Content
2007
- 2007/272 Does the Bank Lending Channel of Monetary Transmission Work in Turkey?
by Ms. Petya Koeva Brooks - 2007/271 Simple Monetary Rules Under Fiscal Dominance
by Mr. Michael Kumhof & Mr. Ricardo C Nunes & Mrs. Irina Yakadina - 2007/270 Effect of Corruption on Tax Revenues in the Middle East
by Patrick A. Imam & Ms. Davina F. Jacobs - 2007/269 Is Inflation in India an Attractor of Inflation in Nepal?
by Mr. Edimon Ginting - 2007/268 What Explains India’s Real Appreciation?
by Ms. Renu Kohli & Sudip Mohapatra - 2007/267 Estimating Spillover Risk Among Large EU Banks
by Ms. Li L Ong & Mr. Martin Cihak - 2007/266 China’s Changing Trade Elasticities
by Mr. Jahangir Aziz & Ms. Xiangming Li - 2007/265 The Optimal Level of Foreign Reserves in Financially Dollarized Economies: The Case of Uruguay
by Fernando M. Gonçalves - 2007/264 The Use of Encompassing Tests for Forecast Combinations
by Turgut Kisinbay - 2007/263 Education and Health in G7 Countries: Achieving Better Outcomes with Less Spending
by Ms. Victoria Gunnarsson & Stéphane Carcillo & Marijn Verhoeven - 2007/262 Financial Linkages Between the U.S. and Latin America: Evidence from Daily Data
by Mr. Srideep D Ganguly & Roberto Benelli - 2007/261 Effect of IMF Structural Adjustment Programs on Expectations: The Case of Transition Economies
by Patrick A. Imam - 2007/260 EU Framework for Safeguarding Financial Stability: Towards an Analytical Benchmark for Assessing its Effectiveness
by Ms. María Nieto & Mr. Garry J. Schinasi - 2007/259 Strengths and Weaknesses in Securities Market Regulation: A Global Analysis
by Ms. Jennifer A. Elliott & Ana Carvajal - 2007/258 The Duration of Capital Account Crises—An Empirical Analysis
by Mr. David J Hofman & Mr. Ruben V Atoyan & Dimitri Tzanninis & Mr. Mauro Mecagni - 2007/257 Can Domestic Policies Influence Inflation?
by Mr. Ashoka Mody & Ms. Franziska L Ohnsorge - 2007/256 Local Currency Debt Markets in the West African Economic and Monetary Union
by Mr. Amadou N Sy - 2007/255 Mainstreaming Statistics in the Poverty Reduction Strategy Approach to Provide for More Effective Technical Assistance: Some Experience at the IMF
by Mr. Robin D Kibuka - 2007/254 Consistent Quantitative Operational Risk Measurement and Regulation: Challenges of Model Specification, Data Collection and Loss Reporting
by Andreas Jobst - 2007/253 Optimal Taxation in the Forestry Sector in the Congo Basin: The Case of Gabon
by Mr. Oscar E Melhado Orellana - 2007/252 Why Focus on Spending Needs Factors? The Political Economy of Fiscal Transfer Reforms in Mexico
by Mr. Ehtisham Ahmad & Ms. Mercedes Garcia-Escribano & José Antonio González Anaya & Mr. Ernesto Revilla & Mr. Giorgio Brosio & Mr. Ben Lockwood - 2007/251 Capital Account Convertibility and Risk Management in India
by Mr. Amadou N Sy - 2007/250 The Markets in Financial Instruments Directive: Banking on Market and Supervisory Efficiency
by François Haas - 2007/249 GCC Monetary Union and the Degree of Macroeconomic Policy Coordination
by Mr. Bassem M Kamar & Sami Ben Naceur - 2007/248 Decomposing Financial Risks and Vulnerabilities in Eastern Europe
by Mr. Rupert D Worrell & Andrea M. Maechler & Ms. Srobona Mitra - 2007/247 Policy Challenges of Population Aging in Ireland
by Ms. Dora M Iakova & Mr. Dennis P Botman - 2007/246 Benchmarking the Efficiency of Public Expenditure in the Russian Federation
by Mr. David Hauner - 2007/245 Financial Development in Emerging Europe: The Unfinished Agenda
by Ms. Edda Zoli - 2007/244 Finance and Convergence: What’s Ahead for Emerging Europe?
