Content
1992
- 9204 Bank performance and regional economic growth: evidence of a regional credit channel
by Katherine A. Samolyk - 9203 Post-Louvre intervention: did target zones stabilize the dollar?
by Richard T. Baillie & Owen F. Humpage - 9202 Wagner's hypothesis: a local perspective
by Randall W. Eberts & Timothy J. Gronberg - 9201 Binomial approximation in financial models: computational simplicity and convergence
by Anlong Li
1991
- 9122 A different kind of money illusion: the case of long and variable lags
by Michael F. Bryan & William T. Gavin - 9121 Rising inequality in a salary survey: another piece of the puzzle
by Erica L. Groshen - 9120 A dynamic analysis of recent changes in the rate of part-time employment
by Donald R. Williams - 9119 Estimating a firm's age-productivity profile using the present value of workers' earnings
by Jagadeesh Gokhale & Laurence J. Kotlikoff - 9118 Risk aversion, performance pay, and the principal-agent problem
by Joseph G. Haubrich - 9117 Inefficiency and productivity growth in banking: a comparison of stochastic econometric and thick frontier methods
by Paul W. Bauer & Allen N. Berger & David B. Humphrey - 9116 The sources and nature of long-term memory in the business cycle
by Joseph G. Haubrich & Andrew W. Lo - 9115 On the econometrics of world business cycles
by Finn E. Kydland - 9114 Local banking markets and firm location
by Paul W. Bauer & Brian A. Cromwell - 9113 Zero inflation: transition costs and shoe-leather benefits
by Charles T. Carlstrom & William T. Gavin - 9112 Troubled savings and loan institutions: voluntary restructuring under insolvency
by Ramon P. DeGennaro & Larry H. Lang & James B. Thomson - 9111 Optimal bank portfolio choice under fixed-rate deposit insurance
by Anlong Li - 9110 On flexibility, capital structure, and investment decisions for the insured bank
by Ramon P. DeGennaro & Anlong Li & Peter H. Ritchken & James B. Thomson - 9109 The risk premium in forward foreign exchange markets and G-3 central bank intervention: evidence of daily effects, 1985-1990
by Richard T. Baillie & William P. Osterberg - 9108 Bracket creep in the age of indexing: have we solved the problem?
by David E. Altig & Charles T. Carlstrom - 9107 Generational accounting: a new approach for understanding the effects of fiscal policy on saving
by Alan J. Auerbach & Jagadeesh Gokhale & Laurence J. Kotlikoff - 9106 Principal-agent problems in commercial-bank failure decisions
by Asli Demirgüč-Kunt - 9105 Magnification effects and acyclical real wages
by Charles T. Carlstrom & Edward N. Gamber - 9104 On the valuation of deposit institutions
by Asli Demirgüč-Kunt - 9103 Generational accounts: a meaningful alternative to deficit accounting
by Alan J. Auerbach & Jagadeesh Gokhale & Laurence J. Kotlikoff - 9102 Inflation, personal taxes, and real output: a dynamic analysis
by David E. Altig & Charles T. Carlstrom - 9019 Tastes and technology in a two-country model of the business cycle: explaining international co-movements
by Alan C. Stockman & Linda L. Tesar
1990
- 9101 Risk-based capital and deposit insurance reform
by Robert B. Avery & Allen N. Berger - 9018 Prointegrative subsidies and their effect on housing markets: do race- based loans work?
by Brian A. Cromwell - 9017 An insider's view of the political economy of the too big to fail doctrine
by James B. Thomson & Walker F. Todd - 9016 Some problems of infinite regress in social-choice models: a category theory solution
by Fadi Alameddine - 9015 Loan commitments and bank risk exposure
by Robert B. Avery & Allen N. Berger - 9014 Cointegration and transformed series
by Jeffrey J. Hallman - 9013 What does the capital income tax distort?
