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Content
2011
- 2011/107 Identifying Fiscal Policy Transmission in Stochastic Debt Forecasts
by Mr. Kei Kawakami & Rafael Romeu
- 2011/106 New Evidenceon Cyclical and Structural Sources of Unemployment
by Mr. Jinzhu Chen & Mr. Bharat Trehan & Mr. Prakash Kannan & Mr. Prakash Loungani
- 2011/105 Has the Great Recession Raised U.S. Structural Unemployment?
by Mr. Marcello M. Estevão & Ms. Evridiki Tsounta
- 2011/104 Ghana: Will it Be Gifted or Will it Be Cursed?
by Burcu Aydin
- 2011/103 Macroeconomic Costs of Higher Bank Capital and Liquidity Requirements
by Mr. Scott Roger & Mr. Jan Vlcek
- 2011/102 Oil Spill(over)s: Linkages in Petroleum Product Pricing Policies in West African Countries
by Mohamed El Harrak & Mr. Antonio David & Ms. Lorraine Ocampos & Marshall Mills
- 2011/101 Development of Financial Markets in Central Europe: the Case of the CE4 Countries
by Mr. Amat Adarov & Mr. Robert Tchaidze
- 2011/100 Assessing Fiscal Stress
by Miss Gabriela Dobrescu & Iva Petrova & Nazim Belhocine & Mr. Emanuele Baldacci
- 2011/099 Did Export Diversification Soften the Impact of the Global Financial Crisis?
by Rafael Romeu & Mr. Nelson Camanho da Costa Neto
- 2011/098 Real-time Forecasts of Economic Activity for Latin American Economies
by Mr. Philip Liu & Rafael Romeu & Mr. Troy D Matheson
- 2011/097 Lessons for Monetary Policy: What Should the Consensus Be?
by Mr. Otmar Issing
- 2011/096 Monetary Policy Transmission Mechanisms in Pacific Island Countries
by Mr. Jonathan C Dunn & Mr. Matt Davies & Yongzheng Yang & Mr. Yiqun Wu & Mr. Shengzu Wang
- 2011/095 The Tax Elasticity of Corporate Debt: A Synthesis of Size and Variations
by Ruud A. de Mooij
- 2011/094 Measuring Fiscal Vulnerability and Fiscal Stress: A Proposed Set of Indicators
by Mr. James McHugh & Iva Petrova & Mr. Emanuele Baldacci
- 2011/093 Financial Conditions Indexes for the United States and Euro Area
by Mr. Troy D Matheson
- 2011/092 International Mutual Funds, Capital Flow Volatility, and Contagion – A Survey
by Mr. Gaston Gelos
- 2011/091 How to Deal with Real Estate Booms: Lessons from Country Experiences
by Mr. Pau Rabanal & Mr. Christopher W. Crowe & Mr. Giovanni Dell'Ariccia & Ms. Deniz O Igan
- 2011/090 Growth from International Capital Flows: The Role of Volatility Regimes
by Antu Panini Murshid & Mr. Ashoka Mody
- 2011/089 France: Lessons from Past Fiscal Consolidation Plans
by Mr. Edouard Martin & Mrs. Irina Yakadina & Ms. Irina Tytell
- 2011/088 How Do Business and Financial Cycles Interact?
by Mr. Marco Terrones & Mr. Ayhan Kose & Mr. Stijn Claessens
- 2011/087 The Monetary Transmission in Dollarized and Non-Dollarized Economies: The Cases of Chile, New Zealand, Peru and Uruguay
by Mr. Santiago Acosta Ormaechea & Mr. David O Coble Fernandez
- 2011/086 Identifying the Linkages between Major Mining Commodity Prices and China’s Economic Growth—Implications for Latin America
by Mr. Yongzhen Yu
- 2011/085 Corporate and Household Debt Distress in Latvia: Strengthening the Incentives for Market-Based Approach to Debt Resolution
by Mr. Magnus Saxegaard & Ms. Michaela Erbenova & Ms. Yan Liu
- 2011/084 The Dynamics of the Term Structure of Interest Rates in the United States in Light of the Financial Crisis of 2007–10
by Mr. Marco Rodriguez Waldo & Mr. Carlos I. Medeiros
- 2011/083 Next Generation Balance Sheet Stress Testing
by Mr. Christian Schmieder & Maher Hasan & Mr. Claus Puhr
- 2011/082 Fat-Tails and their (Un)Happy Endings: Correlation Bias and its Implications for Systemic Risk and Prudential Regulation
by International Monetary Fund
- 2011/081 Towards Inflation Targeting in Sri Lanka
by Ding Ding & Rahul Anand & Mr. Shanaka J Peiris
- 2011/080 Feeling The Elephant’s Weight: The Impact of Côte d’Ivoire’s Crisis on WAEMU Trade
by Mr. Philippe Egoume Bossogo & Mr. Ankouvi Nayo
- 2011/079 Mongolia: Measuring the Output Gap
by Julia Bersch & Tara M. Sinclair
- 2011/078 Deposit Formation in Georgia
by Mr. Robert Tchaidze & Mr. Salome Tvalodze
- 2011/077 Evidence on Productivity, Comparative Advantage, and Networks in the Export Performance of Firms
by Mr. Luca A Ricci & Mr. Federico Trionfetti
- 2011/076 Financial Cycles: What? How? When?