by Mr. Philip Schellekens & Mr. Rudolfs Bems - 2007/243 Implications of Oil Inflows for Savings and Reserve Management in the Cemac
by International Monetary Fund - 2007/242 A Markov-Switching Approach to Measuring Exchange Market Pressure
by Mr. Francis Y Kumah - 2007/241 Alternative Fiscal Rules for Norway
by Mr. Daniel Leigh & Mr. Etibar Jafarov - 2007/239 Operational Risk: The Sting is Still in the Tail But the Poison Dependson the Dose
by Andreas Jobst - 2007/238 How Does Financial Globalization Affect Risk Sharing? Patterns and Channels
by Mr. Marco Terrones & Mr. Ayhan Kose & Mr. Eswar S Prasad - 2007/237 Sukuk vs. Eurobonds: Is There a Difference in Value-at-Risk?
by Ms. Faezeh Raei & Mr. Selim Cakir - 2007/236 Vulnerabilities in Emerging Southeastern Europe—How Much Cause for Concern?
by International Monetary Fund - 2007/235 Toward a Robust Fiscal Framework for Iceland: Motivation and Practical Suggestions
by Mr. Anthony M Annett - 2007/234 Hedonic Imputation versus Time Dummy Hedonic Indexes
by W. E. Diewert & Mick Silver & Saeed Heravi - 2007/233 Measuring Sovereign Risk in Turkey: An Application of the Contingent Claims Approach
by Mr. Christian Keller & Mr. Peter J Kunzel & Mr. Marcos R Souto - 2007/232 Fiscal Reaction Functions in the CFA Zone: An Analytical Perspective
by Mr. Oral Williams & Mr. Olumuyiwa S Adedeji - 2007/231 Overcoming Barriers to Reform: On Incentive-Compatible International Assistance
by Mr. Wolfgang Mayer & Mr. Alex Mourmouras - 2007/230 The Equity Premium Puzzle, Ambiguity Aversion, and Institutional Quality
by Mr. Abbas Mirakhor & Mr. S. Nuri Erbas - 2007/229 Capital Market Development in a Small Country: The Case of Slovenia
by Mr. Jochen R. Andritzky - 2007/228 The Determinants of Corporate Risk in Emerging Markets: An Option-Adjusted Spread Analysis
by Eduardo A. Cavallo & Mr. Patricio A Valenzuela - 2007/227 Public Financial Institutions in Developed Countries—Organization and Oversight
by Mr. Lev Ratnovski & Mr. Aditya Narain - 2007/226 The Health Sector in the Slovak Republic: Efficiency and Reform
by Ms. Victoria Gunnarsson & Sergio Lugaresi & Marijn Verhoeven - 2007/225 Sri Lanka’s Sources of Growth
by Ms. Nombulelo Braiton - 2007/224 Wild or Tamed?: India’s Potential Growth
by Ms. Hiroko Oura - 2007/223 Can Miracles Lead to Crises? the Role of Optimism in Emerging Markets Crises
by Ms. Emine Boz - 2007/222 Fiscal Management of Scaled-Up Aid
by Mr. Sanjeev Gupta & Mr. Duncan P Last & Ms. Isabell Adenauer & Mr. Kevin Fletcher & Mr. Gerd Schwartz & Mr. Shamsuddin Tareq & Mr. Richard I Allen - 2007/221 India: Asset Prices and the Macroeconomy
by Miss Catriona Purfield - 2007/220 The Role of Fiscal Transparency in Sustaining Growth and Stability in Latin America
by Ms. Taryn R Parry - 2007/219 Political Budget Cycles in Papua New Guinea
by Mr. Ebrima A Faal - 2007/218 Ethnic Diversity, Democracy, and Corruption
by Mr. Etienne B Yehoue - 2007/217 Optimal Monetary Policy in a Small Open Economy Under Segmented Asset Markets and Sticky Prices
by Juan Pablo Medina Guzman & Mr. Ruy Lama - 2007/216 Banking Competition and Capital Ratios
by Mr. Martin Cihak & Mr. Klaus Schaeck - 2007/215 Bank Ownership, Market Structure and Risk
by Mr. Gianni De Nicolo & Ms. Elena Loukoianova - 2007/214 The Shifting Structure of China’s Trade and Production
by Li Cui & Mr. Murtaza H Syed - 2007/213 Inter-sectoral Linkages and Local Content in Extractive Industries and Beyond – The Case of São Tomé and Príncipe
by Mr. Alonso A Segura Vasi & Walter Zarate & Mr. Gonzalo C Pastor Campos & Mr. Ulrich H Klueh - 2007/212 Competitiveness in the CFA Franc Zone
by Mr. Charalambos G Tsangarides & Mr. Gustavo Ramirez - 2007/211 What Drives China’s Growing Role in Africa?
