Content
May 2024, Volume 1, Issue 83
- 5-50 Gaining Degrees of Freedom: Management of Monetary Policy in LATAM-5
by Emiliano Basco & Sebastián Katz & Luis Libonatti - 51-69 The Real Exchange Rate Role in a Resourcerich Developing Country: Heterogeneous Effects, Structural Bias and Hysteresis
by Gabriel Palazzo - 70-96 Determinants of Inflation in Argentina, 2004-2022
by Pablo de la Vega & Guido Zack & Jimena Calvo & Emiliano Libman - 97-116 Firm's Price Expectations: An Empirical Analysis using BCRAs' Survey of Business Economic Perspectives
by Pedro Elosegui & Máximo Sangiácomo
November 2023, Volume 1, Issue 82
- 6-26 Post globalization and reindustrialization in Latin America. The conditionality of industrial policy and “KeynesianEgalitarianism”
by Mario Cimoli - 27-51 New Results in Capital Theory and Implications for the Theory of Inflation
by Bertram Schefold - 52-76 Does the Argentine financial system reduce or amplify the labor market’s gender gap?
by Laura Muriel Cuccaro & Máximo Sangiácomo & Lucía Tumini & Ariel Wilkis - 77-97 Financing in times of crisis: lessons from the impact assessment of Banco Provincia's working capital credit line during the pandemic
by Alejandro Danon & Rafael Tessone & Milena Valens Upegui - 98-127 Consumption and Fluctuations: What Role for Behavioral Economics?
by Pablo Mira - 128-158 Latin America in the global financial cycle: Vulnerability or resilience? An analysis of the Argentine case
by Agustín Cucchiaro
May 2023, Volume 1, Issue 81
- 5-54 Empirical Regularities of Inflation in Latin America
by Javier García-Cicco & Lorena Garegnani & Maximiliano Gómez Aguirre & Ariel David Krysa & Luis Libonatti - 55-80 Exports of Knowledge-Intensive Business Services: Domestic Market Hypotheses and Interactions with Industrial Capabilities
by Lorenzo Cassini - 81-110 Forecasting Inflation in Argentina: A Probabilistic Approach
by Tomás Marinozzi - 111-158 Consumer Loans Dynamics in 2020 in Argentina: An Approach Using Error Correction Models
by Maximiliano Gómez Aguirre & Ariel David Krysa
November 2022, Volume 1, Issue 80
- 5-52 Credit-constrained fluctuations and uncertainty in a network economy
by Deborah Noguera & Gabriel Montes-Rojas - 53-75 Analysis of the incidence of public spending on employment and imports in Argentina during 2005-2015
by Alcides Bazza & Gabriel Brondino & Hernan Roitbarg - 76-99 The Argentine economy through the InputOutput matrix. Analysis of its productive integration between 2007-2017
by Germán Pinazo & Mariano Arana & Gastón Bersano - 100-139 Estimation and prediction of current account deficit adjustment dynamics
by Santiago Rossi & Fernando Toledo
May 2022, Volume 1, Issue 79
- 5-39 Dollar Liquidity, Money and Credit in a Small Open Dollarized Economy
by Joseph Bitar - 40-65 Currency Substitution and the Hysteresis Effect: An Empirical Application for Argentina
by Patricio Temperley - 66-108 Reassessing Sticky Price Models through the Lens of Scraped Price Data
by Tomás Carrera de Souza - 111-118 In Defense of Public Debt
by Barry Eichengreen - 119-130 A Green Purple Red New Deal: Rebuilding an Economy for All in the Aftermath of the Pandemic
by Özlem Onaran - 131-146 Neoliberalism: An Entrenched but Exhausted Growth Regime
by Mark Setterfield - 148-158 Monetary Policy and Inequality
by Claudio Borio - 159-167 International Monetary and Financial Hierarchies: Macroeconomic Implications for Emerging Market Economies
by Annina Kaltenbrunner - 169-183 Challenges and Lessons from Central Banks in the Pandemic
by Alejandro Díaz de León Carrillo - 184-198 Promoting growth with equality: challenges generated by the pandemic and policy responses in Bolivia
by Roger Edwin Rojas Ulo - 199-205 The Challenges for Central Banking for the Next Years
by Julio Velarde
November 2021, Volume 1, Issue 78
- 6-27 Autonomous Demand Composition and Fiscal Policy in a Supermultiplier Simulation Model
