Content
2014
- 2014/209 Vertical Fiscal Imbalances and the Accumulation of Government Debt
by Iñaki Aldasoro & Mr. Mike Seiferling - 2014/208 Identifying Speculative Bubbles: A Two-Pillar Surveillance Framework
by Bradley Jones - 2014/207 The Transmission of Liquidity Shocks: The Role of Internal Capital Markets and Bank Funding Strategies
by Mr. Philippe D Karam & Ouarda Merrouche & Moez Souissi & Ms. Rima A Turk - 2014/206 Does conditionality in IMF-supported programs promote revenue reform?
by Ernesto Crivelli & Mr. Sanjeev Gupta - 2014/205 Slowdown in Emerging Markets: Sign of a Bumpy Road Ahead?
by Ms. Evridiki Tsounta - 2014/204 World Saving
by Mr. Francesco Grigoli & Alexander Herman & Klaus Schmidt-Hebbel - 2014/203 Limiting Taxpayer "Puts" - An Example from Central Counterparties
by Mr. Manmohan Singh - 2014/202 Do IMF-Supported Programs Catalyze Donor Assistance to Low-Income Countries?
by Yasemin Bal Gündüz & Masyita Crystallin - 2014/201 Fiscal Devaluation in a Monetary Union
by Philipp Engler & Mr. Giovanni Ganelli & Juha Tervala & Simon Voigts - 2014/200 Policy and Spillover Analysis in the World Economy: A Panel Dynamic Stochastic General Equilibrium Approach
by Mr. Francis Vitek - 2014/199 Official Financial Flows, Capital Mobility, and Global Imbalances
by Mr. Tamim Bayoumi & Mr. Joseph E. Gagnon & Christian Saborowski - 2014/198 Non-Defaultable Debt and Sovereign Risk
by Juan Carlos Hatchondo & Mr. Leonardo Martinez & Yasin Kursat Onder - 2014/197 The Impact of the Global Financial Crisis on Banking Globalization
by Mr. Stijn Claessens & Neeltje van Horen - 2014/196 Gross Private Capital Flows to Emerging Markets: Can the Global Financial Cycle Be Tamed?
by Erlend Nier & Tahsin Saadi Sedik & Tomas Mondino - 2014/195 Global Risks and Collective Action Failures: What Can the International Community Do?
by Ms. Inci Ötker - 2014/194 Financial Frictions and Sources of Business Cycle
by Marzie Taheri Sanjani - 2014/193 Designing a Fiscal Framework for a Prospective Commodity Producer: Options for Lebanon
by Mariusz Jarmuzek & Diego Mesa Puyo & Najla Nakhle - 2014/192 Public Employment and Compensation Reform During Times of Fiscal Consolidation
by Lorenzo Forni & Natalija Novta - 2014/191 Are Non-Euro Area EU Countries Importing Low Inflation from the Euro Area?
by Mr. Plamen K Iossifov & Jiri Podpiera - 2014/190 Unraveling the Monetary Policy Transmission Mechanism in Sri Lanka
by Mr. Manuk Ghazanchyan - 2014/189 Unconventional Monetary Policy and Long-Term Interest Rates
by Mr. Tao Wu - 2014/188 Regulating Capital Flows at Both Ends: Does it Work?