by Mr. Jian-Ye Wang - 2007/210 Why Has Unemployment in Algeria Been Higher than in MENA and Transition Countries?
by Mr. Kangni R Kpodar - 2007/209 Stock Market Development in Sub-Saharan Africa: Critical Issues and Challenges
by Charles Komla Adjasi & Charles Amo Yartey - 2007/208 U.K. Inflation and Relative Prices over the Last Decade: How Important was Globalization?
by Mr. Benjamin L Hunt - 2007/207 Endogenous Monetary Policy Credibility in a Small Macro Model of Israel
by Eyal Argov & David Rose & Mr. Philippe D Karam & Mr. Natan P. Epstein & Mr. Douglas Laxton - 2007/206 Debt Stabilization Bias and the Taylor Principle: Optimal Policy in a New Keynesian Model with Government Debt and Inflation Persistence
by Mr. David A Vines & Sven Jari Stehn - 2007/205 Indian Subnational Finances: Recent Performance
by Mr. Ananthakrishnan Prasad & Mr. Adarsh Kishore - 2007/204 The Effects of Dividend Taxes on Equity Prices: A Re-examination of the 1997 U.K. Tax Reform
by Stephen Bond & Mr. Alexander D Klemm & Michael B. Devereux - 2007/203 Financial Deepening in Sub-Saharan Africa: Empirical Evidence on the Role of Creditor Rights Protection and Information Sharing
by Mr. Calvin A McDonald & Miss Liliana B Schumacher - 2007/202 A Party without a Hangover? On the Effects of U.S. Government Deficits
by Mr. Douglas Laxton & Mr. Michael Kumhof - 2007/201 Assessing Competitiveness and Real Exchange Rate Misalignment in Low-Income Countries
by Mr. Mark W Lewis & Ms. Aurelie Martin & Gabriel Di Bella - 2007/200 DSGE Modeling at the Fund: Applications and Further Developments
by Mr. Dennis P Botman & David Rose & Mr. Douglas Laxton & Mr. Philippe D Karam - 2007/199 The Golden Rule and the Economic Cycles
by Ms. Keiko Honjo - 2007/198 Economic Growth in Croatia: Potential and Constraints
by Mr. David Moore & Mr. Athanasios Vamvakidis - 2007/197 A Simple DGE Model for Inflation Targeting
by International Monetary Fund - 2007/196 Global Aging Pressures: Impact of Fiscal Adjustment, Policy Cooperation, and Structural Reforms
by Mr. Manmohan S. Kumar & Mr. Dennis P Botman - 2007/195 New Landscape, New Challenges: Structural Change and Regulation in the U.S. Financial Sector
by Mr. Ashok Vir Bhatia - 2007/194 Estimation of Equilibrium Exchange Rates in the WAEMU: A Robustness Analysis
by Mr. Magnus Saxegaard & Mr. Stephane Roudet & Mr. Charalambos G Tsangarides - 2007/193 Inflation Targeting in Georgia: Are We There Yet?
by Giorgi Bakradze & Mr. Andreas Billmeier - 2007/192 Structuring and Restructuring Sovereign Debt: The Role of a Bankruptcy Regime
by Mr. Patrick Bolton & Mr. Olivier D Jeanne - 2007/191 What Do We Know About Namibia’s Competitiveness?
by Mr. Ken Miyajima - 2007/190 Coping with Capital Inflows: Experiences of Selected European Countries
by David Vávra & Ms. Inci Ötker & Barry Topf & Zbigniew Polanski - 2007/189 What Explains Persistent Inflation Differentials Across Transition Economies?