by Mr. Marco Terrones & Mr. Ayhan Kose & Mr. Stijn Claessens
- 2011/075 Probabilities of Default and the Market Price of Risk in a Distressed Economy
by Miguel A. Segoviano & Mr. Raphael A Espinoza
- 2011/074 A network analysis of global banking: 1978–2009
by Mr. Javier A. Reyes & Ms. Camelia Minoiu
- 2011/073 ICT, Financial Inclusion, and Growth: Evidence from African Countries
by Mr. Kangni R Kpodar & Mihasonirina Andrianaivo
- 2011/072 “An Analysis of U.S. Fiscal and Generational Imbalances: Who Will Pay and How?”
by Nicoletta Batini & Julia Guerreiro & Giovanni Callegari
- 2011/071 Reconsidering the Role of Food Prices in Inflation
by Mr. James P Walsh
- 2011/070 Debt Dilution and Sovereign Default Risk
by Mr. Leonardo Martinez & Juan Carlos Hatchondo & Cesar Sosa Padilla
- 2011/069 Fiscal sustainability and the fiscal reaction function for South Africa
by Charl Jooste & Mr. Alfredo Cuevas & Ian C. Stuart & Philippe Burger
- 2011/068 Sovereign Rating News and Financial Markets Spillovers: Evidence from the European Debt Crisis
by Bertrand Candelon & Mr. Amadou N Sy & Mr. Rabah Arezki
- 2011/067 Capital Flows to EU New Member States: Does Sector Destination Matter?
by Ms. Pritha Mitra
- 2011/066 Making OTC Derivatives Safe—A Fresh Look
by Mr. Manmohan Singh
- 2011/065 Effects of Fiscal Consolidation in the Czech Republic
by Stephen Snudden & Mr. Vladimir Klyuev
- 2011/064 Reviving the Competitive Storage Model: A Holistic Approach to Food Commodity Prices
by Mr. Norbert Funke & Weifeng Wu & Yanliang Miao
- 2011/063 Leadership Contestability, Monopolistic Rents and Growth
by Mr. Roberto Piazza
- 2011/062 Food Prices and Political Instability
by Mr. Rabah Arezki & Markus Bruckner
- 2011/061 How Strong are Fiscal Multipliers in the GCC?
by Mr. Raphael A Espinoza & Mr. Abdelhak S Senhadji
- 2011/060 Imperfect Information and Saving in a Small Open Economy
by Agustin Roitman & Christian Daude
- 2011/059 Inflation Uncertainty and Relative Price Variability in WAEMU Countries
by Mrs. Kerstin Gerling & Carlos Fernandez Valdovinos
- 2011/058 Creditless Recoveries
by Mr. Abdul d Abiad & Mr. Giovanni Dell'Ariccia & Ms. Grace B Li
- 2011/057 Modeling Inflation in Chad
by Mr. Tidiane Kinda
- 2011/056 Fiscal Rules in a Volatile World: A Welfare-Based Approach
by Jorge Restrepo & Carlos Garcia & Mr. Evan C Tanner
- 2011/055 The Impact of Legislation on Credit Risk—Comparative Evidence From the United States, the United Kingdom and Germany
by Philipp Schmieder & Mr. Christian Schmieder
- 2011/054 Taxing Financial Transactions: Issues and Evidence
by Ms. Thornton Matheson
- 2011/053 Evaluating GDP Forecasting Models for Korea
by Mr. Li Zeng
- 2011/052 How Big (Small?) are Fiscal Multipliers?