by Mr. Atish R. Ghosh & Mahvash S Qureshi & Naotaka Sugawara - 2014/187 Determinants of Financial Market Spillovers: The Role of Portfolio Diversification, Trade, Home Bias, and Concentration
by Yoko Shinagawa - 2014/186 A Model-Based Analysis of Spillovers: The Case of Poland and the Euro Area
by Michal Andrle & Mr. Roberto Garcia-Saltos & Giang Ho - 2014/185 Financial Crises and the Composition of Cross-Border Lending
by Mr. Eugenio M Cerutti & Galina Hale & Ms. Camelia Minoiu - 2014/184 Minimum Wages and Firm Employment: Evidence from China
by Mr. Yifei Huang & Mr. Prakash Loungani & Gewei Wang - 2014/183 The Making of a Continental Financial System: Lessons for Europe from Early American History
by Vitor Gaspar - 2014/182 Food Prices and the Multiplier Effect of Trade Policy
by Paolo Giordani & Nadia Rocha & Michele Ruta - 2014/181 Reforming the Corporate Governance of Italian Banks
by Nadège Jassaud - 2014/180 The Great Cross-Border Bank Deleveraging: Supply Constraints and Intra-Group Frictions
by Mr. Eugenio M Cerutti & Mr. Stijn Claessens - 2014/179 How Much is A Lot? Historical Evidence on the Size of Fiscal Adjustments
by Mr. Julio Escolano & Laura Jaramillo & Mr. Carlos Mulas-Granados & Mr. G. Terrier - 2014/178 Food Inflation in India: The Role for Monetary Policy
by Rahul Anand & Ding Ding & Mr. Volodymyr Tulin - 2014/177 Soaring of the Gulf Falcons: Diversification in the GCC Oil Exporters in Seven Propositions
by Reda Cherif & Fuad Hasanov - 2014/176 A Constrained Choice? Impact of Concessionality Requirements on Borrowing Behavior
by Mr. Calixte Ahokpossi & Laurence Allain & Giovanna Bua - 2014/175 Does the Clarity of Inflation Reports Affect Volatility in Financial Markets?
by Mr. Aleš Bulíř & Mr. Martin Cihak & Mr. David-Jan Jansen - 2014/174 How Much Carbon Pricing is in Countries’ Own Interests? The Critical Role of Co-Benefits
by Ian W.H. Parry & Mr. Chandara Veung & Mr. Dirk Heine - 2014/173 Growth Surprises and Synchronized Slowdowns in Emerging Markets––An Empirical Investigation
by Ms. Ghada Fayad & Mr. Roberto Perrelli - 2014/172 A Quality of Growth Index for Developing Countries: A Proposal
by Mr. Montfort Mlachila & Rene Tapsoba & Mr. Sampawende J Tapsoba - 2014/171 Bank Ownership and Credit Growth in Emerging Markets During and After the 2008–09 Financial Crisis — A Cross-Regional Comparison
by Guodong Chen & Mr. Yi Wu - 2014/170 Supervisory Roles in Loan Loss Provisioning in Countries Implementing IFRS
by Ellen Gaston & Mr. In W Song - 2014/169 Reconsidering Bank Capital Regulation: A New Combination of Rules, Regulators, and Market Discipline
by Connel Fullenkamp & Ms. Celine Rochon - 2014/168 Optimal Maturity Structure of Sovereign Debt in Situation of Near Default
by Gabriel Desgranges & Ms. Celine Rochon - 2014/167 News and Monetary Shocks at a High Frequency: A Simple Approach
by Mr. Troy D Matheson & Mr. Emil Stavrev - 2014/166 Financial Inclusion, Growth and Inequality: A Model Application to Colombia
by Ms. Izabela Karpowicz - 2014/165 Demand Patterns in France, Germany, and Belgium: Can We Explain the Differences?
