run?
    by Eleni Iliopulos & Marcus Miller

  • 2006 Un modèle d’équilibre général dynamique pour une petite économie ouverte avec des effets Balassa-Samuelson
    by Riadh El Ferktaji & Ferhat Mihoubi

  • 2006 Productivity, external balance and exchange rates: evidence on the transmission mechanism among G7 countries
    by Giancarlo Corsetti & Luca Dedola & Sylvain Leduc

  • 2006 S-Curve Redux: On the International Transmission of Technology Shocks
    by Zeno Enders & Gernot J. Mueller

  • 2006 Consumption and real exchange rates with incomplete markets and non-traded goods
    by Gianluca Benigno & Christoph Theonissen

  • 2006 Daraltici Devalüasyon Hipotezi: Türkiye Üzerine Bir Uygulama
    by Nazif Catik

  • 2006 Reflexiones sobre la política cambiaria en México
    by Guerrero, Carlos & Urzúa, Carlos M.

  • 2006 Taxation And Finance Constrained Firms
    by Iris Claus

  • 2006 Sovereign Risk In The Classical Gold Standard Era
    by Gavin Cameron & Prasanna Gai & Kang Yong Tan

  • 2006 Credit Market Frictions In An Open Economy
    by Iris Claus & Kunhong Kim

  • 2006 The Desirable Smooth Operator, Incomplete Pass Through And The "Zero Bound"
    by Timothy Kam

  • 2006 The Geography of Asset Trade and the Euro: Insiders and Outsiders
    by Coeurdacier, Nicolas & Martin, Philippe

  • 2006 Do Trade Costs in Goods Market Lead to Home Bias in Equities?
    by Coeurdacier, Nicolas

  • 2006 Incentives from Exchange Rate Regimes in an Institutional Context
    by Ashima Goyal

  • 2006 Regional Currency Unit in Asia : Property and Perspective
    by Woosik Moon & Yeongseop Rhee & Deokryong Yoon

  • 2006 The Impact of Explicit Deposit Insurance on Market Discipline
    by Vasso Ioannidou & Jan de Dreu

  • 2006 Exchange Rate Pass-Through and Relative Prices: An Industry-Level Empirical Investigation
    by Prasad Bhattacharya & Cem A. Karayalcin & Dimitrios D. Thomakos

  • 2006 Real exchange rates and real interest rates : a nonlinear perspective
    by Frédérique BEC & Mélika BEN SALEM & Ronald MACDONALD

  • 2006 Riding the Wave: Monetary Responses to Aid Surges in Low-Income Countries
    by Edward Buffie & Christopher Adam & Stephen O'Connell & Catherine Patillo

  • 2006 The 'Great Moderation' and the US External Imbalance
    by Fogli, Alessandra & Perri, Fabrizio

  • 2006 Deflationary Shocks and Monetary Rules: An Open-Economy Scenario Analysis
    by Laxton, Doug & N'Diaye, Papa & Pesenti, Paolo

  • 2006 Solving for Country Portfolios in Open Economy Macro Models
    by Devereux, Michael B & Sutherland, Alan

  • 2006 Euro-Dollar Real Exchange Rate Dynamics in an Estimated Two-Country Model: What is Important and What is Not
    by Rabanal, Pau & Tuesta Reátegui, Vicente

  • 2006 New Keynesian Models, Durable Goods and Collateral Constraints
    by Monacelli, Tommaso

  • 2006 Terms of Trade Shocks in an Intertemporal Model: Should We Worry about the Dutch Disease or Excessive Borrowing?
    by Kuralbayeva, Karlygash & Vines, David

  • 2006 Productivity, External Balance and Exchange Rates: Evidence on the Transmission Mechanism among G7 Countries
    by Corsetti, Giancarlo & Dedola, Luca & Leduc, Sylvain

  • 2006 On the Relevance of Exchange Rate Regimes for Stabilization Policy
    by Adão, Bernardino & Correia, Isabel & Teles, Pedro

  • 2006 A Portfolio Theory of International Capital Flows
    by Devereux, Michael B & Saito, Makoto

  • 2006 Why Does Capital Flow to Rich States?
    by Kalemli-Ozcan, Sebnem & Reshef, Ariell & Sørensen, Bent E & Yosha, Oved

  • 2006 Joining the European Monetary Union - Comparing First and Second Generation Open Economy Models
    by Le, Vo Phuong Mai & Minford, Patrick

  • 2006 Debt, Deficits and Destabilizing Monetary Policy in Open Economies
    by Schabert, Andreas & van Wijnbergen, Sweder