by Ethan Ilzetzki & Mr. Enrique G. Mendoza & Mr. Carlos A. Végh Gramont
- 2011/051 Determinants of Bank Credit in Emerging Market Economies
by Vahram Stepanyan & Kai Guo
- 2011/050 Bank Ownership and the Effects of Financial Liberalization: Evidence from India
by Mrs. Poonam Gupta & Ms. Kalpana Kochhar & Mr. Sanjaya P Panth
- 2011/049 Dollarization in Cambodia: Causes and Policy Implications
by Ms. Nombulelo Braiton
- 2011/048 Fiscal Expectations Under the Stability and Growth Pact: Evidence from Survey Data
by Mr. Marcos Poplawski Ribeiro & Jan-Christoph Rülke
- 2011/047 Additions to Market Indices and the Comovement of Stock Returns Around the World
by Yishay Yafeh & Mr. Stijn Claessens
- 2011/046 Current Account Rebalancing and Real Exchange Rate Adjustment Between the U.S. and Emerging Asia
by Mr. Damiano Sandri & Mr. Pau Rabanal & Ms. Isabelle Mejean
- 2011/045 The Real Effects of Financial Sector Interventions During Crises
by Mr. Fabian Valencia & Mr. Luc Laeven
- 2011/044 Sovereign Credit Ratings and Spreads in Emerging Markets: Does Investment Grade Matter?
by Laura Jaramillo & Ms. Michelle Tejada
- 2011/043 New Indicators for Tracking Growth in Real Time
by Mr. Troy D Matheson
- 2011/042 Limits of Floating Exchange Rates: the Role of Foreign Currency Debt and Import Structure
by Pascal Towbin & Mr. Sebastian Weber
- 2011/041 Fiscal Policy During Absorption Cycles
by Mr. Ferhan Salman & Miss Gabriela Dobrescu
- 2011/040 Growth in Africa Under Peace and Market Reforms
by Ms. Olessia Korbut & Mr. Gonzalo Salinas & Cheikh A. Gueye
- 2011/039 Measuring Energy Security: Trends in the Diversification of Oil and Natural Gas Supplies
by Mr. Prakash Loungani & Mr. Frederick L Joutz & Gail Cohen
- 2011/038 The Demographic Dividend: Evidence from the Indian States
by Mr. Ashoka Mody & Mr. Shekhar Aiyar
- 2011/037 Investing in Public Investment: An Index of Public Investment Efficiency
by Zac Mills & Ms. Annette J Kyobe & Mr. Jim Brumby & Mr. Chris Papageorgiou & Ms. Era Dabla-Norris
- 2011/036 Central Bank Balances and Reserve Requirements
by Mr. Simon T Gray
- 2011/035 The Great Rebalancing Act: Can Investment Be a Lever in Asia?
by Mr. Malhar S Nabar & Mr. Murtaza H Syed
- 2011/034 What Drives the Performance of Selected MENA Banks? A Meta-Frontier Analysis
by Sami Ben Naceur & Barbara Casu & Hichem Ben-Khedhiri
- 2011/033 Conformism and Public News
by Ms. Celine Rochon & Gabriel Desgranges
- 2011/032 Recession and Policy Transmission to Latin American Tourism: Does Expanded Travel to Cuba Offset Crisis Spillovers?
