Content
2012
- 2012/074 BRICs’ Philosophies for Development Financing and their Implications for LICs
by Yongzheng Yang & Miss Nkunde Mwase - 2012/073 Exchange Rate Volatility Under Peg: Do Trade Patterns Matter?
by Mr. Constant A Lonkeng Ngouana - 2012/072 Capital Regulation, Liquidity Requirements and Taxation in a Dynamic Model of Banking
by Mr. Gianni De Nicolo & Mr. Andrea Gamba & Marcella Lucchetta - 2012/071 Bank Asset Quality in Emerging Markets: Determinants and Spillovers
by Mr. Reinout De Bock & Mr. Alexander Demyanets - 2012/070 Does the Business Environment Affect Corporate Investment in India?
by Kiichi Tokuoka - 2012/069 How Do Exchange Rate Regimes Affect Firms' Incentives to Hedge Currency Risk? Micro Evidence for Latin America
by Herman Kamil - 2012/068 Balance-Sheet Shocks and Recapitalizations
by Mr. Damiano Sandri & Mr. Fabian Valencia - 2012/067 Are Foreign Aid and Remittance Inflows a Hedge Against Food Price Shocks?
by International Monetary Fund - 2012/066 Exchange-Rate Dark Matter
by Mr. Martin D Evans - 2012/065 Crises, Labor Market Policy, and Unemployment
by Davide Furceri & Mr. Lorenzo E. Bernal-Verdugo & Mr. Dominique M. Guillaume - 2012/064 Labor Market Flexibility and Unemployment: New Empirical Evidence of Static and Dynamic Effects
by Mr. Lorenzo E. Bernal-Verdugo & Davide Furceri & Mr. Dominique M. Guillaume - 2012/063 Operative Principles of Islamic Derivatives: Towards a Coherent Theory
by Mr. Juan Sole & Andreas Jobst - 2012/062 The Puzzle of Brazil's High Interest Rates
by Mr. Alex Segura-Ubiergo - 2012/061 Current Account Imbalances: Can Structural Policies Make a Difference?
by Anna Ivanova - 2012/060 Does Central Bank Capital Matter for Monetary Policy?
by Mr. Camilo E Tovar Mora & Mr. Pedro Castro & Gustavo Adler - 2012/059 Structural Transformation and the sophistication of Production
by Mr. Nikola Spatafora & Rahul Anand & Mr. Saurabh Mishra - 2012/058 Systemic Real and Financial Risks: Measurement, Forecasting, and Stress Testing
by Marcella Lucchetta & Mr. Gianni De Nicolo - 2012/057 An Integrated Framework for Financial Positions and Flowson a From-Whom-To-Whom Basis: Concepts, Status, and Prospects
by Mr. Segismundo Fassler & Mr. Manik L. Shrestha & Mr. Reimund Mink - 2012/056 India's Growth Spillovers to South Asia
by Ms. Iyabo Masha & Ding Ding - 2012/055 Coincident Indicators of Capital Flows
by Ms. Malika Pant & Yanliang Miao - 2012/054 Can Institutional Reform Reduce Job Destruction and Unemployment Duration? Yes it Can
by Mrs. Esther Perez Ruiz & Ms. Yao Yao - 2012/053 From Stress to Costress: Stress Testing Interconnected Banking Systems
by Mr. Rodolfo Maino & Mr. Kalin I Tintchev - 2012/052 Fiscal Policy and the Real Exchange Rate
by Mr. Santanu Chatterjee & Mr. Azer Mursagulov - 2012/051 Fiscal Policy and the Current Account: Are Microstates Different?
