Content
June 2010, Volume 57, Issue 2
- 281-302 A New Database of Financial Reforms
by Abdul Abiad & Enrica Detragiache & Thierry Tressel - 303-325 Emerging Market Business Cycles with Remittance Fluctuations
by Ceyhun Bora Durdu & Serdar Sayan - 326-365 Structural Reforms, Financial Liberalization, and Foreign Direct Investment
by Nauro F Campos & Yuko Kinoshita - 366-406 The Ties that Bind: Measuring International Bond Spillovers Using Inflation-Indexed Bond Yields
by Tamim Bayoumi & Andrew Swiston - 407-426 A Bayesian-Estimated Model of Inflation Targeting in South Africa
by Thomas Harjes & Luca Antonio Ricci - 427-449 The Impact of Trade Liberalization on the Trade Balance in Developing Countries
by Jiandong Ju & Yi Wu & Li Zeng - 450-483 Price Discovery in Markets with Multiple Dealers
by Rafael Romeu - 484-516 Determinants of International Bank Lending from the Developed World to East Asia
by Reza Y Siregar & Keen Meng Choy
April 2010, Volume 57, Issue 1
- 1-24 Debt Overhang or Debt Irrelevance?
by Tito Cordella & Luca Antonio Ricci & Marta Ruiz-Arranz - 25-60 Decomposing Financial Risks and Vulnerabilities in Emerging Europe
by Andrea M Maechler & Srobona Mitra & Delisle Worrell - 61-83 Parameter Estimate Uncertainty in Probabilistic Debt Sustainability Analysis
by Alejandro Hajdenberg & Rafael Romeu - 84-118 Managing Resource Revenues in Developing Economies
by Paul Collier & Rick Van Der Ploeg & Michael Spence & Anthony J Venables - 119-171 Prospects for Sustained Growth in Africa: Benchmarking the Constraints
by Simon Johnson & Jonathan D Ostry & Arvind Subramanian - 172-208 How Global Financial Markets Affect Sub-Saharan Africa
by Corinne Deléchat & Gustavo Ramirez & Smita Wagh & John Wakeman-Linn - 209-255 The Role of Domestic Debt Markets in Economic Growth: An Empirical Investigation for Low-Income Countries and Emerging Markets
by S M Ali Abbas & Jakob E Christensen - 256-280 An Estimated Dynamic Stochastic General Equilibrium Model for Monetary Policy Analysis in Mozambique
by Shanaka J Peiris & Magnus Saxegaard
November 2009, Volume 56, Issue 4
- 683-741 The Costs of Sovereign Default
by Eduardo Borensztein & Ugo Panizza - 742-757 On the Probabilistic Approach to Fiscal Sustainability: Structural Breaks and Non-Normality
by Nathaniel Frank & Eduardo Ley - 758-786 External Linkages and Contagion Risk in Irish Banks
by Elena Duggar & Srobona Mitra - 787-810 Foreign Aid with Voracious Politics
by Alex Mourmouras & Peter Rangazas - 811-851 What Explains the Rapid Growth in Transition Economies?
by Garbis Iradian - 852-875 The Optimal Level of Reserves for Low-Income Countries: Self-Insurance against External Shocks
by Regis Barnichon - 876-918 Are Africa's Currency Unions Good for Trade?
by Charalambos Tsangarides & Pierre Ewenczyk & Michal Hulej & Mahvash Saeed Qureshi - 919-957 International Competitiveness of the Mediterranean Quartet: A Heterogeneous-Product Approach
by Herman Z Bennett & Ziga Zarnic - 958-969 Dynamic Aspects of Productivity Spillovers, Terms of Trade, and the “Home Market Effect”
by Ippei Fujiwara & Naohisa Hirakata
August 2009, Volume 56, Issue 3
- 447-475 Trade Openness and Growth: Pursuing Empirical Glasnost
by Andreas Billmeier & Tommaso Nannicini - 476-515 Public Debt, Money Supply, and Inflation: A Cross-Country Study
by Goohoon Kwon & Lavern McFarlane & Wayne Robinson - 516-540 Net Capital Flows, Financial Integration, and International Reserve Holdings: The Recent Experience of Emerging Markets and Advanced Economies
by Woon Gyu Choi & Sunil Sharma & Maria Strömqvist - 541-542 Introduction
by Akito Matsumoto - 543-573 Expected Consumption Growth from Cross-Country Surveys: Implications for Assessing International Capital Markets
by Charles Engel & John H Rogers - 574-595 Global Dispersion of Current Accounts: Is the Universe Expanding?