by Jinyong Cai & Jagadeesh Gokhale - 9012 The effect of subordinated debt and surety bonds on banks' cost of capital and on the value of federal deposit insurance
by William P. Osterberg & James B. Thomson - 9011 Information and voting power in the proxy process
by Sanjai Bhagat & Richard H. Jefferis - 9010 Consumption and fractional differencing: old and new anomalies
by Joseph G. Haubrich - 9009 Intervention and the foreign exchange risk premium: an empirical investigation of daily effects
by Owen F. Humpage & William P. Osterberg - 9008 Sticky prices, money, and business fluctuations
by Joseph G. Haubrich & Robert G. King - 9007 Optimal financial structure and bank capital requirements: an empirical investigation
by William P. Osterberg & James B. Thomson - 9006 Inflation and the personal tax code: assessing indexation
by David E. Altig & Charles T. Carlstrom - 9005 In defense of zero inflation
by William T. Gavin - 9004 Cross-sectional analysis of public infrastructure and regional productivity growth
by Randall W. Eberts - 9003 Failed delivery and daily Treasury bill returns
by Ramon P. DeGennaro & James T. Moser - 9002 On the choice of the exchange-rate regimes
by Chien Nan Wang - 9001 The determinants of commercial bank holdings of municipal securities: 1985-1988
by William P. Osterberg
1989
- 8918 Altruism, borrowing constraints, and social security
by David E. Altig & Steven J. Davis - 8917 The timing of intergenerational transfers, tax policy, and aggregate savings
by David E. Altig & Steven J. Davis - 8916 An analysis of bank failures: 1984 to 1989
by James B. Thomson - 8915 Regime changes in stock returns
by Nan-Ting Chou & Ramon P. DeGennaro - 8914 The role of banks in influencing regional flow of funds
by Katherine A. Samolyk - 8913 Portfolio risks and bank asset choice
by Katherine A. Samolyk - 8912 Enforcement of pollution regulations in a declining industry
by Mary E. Deily & Wayne B. Gray - 8911 Factor-adjustment costs at the industry level
by Mary E. Deily & Dennis W. Jansen - 8910 Structure, conduct, and performance in the local public sector
by Randall W. Eberts & Timothy J. Gronberg - 8909 Public infrastructure and regional economic development: a simultaneous equations approach
by Kevin T. Duffy-Deno & Randall W. Eberts - 8908 Intervention and the risk premium in foreign exchange rates
by William P. Osterberg - 8907 The structure of supervision and pay in hospitals
by Erica L. Groshen & Alan B. Krueger - 8906 Do wage differences among employees last?
by Erica L. Groshen - 8905 Modeling large commercial-bank failures: a simultaneous-equation analysis
by Asli Demirgüč-Kunt - 8904 Dedicated taxes and rent capture by public employees
by Brian A. Cromwell - 8903 Predicting de novo branch entry into rural markets
by Gary Whalen - 8902 A two-sector implicit contracting model with procyclical quits and involuntary layoffs
by Charles T. Carlstrom - 8901 The effects of disinflationary policies on monetary velocity
by William G. Dewald & William T. Gavin
1988
- 8816 Pricing daylight overdrafts
by Edward J. Stevens - 8815 Bankruptcy in the life-cycle consumption model
by K. J. Kowalewski - 8814 Money, inflation and sectoral shifts
by Edward N. Bamber & Charles T. Carlstrom - 8813 Decomposing TFP growth in the presence of cost inefficiency, nonconstant returns to scale, and technological progress
by Paul W. Bauer - 8812 The impact of capital grants on maintenance in the public sector
by Brian A. Cromwell - 8811 Federal grant policies and public sector scrappage decisions
by Brian A. Cromwell - 8810 Using SMVAM as a linear approximation to a nonlinear function: a note
by Asli Demirgüč-Kunt & James B. Thomson - 8809 Interurban comparisons of the quality of life
by Patricia E. Beeson - 8808 Financial structure and the adjustment of capital stock
by William P. Osterberg - 8807 Testing for speculative bubbles in stock prices
by Asli Demirgüč-Kunt & Hashem Dezhbakhsh - 8806 Capital requirements and optimal bank portfolios: a reexamination
by William P. Osterberg & James B. Thomson - 8805 Lessons of the past and prospects for the future in lender of last resort theory
by Walker F. Todd - 8804 TFP growth, change in efficiency, and technological progress in the U. S. airline industry: 1970 to 1981
by Paul W. Bauer - 8803 The impact of firm characteristics on plant closing decisions
by Mary E. Deily - 8802 Sources of wage dispersion: the contribution of interemployer differentials within industry
by Erica L. Groshen - 8801 Tobin's Q, investment, and endogenous adjustment of financial structure
by William P. Osterberg
1987
- 8719 Interest rate rules are infeasible and fail to complete macroeconomic models
by James G. Hoehn - 8718 The nature of GNP revisions
by John L. Scadding - 8717 Turnover wages and adverse selection
by Charles T. Carlstrom - 8716 Monetary policy under rational expectations with multiperiod wage stickiness and an economy-wide credit market
by James G. Hoehn - 8715 Exit from the U.S. steel industry
by Mary E. Deily - 8714 Deposit insurance and the cost of capital
by William P. Osterberg & James B. Thomson - 8713 A test of two views of the regulatory mechanism: Averch-Johnson and Joskow
by Philip R. Israilevich & K. J. Kowalewski - 8712 Implicit contracts, on-the-job search and involuntary unemployment
by Charles T. Carlstrom - 8711 Estimating multivariate ARIMA models: when is close not good enough?