by Mr. Yehenew Endegnanew & Ms. Therese Turner-Jones & Charles Amo Yartey - 2012/050 The Valuation Effects of Geographic Diversification: Evidence From U.S. Banks
by Mr. Luc Laeven & Mr. Martin R. Goetz & Mr. Ross Levine - 2012/049 Spillovers to Low-Income Countries: Importance of Systemic Emerging Markets
by Ms. Era Dabla-Norris & Mr. Raphael A Espinoza & Mrs. Sarwat Jahan - 2012/048 Debt, Taxes, and Banks
by Mr. Michael Keen & Ruud A. de Mooij - 2012/047 Inclusive Growth, Institutions, and the Underground Economy
by Mr. Adil Mohommad & Mr. Anoop Singh & Ms. Sonali Jain-Chandra - 2012/046 Short-Term Wholesale Funding and Systemic Risk: A Global Covar Approach
by International Monetary Fund - 2012/045 Fiscal Performance, Institutional Design and Decentralization in European Union Countries
by Mr. Luc Eyraud & Ms. Anita Tuladhar & Mr. Julio Escolano & Ms. Marialuz Moreno Badia & Ms. Juliane Sarnes - 2012/044 The Global Macroeconomic Costs of Raising Bank Capital Adequacy Requirements
by Mr. Francis Vitek & Mr. Scott Roger - 2012/043 What Drives Credit Growth in Emerging Asia?
by Mr. Fei Han & Mr. Selim A Elekdag - 2012/042 Precautionary Savings in the Great Recession
by Mr. Ashoka Mody & Mr. Damiano Sandri & Ms. Franziska L Ohnsorge - 2012/041 Capital Inflows, Exchange Rate Flexibility, and Credit Booms
by Mr. Nicolas E Magud & Mr. Esteban Vesperoni & Ms. Carmen Reinhart - 2012/040 Treasury Bills and/Or Central Bank Bills for Absorbing Surplus Liquidity: The Main Considerations
by Mr. Obert Nyawata - 2012/039 Stock-Flow Adjustments and Fiscal Transparency: A Cross-Country Comparison
by Miss Anke Weber - 2012/038 Macroeconomic and Welfare Costs of U.S. Fiscal Imbalances
by Bertrand Gruss & Mr. Jose L. Torres - 2012/037 Determinants of Inflation in the Euro Area: The Role of Labor and Product Market Institutions
by Mrs. Hanan Morsy & Ms. Florence Jaumotte - 2012/036 How Risky Are Banks' Risk Weighted Assets? Evidence From the Financial Crisis
by Sonali Das & Mr. Amadou N Sy - 2012/035 An Assessment of Malaysian Monetary Policy During the Global Financial Crisis of 2008-09
by Mr. Selim A Elekdag & Mr. Subir Lall & Mr. Harun Alp - 2012/034 Shifting Motives: Explaining the Buildup in official Reserves in Emerging Markets Since the 1980's
by Mr. Atish R. Ghosh & Mr. Jonathan David Ostry & Mr. Charalambos G Tsangarides - 2012/033 Sovereign Risk, Fiscal Policy, and Macroeconomic Stability
by Mr. Keith Kuester & Mr. Gernot J. Mueller & Giancarlo Corsetti & Mr. Andre Meier - 2012/032 Assessing Bank Competition within the East African Community
by Sarah Sanya & Matthew Gaertner - 2012/031 Barbados: Sectoral Balance Sheet Mismatches and Macroeconomic Vulnerabilities
by Charles Amo Yartey - 2012/030 Fiscal Rules and the Sovereign Default Premium
by Juan Carlos Hatchondo & Mr. Francisco Roch & Mr. Leonardo Martinez - 2012/029 Bank Funding Structures and Risk: Evidence From the Global Financial Crisis
by Mr. Pablo Federico & Mr. Francisco F. Vazquez - 2012/028 A Partial Race to the Bottom: Corporate Tax Developments in Emerging and Developing Economies