  • 2006 Fiscal Policy and Macroeconomic Stability Within a Currency Union
    by Kirsanova, Tatiana & Vines, David & Wren-Lewis, Simon

  • 2006 Consumption and Real Exchange Rates with Incomplete Markets and Non-Traded Goods
    by Benigno, Gianluca & Thoenissen, Christoph

  • 2006 Inflation Bias with Dynamic Phillips Curves
    by Kirsanova, Tatiana & Vines, David & Wren-Lewis, Simon

  • 2006 Optimal Fiscal Policy Rules in a Monetary Union
    by Kirsanova, Tatiana & Satchi, Mathan & Vines, David & Wren-Lewis, Simon

  • 2006 Fear of Floating and Fear of Pegging: An Empirical Analysis of De Facto Exchange Rate Regimes in Developing Countries
    by von Hagen, Jürgen & Zhou, Jizhong

  • 2006 Optimal Monetary Policy in a Small Open Economy with Home Bias
    by Faia, Ester & Monacelli, Tommaso

  • 2006 Stuck on Gold: Real Exchange Rate Volatility and the Rise and Fall of the Gold Standard, 1870-1939
    by Chernyshoff, Natasha & Jacks, David S. & Taylor, Alan M.

  • 2006 La Política Monetaria En Colombia
    by Javier Guillermo Gómez

  • 2006 Evaluación De Reglas De Tasa De Interés En Un Modelo De Economía Pequeña Y Abierta
    by Julián Pérez Amaya

  • 2006 Capital Flows and Monetary Policy
    by Javier Guillermo Gómez

  • 2006 Degree of Competition and Export-Production Relative Prices when the Exchange Rate Changes: Evidence from a Panel of Czech Exporting Companies
    by Jiri Podpiera & Marie Rakova

  • 2006 Import Prices, Variety and the Extensive Margin of Trade
    by Guillaume Gaulier & Isabelle Méjean

  • 2006 Short-Term Fiscal Spillovers in a Monetary Union
    by Agnès Bénassy-Quéré

  • 2006 The Implications of Dark Matter for Assessing the US External Imbalance
    by Ricardo Hausmann & Federico Sturzenegger

  • 2006 Global Imbalances or Bad Accounting? The Missing Dark Matter in the Wealth of Nations
    by Ricardo Hausmann & Federico Sturzenegger

  • 2006 Can Oil Prices Explain the Real Appreciation of the Russian Ruble in 1998-2005?
    by Kirill Sosunov & Oleg Zamulin

  • 2006 Ageing and Growth in the Small Open Economy
    by Ben J. Heijdra & Ward E. Romp

  • 2006 Real and Nominal Wage Adjustment in Open Economies
    by Anders Forslund & Nils Gottfries & Andreas Westermark

  • 2006 A Reappraisal of the Border Effect on Relative Price Volatility
    by Yin-Wong Cheung & Kon S. Lai

  • 2006 Consumption and Real Exchange Rates with Incomplete Markets and Non-Traded Goods
    by Gianluca Benigno & Christoph Theonissen

  • 2006 Current Account Imbalances and Real Exchange Rates in the Euro Area
    by Arghyrou, Michael G & Chortareas, Georgios

  • 2006 Capital Flow Volatility And Exchange Rates-- The Case Of India
    by Pami Dua & Partha Sen

  • 2006 Some Empirical Observations on the Forward Exchange Rate Anomaly
    by Bond, Derek & Harrison, Michael J & Hession, Niall & O’Brien, Edward J.

  • 2006 Learning Stability for Monetary Policy Rules in a Two-Country Model
    by Wang, Q.

  • 2006 Pairwise Tests of Purchasing Power Parity Using Aggregate and Disaggregate Price Measures
    by Pesaran, M.H. & Smith, R.P & Yamagata. T. & Hvozdyk, L.

  • 2006 Private investment and financial development in a globalized world
    by Yongfu Huang

  • 2006 A Worldwide System of Reference Rates
    by John Williamson

  • 2006 What About a World Currency? Proposal for a Common Currency among Rich Democracies. One World Money, Then and Now
    by Richard N. Cooper & Michael Bordo & Harold James

  • 2006 Monetary Unions, External Shocks and Economic Performance: A Latin American Perspective
    by Sebastian Edwards

  • 2006 Exchange-Rate Arrangements and Financial Integration in East Asia: On a Collision Course?
    by Hans Genberg

  • 2006 Regional Currency Arrangements in North America
    by Sven W. Arndt

  • 2006 Europe's Hard Fix: The Euro Area
    by Otmar Issing

  • 2006 Exchange rate volatility without the contrivance of fundamentals and the failure of PPP
    by Bask, Mikael

