Content
2012
- 653 Un Gran VAR Bayesiano para la Economía Chilena
by Wildo González
2011
- 652 Capital Controls and Foreign Exchange Policy
by Marcel Fratzscher - 651 Policy Implications of Using Audits to Detect Bank Insolvencies
by Jaime Hurtubia & Claudio Sardoni - 650 Self – Employment, Labor Market Rigidities and Unemployment Over the Business Cycle
by Gonzalo Castex & Miguel Ricaurte - 649 The Risk of Civil Conflicts as a Determinant of Political Institutions
by Álvaro Aguirre - 648 Propagation of Shocks to Food and Energy Prices: an International Comparison
by Michael Pedersen - 647 Incertidumbre Global sobre la Economía Chilena
by Yan Carrière–Swallow & Carlos Medel - 646 The Impact of Uncertainty Shocks in Emerging Economies
by Yan Carrière–Swallow & Luis Felipe Céspedes - 645 Crédito, Exceso de toma de Riesgo, Costo de Crédito y ciclo Económico en Chile
by Carlos J. García & Andrés Sagner - 644 Optimal Fiscal Policy in a Small Open Economy with Limited Commitment
by Sofia Bauducco & Francesco Caprioli - 643 Contracting Institutions and Economic Growth
by Álvaro Aguirre - 642 Dinámica de Precios en Chile: Evidencia con datos de Supermercados
by Gastón Chaumont & Miguel Fuentes & Felipe Labbé & Alberto Naudon - 641 A Reassessment of Flexible Price Evidence Using Scanner Data: Evidence from an Emerging Economy
by Gastón Chaumont & Miguel Fuentes & Felipe Labbé & Alberto Naudon - 640 Copper, the Real Exchange Rate and Macroeconomic Fluctuations in Chile
by José De Gregorio & Felipe Labbé - 639 Credit Contraction and International Trade: Evidence from Chilean Exporters
by Ari Aisen & Roberto Álvarez & Andrés Sagner & Javier Turén - 638 Investment Dynamics in a DSGE Model with Heterogeneous Firms and Corporate Taxation
by Sergio Salgado I. - 637 Labor Market Dyncamics in Chile: the Role of Terms of Trade Shocks
by Juan Pablo Medina & Alberto Naudon - 636 Distribución de la Riqueza, Capital Social y Tasa de Crecimiento
by Pablo Filippi - 635 Time - Consistent Bailout Plans
by Ernesto Pastén - 634 Proyecciones de Inflación con Precios de Frecuencia Mixta: el caso Chileno
by Juan Sebastian Becerra & Carlos Saavedra - 633 Long – Term Interest Rate and Fiscal Policy
by Eduardo López E. & Víctor Riquelme P. & Ercio Muñoz S. - 632 Computing Population Weights for the EFH Survey
by Carlos Madeira - 631 Aplicaciones del Modelo Binomial para el Análisis de Riesgo
by Rodrigo A. Alfaro. & Andrés Sagner & Carmen G. Silva - 630 Jaque Mate a las Proyecciones de Consenso
by Pablo Pincheira B. & Nicolás Fernández - 629 Risk Premium and Expectations in Higher Education
by Gonzalo Castex - 628 Fiscal Multipliers and Policy Coordination
by Gauti B. Eggertsson - 627 Chile’s Fiscal Rule as Social Insurance
by Eduardo Engel & Christopher Neilson & Rodrigo Valdés - 626 Short-Term GDP Forecasting Using Bridge Models: a Case for Chile
by Marcus Cobb & Gonzalo Echavarría & Pablo Filippi & Macarena García & Carolina Godoy & Wildo González & Carlos Medel & Marcela Urrutia - 625 Introducing Financial Assets into Structural Models
by Jorge Fornero - 624 Procyclicality of Fiscal Policy in Emerging Countries: the Cycle is the Trend
by Michel Strawczynski & Joseph Zeira - 623 Taxes and the Labor Market
by Tommaso Monacelli & Roberto Perotti & Antonella Trigari - 622 Valorización de Fondos Mutuos Monetarios y su Impacto sobre Estabilidad Financiera
by Luis Antonio Ahumada & Nicolás Álvarez & Diego Saravia - 621 Sobre el nivel de reservas internacionales de Chile: análisis a partir de enfoques complementarios
by Gabriela Contreras & Alejandro Jara & Eduardo Olaberría & Diego Saravia - 620 Un Test Conjunto de Superioridad Predictiva para los Pronósticos de Inflación Chilena
by Pablo Pincheira B. - 619 The Optimal Inflation Tax in the Presence of Imperfect Deposit – Currency Substitution
by Eduardo Olaberría - 618 El Índice Cartera Vencida como Medida de Riesgo de Crédito: Análisis y Aplicación al Caso de Chile
by Andrés Sagner - 617 Estimación del Premio por Riesgo en Chile
by Francisca Lira & Claudia Sotz - 616 Uso de la Aproximación TIR/Duración en la Estructura de Tasas: Resultados Cuantitativos Bajo Nelson - Siegel
by Rodrigo Alfaro & Juan Sebastián Becerra - 615 Chilean Export Performance: the Rol of Intensive and Extensive Margins
by Matías Berthelon - 614 Does linearity in the dynamics of inflation gap and unemployment rate matter?