by Junhyung Park & Mr. Sukhmani Bedi & Mr. S. M. Ali Abbas & Mr. Alexander D Klemm - 2012/027 Managing Non-Core Liabilities and Leverage of the Banking System: A Building Block for Macroprudential Policy Making in Korea
by Ali Alichi & Mr. Cheol Hong & Mr. Sang Chul Ryoo - 2012/026 Mortgage Defaults
by Mr. Leonardo Martinez & Juan Carlos Hatchondo & Mr. Juan M. Sanchez - 2012/025 Bank Capital Adequacy in Australia
by Niamh Sheridan & Mr. B. Jang - 2012/024 Pricing of Sovereign Credit Risk: Evidence From Advanced Economies During the Financial Crisis
by Mr. Emre Alper & Lorenzo Forni & Mr. Marc Gerard - 2012/023 Are Rating Agencies Powerful? An Investigation Into the Impact and Accuracy of Sovereign Ratings
by Mr. John Kiff & Sylwia Nowak & Miss Liliana B Schumacher - 2012/022 Surges
by Mahvash S Qureshi & Mr. Atish R. Ghosh & Mr. Juan Zalduendo & Mr. Jun I Kim - 2012/021 Macrofinancial Modeling At Central Banks: Recent Developments and Future Directions
by Mr. Jan Vlcek & Mr. Scott Roger - 2012/020 Prudential Liquidity Regulation in Developing Countries: A Case Study of Rwanda
by Sarah Sanya & Mr. A. E. Wayne Mitchell & Ms. Angelique Kantengwa - 2012/019 Measuring Oil-Price Shocks Using Market-Based Information
by Mr. Tao Wu & Mr. Michele Cavallo - 2012/018 Capital Market Integration: Progress Ahead of the East African Community Monetary Union
by Mr. Masafumi Yabara - 2012/017 The Eastern Caribbean Currency Union: Would a Fiscal Insurance Mechanism Mitigate National Income Shocks?
by Mr. Paul Cashin & Mr. Antonio Lemus - 2012/016 Central Bank Credit to the Government: What Can We Learn From International Practices?
by Ms. Marcela Matamoros-Indorf & Ms. Mrinalini Sharma & Mr. Simon Townsend & Mr. Luis Ignacio Jácome - 2012/015 Price Subsidies and the Conduct of Monetary Policy
by Mr. Nooman Rebei & Mr. Mohamed Safouane Ben Aissa - 2012/014 Central Banks Quasi-Fiscal Policies and Inflation
by Mr. Seok G Park - 2012/013 Can International Macroeconomic Models Explain Low-Frequency Movements of Real Exchange Rates?
by Mr. Pau Rabanal & Juan F. Rubio-Ramirez - 2012/012 Commodity Price Volatility and the Sources of Growth
by International Monetary Fund - 2012/011 A toolkit for Assessing Fiscal Vulnerabilities and Risks in Advanced Economies
by Ms. Elif C Arbatli Saxegaard & Mr. Emre Alper & Jiri Jonas & Miss Anke Weber & Mr. Marc Gerard & Mr. Tidiane Kinda & Giovanni Callegari & Ms. Anna Shabunina & Ms. Andrea Schaechter & Carlos Caceres - 2012/010 Foreign Banks: Trends, Impact and Financial Stability
by Neeltje van Horen & Mr. Stijn Claessens - 2012/009 Clarity of Central Bank Communication About Inflation
by Mr. Aleš Bulíř & Mr. David-Jan Jansen & Mr. Martin Cihak - 2012/008 Income Inequality and Current Account Imbalances
by Mr. Romain Ranciere & Mr. Nathaniel A. Throckmorton & Mr. Michael Kumhof & Ms. Claire Lebarz & Mr. Alexander W. Richter - 2012/007 International Reserves in Low Income Countries: Have they Served As Buffers?
by International Monetary Fund - 2012/006 Money As Indicator for the Natural Rate of Interest
by Mr. Helge Berger & Mr. Henning Weber - 2012/005 Did Korean Monetary Policy Help Soften the Impact of the Global Financial Crisis of 2008-2009?