by Hamid Faruqee & Jaewoo Lee - 596-632 How Long Can the Unsustainable U.S. Current Account Deficit Be Sustained?
by Carol C Bertaut & Steven B Kamin & Charles P Thomas - 633-654 Asset Prices and Current Account Fluctuations in G-7 Economies
by Marcel Fratzscher & Roland Straub - 655-682 Global Imbalances, Productivity Differentials, and Financial Integration
by Suparna Chakraborty & Robert Dekle
June 2009, Volume 56, Issue 2
- 239-262 The Dynamics of Provincial Growth in China: A Nonparametric Approach
by Bulent Unel & Harm Zebregs - 263-296 Central Bank Autonomy: Lessons from Global Trends
by Marco Arnone & Bernard J Laurens & Jean-François Segalotto & Martin Sommer - 297-322 Do Unit Value Export, Import, and Terms-of-Trade Indices Misrepresent Price Indices?
by Mick Silver - 323-349 Why Has the Grass Been Greener on One Side of Hispaniola? A Comparative Growth Analysis of the Dominican Republic and Haiti
by Laura Jaramillo & Cemile Sancak - 350-352 Introduction
by John Lipsky - 353-383 Foreign Entanglements: Estimating the Source and Size of Spillovers Across Industrial Countries
by Tamim Bayoumi & Andrew Swiston - 384-409 Yen Carry Trade and the Subprime Crisis
by Masazumi Hattori & Hyun Song Shin - 410-445 Rhyme or Reason: What Explains the Easy Financing of the U.S. Current Account Deficit?
by Ravi Balakrishnan & Tamim Bayoumi & Volodymyr Tulin
April 2009, Volume 56, Issue 1
- 1-7 Frontiers of Research on Financial Globalization
by M Ayhan Kose - 8-62 Financial Globalization: A Reappraisal
by M Ayhan Kose & Eswar Prasad & Kenneth Rogoff & Shang-Jin Wei - 63-111 International Finance and Growth in Developing Countries: What Have We Learned?
by Maurice Obstfeld - 112-138 Why Did Financial Globalization Disappoint?
by Dani Rodrik & Arvind Subramanian - 139-170 Why We Shouldn't Turn Our Backs on Financial Globalization
by Frederic S Mishkin - 171-197 Understanding Banking Sector Globalization
by Linda S Goldberg - 198-221 Financial Globalization and Monetary Policy Discipline: A Survey With New Evidence from Financial Remoteness
by Mark M Spiegel - 222-238 Measuring Financial Integration: A New Data Set
by Martin Schindler
December 2008, Volume 55, Issue 4
- 541-565 Super Cycles in Real Metals Prices?
by John T Cuddington & Daniel Jerrett - 566-594 Mortality and Lifetime Income: Evidence from U.S. Social Security Records
by James E Duggan & Robert Gillingham & John S Greenlees - 595-623 The Effect of External Conditions on Growth in Latin America
by P&aauml;r Österholm & Jeromin Zettelmeyer - 624-653 How Does the Global Economic Environment Influence the Demand for IMF Resources?