by Michael L. Bagshaw - 8710 Monetary policy in an economy with nominal wage contracts
by Charles T. Carlstrom - 8709 Amenities and the returns to human capital
by Patricia E. Beeson - 8708 The structure of the female/male wage differential: is it who you are, what you do, or where you work?
by Erica L. Groshen - 8707 Identifying productivity and amenity effects in interurban wage differentials
by Patricia E. Beeson & Randall W. Eberts - 8706 Univariate and multivariate ARIMA versus vector autoregression forecasting
by Michael L. Bagshaw - 8705 An analysis of causal relations among inflation, financial structure, Tobin's Q and investment
by William P. Osterberg - 8704 A technique for estimating a cost system that allows for inefficiency
by Paul W. Bauer - 8703 Estimating the relationship between local, public and private investment
by Randall W. Eberts & Michael S. Fogerty - 8702 Estimating total factor productivity in a generalized cost system
by Philip R. Israilevich & K. J. Kowalewski - 8701 Unionization and cost of production: compensation, productivity, and factor-use effects
by Randall W. Eberts & Joe A. Stone
1986
- 8612 Designing monetary policy under rational expectations: analysis and practical implications
by James G. Hoehn - 8611 Errors in recorded security prices and the turn-of-the year effect
by James B. Thomson - 8610 Estimating the contribution of urban public infrastructure to regional growth
by Randall W. Eberts - 8609 The use of market information in pricing deposit insurance
by James B. Thomson - 8608 Intervention, exchange-rate volatility, and the stable paretian distribution
by Michael L. Bagshaw & Owen F. Humpage - 8607 Productivity growth and the decline of manufacturing in large metropolitan areas: 1959-78
by Patricia E. Beeson - 8606 The birth of the competitive market in the steel industry
by Philip R. Israilevich - 8605 Rival stock price reactions to large BHC acquisition announcements: evidence of linked oligopoly
by Richard L. Mugel & Gary Whalen - 8604 The default premium and corporate bond experience
by Jerome S. Fons - 8603 Patterns and determinants of inefficiency in state manufacturing
by Patricia E. Beeson & Steven Husted - 8602 Comparison of univariate ARIMA, multivariate ARIMA and vector autoregression forecasting
by Michael L. Bagshaw - 8601 Employment and unemployment effects of unions
by Edward Montgomery
1985
- 8509 Total factor productivity and electric utilities regulation
by Philip R. Israilevich - 8508 The Ohio economy: using time series characteristics in forecasting
by James J. Balazsy & James G. Hoehn - 8507 Forecasting and seasonal adjustment
by Michael L. Bagshaw - 8506 Stochastic interest rates in the aggregate life cycle/permanent income cum rational expectations model
by K. J. Kowalewski - 8505 Dynamics of fixprice models
by Eric Kades - 8504 Fixprice models for dynamic studies
by Eric Kades - 8503 Forecasting GNP using monthly M1
by Michael L. Bagshaw - 8502 Federal reserve credibility and the market's response to the weekly M1 announcements
by William T. Gavin & Nicholas V. Karamouzis - 8501 A bureaucratic theory of flypaper effects
by Paul Gary Wyckoff
1984
- 8408 Holding company interest-rate sensitivity: before and after October 1979
by Gary Whalen - 8407 Monetary policy regimes: a synthesis of the monetary control and rational expectations literatures
by James G. Hoehn - 8406 Monetary policy and real interest rates: new evidence from the money stock announcements
by William T. Gavin & Nicholas V. Karamouzis - 8405 Velocity: a multivariate time-series approach
by Michael L. Bagshaw & William T. Gavin - 8404 Dollar intervention and the deutschemark-dollar exchange rate: a daily time-series model
by Owen F. Humpage - 8403 Forecasting using contemporaneous correlations
by Michael L. Bagshaw - 8402 A regional economic forecasting procedure applied to Texas
by James G. Hoehn - 8401 Economic estimates of urban infrastructure needs
by Paul Gary Wyckoff
1983
- 8304 Forecasting the money supply in time series models
by Michael L. Bagshaw & William T. Gavin - 8303 Extension of Granger causality in multivariate time series models
by Michael L. Bagshaw - 8302 Holding company organizational form and efficiency
by Gary Whalen - 8301 Non-nested specification tests and the intermediate target for monetary policy
by William T. Gavin & Mitsuru Toida
1982
- 8203 A micro view of the transactions money market
by Mark A. Zupan - 8202 Stability in a model of staggered-reserve accounting
by Michael L. Bagshaw & William T. Gavin - 8201 Multibank holding company organizational structure and performance
by Gary Whalen