by Mr. Subir Lall & Mr. Selim A Elekdag & Mr. Harun Alp - 2012/004 Oil Exporters' Dilemma: How Much to Save and How Much to Invest
by Reda Cherif & Fuad Hasanov - 2012/003 Next Generation System-Wide Liquidity Stress Testing
by Mr. Claus Puhr & Mr. Andre O Santos & Mr. Christian Schmieder & Salih N. Neftci & Mr. Benjamin Neudorfer & Mr. Stefan W. Schmitz & Mr. Heiko Hesse - 2012/002 Bank of Japan's Quantitative and Credit Easing: Are they Now More Effective
by Mr. Ugo Fasano-Filho & Mr. Qing Wang & Pelin Berkmen - 2012/001 Financial Stability Reports: What Are they Good for?
by Ms. Sònia Muñoz & Mr. Samir Jahjah & Mr. Martin Cihak & Ms. Sharika Teh Sharifuddin & Mr. Kalin I Tintchev
2011
- 2011/300 The Impact of the Global Crisison South-Eastern Europe
by Francesco Spadafora & Mr. Emidio Cocozza & Mr. Andrea Colabella - 2011/299 Developments in Financial Supervision and the Use of Macroprudential Measures in Central America
by Mr. Mynor Meza & Mr. Fernando L Delgado - 2011/298 The New Economics of Capital Controls Imposed for Prudential Reasons+L4888
by Mr. Anton Korinek - 2011/297 Do Loan-To-Value and Debt-To-Income Limits Work? Evidence From Korea
by Ms. Deniz O Igan & Mr. Heedon Kang - 2011/296 Who's Going Green and Why? Trends and Determinants of Green Investment
by Mr. Luc Eyraud & Ms. Changchang Zhang & Mr. Abdoul A Wane & Mr. Benedict J. Clements - 2011/295 Bank Competition and Financial Stability: A General Equilibrium Exposition
by Marcella Lucchetta & Mr. Gianni De Nicolo - 2011/294 Inflation Differentials in the GCC: Does the Oil Cycle Matter?
by Mr. Oral Williams & Mr. Kamiar Mohaddes - 2011/293 Employment Protection and Business Cycles in Emerging Economies
by Mr. Ruy Lama & Carlos Urrutia - 2011/292 Assessing the Risks to the Japanese Government Bond (JGB) Market
by Mr. Waikei Raphael Lam & Kiichi Tokuoka - 2011/291 Oil Prices, External Income, and Growth: Lessons From Jordan
by Mr. Mehdi Raissi & Mr. Kamiar Mohaddes - 2011/290 Are there Spillover Effects From Munis?
by Bertrand Candelon & Mr. Rabah Arezki & Mr. Amadou N Sy - 2011/289 The Nonbank-Bank Nexus and the Shadow Banking System
by Mr. Manmohan Singh & Mr. Zoltan Pozsar - 2011/288 The Determinants of Economic Growth in the Philippines: A New Look
by Ms. Willa Boots J. Tolo - 2011/287 Inflation Dynamics in FYR Macedonia
by Maral Shamloo - 2011/286 Desynchronized: The Comovement of Non-Hydrocarbon Business Cycles in the GCC
by Mr. Serhan Cevik - 2011/285 Using Credit Subsidies to Counteract a Credit Bust: Evidence From Serbia
by Jiri Podpiera - 2011/284 Safeguarding Banks and Containing Property Booms: Cross-Country Evidenceon Macroprudential Policies and Lessons From Hong Kong SAR
by Mr. Malhar S Nabar & Mr. Ashvin Ahuja - 2011/283 Commodity Price Cycles: The Perils of Mismanaging the Boom
by Mr. Sebastian Sosa & Gustavo Adler - 2011/282 Market Discipline and Conflicts of Interest Between Banks and Pension Funds
by Mr. Adolfo Barajas & Mr. Mario Catalan - 2011/281 Effectiveness of Capital Controls in Selected Emerging Markets in the 2000's
by Chikako Baba & Annamaria Kokenyne - 2011/280 How Costly Are Debt Crises?
by Davide Furceri & Ms. Aleksandra Zdzienicka - 2011/279 The Relative Volatility of Commodity Prices: A Reappraisal
by Mr. Rabah Arezki & Mr. Daniel Lederman & Mr. Hongyan Zhao - 2011/278 Credit Growth and Bank Soundness: Fast and Furious?