by Roque Montero - 613 Modeling Copper Price: A Regime-Switching Approach
by Javier García-Cicco & Roque Montero - 612 Tightening Tensions: Fiscal Policy and Civil Unrest in Eleven South American Countries, 1937 - 1995
by Joachim Voth - 611 Seigniorage and Distortionary Taxation in a Model with Heterogeneous Agents and Idiosyncratic Uncertainty
by Sofía Bauducco - 610 Stress Tests for Banking Sector: A Technical Note
by Rodrigo Alfaro & Andrés Sagner - 609 Riding the Roller Coaster: Fiscal Policies of Nonrenewable Resources Exporters in Latin America and the Caribbean
by Mauricio Villafuerte & Pablo López-Murphy & Rolando Ossowski - 608 Floats, Pegs and the Transmission of Fiscal Policy
by Giancarlo Corsetti & Keith Kuester & Gernot J. Müller - 607 A Bunch of Models, a Bunch of Nulls and Inference About Predictive Ability
by Pablo Pincheira - 606 College Risk and Return
by Gonzalo Castex - 605 Determinants of Export Diversificationaround the World: 1962 - 2000
by Manuel R. Agosin & Roberto Alvarez & Claudio Bravo-Ortega - 604 A Solution to Fiscal Procyclicality: the Structural Budget Institutions Pioneered by Chile
by Jeffrey Frankel
2010
- 603 Eficiencia Bancaria en Chile: un Enfoque de Frontera de Beneficios
by José Luis Carreño & Gino Loyola & Yolanda Portilla - 602 Chile’s Structural Fiscal Surplus Rule: a Model – Based Evaluation
by Michael Kumhof & Douglas Laxton - 601 Price Level Targeting and Inflation Targeting: a Review
by Sofía Bauducco & Rodrigo Caputo - 600 Vulnerability, Crisis and Debt Maturity: do IMF Interventions Shorten the Length of Borrowing?
by Diego Saravia - 599 Is Previous Exporting Experience Relevant for New Exports?
by Roberto Álvarez & Hasan Faruq & Ricardo A. López - 598 Accounting for Changes in College Attendance Profile: a Quantitative Life-Cycle Analysis
by Gonzalo Castex - 597 Implied Probability Distribution in Financial Options
by Andrés Sagner - 596 Implied Probability Distribution in Financial Options
by Luis Ceballos - 595 Extracting GDP Signals From the Monthly Indicator of Economic Activity: Evidence From Chilean Real-Time Data
by Michael Pedersen - 594 Monetary Policy Under Financial Turbulence: an Overview
by Luis Felipe Céspedes & Roberto Chang & Diego Saravia - 593 The Great Recession and the Great Depression: Reflections and Lessons
by Barry Eichengreen - 592 Evidence on the variability of the monetary policy inertia for inflation-targeting countries
by Benjamín García - 591 Household Credit Markets During the Financial Crisis of 2008/2009
by Gabriel Aparici & Fernando Sepúlveda - 590 The Financial Accelerator Under Learning and The Role of Monetary Policy
by Rodrigo Caputo & Juan Pablo Medina & Claudio Soto. - 589 Conventional Calibration Versus EDF Calibration
by J. Felipe Córdova - 588 Nowcasting With Google Trends in an Emerging Market
by Yan Carrière-Swallow & Felipe Labbé - 587 Inflation Targeting in Financially Stable Economies: Has it been Flexible Enough?