by Mr. Igor Lebrun & Mrs. Esther Perez Ruiz - 2014/164 Budget Institutions in Low-Income Countries: Lessons from G-20
by Mr. Sanjeev Gupta & Mr. Sami Yläoutinen - 2014/163 Determinants of Banks' Net Interest Margins in Honduras
by Koffie Ben Nassar & Edder Martinez & Anabel Pineda - 2014/162 Sovereign Debt Composition in Advanced Economies: A Historical Perspective
by Mr. S. M. Ali Abbas & Laura Blattner & Mark De Broeck & Ms. Asmaa A ElGanainy & Malin Hu - 2014/161 Measuring External Risks for Peru: Insights from a Macroeconomic Model for a Small Open and Partially Dollarized Economy
by Mr. Fei Han - 2014/160 Conventional and Insidious Macroeconomic Balance-Sheet Crises
by Mr. Bas B. Bakker & Mr. Leslie Lipschitz - 2014/159 Introducing a Semi-Structural Macroeconomic Model for Rwanda
by Ms. Luisa Charry & Pranav Gupta & Mr. Vimal V Thakoor - 2014/158 Pacific Island Countries: In Search of a Trade Strategy
by Hong Chen & Lanieta Rauqeuqe & Shiu raj Singh & Mr. Yiqun Wu & Yongzheng Yang - 2014/157 Capital Flows, Financial Intermediation and Macroprudential Policies
by Matteo Ghilardi & Mr. Shanaka J Peiris - 2014/156 Portfolio Flows, Global Risk Aversion and Asset Prices in Emerging Markets
by Nasha Ananchotikul & Ms. Longmei Zhang - 2014/155 Macro-Prudential Policies to Mitigate Financial System Vulnerabilities
by Mr. Stijn Claessens & Swart R. Ghosh & Miss Roxana Mihet - 2014/154 After the Boom–Commodity Prices and Economic Growth in Latin America and the Caribbean
by Bertrand Gruss - 2014/153 Unemployment and Structural Unemployment in the Baltics
by Mr. Christian H Ebeke & Greetje Everaert - 2014/152 The Effects of Unconventional Monetary Policies on Bank Soundness
by Frederic Lambert & Mr. Kenichi Ueda - 2014/151 Global Imbalances and External Adjustment after the Crisis
by Mr. Philip R. Lane & Mr. Gian M Milesi-Ferretti - 2014/150 How Solid Is Economic Growth in the East African Community?
by Mr. Nikoloz Gigineishvili & Mr. Paolo Mauro & Ke Wang - 2014/149 Islamic Finance in Sub-Saharan Africa: Status and Prospects
by Mr. Enrique A Gelbard & Mr. Mumtaz Hussain & Mr. Rodolfo Maino & Mr. Yibin Mu & Mr. Etienne B Yehoue - 2014/148 Public Investment as an Engine of Growth
by Mr. Andrew M. Warner - 2014/147 Do the Type of Sukuk and Choice of Shari'a Scholar Matter?
by Christophe Godlewski & Ms. Rima A Turk & Laurent Weill - 2014/146 Friedman Redux: External Adjustment and Exchange Rate Flexibility
by Mr. Atish R. Ghosh & Mahvash S Qureshi & Mr. Charalambos G Tsangarides - 2014/145 Capital Flow Deflection
by Paolo Giordani & Michele Ruta & Hans Weisfeld & Ling Zhu - 2014/144 Credit Quality in Developing Economies: Remittances to the Rescue?
by Mr. Christian H Ebeke & Mr. Boileau Loko & Arina Viseth - 2014/143 Africa Rising: Harnessing the Demographic Dividend
by Mr. Paulo Drummond & Mr. Vimal V Thakoor & Shu Yu - 2014/142 Health Spending in Japan: Macro-Fiscal Implications and Reform Options
by Mr. Masahiro Nozaki & Kenichiro Kashiwase & Ikuo Saito - 2014/141 Balance Sheet Repair and Corporate Investment in Japan
by Mr. Joong S Kang - 2014/140 Unstash the Cash! Corporate Governance Reform in Japan
by Ms. Chie Aoyagi & Mr. Giovanni Ganelli - 2014/139 Is Japan’s Population Aging Deflationary?
by Mr. Derek Anderson & Mr. Dennis P Botman & Mr. Benjamin L Hunt - 2014/138 Japan’s Corporate Income Tax: Facts, Issues and Reform Options
by Ruud A. de Mooij & Ikuo Saito - 2014/137 Strategies for Reforming Korea’s Labor Market to Foster Growth
by Mai Dao & Davide Furceri & Tae-Jeong Kim & Meeyeon Kim & Jisoo Hwang - 2014/136 Real and Financial Vulnerabilities from Crossborder Banking Linkages
by Kyunghun Kim & Ms. Srobona Mitra - 2014/135 Middle East Transitions: A Long, Hard Road
by Shahid Yusuf - 2014/134 Mauritius The Drivers of Growth—Can the Past be Extended?