by Ms. Deniz O Igan & Marcelo Pinheiro - 2011/277 Determinants of Property Prices in Hong Kong SAR: Implications for Policy
by Mr. R. S Craig & Mr. Changchun Hua - 2011/276 What Can Low-Income Countries Expect From Adopting Inflation Targeting?
by Mrs. Alexandra Born & Mrs. Sarwat Jahan & Mr. Edward R Gemayel - 2011/275 Monetary Policy Transmission in Ghana: Does the Interest Rate Channel Work?
by Mr. Arto Kovanen - 2011/274 Does Money Matter for Inflation in Ghana?
by Mr. Arto Kovanen - 2011/273 On the Stability of Money Demand in Ghana: A Bounds Testing Approach
by Mr. Arto Kovanen & Jihad Dagher - 2011/272 Evaluating Designs for a Fiscal Rule in Bulgaria
by Mr. Jochen R. Andritzky - 2011/271 Intangible Capital, Relative Asset Shortages and Bubbles
by Mr. Stefano Giglio & Tiago Severo - 2011/270 Assessing the Variability of Tax Elasticities in Lithuania
by Mr. Tigran Poghosyan - 2011/269 The Eurozone Crisis: How Banks and Sovereigns Came to Be Joined At the Hip
by Mr. Damiano Sandri & Mr. Ashoka Mody - 2011/268 Oil-Price Boom and Real Exchange Rate Appreciation: Is there Dutch Disease in the Cemac?
by Mr. Juan P Trevino - 2011/267 Low-Income Countries' BRIC Linkage: Are there Growth Spillovers?
by Issouf Samaké & Yongzheng Yang - 2011/266 The Design of Fiscal Adjustment Strategies in Botswana, Lesotho, Namibia, and Swaziland
by Luis-Felipe Zanna & Olivier Basdevant & Ms. Susan S. Yang & Ms. Geneviève Verdier & Mr. Joannes Mongardini & Borislava Mircheva & Dalmacio Benicio - 2011/265 The Problem that Wasn't: Coordination Failures in Sovereign Debt Restructurings
by Mr. Jeromin Zettelmeyer & Mr. Marcos Chamon & Ran Bi - 2011/264 Bank of Japan'S Monetary Easing Measures: Are they Powerful and Comprehensive?
by Mr. Waikei Raphael Lam - 2011/263 Modeling Correlated Systemic Liquidity and Solvency Risks in a Financial Environment with Incomplete Information
by Miss Liliana B Schumacher & Mr. Theodore M. Barnhill - 2011/262 A Theory of Domestic and International Trade Finance
by Mr. JaeBin Ahn - 2011/261 The Economic Crisis: Did Financial Supervision Matter?
by Mr. Marc G Quintyn & Ms. Rosaria Vega Pansini & Donato Masciandaro - 2011/260 The Puzzle of Persistently Negative Interest Rate-Growth Differentials: Financial Repression or Income Catch-Up?
by Ms. Anna Shabunina & Mr. Julio Escolano & Jaejoon Woo - 2011/259 Monetary Policy and Risk-Premium Shocks in Hungary: Results from a Large Bayesian VAR
by Ms. Adina Popescu & Ms. Alina Carare - 2011/258 Can Emerging Market Central Banks Bail Out Banks? A+L4848 Cautionary Tale From Latin America
by Mr. Luis Ignacio Jácome & Tahsin Saadi Sedik & Mr. Simon Townsend - 2011/257 Inflation Dynamics in Asia: Causes, Changes, and Spillovers From China
by Ms. Carolina Osorio-Buitron & Ms. Filiz D Unsal - 2011/256 Velocity of Pledged Collateral: Analysis and Implications
by Mr. Manmohan Singh - 2011/255 Determinants of Development Financing Flows From Brazil, Russia, India, and China to Low-Income Countries
by Miss Nkunde Mwase - 2011/254 Do Commodity Futures Help Forecast Spot Prices?