by Mauricio Calani & Kevin Cowan & Pablo García S. - 586 Heterodox Central Banking
by Luis Felipe Céspedes & Roberto Chang & Javier García-Cicco - 585 Recessions and Financial Disruptions in Emerging Markets: A Bird´s Eye View
by Stijn Claessens & M. Ayhan Kose & Marco E. Terrones - 584 The Role of Labor Markets in Structural Change
by Miguel Ricaurte - 583 Firm Dynamics and Real Exchange Rate Fluctuations: Does Trade Openness Matter? Evidence from Mexico´s Manufacturing Sector
by Miguel Fuentes & Pablo Ibarrarán - 582 Revisiting Overborrowing and its Policy Implications
by Gianluca Benigno & Huigang Chen & Christopher Otrok & Alessandro Rebucci & Eric R. Young - 581 Fiscal Deficits, Debt, and Monetary Policy in a Liquidity Trap
by Michael Devereux - 580 Anchors Away: How Fiscal Policy Can Undermine "Good" Monetary Policy
by Eric Leeper - 579 The Credit Channel and Monetary Transmission in Brazil and Chile: A Structural VAR Approach
by Luis Catão & Adrian Pagan - 578 Borrowing Constraints and Credit Demand
by Jaime Ruiz-Tagle & Francis Vella - 577 Proyección Agregada y Desagregada del PIB Chileno con Procedimientos Automatizados de Series de Tiempo
by Carlos Medel & Marcela Urrutia - 576 Competition and Stability in Banking
by Xavier Vives - 575 The Global Financial Crisis
by Franklin Allen & Elena Carletti - 574 The Determinants of Household Debt Defa
by Rodrigo Alfaro & Natalia Gallardo & Roberto Stein - 573 On the Quantitative Effects of Unconventional Monetary Policies
by Javier García-Cicco - 572 Commodity Prices Pass-Through
by Roberto Rigobon - 571 Supply and Demand Identification in the Credit Market
by Mauricio Calani C. & Pablo García S. & Daniel Oda Z. - 570 Forward premium puzzle and term structure of interest rates: the case of New Zealand
by Carmen Gloria Silva - 569 Distress Dependence and Financial Stability
by Miguel A. Segoviano & Charles Goodhart - 568 How does political instability affect economic growth?
by Ari Aisen & Francisco José Veiga - 567 Auge y caída de precios de commodities y su impacto sobre precios domésticos: Comparación internacional
by Alfredo Pistelli & Víctor Riquelme - 566 Propagation of Inflationary Shocks in Chile and an International Comparison of Progagation of Shocks to food and Energy Prices
by Michael Pedersen - 565 El éxito de las casas comerciales en Chile: ¿Regulación o buena gestión?
by Juan Pablo Montero & Jorge Tarziján - 564 Liquidity Crises and Corporate Cash Holdings in Chile
by Roberto Álvarez & Andrés Sagner & Carla Valdivia - 563 Ricardian Equivalence Proposition in a NK DSGE Model for two Large Economies: The EU and the US
by Jorge A. Fornero - 562 Competencia y Toma de Riesgo en el Mercado de Créditos de Consumo Bancario Chileno (1997-2009)
by Daniel Oda & Nancy Silva - 561 Estimating Models for Monetary Policy Analysis in Emerging Countries
by Javier García-Cicco - 560 An assignment model with match specific productivity
by Alberto Naudon - 559 The Low Predictive Power of Simple Phillips Curves in Chile: A Real-Time Evaluation
by Pablo Pincheira & Hernán Rubio - 558 A Stochastic Assignment Model
by Alberto Naudon - 557 Valorización por Arbitraje de Bonos y Acciones Chilenas Mediante el Método de Componentes Principales
by Natalia Gallardo & Andrés Sagner - 556 A Real Time Evaluation of the Central Bank of Chile GDP Growth Forecasts