by Katsiaryna Svirydzenka & Mr. Martin Petri - 2014/133 Macroprudential Solvency Stress Testing of the Insurance Sector
by Andreas Jobst & Nobuyasu Sugimoto & Timo Broszeit - 2014/132 Sovereign Debt Restructurings in Belize: Achievements and Challenges Ahead
by Mr. Tamon Asonuma & Gerardo Peraza & Kristine Vitola & Mr. Takahiro Tsuda - 2014/131 Progress Towards External Adjustment in the Euro Area Periphery and the Baltics
by Mr. Joong S Kang & Mr. Jay C Shambaugh - 2014/130 Rebalancing in the Euro Area and Cyclicality of Current Account Adjustments
by Mr. Thierry Tressel & Mr. Shengzu Wang - 2014/129 Liquidity Trap and Excessive Leverage
by Mr. Anton Korinek & Alp Simsek - 2014/128 Output Gap in Presence of Financial Frictions and Monetary Policy Trade-offs
by Francesco Furlanetto & Paolo Gelain & Marzie Taheri Sanjani - 2014/127 First-Time International Bond Issuance—New Opportunities and Emerging Risks
by Ms. Anastasia Guscina & Mr. Guilherme Pedras & Gabriel Presciuttini - 2014/126 Future of Asia’s Finance: How Can it Meet Challenges of Demographic Change and Infrastructure Needs?
by Ding Ding & Mr. Waikei Raphael Lam & Mr. Shanaka J Peiris - 2014/125 Debt, Growth and Natural Disasters A Caribbean Trilogy
by Mr. Sebastian Acevedo Mejia - 2014/124 What is Behind Latin America’s Declining Income Inequality?
by Ms. Evridiki Tsounta & Anayochukwu Osueke - 2014/123 Oversight Issues in Mobile Payments
by Mr. Tanai Khiaonarong - 2014/122 Fiscal Rules and the Procyclicality of Fiscal Policy in the Developing World
by Ms. Elva Bova & Nathalie Carcenac & Ms. Martine Guerguil - 2014/121 Modeling Appropriate Fiscal Targets and Optimal Consolidation Paths for Resource-Rich Countries: The Case of Suriname
by Mr. Daniel S Kanda & Mr. Mario Mansilla - 2014/120 Banks, Government Bonds, and Default: What do the Data Say?
by Nicola Gennaioli & Alberto Martin & Stefano Rossi - 2014/119 Why Complementarity Matters for Stability—Hong Kong SAR and Singapore as Asian Financial Centers
by Mrs. Vanessa Le Lesle & Ms. Franziska L Ohnsorge & Minsuk Kim & Srikant Seshadri - 2014/118 Deposit Insurance Database
by Asli Demirgüç-Kunt & Edward Kane & Mr. Luc Laeven - 2014/117 Growth: Now and Forever?
by Giang Ho & Mr. Paolo Mauro - 2014/116 Bank Risk Within and Across Equilibria
by Mr. Itai Agur - 2014/115 Labor Market Issues in the Caribbean: Scope to Mobilize Employment Growth
by Ms. Magda E. Kandil & Mrs. Genevieve M Lindow & Mr. Mario Mansilla & Mr. Joel Chiedu Okwuokei & Jochen M. Schmittmann & Qiaoe Chen & Xin Li & Marika Santoro & Solomon Stavis - 2014/114 Labor Tax Cuts and Employment: A General Equilibrium Approach for France
by Mr. Raphael A Espinoza & Mrs. Esther Perez Ruiz - 2014/113 The EU Services Directive: Gains from Further Liberalization
by Emilio Fernández Corugedo & Mrs. Esther Perez Ruiz - 2014/112 On the use of Monetary and Macroprudential Policies for Small Open Economies
by Gülçin Özkan & Ms. Filiz D Unsal - 2014/111 Financial Plumbing and Monetary Policy
by Mr. Manmohan Singh - 2014/110 Tax Buoyancy in OECD Countries
by Vincent Belinga & Ms. Dora Benedek & Ruud A. de Mooij & Mr. John Norregaard - 2014/109 Impact of Fed Tapering Announcements on Emerging Markets
by Ms. Prachi Mishra & Mr. Kenji Moriyama & Mr. Papa M N'Diaye & Lam Nguyen - 2014/108 Monetary Policy in Hybrid Regimes: The Case of Kazakhstan
by Mr. Natan P. Epstein & Mr. Rafael A Portillo - 2014/107 Structural Balance Targeting and Output Gap Uncertainty
by Eugen Tereanu & Ms. Anita Tuladhar & Mr. Alejandro Simone - 2014/106 The Net Stable Funding Ratio: Impact and Issues for Consideration
by Jeanne Gobat & Mamoru Yanase & Joseph Maloney - 2014/105 Determinants of Interest Rate Spreads in Solomon Islands
by Mr. Nooman Rebei - 2014/104 The Tax-adjusted Q Model with Intangible Assets: Theory and Evidence from Temporary Investment Tax Incentives
by Sophia Chen & Estelle Dauchy - 2014/103 How to Capture Macro-Financial Spillover Effects in Stress Tests?