by Mr. Mark J Flanagan & Mr. Felix Hammermann - 2007/188 Money for Nothing and Checks for Free: Recent Developments in U.S. Subprime Mortgage Markets
by Mr. Paul S. Mills & Mr. John Kiff - 2007/187 Ensuring Fiscal Sustainability in G-7 Countries
by Mr. Daniel Leigh & Mr. David Hauner & Mr. Michael Skaarup - 2007/186 Financial Reforms, Financial Openness, and Corporate Borrowing: International Evidence
by Ms. Enrica Detragiache & Mr. Gianni De Nicolo & Ms. Senay Agca - 2007/185 Where Have the Monetary Surprises Gone? The Effects of FOMC Statements
by Mr. Andrew J Swiston - 2007/184 Determinants of Tax Revenue Efforts in Developing Countries
by Abhijit Sen Gupta - 2007/183 The Value-Added Tax: Its Causes and Consequences
by Mr. Ben Lockwood & Mr. Michael Keen - 2007/182 Foreign Entanglements: Estimating the Source and Size of Spillovers Across Industrial Countries
by Mr. Tamim Bayoumi & Mr. Andrew J Swiston - 2007/181 Explaining China’s Low Consumption: The Neglected Role of Household Income
by Mr. Jahangir Aziz & Li Cui - 2007/180 Monetary Policy Rules for Managing Aid Surges in Africa
by Mr. Edward F Buffie & Mr. Stephen A. O'Connell & Ms. Catherine A Pattillo & Mr. Christopher S Adam - 2007/179 Go Long or Short in Pyramids? News from the Egyptian Stock Market
by Miss Isabella Massa & Mr. Andreas Billmeier - 2007/178 Fiscal Adjustments: Determinants and Macroeconomic Consequences
by Mr. Alexander Plekhanov & Mr. Manmohan S. Kumar & Mr. Daniel Leigh - 2007/177 Financing of Global Imbalances
by Maria Teresa Punzi & W. Christopher Walker - 2007/176 The Effect of External Conditions on Growth in Latin America
by Mr. Jeromin Zettelmeyer & Pär Österholm - 2007/175 Introducing Islamic Banks into Conventional Banking Systems
by Mr. Juan Sole - 2007/174 VAT, Tariffs, and Withholding: Border Taxes and Informality in Developing Countries
by Mr. Michael Keen - 2007/173 The Case for a European Banking Charter
by Mr. Martin Cihak & Mr. Jörg Decressin - 2007/172 Volatility and Jump Risk Premia in Emerging Market Bonds
by Mr. John J Matovu - 2007/171 The Discipline-Enhancing Role of Fiscal Institutions: Theory and Empirical Evidence
by Mr. Xavier Debrun & Mr. Manmohan S. Kumar - 2007/170 Rapid Growth in the CIS: Panel Regression Approach
by Mr. Garbis Iradian - 2007/169 Globalization and Income Inequality: A European Perspective
by Mr. Thomas Harjes - 2007/168 Assessing the Impact of a Change in the Composition of Public Spending: A DSGE Approach
by Mr. Ivan Tchakarov & Mr. Roland Straub - 2007/167 Growth and Inflation Dispersions in EMU: Reasons, the Role of Adjustment Channels, and Policy Implications
by Mr. Emil Stavrev - 2007/166 Real Effects of Common Currencies in East Asia
by Ms. Kazuko Shirono - 2007/165 On the Buyability of Voting Bodies
by Mr. Felix J Vardy & Mr. John Morgan - 2007/164 Rapid Growth in Transition Economies: Growth-Accounting Approach
by Mr. Garbis Iradian - 2007/163 The Role of Nonseparable Utility and Nontradeables in International Business Cycles and Portfolio Choice
by Mr. Akito Matsumoto - 2007/162 A Note on Public Debt, Tax-Exempt Bonds, and Ponzi Games
by Berthold U. Wigger - 2007/161 Firm Heterogeneity and Weak Intellectual Property Rights
by Mr. Stanley B Watt - 2007/160 Globalization, Gluts, Innovation or Irrationality: What Explains the Easy Financing of the U.S. Current Account Deficit?
by Mr. Ravi Balakrishnan & Mr. Volodymyr Tulin & Mr. Tamim Bayoumi - 2007/159 Cooperative Banks in Europe—Policy Issues
by Mr. Wim Fonteyne - 2007/158 The Common Monetary Area in Southern Africa: Shocks, Adjustment, and Policy Challenges
by Ms. Iyabo Masha & Mr. Leighton S Harris & Mr. Jian-Ye Wang & Ms. Kazuko Shirono - 2007/157 What Drives Stock Market Development in the Middle East and Central Asia—Institutions, Remittances, or Natural Resources?