by Pablo Pincheira
2009
- 555 Funding Liquidity Risk in a Quantitative Model of Systemic Stability
by David Aikman & Piergiorgio Alessandri & Bruno Eklund & Prasanna Gai & Sujit Kapadia & Elizabeth Martin & Nada Mora & Gabriel Sterne & Matthew Willison - 554 Financial Stability, Monetary Policy and Central Banking: An Overview
by Rodrigo Alfaro A. & Rodrigo Cifuentes S. - 553 Incorporating Financial Sector Risk into Monetary Policy Models: Application to Chile
by Dale Gray & Carlos García & Leonardo Luna & Jorge E. Restrepo - 552 Crisis Financiera y Uso de Derivados Cambiarios en Empresas Exportadoras
by María Gabriela Acharán & Roberto Alvarez & José Miguel Villena. - 551 Efectos de las Emisión de Bonos del Banco Central Sobre las Tasas de Interés
by Marco Batarce - 550 Defining Financial Stability and a Framework for Safeguarding It
by Garry J. Schinasi - 549 Determinantes del Precio de Viviendas en Chile
by Andrés Sagner - 548 A Historical Perspective on the Crisis of 2007–08
by Michael D. Bordo - 547 Modeling a Housing and Mortgage Crisis
by Charles A.E. Goodhart & Dimitrios P. Tsomocos & Alexandros P. Vardoulakis - 546 Policy Reform Under Electoral Uncertainty
by Dalibor Eterovic - 545 Forecasting Chilean Inflation From Disaggregate Components
by Marcus Cobb - 544 Towards an Operational Framework for Financial Stability: "Fuzzy" Measurement and its Consequences
by Claudio Borio & Mathias Drehmann - 543 Institutional Bias Towards The Status Quo
by Dalibor Eterovic - 542 A Network Model of Super-systemic Crises
by Prasanna Gai & Sujit Kapadia - 541 New Framework for Measuring and Managing Macrofinancial Risk and Financial Stability
by Dale F. Gray & Robert C. Merton & Zvi Bodie - 540 Households’ Financial Vulnerability
by Marcelo Fuenzalida & Jaime Ruiz-Tagle - 539 Exchange Rate Volatility and Export Margins
by Roberto Álvarez & Michael Doyle & Ricardo A. López - 538 On The Role and Effects of IMF Seniority
by Diego Saravia - 537 The Balance Sheet Channel
by Ethan Cohen-Cole & Enrique Martinez-Garcia - 536 Entry into Export Markets and Product Quality Differences
by Roberto Álvarez & Rodrigo Fuentes - 535 Análisis de Derechos Contingentes: Aplicación a Casas Comerciales
by Rodrigo Alfaro & Natalia Gallardo - 534 Efectos del Calentamiento Global sobre la Industria Pesquera
by Carlos Medel - 533 Hybrid Inflation Targeting Regimes
by Carlos García & Jorge Restrepo & Scott Roger - 532 Bank Credit and the 2008 Financial Crisis: A cross-country Comparison
by Ari Aisen & Michael Franken - 531 The Yield Curve Under Nelson-Siegel
by Rodrigo Alfaro - 530 The Long And The Short Of Emerging Market Debt
by Luis Opazo & Claudio Raddatz & Sergio Schmukler - 529 A Simple Global Perspective on the US Slowdown, Boom-Bust Cycles and the Rise of Protectionism
by Juan Pablo Medina & Pablo García - 528 The Effect of the Number of Lending Banks on the Liquidity Constraints of Firms: Evidence From a Quasi-Experiment
by Daniel Calvo & Alejandro Drexler & Carolina Flores & David Pacheco - 527 Monetary Policy And Key Unobservables: Evidence From Large Industrial And Selected Inflation-Targeting Countries
by Klaus Schmidt-Hebbel & Carl E. Walsh - 526 Communicational Bias In Monetary Policy: Can Words Forecast Deeds?