by Mr. Heiko Hesse & Mr. Ferhan Salman & Mr. Christian Schmieder - 2014/102 An Application of the "Fan-Chart Approach" to Debt Sustainability in Post-HIPC Low-Income Countries
by Maximilien Kaffo Melou & Mariusz A. Sumlinski & Chris Geiregat - 2014/101 National Income and Its Distribution
by Markus Bruckner & Ms. Era Dabla-Norris & Mr. Mark Gradstein - 2014/100 Economic Impact of Selected Conflicts in the Middle East: What Can We Learn from the Past?
by Miss Randa Sab - 2014/099 Ms. Muffet, the Spider(gram) and the Web of Macro-Financial Linkages
by Ricardo Cervantes & Mr. Phakawa Jeasakul & Joseph Maloney & Ms. Li L Ong - 2014/098 Small and Medium Size Enterprises, Credit Supply Shocks, and Economic Recovery in Europe
by Nir Klein - 2014/097 After the Fall: Lessons for Policy Cooperation from the Global Crisis
by Mr. Tamim Bayoumi - 2014/096 Inflation and Public Debt Reversals in the G7 Countries
by Mr. Bernardin Akitoby & Mr. Takuji Komatsuzaki & Mr. Ariel J Binder - 2014/095 Managing Credit Bubbles
by Alberto Martin & Jaume Ventura - 2014/093 A Simple Method to Compute Fiscal Multipliers
by Nicoletta Batini & Mr. Luc Eyraud & Miss Anke Weber - 2014/092 The Case for a Long-Run Inflation Target of Four Percent
by Laurence M. Ball - 2014/091 Inflation Reports and Models: How Well Do Central Banks Really Write?
by Mr. Aleš Bulíř & Jaromír Hurník & Ms. Katerina Smídková - 2014/090 Optimal Prudential Regulation of Banks and the Political Economy of Supervision
by Mr. Thierry Tressel & Mr. Thierry Verdier - 2014/089 Inflation Targeting and Fiscal Rules: Do Interactions and Sequencing Matter?
by Jean-Louis Combes & Mr. Xavier Debrun & Alexandru Minea & Rene Tapsoba - 2014/088 Financial Constraints, Intangible Assets, and Firm Dynamics: Theory and Evidence
by Sophia Chen - 2014/087 Central Bank Financial Strength in Central America and the Dominican Republic
by Mr. Andrew J Swiston & Ms. Florencia Frantischek & Mr. Przemek Gajdeczka & Alexander Herman - 2014/086 Are Banks Really Lazy? Evidence from Middle East and North Africa
by Mr. Simon T Gray & Mr. Philippe D Karam & Ms. Rima A Turk - 2014/085 Fiscal Adjustment and Income Inequality: Sub-national Evidence from Brazil
by João Pedro Azevedo & Mr. Antonio David & Mr. Fabiano Rodrigues Rodrigues Bastos & Emilio Pineda - 2014/084 Time-Varying Neutral Interest Rate—The Case of Brazil
by Mr. Roberto Perrelli & Mr. Shaun K. Roache - 2014/083 With Great Power Comes Great Responsibility: Macroprudential Tools at Work in Canada
by Mr. Ivo Krznar & Mr. James Morsink - 2014/082 Determinants of International Tourism
by Mr. Alexander Culiuc - 2014/081 Safe Havens, Feedback Loops, and Shock Propagation in Global Asset Prices
by Ms. Franziska L Ohnsorge & Marcin Wolski & Ms. Yuanyan S Zhang - 2014/080 Export Spillovers from Global Shocks for the Middle East and Central Asia
by Mr. Alberto Behar & Jaime Espinosa-Bowen - 2014/079 European Productivity, Innovation and Competitiveness: The Case of Italy
by Mr. Andrew J Tiffin - 2014/078 SMEs’ Access to Finance in the Euro Area: What Helps or Hampers?