by Mr. Andy M. Wolfe & Rafael Romeu
- 2011/031 Classifications of Countries Basedon their Level of Development: How it is Done and How it Could Be Done
by Lynge Nielsen
- 2011/030 The Electricity Sector in FYR Macedonia
by Alexander F. Tieman
- 2011/029 Stress Tests for Defined Benefit Pension Plans – A Primer
by Gregorio Impavido
- 2011/028 An Estimated Dynamic Stochastic General Equilibrium Model of the Jordanian Economy
by Mr. Tigran Poghosyan & Samya Beidas-Strom
- 2011/027 Global Shocks and their Impacton Low-Income Countries: Lessons From theglobal Financial Crisis
by Mr. Chris Papageorgiou & Hans Weisfeld & Ms. Catherine A Pattillo & Mr. Martin Schindler & Mr. Nikola Spatafora & Mr. Andrew Berg
- 2011/026 Reversing the Financial Accelerator: Credit Conditions and Macro-Financial Linkages
by Mr. Tamim Bayoumi & Mr. Reginald Darius
- 2011/025 Globalization, the Business Cycle, and Macroeconomic Monitoring
by S. Boragan Aruoba & Mr. Marco Terrones & Mr. Ayhan Kose & Mr. Francis X. Diebold
- 2011/024 Overborrowing, Financial Crises and ‘Macro-prudential’ Policy
by Mr. Enrique G. Mendoza & Javier Bianchi
- 2011/023 Consolidated Regulation and Supervision in the United States
by Mr. Ashok Vir Bhatia
- 2011/022 Exploration of the Brazilian Term Structure in a Hidden Markov Framework
by Mr. Richard Munclinger
- 2011/021 Government Debt Issuance in the Euro Area: The Impact of the Financial Crisis
by International Monetary Fund
- 2011/020 Armenia: An Assessment of the Real Exchange Rate and Competitiveness
by Miss Anke Weber & Ms. Chunfang Yang
- 2011/019 Investment Objectives of Sovereign Wealth Funds: A Shifting Paradigm
by Iva Petrova & Jukka Pihlman & Mr. Peter J Kunzel & Miss Yinqiu Lu
- 2011/018 Determinants of Remittances: Evidence From tonga
by Ms. Huidan Huidan Lin
- 2011/017 Strengthening Chile's Rule-Based Fiscal Framework
by Ms. Teresa Daban Sanchez
- 2011/016 Trade and Trade Finance in the 2008-09 Financial Crisis
by Mr. Thomas William Dorsey & Mika Saito & Armine Khachatryan & Ms. Irena Asmundson & Ioana Niculcea
- 2011/015 To Fire or to Hoard? Explaining Japan’s Labor Market Response in the Great Recession
by Mr. Chad Steinberg & Mr. Masato Nakane
- 2011/014 Interpreting Currency Movements During the Crisis: What's the Role of Interest Rate Differentials?
by Mr. Thomas Dowling & Nicoletta Batini
- 2011/013 The Impact of Fiscal Consolidation and Structural Reformson Growth in Japan
by Pelin Berkmen
- 2011/012 How Does Political Instability Affect Economic Growth?
by Mr. Ari Aisen & Mr. Francisco José Veiga
- 2011/011 The Spanish Labor Market in a Cross-Country Perspective
by Ms. Florence Jaumotte
- 2011/010 What is Driving Financial De-Dollarization in Latin America?
by Ms. Mercedes Garcia-Escribano & Mr. Sebastian Sosa
- 2011/009 Capital Flows, Exchange Rate Flexibility, and the Real Exchange Rate
by Jean-Louis Combes & Patrick Plane & Mr. Tidiane Kinda
- 2011/008 Sources of Corporate Profits in India: Business Dynamism or Advantages of Entrenchment?
by Michael Walton & Anusha Nath & Mr. Ashoka Mody
- 2011/007 India's Financial Globalisation
by Ila Patnaik & Ajay Shah
- 2011/006 The Effects of Housing Prices and Monetary Policy in a Currency Union
by Mr. Pau Rabanal & Oriol Aspachs-Bracons
- 2011/005 Monetary Policy Transmission in an Emerging Market Setting
by Ila Patnaik & Ajay Shah & Rudrani Bhattacharya
- 2011/004 Asian Financial Integration: Trends and Interruptions
by Mr. Eduardo Borensztein & Mr. Prakash Loungani
- 2011/003 How Does Trade Evolve in the Aftermath of Financial Crises?
by Mr. Abdul d Abiad & Petia Topalova & Ms. Prachi Mishra
- 2011/002 The Chilean Output Gap
by Leandro Medina & Mr. Nicolas E Magud
- 2011/001 A Barrel of Oil or a Bottle of Wine: How Do Global Growth Dynamics Affect Commodity Prices?