by Pablo Pincheira & Mauricio Calani - 525 Interindustry Wage Differences: An Empirical Review
by Miguel Ricaurte - 524 The Effect of Credit Insurance on Liquidity Constraints and Default Rates: Evidence From a Governmental Intervention
by Kevin Cowan & Alejandro Drexler & Álvaro Yañez - 523 FDI vs. Exports: Accounting for Differences in Export-Sales Intensities
by Miguel Ricaurte & Katherine Schmeiser - 522 Pass-through of Large Changes in Monetary Policy Rate – Evidence for Chile
by J. Sebastián Becerra & Luis Ceballos & Felipe Córdova & Michael Pedersen - 521 Corporate Tax, Firm Destruction and Capital Stock Accumulation: Evidence From Chilean Plants, 1979-2004
by Rodrigo A. Cerda & Diego Saravia - 520 When RSI met the Binomial-Tree
by Rodrigo Alfaro & Andrés Sagner - 519 Skill Upgrading and the Real Exchange Rate
by Roberto Álvarez & Ricardo A. López - 518 Optimal Taxation With Heterogeneous Firms
by Rodrigo A. Cerda & Diego Saravia - 517 Do Exchange Rate Regimes Matter For Inflation And Exchange Rate Dynamics? The Case Of Central America
by Rodrigo Caputo G. & Igal Magendzo - 516 Interbank Rate and the Liquidity of the Market
by Luis A. Ahumada & Álvaro García & Luis Opazo & Jorge Selaive - 515 Sovereing Defaulters: Do International Capital Markets Punish Them?
by Miguel Fuentes & Diego Saravia - 514 Forecasting Inflation in Chile With an Accurate Benchmark
by Pablo Pincheira Brown & Álvaro García Marín - 513 From Crisis to IMF-Supported Program: Does Democracy Impede the Speed Required by Financial Markets?
by Ashoka Mody & Diego Saravia
2008
- 512 A Systemic Approach to Money Demand Modeling
by Mauricio Calani & J. Rodrigo Fuentes & Klaus Schmidt-Hebbel - 511 Forecasting Chilean Inflation in Difficult Times
by Juan Díaz & Gustavo Leyva - 510 Overoptimism, Boom-Bust Cycles, And Monetary Policy In Small Open Economies
by Manuel Marfán & Juan Pablo Medina & Claudio Soto - 509 Monetary Policy Under Uncertainty and Learning: An Overview
by Klaus Schmidt-Hebbel & Carl E. Walsh - 508 Estimación de Var Bayesianos para la Economía Chilena
by Patricio Jaramillo - 507 Chile’s Growth and Development: Leadership, Policy-Making Process, Policies, and Results
by Klaus Schmidt-Hebbel - 506 Exit in Developing Countries: Economic Reforms and Plant Heterogeneity
by Sebastián Vergara & Roberto Álvarez - 505 The Dynamics of Inflation Persistence in Chile
by Pablo Pincheira - 504 Robust Learning Stability with Operational Monetary Policy Rules
by George W. Evans & Seppo Honkapohja - 503 Banking Risk Exposure
by Rodrigo Alfaro & Daniel Calvo & Daniel Oda - 502 Determinacy, Learnability, And Plausibility In Monetary Policy Analysis: Additional Results
by Bennett T. McCallum - 501 Expectations, Learning, And Monetary Policy: An Overview Of Recent Research
by George W. Evans & Seppo Honkapohja - 500 Higher Order Properties of the Symmetricallr Normalized Instrumental Variable Estimator
by Rodrigo Alfaro - 499 Imperfect Knowledge And The Pitfalls Of Optimal Control Monetary Policy
by Athanasios Orphanides & John C. Williams - 498 Macroeconomic And Monetary Policies From The Eductive Viewpoint
by Roger Guesnerie - 497 Macroeconomics, Monetary Policy and the Central Bank´s Net Worth
by Jorge E. Restrepo & Luis Salomó & Rodrigo Valdés - 496 Microeconomic Evidence of Nominal Wage Rigidity in Chile
by Marcus Cobb & Luis Opazo - 495 A Sticky-Information General Equilibrium Model for Policy Analysis
by Ricardo Reis - 494 Choosing an Exchange Rate Regime
by César Calderón & Klaus Schmidt Hebbel - 493 Learning, Endogenous Indexation, and Disinflation in the New-Keynesian Model
by Volker Wieland - 492 Sources of Uncertainty for Conducting Monetary Policy in Chile
by Felipe Morandé & Mauricio Tejada - 491 What Drives Inflation in the World?