by Mr. Andreas Billmeier & Miss Isabella Massa - 2007/156 Trade Openness and Growth: Pursuing Empirical Glasnost
by Mr. Andreas Billmeier & Tommaso Nannicini - 2007/155 Estimation of a Behavioral Equilibrium Exchange Rate Model for Ghana
by Ms. Elena Loukoianova & Mr. Plamen K Iossifov - 2007/154 Welfare Gains from Financial Liberalization
by Mr. Kenichi Ueda & Robert M. Townsend - 2007/153 Distributional Implications of the VAT Reform in the Philippines
by David Locke Newhouse & Ms. Daria V Zakharova - 2007/152 IMF Drawing Programs: Participation Determinants and Forecasting
by Mr. Eugenio M Cerutti - 2007/151 Capital Flows, Financial Integration, and International Reserve Holdings: The Recent Experience of Emerging Markets and Advanced Economies
by Mr. Sunil Sharma & Woon Gyu Choi & Maria Strömqvist - 2007/150 Guarding Against Fiscal Risks in Hong Kong SAR
by International Monetary Fund - 2007/149 IPO Behavior in GCC Countries: Goody-Two Shoes or Bad-to-the-Bone?
by International Monetary Fund - 2007/148 Persistent Gaps, Volatility Types, and Default Traps
by Ms. Ana L Fostel & Sandeep Kapur & Mr. Luis Catão - 2007/147 Public Debt Markets in Central America, Panama, and the Dominican Republic
by Andreas Jobst & Ms. Laura Valderrama & Mr. Ivan S Guerra & Mr. Hemant Shah - 2007/146 Precautionary Demand for Foreign Assets in Sudden Stop Economies: An Assessment of the New Merchantilism
by Mr. Enrique G. Mendoza & Ceyhun Bora Durdu & Mr. Marco Terrones - 2007/145 Measuring the Effect of Foreign Aidon Growth and Poverty Reduction or the Pitfalls of Interaction Variables
by J. J. Polak & Joydeep Roy & Ms. Catherine A Pattillo - 2007/144 Europe and Global Imbalances
by Mr. Philip R. Lane & Mr. Gian M Milesi-Ferretti - 2007/143 U.S. Revenue Surprises: Are Happy Days Here to Stay?
by Mr. Koshy Mathai & Mr. Andrew J Swiston & Mr. Martin Mühleisen - 2007/142 VAT Attacks!
by Mr. Michael Keen - 2007/141 Testing for Cointegration Using the Johansen Methodology when Variables are Near-Integrated
by Pär Österholm & Erik Hjalmarsson - 2007/140 Complex Ownership Structures and Corporate Valuations
by Mr. Luc Laeven & Mr. Ross Levine - 2007/139 Relative Price Stability, Creditor Rights, and Financial Deepening
by Mr. Pablo F Druck & Mr. Alexander Plekhanov & Mr. Mario Dehesa - 2007/138 International Financial Integration Through Equity Markets: Which Firms from Which Countries Go Global?
by Mr. Sergio L. Schmukler & Mr. Stijn Claessens - 2007/137 Trade Reform in the CEMAC: Developments and Opportunities
by Mr. Charalambos G Tsangarides & Mr. Jan Kees Martijn - 2007/136 Re-Accessing International Capital Markets After Financial Crises: Some Empirical Evidence
by Ms. Luisa Zanforlin - 2007/135 An Oil and Gas Model
by Mr. Noureddine Krichene - 2007/134 Bank Efficiency and Market Structure: What Determines Banking Spreads in Armenia?