  • 2006 Phoenix miracles in emerging markets: recovering without credit from systemic financial crises
    by Alejandro Izquierdo & Ernesto Talvi & Guillermo A Calvo

  • 2006 Democracy and globalisation
    by Barry Eichengreen & David Leblang

  • 2006 Devaluations, output and the balance sheet effect: a structural econometric analysis
    by Camilo E Tovar

  • 2006 Time-varying exchange rate pass-through: experiences of some industrial countries
    by Toshitaka Sekine

  • 2006 Optimal Monetary Policy in an Estimated DSGE Model of the Euro Area with Cross-country Heterogeneity
    by Jondeau, E. & Sahuc, J-G.

  • 2006 Capital Flows and Monetary Policy
    by Javier Gómez Pineda

  • 2006 La Política Monetaria en Colombia
    by Javier Gómez Pineda

  • 2006 Evaluación de Reglas de Tasa de Interés en un Modelo de Economía Pequeña y Abierta
    by Julian Pérez Amaya

  • 2006 Exchange Rate Targeting in a Small Open Economy
    by Mette Ersbak Bang Nielsen

  • 2006 Capital Account Controls, Bank’s Efficiency, Growth and Macroeconomic Volatility in the FLAR’s Member Countries?
    by Humberto Mora & Hernán Rincón

  • 2006 Optimal Fiscal Policy in a Small Open Economy with Incomplete Markets and Interest Rate Shocks
    by Josué Fernando Cortés Espada

  • 2006 Sovereign Default, Interest Rates and Political Uncertainty in Emerging Markets
    by Gabriel Cuadra & Horacio Sapriza

  • 2006 Sovereign Default, Terms of Trade and Interest Rates in Emerging Markets
    by Gabriel Cuadra & Horacio Sapriza

  • 2006 BEMOD: a DSGE model for the Spanish economy and the rest of the Euro area
    by Javier Andrés & Pablo Burriel & Ángel Estrada

  • 2006 Alternative Monetary Regimes in a DSGE Model of a Small Open Economy with Two Sectors and Sticky Prices and Wages
    by Guillermo Escudé

  • 2006 Are Currency Crises Low-State Equilibria? An Empirical, Three-Interest-Rate Model
    by Christopher M. Cornell & Raphael H. Solomon

  • 2006 Endogenous Borrowing Constraints and Consumption Volatility in a Small Open Economy
    by Carlos de Resende

  • 2006 ToTEM: The Bank of Canada's New Quarterly Projection Model
    by Stephen Murchison & Andrew Rennison

  • 2006 Optimal Simple Rules for Fiscal Policy in a Monetary Union
    by Lukas Vogel & Werner Roeger & Bernhard Herz

  • 2006 Are twin currency and debt crises special?
    by Christian Bauer & Bernhard Herz & Volker Karb

  • 2006 Uncertainty about the fundamentals and the occurrence of sudden stops of capital flows: Theory and Empirics
    by Fritzi Koehler-Geib

  • 2006 A microfounded sectoral model for open economies
    by PLASMANS, Joseph & FORNERO, Jorge & MICHALAK, Tomasz

  • 2006 Income distribution, Dutch disease and real exchange rate movements
    by ZARZOSA VALDIVIA, Fernando Enrique

  • 2006 Fundamental Pitfalls of Exchange Market Pressure-Based Approaches to Identification of Currency Crises
    by Victor Pontines & Reza Siregar

  • 2006 Exchange Market Intervention and Evidence of Post-Crisis Flexible Exchange Rate Regimes in Selected East Asian Economies
    by Victor Pontines & Reza Siregar

  • 2006 Uncovering The Hit-List For Small Inflation Targeters: A Bayesian Structural Analysis
    by Timothy Kam & Kirdan Lees & Philip Liu

  • 2006 Exchange Rate Economics in Transition Economies
    by Josip Tica

  • 2006 Macroeconomic aspects of financial liberalization
    by Rajmund Mirdala

  • 2006 Dış Ticaretin Belirleyicileri Üzerine Teorik Bir Yaklaşım
    by Fatih Yücel

  • 2006 Editor’s Overview
    by Andrew Sharpe

  • 2006 Pricing-to-Market and Exchange Rate Dynamics: A Primer
    by Carlo Frenquelli

  • 2006 Equivalenza ricardiana in economia aperta: un'analisi dinamica su dati panel
    by Patrizia Margani & Roberto Ricciuti

  • 2006 The Effect of the Nominal Exchange Rate Regime on Real Exchange Rate Variability
    by Moosa , Imad A. & Bhatti, Razzaque H.