by Tahsin Saadi Sedik & Mr. Serhan Cevik
2010
- 2010/297 Macroeconomic Effects of Public Pension Reforms
by Ms. Joana Pereira & Mr. Philippe D Karam & Mr. Dirk V Muir & Ms. Anita Tuladhar
- 2010/296 Learning About Inflation Measures for Interest Rate Rules
by Luis-Felipe Zanna & Mr. Marco Airaudo
- 2010/295 European Financial Linkages: A New Look At Imbalances
by International Monetary Fund
- 2010/294 Japan’s Quest for Growth: Exploring the Role of Capital and innovation
by Mr. Murtaza H Syed & Ms. Jinsook Lee
- 2010/293 Rebalancing in Japan: The Role of Private Consumption
by Kiichi Tokuoka
- 2010/292 Weathering the Global Storm: The Benefits of Monetary Policy Reform in the LA5 Countries
by International Monetary Fund
- 2010/291 What Drives House Prices in Australia? A+L4584 Cross-Country Approach
by Mr. Shengzu Wang & Ms. Patrizia Tumbarello
- 2010/290 Export Versus FDI in Services
by International Monetary Fund
- 2010/289 Income Uncertainty and Household Savings in China
by Kai Liu & Mr. Marcos d Chamon & Mr. Eswar S Prasad
- 2010/288 Estimating a Structural Model of Herd Behavior in Financial Markets
by Antonio Guarino & Marco Cipriani
- 2010/287 Workers’ Remittances and the Equilibrium Real Exchange Rate: Theory and Evidence
by Mr. Ralph Chami & Mr. Adolfo Barajas & Mr. Peter J Montiel & Ms. Dalia S Hakura
- 2010/286 Bank Capital: Lessons From the Financial Crisis
by Ouarda Merrouche & Ms. Enrica Detragiache & Asli Demirgüç-Kunt
- 2010/285 Estimating Potential Output with a Multivariate Filter
by International Monetary Fund
- 2010/284 Transforming China: Insights from the Japanese Experience of the 1980s
by Mr. Papa M N'Diaye
- 2010/283 The Cost of Private Debt Over the Credit Cycle
by Eugen Tereanu & Johanna L. Francis & Dilek Aykut
- 2010/282 Into the Great Unknown: Stress Testing with Weak Data
by Ms. Li L Ong & Mr. Rodolfo Maino & Ms. Nombulelo Braiton
- 2010/281 Determinants of Emerging Market Sovereign Bond Spreads: Fundamentals vs Financial Stress
by Iva Petrova & Mr. Michael G. Papaioannou & Mr. Dimitri Bellas
- 2010/280 Managing Public Debt and Its Financial Stability Implications
by Mr. Udaibir S Das & Jay Surti & Mr. Faisal Ahmed & Mr. Michael G. Papaioannou & Mr. Guilherme Pedras
- 2010/279 A Noteon Terms of Trade Shocks and the Wage Gap
by International Monetary Fund
- 2010/278 U.S. Monetary Shocks and Global Stock Prices
by Mr. Luc Laeven & Mr. Hui Tong
- 2010/277 Can Covered Bonds Resuscitate Residential Mortgage Finance in the United States?
by Jay Surti
- 2010/276 Monetary Policy, Leverage, and Bank Risk Taking
by Mr. Giovanni Dell'Ariccia & Mr. Robert Marquez & Mr. Luc Laeven
- 2010/275 The Chinese Corporate Savings Puzzle: A Firm-level Cross-country Perspective
by Mr. Hui Tong & Shang-Jin Wei & Mr. Tamim Bayoumi
- 2010/274 Are House Prices Rising Too Fast in China?
by Mr. Ashvin Ahuja & Lillian Cheung & Gaofeng Han & Mr. Nathan Porter & Wenlang Zhang
- 2010/273 Are House Prices Rising too Fast in Hong Kong SAR?
by International Monetary Fund
- 2010/272 A Status Update on Fiscal Exit Strategies
by International Monetary Fund
- 2010/271 When and Why Worry About Real Exchange Rate Appreciation? The Missing Link Between Dutch Disease and Growth
by International Monetary Fund
- 2010/270 The Transmission Mechanism in Armenia: New Evidence from a Regime Switching VAR Analysis
by International Monetary Fund
- 2010/269 Export Tax and Pricing Power: Two Hypotheses on the Cocoa Market in Côte d’Ivoire
by Mr. Alexei P Kireyev
- 2010/268 Inequality, Leverage and Crises
by Mr. Romain Ranciere & Mr. Michael Kumhof
- 2010/267 Growth and Crisis, Unavoidable Connection?