by Mr. Holger Floerkemeier & Ms. Era Dabla-Norris - 2007/133 Modalities of Moving to Inflation Targeting in Armenia and Georgia
by International Monetary Fund - 2007/132 Pooling Risk Among Countries
by Mr. Jean Imbs & Mr. Paolo Mauro - 2007/131 Budget Rigidity and Expenditure Efficiency in Slovenia
by Mr. Todd D. Mattina & Ms. Victoria Gunnarsson - 2007/130 Asia Rising: A Sectoral Perspective
by International Monetary Fund - 2007/129 France in the Global Economy: A Structural Approximate Dynamic Factor Model Analysis
by Mr. Francisco d Nadal De Simone & Alain N. Kabundi - 2007/128 The Ties that Bind: Measuring International Bond Spillovers Using Inflation-Indexed Bond Yields
by Mr. Andrew J Swiston & Mr. Tamim Bayoumi - 2007/127 The Role of Domestic Debt Markets in Economic Growth: An Empirical Investigation for Low-Income Countries and Emerging Markets
by Mr. S. M. Ali Abbas & Mr. Jakob E Christensen - 2007/126 Impact of Intra-European Trade Agreements, 1990-2005: Policy Implications for the Western Balkans and Ukraine
by Mr. Zhaogang Qiao & Mr. Johannes Herderschee - 2007/125 Financial Sector Reforms and Prospects for Financial Integration in Maghreb Countries
by Mr. Juan Sole & Mr. Gabriel Sensenbrenner & Mr. Amor Tahari & J. E. J. De Vrijer & Ms. Marina Moretti & Ms. Patricia D Brenner & Mr. Abdelhak S Senhadji - 2007/124 Public Investment and Growth in the Eastern Caribbean
by Mr. Shaun K. Roache - 2007/123 Monetary Policy Transparency and Financial Market Forecasts in South Africa
by Mr. Vivek Arora - 2007/122 Coping with Spain’s Aging: Retirement Rules and Incentives
by Mr. Willy A Hoffmaister & Mr. Mario Catalan & Mr. Jaime Guajardo - 2007/121 Do Unit Value Export, Import, and Terms of Trade Indices Represent or Misrepresent Price Indices?
by Mick Silver - 2007/120 Labor’s Liquidity Service and Firing Costs
by Mr. Herman Z Bennett - 2007/119 Money and Inflation in the Islamic Republic of Iran
by Mr. Leo Bonato - 2007/118 Private-Sector Financial Liabilities in Advanced Economies: Is More Better?
by Man-Keung Tang - 2007/117 The Economics of Islamic Finance and Securitization
by Andreas Jobst - 2007/116 The Convergence Dynamics of a Transition Economy: The Case of the Czech Republic
by Jan Bruha & Jiri Podpiera & Mr. Stanislav Polak - 2007/115 Macroeconomic and Financial Soundness Indicators: An Empirical Investigation
by Miss Rita Babihuga - 2007/114 Output Volatility and Large Output Drops in Emerging Market and Developing Countries
by Ms. Dalia S Hakura - 2007/113 Exchange Rate Fluctuations and Output in Oil-Producing Countries: The Case of Iran
by Ms. Magda E. Kandil & Mr. Mohsen Bahmani-Oskooee - 2007/112 Informality and Regulations: What Drives Firm Growth?
by Ms. Era Dabla-Norris & Ms. Gabriela Inchauste - 2007/111 Global Imbalances and Financial Stability
by Ms. Miranda Xafa - 2007/110 Oil Shocks and External Balances
by International Monetary Fund - 2007/109 Pension Reform in China: The Need for a New Approach
by Mr. Steven V Dunaway & Mr. Vivek Arora - 2007/108 Pension Reform and Macroeconomic Stability in Latin America
by Mr. Jorge Roldos - 2007/107 Old Curses, New Approaches? Fiscal Benchmarks for Oil-Producing Countries in Sub-Saharan Africa
by Mr. Jan-Peter Olters - 2007/106 Tax Potential vs. Tax Effort: A Cross-Country Analysis of Armenia's Stubbornly Low Tax Collection
by Mr. David A. Grigorian & Mr. Hamid R Davoodi - 2007/105 Wage Gaps and Development: Lessons from U.S. History
by Mr. Alex Mourmouras & Mr. Peter Rangazas - 2007/104 Unconditional IMF Financial Support and Investor Moral Hazard
by Mr. Jun I Kim - 2007/103 Jordan’s International Reserve Position: Justifiably Strong
by Mr. Stanley B Watt & Mr. Donal McGettigan & Mr. Saade Chami - 2007/102 Diagnosing Dutch Disease: Does Russia Have the Symptoms?