  • 2006 Trade Deficits in the Baltic States: How Long Will the Party Last?
    by Rudolfs Bems & Kristian Jönsson Hartelius

  • 2006 Impacto de una Politica Fiscal incierta y del riesgo cambiario en estrategias de estabilizacion de precios
    by Francisco Venegas-Martinez

  • 2006 Tassi di cambio fluttuanti, deprezzamento valutario e domanda effettiva: un commento
    by Mario Sarcinelli

  • 2006 Přímé zahraniční investice a vnější rovnováha v tranzitivní ekonomice: aplikace teorie životního cyklu
    by Martin Mandel & Vladimír Tomšík

  • 2006 Monetární přístup k inflaci - střednědobý strukturální model v otevřené ekonomice (příklad České Republiky v letech 1996-2004)
    by Josef Arlt & Jan Kodera & Martin Mandel & Vladimír Tomšík

  • 2006 Foreign Currency Deposits and International Liquidity Shortages in Pakistan
    by Abbas Mirakhor & Iqbal Zaidi

  • 2006 An Estimated Small Open Economy Model of the Financial Accelerator
    by Selim Elekdag & Alejandro Justiniano & Ivan Tchakarov

  • 2006 Parity Reversion in Real Exchange Rates: Fast, Slow, or Not at All?
    by Paul Cashin & C. John McDermott

  • 2006 Exchange Rate Pass-Through in the Euro Area
    by Hamid Faruqee

  • 2006 Is Germany’s Influence on Austria Waning?
    by Gerhard Fenz & Martin Schneider

  • 2006 Trade Liberalization and Economic Development: Evidence from Pakistan
    by Bushra Yasmin & Zainab Jehan & Muhammad Ali Chaudhary

  • 2006 Újraosztó fiskális politika nyitott gazdaságban
    by Szilágyi, Katalin

  • 2006 Monetary Policy Rules and the Forward Discount Bias
    by Min-Yong Shin & Taehwan Yoo

  • 2006 To Float Or Not To Float? Currency Regimes And Growth
    by William Miles

  • 2006 Monetary Policy Rules For Small And Open Developing Economies: A Counterfactual Policy Analysis
    by Tony Cavoli & Ramkishen S. Rajan

  • 2006 Border Effects Between U.S. And Mexico
    by Fernando Borraz

  • 2006 Trade Liberalization Under New Realities
    by S. Zahid Ali & Sajid Anwar

  • 2006 Supply Shocks, Price Regime Collapse under Dual Floating Exchange Rate Regimes
    by Peir-Shyan Liaw & Ming-Fang Cheng

  • 2006 International inflationary episodes: a survival analysis
    by Ali AbderrezakAuthor-Email: aabderre@jccc.edu

  • 2006 Complementarities between Institutions and Openness in Economic Development: Evidence for a Panel of Countries
    by César Calderón & Rodrigo Fuentes

  • 2006 The Great Moderation and the U.S. External Imbalance
    by Alessandra Fogli & Fabrizio Perri

  • 2006 Misconceptions Regarding the Zero Lower Bound on Interest Rates
    by Bennett T. McCallum

  • 2006 Global Bond Portfolios and EMU
    by Philip R. Lane

  • 2006 SIGMA: A New Open Economy Model for Policy Analysis
    by Christopher J. Erceg & Luca Guerrieri & Christopher Gust

  • 2006 The Monetary Model of the Dollar-Yen Exchange Rate Determination: A Cointegration Approach
    by M. Faizul Islam & Mohammad S. Hasan

  • 2006 The Dynamics of Currency Substitution: Evidence from UK Foreign Currency Balances
    by Kari Heimonen

  • 2006 Is a Low-inflation Environment Associated with Reduced Exchange Rate Pass Through?
    by Mark J. Holmes

  • 2006 Macroeconomic Factors and the Balanced Value of the Czech Koruna/Euro Exchange Rate (in English)
    by Jan Brùha & Alexis Derviz

  • 2006 Differences between Inequalities and Unequal Exchange: Comments on the Papers by Chaves and Köhler
    by Raffer, Kunibert

  • 2006 Intercambio Desigual y Tasa de Cambio: ¿Saqueo o Explotación? El Aporte de Gernot Köhler
    by Chaves, Emilio José

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  • 2005 Capital Controls, Two-tiered Exchange Rate Systems and the Exchange Rate Policy : The South African Experience
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