by Selim Elekdağ - 654-678 A Debt Overhang Model for Low-Income Countries
by Junko Koeda
July 2008, Volume 55, Issue 3
- 367-383 Mundell-Fleming Lecture: Exchange Rate Systems, Surveillance, and Advice
by Stanley Fischer - 384-416 Estimation of De Facto Exchange Rate Regimes: Synthesis of the Techniques for Inferring Flexibility and Basket Weights
by Jeffrey Frankel & Shang-Jin Wei - 417-444 Exchange Rate Policy Attitudes: Direct Evidence from Survey Data
by J Lawrence Broz & Jeffry Frieden & Stephen Weymouth - 445-480 Fear of Declaring: Do Markets Care What Countries Say About Their Exchange Rate Policies?
by Adolfo Barajas & Lennart Erickson & Roberto Steiner - 481-510 A Micro-Empirical Foundation for the Political Economy of Exchange Rate Populism
by Irineu De Carvalho Filho & Marcos Chamon - 511-540 Global Rebalancing with Gravity: Measuring the Burden of Adjustment
by Robert Dekle & Jonathan Eaton & Samuel Kortum
June 2008, Volume 55, Issue 2
- 211-212 Foreword
by Robert P Flood - 213-242 Getting to Know the Global Economy Model and Its Philosophy
by Douglas Laxton - 243-284 The Global Economy Model: Theoretical Framework
by Paolo Pesenti - 285-296 The Impact on the United States of the Rise in Energy Prices: Does the Source of the Energy Market Imbalance Matter?
by Jared Bebee & Ben Hunt - 297-311 Oil Price Movements and the Global Economy: A Model-Based Assessment
by Selim Elekdag & René Lalonde & Douglas Laxton & Dirk Muir & Paolo Pesenti - 312-325 Productivity and Global Imbalances: The Role of Nontradable Total Factor Productivity in Advanced Economies
by Pietro Cova & Massimiliano Pisani & Nicoletta Batini & Alessandro Rebucci - 326-338 Inflation Targeting and Price-Level-Path Targeting in the Global Economy Model: Some Open Economy Considerations
by Donald Coletti & René Lalonde & Dirk Muir - 339-355 The Macroeconomic Costs and Benefits of Adopting the Euro
by Philippe Karam & Douglas Laxton & David Rose & Natalia Tamirisa - 356-366 Why It Pays to Synchronize Structural Reforms in the Euro Area Across Markets and Countries
by Luc Everaert & Werner Schule
April 2008, Volume 55, Issue 1
- 1-49 Modeling Aggregate Use of IMF Resources—Analytical Approaches and Medium-Term Projections
by Atish Ghosh & Manuela Goretti & Bikas Joshi & Alun Thomas & Juan Zalduendo - 50-82 Informality and Regulations: What Drives the Growth of Firms?
by Era Dabla-Norris & Gabriela Inchauste - 83-108 Exchange Rate Transmission into Industry-Level Export Prices: A Tale of Two Policy Regimes in India
by Sushanta Mallick & Helena Marques - 109-148 Measuring and Analyzing Sovereign Risk with Contingent Claims
by Michael Gapen & Dale Gray & Cheng Hoon Lim & Yingbin Xiao - 149-182 Probabilistic Sustainability of Public Debt: A Vector Autoregression Approach for Brazil, Mexico, and Turkey
by Evan Tanner & Issouf Samake - 183-209 Does Transparency Pay?
by Rachel Glennerster & Yongseok Shin
November 2007, Volume 54, Issue 4
- 621-662 Banks During the Argentine Crisis: Were They All Hurt Equally? Did They All Behave Equally?