by Ms. Katerina Kalcheva & Nienke Oomes - 2007/101 Interest Rate Spreads in English-Speaking African Countries
by Mr. Joe Crowley - 2007/100 Health Aid and Infant Mortality
by David Locke Newhouse & Ms. Prachi Mishra - 2007/099 Lessons From High Inflation Epidsodes for Stabilizing the Economy in Zimbabwe
by Mr. Jens R Clausen & Ms. Sharmini Coorey & Bakar Ould-Abdallah & Ms. Sònia Muñoz & Mr. Norbert Funke - 2007/098 Central Bank Quasi-Fiscal Losses and High Inflation in Zimbabwe: A Note
by Ms. Sònia Muñoz - 2007/097 The Dynamics of Product Quality and International Competitiveness
by Mr. Ashoka Mody & Ms. Deniz O Igan & Ms. Stefania Fabrizio - 2007/096 Looking Beyond the Fiscal: Do Oil Funds Bring Macroeconomic Stability?
by Mr. Ghiath Shabsigh & Mr. Nadeem Ilahi - 2007/095 Implications of More Precise Information for Technological Development and Welfare
by Mr. Bernhard Eckwert & Mr. Burkhard Drees - 2007/094 Trade Adjustment and Human Capital Investments: Evidence from Indian Tariff Reform
by Eric V. Edmonds & Nina Pavcnik & Petia Topalova - 2007/093 Government Size and Intersectoral Income Fluctuation: An International Panel Analysis
by Mr. Daehaeng Kim & Chul-In Lee - 2007/092 Trade Policy with Heterogeneous Traders: Do Quotas Get a Bum Rap?
by Ms. Kala Krishna & Ms. Ling Hui Tan - 2007/091 Dynamic Incentives and the Optimal Delegation of Political Power
by Mr. Eric Le Borgne & Mr. Gauti B. Eggertsson - 2007/090 In Search of Equilibrium: Estimating Equilibrium Real Exchange Rates in Sub-Saharan African Countries
by Mr. Joannes Mongardini & Mr. Alexander Chudik - 2007/089 Financial Market Risk and U.S. Money Demand
by Mr. David Cook & Woon Gyu Choi - 2007/088 Central Bank Autonomy: Lessons from Global Trends
by Mr. Bernard J Laurens & Mr. Martin Sommer & Mr. Marco Arnone & Jean-François Segalotto - 2007/087 Concept of Offshore Financial Centers: In Search of an Operational Definition
by Ahmed Zoromé - 2007/086 Guyana: Why Has Growth Stopped? An Empirical Study on the Stagnation of Economic Growth
by Judith Gold & Mr. Ruben V Atoyan & Miss Cornelia Staritz - 2007/085 Financial Market Implications of India’s Pension Reform
by Ms. Hélène Poirson - 2007/084 Balance of Payments Crises Under Inflation Targeting
by Shujing Li & Isabel K. Yan & Mr. Michael Kumhof - 2007/083 Land Distribution and Financial System Development
by Mr. Dietrich Vollrath & Mr. Lennart Erickson - 2007/082 Banking Supervision: Quality and Governance
by Alessandro Gambini & Mr. Salim M. Darbar & Mr. Marco Arnone - 2007/081 A Theory of “Crying Wolf”: The Economics of Money Laundering Enforcement
by Elöd Takáts - 2007/080 Catch-Up Growth, Habits, Oil Depletion, and Fiscal Policy: Lessons from the Republic of Congo
by Stéphane Carcillo & Mr. Mauricio Villafuerte & Mr. Daniel Leigh - 2007/079 The Effect of Capital Controlson Foreign Direct Investment Decisions Under Country Risk with Intangible Assets
by Miss Kinga Z Elo - 2007/078 British Influences on Commonwealth Budget Systems: The Case of the United Republic of Tanzania
by Mr. Ian Lienert - 2007/077 Interpreting EU Funds Data for Macroeconomic Analysis in the New Member States
by Robert Sierhej & Mr. Christoph B. Rosenberg - 2007/076 Flattening of the Phillips Curve: Implications for Monetary Policy
by Ms. Dora M Iakova - 2007/075 Sovereign Ceilings “Lite”? The Impact of Sovereign Ratings on Corporate Ratings in Emerging Market Economies
by Mr. Eduardo Borensztein & Mr. Patricio A Valenzuela & Kevin Cowan - 2007/074 Contagion Risk in the International Banking System and Implications for London As a Global Financial Center
by Mr. Jorge A Chan-Lau & Ms. Srobona Mitra & Ms. Li L Ong
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