by Mr. Roberto Piazza
- 2010/266 Financial Innovation and Risk, the Role of Information
by Mr. Roberto Piazza
- 2010/265 What Caused the Global Financial Crisis: Evidenceon the Drivers of Financial Imbalances 1999: 2007
by Ouarda Merrouche & Erlend Nier
- 2010/264 Private Sector Consumption and Government Consumption and Debt in Advanced Economies: An Empirical Study
by Ms. Sanchita Mukherjee & Ms. Rina Bhattacharya
- 2010/263 A New Index of Currency Mismatch and Systemic Risk
by Mr. Romain Ranciere & Aaron Tornell & Mr. Athanasios Vamvakidis
- 2010/262 Emerging Asia’s Impact on Australian Growth: Some Insights From GEM
by Mr. Benjamin L Hunt
- 2010/261 Do Credit Shocks Matter? A Global Perspective
by Mr. Thomas Helbling & Mr. Ayhan Kose & Mr. Christopher Otrok & Raju Huidrom
- 2010/260 Government Involvement in Corporate Debt Restructuring: Case Studies from the Great Recession
by Mr. David A. Grigorian & Ms. Faezeh Raei
- 2010/259 Unemployment and Productivity in the Long Run: the Role of Macroeconomic Volatility
by Paolo Surico & Mr. Luca A Ricci & Pierpaolo Benigno
- 2010/258 On the Estimation of Term Structure Models and An Application to the United States
by International Monetary Fund
- 2010/257 Bilateral Financial Linkages and Global Imbalances: a View on The Eve of the Financial Crisis
by Mr. Gian M Milesi-Ferretti & Ms. Natalia T. Tamirisa & Mr. Francesco Strobbe
- 2010/256 Slowdown of Credit Flows in Jordan in the Wake of the Global Financial Crisis: Supply or Demand Driven?
by Mr. Tigran Poghosyan
- 2010/255 Determinants of the Foreign Exchange Risk Premium in Gulf Cooperation Council Countries
by Mr. Tigran Poghosyan
- 2010/254 Should Advanced Countries Adopt a Fiscal Responsibility Law?
by Mr. Ian Lienert
- 2010/253 IMF Applications of Purchasing Power Parity Estimates
by Mick Silver
- 2010/252 Post-Crisis Fiscal Policy Priorities for the ASEAN-5
by International Monetary Fund
- 2010/251 Riding the Roller Coaster: Fiscal Policies of Nonrenewable Resource Exporters in Latin America and the Caribbean
by Pablo Lopez Murphy & Mr. Mauricio Villafuerte & Mr. Rolando Ossowski
- 2010/250 Assessing the Risk of Private Sector Debt Overhang in the Baltic Countries
by Ms. Valerie Herzberg
- 2010/249 Asset Prices in Affine Real Business Cycle Models
by Maral Shamloo & Aytek Malkhozov
- 2010/248 Structural Breaks in Fiscal Performance: Did Fiscal Responsibility Laws Have Anything to Do with Them?
by Leandro Medina & Carlos Caceres & Ms. Ana Corbacho
- 2010/247 Bankers Without Borders? Implications of Ring-Fencing for European Cross-Border Banks
by Ms. Yuliya Makarova & Ms. Anna Ilyina & Mr. Christian Schmieder & Mr. Eugenio M Cerutti
- 2010/246 Forecasting U.S. Investment
by Mr. Pau Rabanal & Mr. Jaewoo Lee
- 2010/245 A Historical Public Debt Database
by International Monetary Fund
- 2010/244 After the Crisis: Assessing the Damage in Italy
by Ms. Silvia Sgherri & Mrs. Hanan Morsy
- 2010/243 Monetary and Fiscal Policy Interactions in the Post-war U.S
by Ms. Susan S. Yang & Ms. Nora Traum
- 2010/242 Crisis and Recovery: Role of the Exchange Rate Regime in Emerging Market Countries
by Mr. Charalambos G Tsangarides
- 2010/241 On the Distributive Effects of Terms of Trade Shocks: The Role of Non-tradable Goods
by International Monetary Fund
- 2010/240 Business Cycle Fluctuations, Large Shocks, and Development Aid: New Evidence
by Ms. Era Dabla-Norris & Ms. Camelia Minoiu & Luis-Felipe Zanna
- 2010/239 Deconstructing the International Business Cycle: Why does a U.S. sneeze give the rest of the world a cold?
by International Monetary Fund
- 2010/238 Spillovers From Europe Into Morocco and Tunisia
by Mr. Daniel Florea & Mr. Joël Toujas-Bernate & Mr. Reinout De Bock
- 2010/237 The Impact of the Great Recession on Emerging Markets
by Mr. Ferhan Salman & Miss Mali Chivakul & Mr. Ricardo Llaudes
- 2010/236 Financial Contagion Through Bank Deleveraging: Stylized Facts and Simulations Applied to the Financial Crisis
by Mr. Thierry Tressel
- 2010/235 International Capital Flows and Development: Financial Openness Matters
by Mr. Luca A Ricci & Mr. Thierry Tressel & Dennis B. S. Reinhardt
- 2010/234 Is Social Spending Procyclical?