by Adolfo Barajas & Emiliano Basco & V Hugo Juan-Ramón & Carlos Quarracino - 663-699 Escaping from the Resource Curse: Evidence from Botswana and the Rest of the World
by Atsushi Iimi - 701-726 Price Variability Under Price Level Stability—A Study of Sierra Leone's Price Dynamics Using Micro-Level Price Data
by Arto Kovanen - 727-739 Volatility of Development Aid: An Update
by Aleš Bulíř & A Javier Hamann - 741-754 Exchange Rate Volatility and Reserves Transparency
by John Cady & Jesus Gonzalez-Garcia
July 2007, Volume 54, Issue 3
- 419-453 The Political Economy of Nominal Macroeconomic Pathologies
by Shanker Satyanath & Arvind Subramanian - 455-473 Deficit Limits and Fiscal Rules for Dummies
by Paolo Manasse - 475-538 Work Absence in Europe
by Lusine Lusinyan & Leo Bonato - 539-561 Is Housing Wealth an “ATM”? The Relationship Between Household Wealth, Home Equity Withdrawal, and Saving Rates
by Vladimir Klyuev & Paul Mills - 563-589 Spending Seigniorage: Do Central Banks Have a Governance Problem?
by Alain Ize - 591-619 The Employment Effects of Labor and Product Market Deregulation and Their Implications for Structural Reform
by Helge Berger & Stephan Danninger
June 2007, Volume 54, Issue 2
- 191-219 Current Account Deficits in Rich Countries
by Olivier Blanchard - 220-269 International Financial Integration and the Real Economy
by Martin D D Evans & Viktoria V Hnatkovska - 270-305 Can We Predict the Next Capital Account Crisis?
by Marcos Chamon & Paolo Manasse & Alessandro Prati - 306-337 Are Debt Crises Adequately Defined?
by Andrea Pescatori & Amadou N R Sy - 338-384 Will the Doha Round Lead to Preference Erosion?
by Mary Amiti & John Romalis - 385-417 Money-Based vs. Exchange-Rate-Based Stabilization: Is There Room for Political Opportunism?
by Ari Aisen
May 2007, Volume 54, Issue 1
- 1-33 An Evaluation of the World Economic Outlook Forecasts
by Allan Timmermann - 34-58 The Missing Globalization Puzzle: Evidence of the Declining Importance of Distance
by David T Coe & Arvind Subramanian & Natalia T Tamirisa - 59-90 Foreign Aid Policy and Sources of Poverty: A Quantitative Framework
by Alex Mourmouras & Peter Rangazas - 91-112 Commodity Price Shocks and the Odds on Fiscal Performance: A Structural Vector Autoregression Approach
by Francis Y Kumah & John M Matovu - 113-138 Labor Policies to Raise Employment
by Marcello Estevão - 139-162 Grants vs. Loans
by Tito Cordella & Hulya Ulku - 163-190 Core Inflation: Measurement and Statistical Issues in Choosing Among Alternative Measures
by Mick Silver
2006, Volume 53, Issue si
- 1-1 Who Adjusts and When?The Political Economy of Reforms
by Alberto Alesina & Silvia Ardagna & Francesco Trebbi - 1-2 The Causes of Fiscal Transparency: Evidence from the U.S. States
by James E. Alt & David Dreyer Lassen & Shanna Rose - 1-3 Plant Turnover and Structural Reforms in Colombia
by Marcela Eslava & John Haltiwanger & Adriana Kugler & Maurice Kugler - 1-4 Outcomes-Based Conditionality: Its Role and Optimal Design
by Anna Ivanova - 1-5 Political Constraints and Public Support for Market Reform
by Raj M. Desai & Anders Olofsgård - 1-6 Remoteness and Real Exchange Rate Volatility
by Claudio Bravo-Ortega & Julian di Giovanni - 1-7 Local Currency Bond Markets
by John D. Burger & Francis E. Warnock - 1-8 Asymmetric Effects of Government Spending: Does the Level of Real Interest Rates Matter?