by Bahar Öztürk & Mr. Mico Mrkaic - 2014/077 Hysteresis in Unemployment and Jobless Recoveries
by Dmitry Plotnikov - 2014/076 Transmission of Financial Stress in Europe: The Pivotal Role of Italy and Spain, but not Greece
by Ms. Brenda Gonzalez-Hermosillo & Mr. Christian A Johnson - 2014/075 China’s Monetary Policy and Interest Rate Liberalization: Lessons from International Experiences
by Wei Liao & Mr. Sampawende J Tapsoba - 2014/074 The Role of Country Concentration in the International Portfolio Investment Positions for the European Union Members
by Iuliia Brushko & Ms. Yuko Hashimoto - 2014/073 Public Investment, Public Finance, and Growth: The Impact of Distortionary Taxation, Recurrent Costs, and Incomplete Appropriability
by Mr. Christopher S Adam & Mr. David Bevan - 2014/072 Commercial Property Price Indexes: Problems of Sparse Data, Spatial Spillovers, and Weighting
by Mick Silver & Brian Graf - 2014/071 Bank Funding Costs for International Banks
by Miss Rita Babihuga & Marco Spaltro - 2014/070 Monetary Policy Coordination and the Role of Central Banks
by Rakesh Mohan & Muneesh Kapur - 2014/069 Global Liquidity and Drivers of Cross-Border Bank Flows
by Mr. Eugenio M Cerutti & Mr. Stijn Claessens & Mr. Lev Ratnovski - 2014/068 India’s Recent Macroeconomic Performance: An Assessment and Way Forward
by Muneesh Kapur & Rakesh Mohan - 2014/067 Does Demand Volatility Lower Growth and Raise Inflation? Evidence from the Caribbean
by Ms. Magda E. Kandil - 2014/066 Official Demand for U.S. Debt: Implications for U.S. Real Interest Rates
by Iryna Kaminska & Gabriele Zinna - 2014/065 Comparing the Performance of Logit and Probit Early Warning Systems for Currency Crises in Emerging Market Economies
by Mr. Fabio Comelli - 2014/064 Income Inequality, Fiscal Decentralization and Transfer Dependency
by Caroline-Antonia Goerl & Mr. Mike Seiferling - 2014/063 India: Defining and Explaining Inclusive Growth and Poverty Reduction
by Rahul Anand & Mr. Volodymyr Tulin & Naresh Kumar - 2014/062 Cross-Country Experience in Reducing Net Foreign Liabilities: Lessons for New Zealand
by Ding Ding & Mr. Werner Schule & Ms. Yan M Sun - 2014/061 Exchange Rate Flexibility and Credit during Capital Inflow Reversals: Purgatory…not Paradise
by Mr. Nicolas E Magud & Mr. Esteban Vesperoni - 2014/060 Global Financial Shocks and Foreign Asset Repatriation: Do Local Investors Play a Stabilizing Role?