by Fabio Freitas & Esther Dweck & Fernando Ligiéro - 28-46 Evolution and Use of Structural Models in the Central Bank of Chile
by Benjamín García & Mariana García-Schmidt - 47-82 Flexible Inflation Targeting, Real Exchange Rate and Structural Change in a Kaldorian Model with Balance of Payments Constrained Growth
by José Luis Oreiro & Luciano Dias de Carvalho & Luciano Ferreira Gabriel & Evaldo Henrique da Silva - 83-112 Relative Quantities and Prices in Small and Open Developing Economies
by Arslan Razmi - 113-142 A Dynamic Stock-Flow Model for Argentina: an Application to the Post-Pandemic Economic Scenario
by Gabriel Michelena
August 2021, Volume 1, Issue 77
- 6-32 Dollarization dynamics and de-dollarization policies in Peru
by Adrián Armas Rivas & Zenón Quispe Misaico - 33-49 Divisia Aggregates: A Literature Review and an Application to the Demand for Money in Paraguay
by Luis Molinas Sosa - 50-71 Dollarization, Financial Stability Risks and Monetary Policy Implementation: Exploring the Nexus
by Anna Burova & Irina Kozlovtseva & Natalia Makhankova & Alexander Morozov - 72-101 Financial Dollarization in Argentina: A Historical Analysis of a Current Restriction
by Eduardo Ariel Corso
May 2021, Volume 1, Issue 76
- 5-25 A Primer on Monetary Policy and Income Distribution: A Heterodox Perspective
by Louis-Philippe Rochon & Mario Seccareccia - 26-45 Google Correlate and Google Trends as Nowcasting Tools for Retail Sales
by María Florencia Camusso & Ramiro Emmanuel Jorge - 46-74 Bankarization and the Determinants of Banking Services Availability in the Province of Córdoba: An Application of Spatial Data Models
by Fernando García & Alejandro D. Jacobo - 75-102 Macroeconomic Factors for Inflation in Argentina 2013-2019
by Alberto Manuel López Galván - 103-143 Asymmetries in the Pass-Through of Exchange Rate to Prices: The Argentine Case 2004-2019
by Matías Barberis
November 2020, Volume 1, Issue 75
- 5-29 The Return of the Interventionist Central Bank: The Pendulum of Monetary Regimes in Latin America
by Esteban Pérez Caldentey & Matías Vernengo - 30-49 Sailing in Rough Waters. Raúl Prebisch and the Economic Policy during the Great Depression
by Emiliano Libman - 50-81 Network effects in interbank markets of Call and Repo in Argentina
by Pedro Elosegui & Gabriel Montes-Rojas - 82-117 Modeling the determinants of commodity prices
by Magdalena Cornejo
December 2016, Volume 1, Issue 74
- 7-26 GDP Nowcasting: Assessing the Cyclical Conditions of the Argentine Economy
by Laura D'Amato & Lorena Garegnani & Emilio Blanco - 27-55 Exports of Argentina and Brazil under the Generalized System of Preferences
by Facundo Albornoz & Irene Brambilla & Pablo Garriga - 57-104 A Study of Excess Savings at the Firm Level in Developed Countries. Three Hypotheses about its Causes
by Rodrigo Pérez Artica & Lisana Martinez & Leandro Brufman - 105-131 Panel times series. A review of methodological developments
by Tamara Burdisso & Máximo Sangiácomo
December 2015, Volume 1, Issue 73
- 7-25 Intercreditor and Debtor-creditor Equity Issues in Sovereign Debt Restructuring
by Skylar Brooks & Martín Guzman & Doménico Lombardi & Joseph E. Stiglitz - 27-55 Emerging Market Economies and the Reform of the International Financial Architecture: The “Exorbitant Privilege” of the Dollar Is Only the Symptom of a Structural Problem
by Jan Kregel - 57-90 Investment, Financing and Minsky’s Debt Paradox. A Microeconomic Analysis for Latin America
by Esteban Pérez Caldentey & Alejandro González Castillo - 91-115 Ambiguity, Ambiguity Aversion and Reserve of Value in Argentina
by Eduardo Ariel Corso - 117-147 Prebisch Reciprocity Principle. An Application for the Common Automotive Policy between Argentina and Brazil
by Ana Inés Gárriz & Demian Tupac Panigo
June 2015, Volume 1, Issue 72
- 7-26 Re-imagining Central Banking
by Perry Mehrling - 27-58 The Debate on Integrated Financial Supervision: What is New?