by Woon Gyu Choi & Michael B. Devereux
2006, Volume 53, Issue 3
- 1-1 Portfolio Constraints and Contagion in Emerging Markets
by Anna Ilyina - 1-2 To Buy or Not to Buy? Uncertainty, Irreversibility, and Heterogeneous Investment Dynamics in Italian Company Data
by Stephen R. Bond & Domenico Lombardi - 1-3 Primary Surplus Behavior and Risks to Fiscal Sustainability in Emerging Market Countries: A "Fan-Chart" Approach
by Oya Celasun & Xavier Debrun & Jonathan D. Ostry - 1-4 How Should Subnational Government Borrowing Be Regulated?Some Cross-Country Empirical Evidence
by Alexander Plekhanov & Raju Singh - 1-5 The Potential of Foreign Aid as Insurance
by Stéphane Pallage & Michel A. Robe & Catherine Bérubé - 1-6 Parity Reversion in Real Exchange Rates: A Puzzle or a Nonissue?
by Jacques J. Polak - 1-7 Measuring Financial Development in the Middle East and North Africa: A New Database
by Susan Creane & Rishi Goyal & A. Mushfiq Mobarak & Randa Sab
2006, Volume 53, Issue 2
- 1-1 Volatility and the Debt-Intolerance Paradox
by Luis Catão & Sandeep Kapur - 1-2 An Estimated Small Open Economy Model of the Financial Accelerator
by Selim Elekdag & Alejandro Justiniano & Ivan Tchakarov - 1-3 Relating the Knowledge Production Function to Total Factor Productivity: An Endogenous Growth Puzzle
by Yasser Abdih & Frederick Joutz - 1-4 New Rates from New Weights
by Tamim Bayoumi & Jaewoo Lee & Sarma Jayanthi - 1-5 Does Compliance with Basel Core Principles Bring Any Measurable Benefits?
by Richard Podpiera - 1-6 Differences in IMF Data: Incidence and Implications
by Anthony Pellechio & John Cady
2006, Volume 53, Issue 1
- 1-1 Russia and the WTO: The "Gravity" of Outsider Status
by Bogdan Lissovolik & Yaroslav Lissovolik - 1-2 Rent Seeking
by Shankha Chakraborty & Era Dabla-Norris - 1-3 Exchange Rate Regimes, Location, and Specialization
by Luca Antonio Ricci - 1-4 Exchange Rate Pass-Through in the Euro Area
by Hamid Faruqee - 1-5 Parity Reversion in Real Exchange Rates: Fast, Slow, or Not at All?
by Paul Cashin & C. John McDermott - 1-6 New Estimates of Government Net Capital Stocks for 22 OECD Countries, 1960-2001
by Christophe Kamps - 1-7 The IMF and Russia in the 1990s
by John Odling-Smee
2005, Volume 52, Issue si
- 1-1 IMF Conference in Honor of Michael Mussa: (MussaFest) Opening Remarks
by Agustin Carstens - 1-2 Reconsidering Expectations of Economic Growth After World War II from the Perspective of 2004
by Robert W. Fogel - 1-3 On the Accuracy of Some Past and Present Forecasts
by Stanley Engerman - 1-5 The Mussa Theorem (and Other Results on IMF-Induced Moral Hazard)
by Olivier Jeanne & Jeromin Zettelmeyer - 1-6 Country Insurance
by Tito Cordella & Eduardo Levy Yeyati - 1-7 U.S. Trade Policy and the Adjustment Process
by Chad P. Bown & Rachel McCulloch - 1-8 Exchange Rate Regimes: Does What Countries Say Matter?
by Hans Genberg & Alexander K. Swoboda - 1-9 The 35 Most Tumultuous Years in Monetary History: Shocks, the Transfer Problem, and Financial Trauma
by Robert Z. Aliber - 1-10 Mundell's International Economics: Adaptations and Debates
by Russell S. Boyer & Warren Young - 31-63 Growth and Volatility in an Era of Globalization
by M. Ayhan Kose & Eswar S. Prasad & Marco E. Terrones
2005, Volume 52, Issue 3
- 1-1 Why Are Asset Markets Modeled Successfully, But Not Their Dealers?
by Rafael Romeu - 1-2 Real Exchange Rates in Developing Countries: Are Balassa-Samuelson Effects Present?