by Mr. David A Reichsfeld & Mr. Shaun K. Roache - 2011/253 Precautionary Savings in a Small Open Economy Revisited
by Agustin Roitman - 2011/252 Unemployment in Latin America and the Caribbean
by Laurence M. Ball & Mr. Nicolas de Roux Uribe & Mr. Marc Hofstetter - 2011/251 What Drives the Global Land Rush?
by Mr. Harris Selod & KLAUS DEININGER & Mr. Rabah Arezki - 2011/250 Towards Effective Macroprudential Policy Frameworks: An Assessment of Stylized Institutional Models
by Erlend Nier & Mr. Luis Ignacio Jácome & Jacek Osinski & Pamela Madrid - 2011/249 Optimal Precautionary Reserves for Low-Income Countries: A Cost-Benefit Analysis
by Ms. Era Dabla-Norris & Mr. Jun I Kim & Ms. Kazuko Shirono - 2011/248 The Role of Structural Reforms in Raising Economic Growth in Central America
by Mr. Andrew J Swiston & Mr. Luis D Barrot - 2011/247 An Assessment of Estimates of Term Structure Models for the United States
by Mr. Carlos I. Medeiros & Ying He - 2011/246 Do Remittances Reduce Aid Dependency?
by Mr. Maelan Le Goff & Mr. Kangni R Kpodar - 2011/245 Improving the Monetary Policy Frameworks in Central America
by Ms. Stephanie C Medina Cas & Mr. Alejandro Carrion-Menendez & Ms. Florencia Frantischek - 2011/244 Monetary Policy, Bank Leverage, and Financial Stability
by Mr. Fabian Valencia - 2011/243 Financial Integration and Rebalancing in Asia
by Mr. Olaf Unteroberdoerster & Ms. Runchana Pongsaparn - 2011/242 Risk Sharing and Financial Contagion in Asia: An Asset Price Perspective
by Mr. Phurichai Rungcharoenkitkul - 2011/241 Rapid Credit Growth: Boon or Boom-Bust?
by Mr. Selim A Elekdag & Mr. Yiqun Wu - 2011/240 The Policy Interest-Rate Pass-Through in Central America
by Ms. Stephanie C Medina Cas & Mr. Alejandro Carrion-Menendez & Ms. Florencia Frantischek - 2011/239 Global Rebalancing: Implications for Low-Income Countries
by Yongzheng Yang - 2011/238 Macroprudential Policy: What Instruments and How to Use them? Lessons From Country Experiences
by International Monetary Fund - 2011/237 Does G-4 Liquidity Spill Over?
by Ms. L. Effie Psalida & Tao Sun - 2011/236 Making Banks Safer: Can Volcker and Vickers Do it?
by Mr. Julian T Chow & Jay Surti - 2011/235 Predicting Recessions: A New Approach for Identifying Leading Indicators and Forecast Combinations
by Turgut Kisinbay & Chikako Baba - 2011/234 Global Poverty Estimates: A Sensitivity Analysis
by Ms. Camelia Minoiu & Ms. Shatakshee Dhongde - 2011/233 Determinants of Non-oil Growth in the CFA-Zone Oil Producing Countries: How do they Differ?
by Ms. Alexandra Tabova & Ms. Carol L Baker - 2011/232 Inflation Dynamics in the CEMAC Region
by Mr. Marcos Poplawski Ribeiro & Ms. Darlena Tartari Schwegler & Carlos Caceres - 2011/231 How Long Do Housing Cycles Last? a Duration Analysis for 19 OECD Countries
by Mr. Philippe Bracke - 2011/230 Limited Information Bayesian Model Averaging for Dynamic Panels with An Application to a Trade Gravity Model
by Huigang Chen & Mr. Alin T Mirestean & Mr. Charalambos G Tsangarides - 2011/229 Inflation Targeting and Monetary Policy Transmission Mechanisms in Emerging Market Economies
by Ms. Sanchita Mukherjee & Ms. Rina Bhattacharya - 2011/228 Incorporating Financial Sector Risk Into Monetary Policy Models: Application to Chile
by Mr. Leonardo Luna & Mr. Dale F Gray & Jorge Restrepo & Carlos Garcia - 2011/227 Did the Euro Crisis Affect Non-Financial Firm Stock Prices Through a Financial or Trade Channel?