by Gustavo Adler & Marie-Louise Djigbenou & Mr. Sebastian Sosa - 2014/059 Fiscal Policy in Latin America over the Cycle
by Mr. Alexander D Klemm - 2014/058 Strengthening Post-Crisis Fiscal Credibility: Fiscal Councils on the Rise — A New Dataset
by Mr. Xavier Debrun & Mr. Tidiane Kinda - 2014/057 Financial Crises in DSGE Models: A Prototype Model
by Mr. Jaromir Benes & Mr. Michael Kumhof & Mr. Douglas Laxton - 2014/056 Financial Crises in DSGE Models: Selected Applications of MAPMOD
by Mr. Jaromir Benes & Mr. Michael Kumhof & Mr. Douglas Laxton - 2014/055 Inflation Persistence in Brazil - A Cross Country Comparison
by Mr. Shaun K. Roache - 2014/054 How can Korea Boost Potential Output to Ensure Continued Income Convergence?
by Ms. Sonali Jain-Chandra & Ms. Longmei Zhang - 2014/053 Safe-Haven Korea? - Spillover Effects from UMPs
by Mr. Jack J Ree & Seoeun Choi - 2014/052 Trade Integration and Business Cycle Synchronization: A Reappraisal with Focus on Asia
by Mr. Romain A Duval & Mr. Kevin C Cheng & Kum Hwa Oh & Richa Saraf - 2014/051 Surging Investment and Declining Aid: Evaluating Debt Sustainability in Rwanda
by Mr. John W Clark JR & Mr. Birgir Arnason - 2014/050 Debt Sustainability, Public Investment, and Natural Resources in Developing Countries: the DIGNAR Model
by Mr. Giovanni Melina & Ms. Susan S. Yang & Luis-Felipe Zanna - 2014/049 Fiscal Limits, External Debt, and Fiscal Policy in Developing Countries
by Huixin Bi & Ms. Wenyi Shen & Ms. Susan S. Yang - 2014/048 Assessing Bias and Accuracy in the World Bank-IMF's Debt Sustainability Framework for Low-Income Countries
by Mr. Andrew Berg & Mr. Enrico G Berkes & Ms. Catherine A Pattillo & Mr. Andrea F Presbitero & Mr. Yorbol Yakhshilikov - 2014/047 Disentangling India’s Investment Slowdown
by Rahul Anand & Mr. Volodymyr Tulin - 2014/046 The Regulatory Responses to the Global Financial Crisis: Some Uncomfortable Questions
by Mr. Stijn Claessens & Ms. Laura E. Kodres - 2014/045 Deep Roots of Fiscal Behavior
by Mr. Serhan Cevik & Ms. Katerina Teksoz - 2014/044 Efficient Energy Investment and Fiscal Adjustment in Senegal
by Salifou Issoufou & Mr. Edward F Buffie & Mouhamadou Bamba Diop & Kalidou Thiaw - 2014/043 From Volatility to Stability in Expenditure: Stabilization Funds in Resource-Rich Countries
by Naotaka Sugawara - 2014/042 Quality, Trade, and Exchange Rate Pass-Through
by Natalie Chen & Luciana Juvenal - 2014/041 Managing Income Tax Compliance through Self-Assessment
by Andrew Okello - 2014/040 Estimating Sri Lanka’s Potential Output
by Ding Ding & John Nelmes & Roshan Perera & Mr. Volodymyr Tulin - 2014/039 Tracking Global Demand for Emerging Market Sovereign Debt
by Mr. Serkan Arslanalp & Mr. Takahiro Tsuda - 2014/038 Why Was Asia Resilient? Lessons from the Past and for the Future
by Mr. Phakawa Jeasakul & Cheng Hoon Lim & Mr. Erik J. Lundback - 2014/037 Asia’s Stock Markets: Are There Crouching Tigers and Hidden Dragons?
by Mr. Fabian Lipinsky & Ms. Li L Ong - 2014/036 Assessing Countries’ Financial Inclusion Standing - A New Composite Index
by Mr. Alexander Massara & André Mialou - 2014/035 Rising BRICs and Changes in Sub-Saharan Africa’s Business Cycle Patterns
by Oumar Diallo & Mr. Sampawende J Tapsoba - 2014/034 Debt and Growth: Is There a Magic Threshold?