by Ehsan U. Choudhri & Mohsin S. Khan - 1-3 The Internal Job Market of the IMF's Economist Program
by Greg Barron & Felix Várdy - 1-4 Banking on Foreigners: The Behavior of International Bank Claims on Latin America, 1985–2000
by Maria Soledad Martinez Peria & Andrew Powell & Ivanna Vladkova-Hollar - 1-5 Assessing Early Warning Systems: How Have They Worked in Practice?
by Andrew Berg & Eduardo Borensztein & Catherine Pattillo - 1-6 Does SDDS Subscription Reduce Borrowing Costs for Emerging Market Economies?
by John Cady - 1-7 Special Data Section Domestic Debt Markets in Sub-Saharan Africa
by Jakob Christensen
September 2005, Volume 52, Issue 2
- 149-192 Mundell-Fleming Lecture: Contractionary Currency Crashes in Developing Countries
by VJeffrey A. Frankel - 193-228 From "Hindu Growth" to Productivity Surge: The Mystery of the Indian Growth Transition
by Dani Rodrik & Arvind Subramanian - 229-233 Comments on "From 'Hindu Growth' to Productivity Surge: The Mystery of the Indian Growth Transition"
by T. N. Srinivasan - 234-236 Reply to Comments by T. N. Srinivasan
by Dani Rodrik & Arvind Subramanian - 237-259 Financial Liberalization and Consumption Volatility in Developing Countries
by Andrei A. Levchenko - 260-286 IMF Programs and Growth: Is Optimism Defensible?
by Reza Baqir & Rodney Ramcharan & Ratna Sahay - 289-310 Capitalizing Central Banks: A Net Worth Approach
by Alain Ize - 311-334 Is the Bank of Japan's Financial Structure an Obstacle to Policy?
by Thomas F. Cargill - 335-365 Central Bank Financial Strength, Transparency, and Policy Credibility
by Peter Stella
April 2005, Volume 52, Issue 1
- 1-23 Did Output Recover from the Asian Crisis?
by Valerie Cerra & Sweta Chaman Saxena - 24-40 How Much Do Trading Partners Matter for Economic Growth?
by Vivek Arora & Athanasios Vamvakidis - 41-54 Interdependent Expectations and the Spread of Currency Crises
by Wolfram Berger & Helmut Wagner - 55-81 Are Immigrant Remittance Flows a Source of Capital for Development?
by Ralph Chami & Connel Fullenkamp & Samir Jahjah - 82-102 Total Factor Productivity Revisited: A Dual Approach to Development Accounting
by Shekhar Aiyar & Carl-Johan Dalgaard - 103-119 VAT Design and Energy Trade: The Case of Russia and Ukraine
by Clinton R. Shiells - 120-147 Why Did Central Banks Intervene in ERM I? The Post-1993 Experience
by Peter Brandner & Harald Grech
June 2004, Volume 51, Issue s1
- 1-49 Thirty Years of Current Account Imbalances, Current Account Reversals, and Sudden Stops
by Sebastian Edwards - 50-63 A Gravity Model of Sovereign Lending: Trade, Default, and Credit
by Andrew K. Rose & Mark M. Spiegel - 64-74 New Empirical Results on Default: A Discussion of "A Gravity Model of Sovereign Lending: Trade, Default and Credit"
by Mark L. J. Wright - 75-108 Monetary Sovereignty, Exchange Rates, and Capital Controls: The Trilemma in the Interwar Period
by Maurice Obstfeld & Jay C. Shambaugh & Alan M. Taylor - 109-125 Accounting for Consumption Volatility Differences
by Holger Wolf - 126-160 Exchange Rate Policy and the Management of Official and Private Capital Flows in Africa
by Edward Buffie & Christopher Adam & Stephen O'Connell & Catherine Pattillo
November 2004, Volume 51, Issue 3
- 409-430 Monetary Policy and Long-Horizon Uncovered Interest Parity
by Menzie D. Chinn & Guy Meredith - 431-456 Reconciling Stability and Growth: Smart Pacts and Structural Reforms
by Roel M. W. J. Beetsma & Xavier Debrun - 457-492 Macro Effects of Corporate Restructuring in Japan
by Se-Jik Kim - 493-509 Would "Cold Turkey" Work in Turkey?