by Mr. Sanjeev Gupta & Alejandro Hajdenberg & Mr. Javier Arze del Granado
- 2010/233 Bank Lending in Turkey: Effects of Monetary and Fiscal Policies
by Burcu Aydin & Ms. Deniz O Igan
- 2010/232 Restoring Debt Sustainability After Crises: Implications for the Fiscal Mix
by Mr. Emanuele Baldacci & Mr. Sanjeev Gupta & Mr. Carlos Mulas-Granados
- 2010/231 Financial Frictions, Investment, and Institutions
by Yishay Yafeh & Mr. Kenichi Ueda & Mr. Stijn Claessens
- 2010/230 Monetary Policy Matters: New Evidence Basedon a New Shock Measure
by Mr. Christopher W. Crowe & Mr. S. Mahdi Barakchian
- 2010/229 Government Investment and Fiscal Stimulus
by Ms. Susan S. Yang & Todd B. Walker & Eric M. Leeper
- 2010/228 Australian Banking System Resilience: What Should Be Expected Looking Forward? An International Perspective
by Pierluigi Bologna
- 2010/227 A Perspectiveon Predicting Currency Crises
by Mr. Robert P Flood & Juan Yepez & Ms. Nancy P. Marion
- 2010/226 The Euro’s Effecton Trade Imbalances
by Mr. Helge Berger & Volker Nitsch
- 2010/225 What Can International Cricket Teach Us About the Role of Luck in Labor Markets?
by Mr. Shekhar Aiyar & Mr. Rodney Ramcharan
- 2010/224 Nonperforming Loans in the GCC Banking System and their Macroeconomic Effects
by Mr. Raphael A Espinoza & Mr. Ananthakrishnan Prasad
- 2010/223 Monetary Transmission in Low Income Countries
by Mr. Peter J Montiel & Mr. Antonio Spilimbergo & Ms. Prachi Mishra
- 2010/222 How Commodity Price Curves and Inventories React to a Short-Run Scarcity Shock
by Ms. Nese Erbil & Mr. Shaun K. Roache
- 2010/221 Price Dynamics in China
by International Monetary Fund
- 2010/220 Macroprudential Regulation Under Repo Funding
by Ms. Laura Valderrama
- 2010/219 Recent Credit Stagnation in the Mena Region: What to Expect? What Can Be Done?
by Mr. Ralph Chami & Mr. Raphael A Espinoza & Mr. Adolfo Barajas & Mr. Heiko Hesse
- 2010/218 Factor Immobility and Regional Impacts of Trade Liberalization Evidenceon Poverty From India
by Petia Topalova
- 2010/217 Performance of Fiscal Accounts in South Africa in a Cross-Country Setting
by Burcu Aydin
- 2010/216 Cyclicality of Revenue and Structural Balances in South Africa
by Burcu Aydin
- 2010/215 International Reserve Adequacy in the Gambia
by Eugen Tereanu
- 2010/214 Monetary Transmission of Global Imbalances in Asian Countries
by Mr. Il Houng Lee & Woon Gyu Choi
- 2010/213 Adjustment Under a Currency Peg: Estonia, Latvia and Lithuania During the Global Financial Crisis 2008-09
by Miss Catriona Purfield & Mr. Christoph B. Rosenberg
- 2010/212 Cyclical Behavior of Inventories and Growth Projections Recent Evidence From Europe and the United States
by Mr. Willy A Hoffmaister & Mr. Jens R Clausen
- 2010/211 Protection for Free? the Political Economy of U.S. Tariff suspensions
by Ms. Prachi Mishra & Rodney D. Ludema & Anna Maria Mayda
- 2010/210 Mother, Can I Trust the Government? Sustained Financial Deepening: A Political Institutionsview
by Mr. Marc G Quintyn & Ms. Geneviève Verdier
- 2010/209 Commodity Windfalls, Polarization, and Net Foreign Assets: Panel Data Evidenceon the Voracity Effect
by Markus Bruckner & Mr. Rabah Arezki
- 2010/208 Bank Capital and Uncertainty
by Mr. Fabian Valencia
- 2010/207 Investment: Specific Technology Shocks and International Business Cycles: An Empirical Assessment
by International Monetary Fund