by Mr. Andrea Pescatori & Mr. Damiano Sandri & John Simon - 2014/033 Commodity Price Shocks and Imperfectly Credible Macroeconomic Policies in Commodity-Exporting Small Open Economies
by Juan Pablo Medina Guzman & Claudia Soto - 2014/032 Judicial System Reform in Italy - A Key to Growth
by Gianluca Esposito & Mr. Sergi Lanau & Sebastiaan Pompe - 2014/031 Information Rigidities: Comparing Average and Individual Forecasts for a Large International Panel
by Jonas Dovern & Mr. Ulrich Fritsche & Mr. Prakash Loungani & Ms. Natalia T. Tamirisa - 2014/030 Monetary and Macroprudential Policies to Manage Capital Flows
by Juan Pablo Medina Guzman & Mr. Jorge Roldos - 2014/029 Emerging Market Local Currency Bond Yields and Foreign Holdings in the Post-Lehman Period - a Fortune or Misfortune?
by Mr. Christian H Ebeke & Miss Yinqiu Lu - 2014/028 The U.S. Manufacturing Recovery: Uptick or Renaissance?
by Oya Celasun & Gabriel Di Bella & Tim Mahedy & Mr. Chris Papageorgiou - 2014/027 Foreign Investor Flows and Sovereign Bond Yields in Advanced Economies
by Mr. Serkan Arslanalp & Mr. Tigran Poghosyan - 2014/026 Regional Labor Market Adjustments in the United States and Europe
by Mai Dao & Davide Furceri & Mr. Prakash Loungani - 2014/025 What is Shadow Banking?
by Mr. Stijn Claessens & Mr. Lev Ratnovski - 2014/024 Do Forecasters Believe in Okun’s Law? An Assessment of Unemployment and Output Forecasts
by Laurence M. Ball & João Tovar Jalles & Mr. Prakash Loungani - 2014/023 Aggregate Stability and Balanced-Budget Rules
by Matteo Ghilardi & Raffaele Rossi - 2014/022 Leaning Against the Wind: Macroprudential Policy in Asia
by Ms. Longmei Zhang & Ms. Edda Zoli - 2014/021 Bulgaria’s EU Funds Absorption: Maximizing the Potential!
by Iana Paliova & Mr. Tonny Lybek - 2014/020 Sub-National Credit Risk and Sovereign Bailouts: Who Pays the Premium?
by Ms. Eva Jenkner & Zhongjin Lu - 2014/019 A Hybrid Approach to Estimating the Efficiency of Public Spending on Education in Emerging and Developing Economies
by Mr. Francesco Grigoli - 2014/018 Policy Responses to Aid Surges in Countries with Limited International Capital Mobility: The Role of the Exchange Rate Regime
by Mr. Andrew Berg & Mr. Rafael A Portillo & Luis-Felipe Zanna - 2014/017 Sovereign CDS Spreads in Europe: The Role of Global Risk Aversion, Economic Fundamentals, Liquidity, and Spillovers
by Mr. Frigyes F Heinz & Ms. Yan M Sun - 2014/016 Boosting Job Growth in the Western Balkans
by Dmitriy Kovtun & Alexis Meyer-Cirkel & Ms. Zuzana Murgasova & Mr. Dustin Smith & Suchanan Tambunlertchai - 2014/015 The Quest for Non-Resource-Based FDI: Do Taxes Matter?
by Mr. Tidiane Kinda - 2014/014 Financial Soundness Indicators and the Characteristics of Financial Cycles
by Ms. Natasha X Che & Yoko Shinagawa - 2014/013 Remittances and Vulnerability in Developing Countries
by Giulia Bettin & Mr. Andrea F Presbitero & Mr. Nikola Spatafora - 2014/012 Thin Capitalization Rules and Multinational Firm Capital Structure
by Jennifer Blouin & Harry Huizinga & Mr. Luc Laeven & Gaetan Nicodeme - 2014/011 Exchange Rate Management and Crisis Susceptibility: A Reassessment
by Mr. Atish R. Ghosh & Mr. Jonathan David Ostry & Mahvash S Qureshi
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