by Mr. Stijn Claessens & Mr. Hui Tong & Mr. Igor Esteban Zuccardi Huertas - 2011/226 Decentralizing Spending More Than Revenue: Does it Hurt Fiscal Performance?
by Mr. Luc Eyraud & Ms. Lusine Lusinyan - 2011/225 Understanding Chinese Bond Yields and their Role in Monetary Policy
by Mr. Nathan Porter & Mr. Nuno Cassola - 2011/224 Incorporating Financial Stability in Inflation Targeting Frameworks
by Burcu Aydin & Ms. Engin Volkan - 2011/223 Targets, Interest Rates, and Household Saving in Urban China
by Mr. Malhar S Nabar - 2011/222 Systemic Risks in Global Banking: What Available Data Can Tell Us and What More Data Are Needed?
by Mr. Eugenio M Cerutti & Mr. Patrick M. McGuire & Mr. Stijn Claessens - 2011/221 Spatial Spillovers in Emerging Market Spreads
by Mr. Salvatore Dell'Erba & Mr. Emanuele Baldacci & Mr. Tigran Poghosyan - 2011/220 A Debt Intolerance Framework Applied to Central America, Panama and the Dominican Republic
by Mr. Geoffrey J Bannister & Mr. Luis D Barrot - 2011/219 Bayesian Dynamic Factor Analysis of a Simple Monetary DSGE Model
by Mr. Maxym Kryshko - 2011/218 Growth Spillover Dynamics From Crisis to Recovery
by Ms. Hélène Poirson & Mr. Sebastian Weber - 2011/217 Efficiency-Adjusted Public Capital and Growth
by Mr. Sanjeev Gupta & Mr. Alvar Kangur & Mr. Abdoul A Wane & Mr. Chris Papageorgiou - 2011/216 Data-Rich DSGE and Dynamic Factor Models
by Mr. Maxym Kryshko - 2011/215 What Fuels the Boom Drives the Bust: Regulation and the Mortgage Crisis
by Jihad Dagher & Mr. Ning Fu - 2011/214 Assessing Systemic Trade Interconnectedness: An Empirical Approach
by Mr. Alexander Massara & Mr. Luca Errico - 2011/213 Market Phoenixes and Banking Ducks Are Recoveries Faster in Market-Based Financial Systems?
by Mr. Julien Allard & Mr. Rodolphe Blavy - 2011/212 Apocalypse then: The Evolution of the North Atlantic Economy and the Global Crisis
by Mr. Trung T Bui & Mr. Tamim Bayoumi - 2011/211 Do Fiscal Spillovers Matter?
by Mr. Sebastian Weber & Anna Ivanova - 2011/210 Public Debt in Advanced Economies and its Spillover Effectson Long-Term Yields
by Mr. Emre Alper & Lorenzo Forni - 2011/209 Communication of Central Bank Thinking and Inflation Dynamics
by Man-Keung Tang & Mr. Xiangrong Yu - 2011/208 Global Economic Governance: IMF Quota Reform
by Mr. Arvind Virmani - 2011/207 External Sustainability of Oil-Producing Sub-Saharan African Countries
by Mr. Robert C York & Ms. Misa Takebe - 2011/206 The Taxation and Regulation of Banks
by Mr. Michael Keen - 2011/205 The Cyclicality of Fiscal Policies in the CEMAC Region
by Mr. Gaston K Mpatswe & Mr. Sampawende J Tapsoba & Mr. Robert C York - 2011/204 South Africa: The Cyclical Behavior of the Markups and its Implications for Monetary Policy
by Nir Klein - 2011/203 Public Debt Targeting An Application to the Caribbean
by Mr. Alejandro D Guerson & Mr. Giovanni Melina - 2011/202 Burkina Faso: Policies to Protect the Poor From the Impact of Food and Energy Price Increases
by Ms. Isabell Adenauer & Mr. Javier Arze del Granado - 2011/201 Financial Linkages Across Korean Banks
by Burcu Aydin & Mr. Myeongsuk Kim & Mr. Ho-Seong Moon - 2011/200 Remittances in Pakistan: Why have they gone up, and why Aren't they coming down?