by Oya Celasun & R. Gaston Gelos & Alessandro Prati - 510-528 Singapore Inc. versus the Private Sector: Are Government-Linked Companies Different?
by Carlos D.Ramírez & Ling Hui Tan - 529-552 Monetary Policy Rules, Asset Prices, and Exchange Rates
by Jagjit S. Chadha & Lucio Sarno & Giorgio Valente - 553-584 Trade Liberalization and Real Exchange Rate Movement
by Xiangming Li - 585-605 Optimal Central Bank Conservatism and Monopoly Trade Unions
by Helge Berger & Carsten Hefeker & Ronnie Schöb
2004, Volume 51, Issue 2
- 1-1 The International Monetary Fund and the Global Spread of Privatization
by Nancy Brune & Geoffrey Garrett & Bruce Kogut - 1-2 Capital Account Liberalization and Economic Performance: Survey and Synthesis
by Hali J. Edison & Michael W. Klein & Luca Antonio Ricci & Torsten Sløk - 1-3 Asymmetric Arbitrage and Default Premiums Between the U.S. and Russian Financial Markets
by Mark P. Taylor & Elena Tchernykh Branson - 1-4 A New Set of Measures on Capital Account Restrictions
by Jacques Miniane - 1-5 Higher or Basic Education? The Composition of Human Capital and Economic Development
by Rodney Ramcharan - 1-6 Export Orientation and Productivity in Sub-Saharan Africa
by Taye Mengistae & Catherine Pattillo - 1-8 Extreme Contagion in Equity Markets
by Jorge A. Chan-Lau & Donald J. Mathieson & James Y. Yao - 354-385 The Unbearable Stability of the German Wage Structure: Evidence and Interpretation
by Eswar S. Prasad
2004, Volume 51, Issue 1
- 1-1 The Persistence of Corruption and Slow Economic Growth
by Paolo Mauro - 1-2 In Finance, Size Matters
by Biagio Bossone & Jong-Kun Lee - 1-3 International Liquidity and the Role of the SDR in the International Monetary System
by Peter B. Clark & Jacques J. Polak - 1-4 What Happened to Asian Exports During the Crisis?
by Rupa Duttagupta & Antonio Spilimbergo - 1-5 Financial Reforms and Interest Rate Spreads in the Commercial Banking System in Malawi
by Ephraim W. Chirwa & Montfort Mlachila - 1-6 High Inflation and Real Wages
by Benedikt Braumann - 1-7 A Brazilian-Type Debt Crisis
by Assaf Razin & Efraim Sadka - 1-8 Special Section on Data Issues: Preface
by Robert P. Flood - 1-9 Export and Import Price Indices
by Jemma Dridi & Kimberly Zieschang
2003, Volume 50, Issue 3
- 1-1 An Unbiased Appraisal of Purchasing Power Parity
by Paul Cashin & C. John McDermott - 1-2 Is Africa Integrated in the Global Economy?
by Arvind Subramanian & Natalia T. Tamirisa - 1-3 The High-Yield Spread as a Predictor of Real Economic Activity: Evidence of a Financial Accelerator for the United States
by Ashoka Mody & Mark P. Taylor - 1-4 The Art of Making Everybody Happy: How to Prevent a Secession
by Michel Le Breton & Shlomo Weber - 1-5 Rationing Rules and Outcomes: The Experience of Singapore's Vehicle Quota System
by Ling Hui Tan - 1-6 "Big Bang" Versus Gradualism in Economic Reforms: An Intertemporal Analysis with an Application to China
by Andrew Feltenstein & Saleh M. Nsouli - 1-7 Structural Vulnerabilities and Currency Crises
by Swati R. Ghosh & Atish R. Ghosh