by César Calderón & Klaus Schmidt Hebbel - 490 Inflation Target Transparency and the Macroeconomy
by Martin Melecky & Diego Rodríguez Palenzuela & Ulf Söderström - 489 Multimodality Test and Mixture Distributions: An Application to the Central Bank Expectation Survey
by Patricio Jaramillo & Juan Carlos Piantini - 488 Growth and Volatility in Developing Countries: The Role of Credits and Fiscal Policy
by María Elisa Farías - 487 The Choice of Fiscal Regimes in the World
by César Calderón & Klaus Schmidt-Hebbel - 486 Inflation Dynamics in a Small Open Economy Model Under Inflation Targeting: Some Evidence From Chile
by Marco del Negro & Frank Schorfheide - 485 Does Openness Imply Greater Vulnerability?
by César Calderón & Norman V. Loayza & Klaus Schmidt-Hebbel - 484 Optimal Monetary Policy Under Uncertainty in DSGE Models: A Markov Jump-Linear-Quadratic Approach
by Lars E.O. Svensson & Noah Williams - 483 Openness and Growth Volatility
by César Calderón & Klaus Schmidt-Hebbel - 482 Energy Costs and Productivity in Chilean Manufacturing Industry
by Roberto Álvarez & Álvaro García & Pablo García - 481 Business Cycles and Fiscal Policies: the Role of Institutions and financial Markets
by César Calderón & Klaus Schmidt-Hebbel - 480 Income Distribution In Chile, 1987-2006: Analysis And Policy Considerations
by Andrés Solimano & Arístides Torche - 479 What drives the Choice of Money-based Targets in the World?
by César Calderón & Klaus Schmidt-Hebbel - 478 David Versus Goliath: The Impact of Chinese Competition on Developing Countries
by Roberto Álvarez & Sebastián Claro - 477 Forecasting Inflation Forecast Errors
by Andrea Betancor & Pablo Pincheira - 476 Productivity, Innovations and Exports in the Chilean Manufacturing Industry
by Roberto Álvarez & Álvaro García - 475 The Choice of Inflation Targeting
by Gustavo Leyva - 474 Deposit Insurance, Moral Hazard and the Risk of Runs
by Nancy Silva - 473 Chinese Penetration and Importer Country Wages: Microevidence From Chile
by Roberto Álvarez & Luis Opazo - 472 Exploring the Relationship Between R&D and Productivity: A Country-Level Study
by Claudio Bravo Ortega & Álvaro García Marín - 471 Alternative Measures of Core Inflation in Chile
by Felipe Córdova & María Carolina Grünwald & Michael Pedersen - 470 Trade Liberalization and Industry Dynamics: A Difference in Difference Approach
by Roberto Álvarez & Ricardo A. López - 469 Assessing Inflation Targeting in Latin America With a DSGE Model
by John McDermott & Peter McMenamin - 468 Compensación Inflacionaria en Chile
by Rómulo Chumacero & Luis Opazo - 467 Estimation of a Dynamic Panel Data: The Case Of Corporate Investment in Chile
by Rodrigo Alfaro - 466 Economic and Social Impacts of Energy Shocks: A General Equilibrium Analysis for Chile
by Raúl O`Ryan & Mauricio Pereira & Camilo Lagos - 465 Exchange Rate Pass-Through into Import Prices: The Case of Chile
by Roberto Álvarez & Patricio Jaramillo & Jorge Selaive - 464 Inference Using Instrumental Variable Estimators
by Rodrigo Alfaro - 463 Nonlinear Dynamic in the Chilean Stock Market: Evidence from Returns and Trading Volume
by Rodrigo Aranda & Patricio Jaramillo - 462 Measuring Equity Volatility: the case of Chilean Stock Index
by Rodrigo Alfaro & Carmen Gloria Silva - 461 Extended Measures of Capital Transactions
by Jorge Selaive & Beatriz Velásquez & José Miguel Villena - 460 External Imbalances, Valuation Adjustments and Real Exchange Rate: Evidence of Predictability in an Emerging Economy
by Jorge Selaive & Pablo Pincheira B. - 459 Combining Tests of Predictive Ability Theory and Evidence for Chilean and Canadian Exchange Rates
by Pablo Pincheira
2007
- 458 Copper Price, Fiscal Policu and Business Cycle in Chile
by Juan Pablo Medina & Claudio Soto - 457 The Chilean Business Cycles Through the Lens of a Stochastic General Equilibrium Model
by Juan Pablo Medina & Claudio Soto - 456 Is Ownership Structure a Determinant of Bank Efficiency?
by Rodrigo Fuentes & Marcos Vergara