by Ms. Yan M Sun & Udo Kock - 2011/199 Shocks, Financial Dependence, and Efficiency: Evidence From U.S. and Canadian Industries
by Mr. Marcello M. Estevão & Tiago Severo - 2011/198 De Jure Versus De Facto Exchange Rate Regimes in Sub-Saharan Africa
by Mr. Slavi T Slavov - 2011/197 External Adjustment and the Global Crisis
by Mr. Gian M Milesi-Ferretti & Mr. Philip R. Lane - 2011/196 Financial Deepening, Property Rights and Poverty: Evidence From Sub-Saharan Africa
by Mr. Yifei Huang & Mr. Raju J Singh - 2011/195 Are Middle Eastern Current Account Imbalances Excessive?
by Mr. Paul Cashin & Samya Beidas-Strom - 2011/194 Oil Shocks in a Global Perspective: Are they Really That Bad?
by Mr. Tobias N. Rasmussen & Agustin Roitman - 2011/193 Systemic Risk and Optimal Regulatory Architecture
by Marco A Espinosa-Vega & Mr. Rafael Matta & Mr. Charles M. Kahn & Mr. Juan Sole - 2011/192 Economic Policies and FDI Inflows to Emerging Market Economies
by Ms. Elif C Arbatli Saxegaard - 2011/191 Home Sweet Home: Government's Role in Reaching the American Dream
by Ms. Evridiki Tsounta - 2011/190 Institutional Cash Pools and the Triffin Dilemma of the U.S. Banking System
by Mr. Zoltan Pozsar - 2011/189 Capital Flows and Financial Stability: Monetary Policy and Macroprudential Responses
by Ms. Filiz D Unsal - 2011/188 Capital Regulation and Tail Risk
by Mr. Enrico Camillo Perotti & Mr. Lev Ratnovski & Mr. Razvan Vlahu - 2011/187 Possible Unintended Consequences of Basel III and Solvency II
by International Monetary Fund - 2011/186 The Bright and the Dark Side of Cross-Border Banking Linkages
by Ms. Sònia Muñoz & Mr. Ryan Scuzzarella & Mr. Martin Cihak - 2011/185 Taxing Financial Transactions: An Assessment of Administrative Feasibility
by Mr. John D Brondolo - 2011/184 Customs Administration Reform and Modernization in anglophone Africa: Early 1990's to Mid-2010
by Mr. Justin O Zake - 2011/183 Unforeseen Events Wait Lurking: Estimating Policy Spillovers From U.S. to Foreign Asset Prices
by Mr. Tamim Bayoumi & Mr. Trung T Bui - 2011/182 The Relationship Between Illicit Coca Production and Formal Economic Activity in Peru
by Mr. Peter L. Pedroni & Ms. Concha Verdugo Yepes - 2011/181 Financing Infrastructure in India: Macroeconomic Lessons and Emerging Market Case Studies
by Mr. James P Walsh & Jiangyan Yu & Mr. Chanho Park - 2011/180 Is there a Role for Funding in Explaining Recent U.S. Banks' Failures?
by Pierluigi Bologna - 2011/179 A Newton's Method for Benchmarking Time Series According to a Growth Rates Preservation Principle
by Mr. Marco Marini & Mr. Tommaso Di Fonzo - 2011/178 FDI from BRICs to LICs: Emerging Growth Driver?
by Mr. Montfort Mlachila & Ms. Misa Takebe - 2011/177 Compliance with the AM+L4776L/CFT International Standard: Lessons from a Cross-Country Analysis
by Ms. Concha Verdugo Yepes
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