by Edgardo Demaestri & Gustavo Ferro - 59-102 Inequality, Financial Deepening and Current Account Impact
by Jorge Carrera & Esteban Rodríguez & Mariano Sardi - 103-138 Public Banks, Private Banks and Crisis: Banco de la Nación Argentina as Lender of Last Resort between the First World War and the Postwar Period
by Andrés Regalsky & Mariano Iglesias - 139-163 The Debate on the Under-Consumption Crises in Classical Political Economy
by Manuel Calderón - 185-214 Kicking the Board: Emerging Economies as an Engine of Global Economy and its Institutions
by Germán Reyes & Facundo Sirimarco
December 2014, Volume 1, Issue 71
- 7-38 The Compelling Case for Stronger and More Effective Leverage Regulation in Banking
by Anat Admati - 40-71 An Analysis of Real Exchange Rate Misalignments under Regime Shifts in Argentina
by Daniel Aromí & Marcos Dal Bianco - 73-94 The Reform of the Federal Reserve in 2008: Is the Money Supply Endogenous or Exogenous?
by Guillermo Gigliani - 95-114 The Concept of Probability in the Work of Lord Keynes
by Alberto Landro
June 2014, Volume 1, Issue 70
- 7-22 Using Interest Rates as the Instrument of Monetary Policy: Beware Real effects, Positive Feedbacks, and Discontinuities
by Mark Setterfield - 23-46 Intensity of Competition and Conduct Parameters in the Honduran Banking Sector
by Germán Coloma - 47-81 The Fall of the Labor Income Share in Advanced Economies
by Ángel Estrada & Eva Valdeolivas - 83-108 Stock Market Indicators and Economic Activity. Some Evidence for Argentina
by Luis N. Lanteri
December 2013, Volume 1, Issue 69
- 7-36 Euro Crises and Euro Scams: Trade not Debt and Deficits Tell the Tale
by John Weeks - 37-99 Structural Inflation Redux
by Leonardo Vera - 101-149 Does Competition for Novice Borrowers Hurt Access to Finance? An Analysis in a Context of High Risk and Low Outreach
by Verónica Balzarotti & Alejandra Anastasi - 151-186 Credit Allocation, Profitability and Stability
by Paulo L. dos Santos
June 2013, Volume 1, Issue 68
- 7-21 Inflation Targeting: A Critical Approach
by Philip Arestis - 23-42 The Euro: Why it Went Wrong and How to Get On?
by Jesper Jespersen - 43-74 Cross Fertilizations and Controversies in the Origins and Evolution of Portfolio Selection Models
by Eduardo Ariel Corso - 75-106 Analysis of the Integration of Financial Regulation and Supervision to the Central Bank
by Edgardo Demaestri & Gustavo Ferro
December 2012, Volume 1, Issue 67
- 7-34 Microfinance and the Challenge of Financial Inclusion for Development
by Jayati Ghosh - 35-71 Revisiting Bank Pricing Policies in Brazil: Evidence from Loan and Deposit Markets
by Leonardo S. Alencar - 73-120 Accounting or Liquidity Buffers? The Risks of Overlooking Financial Aspects of Counter-Cyclical Rules
by Alejandra Anastasi & Verónica Balzarotti - 121-168 Redefining Monetary Policy Limits: Towards an Expansion of its Role in Economic Development
by Mariano Beltrani & Juan Cuattromo
September 2012, Volume 1, Issue 65-66
- 7-22 Was Keynes’s Monetary Policy, à outrance in the Treatise, the Model for ZIRP and QE?
by Jan Kregel - 23-39 Bills and Coins Daily Demand Forecast
by Diego Elías & Matías Vicens - 41-60 Banking Credit, Policy Interest Rate and Reserve Requirements in Peru
by Oscar Dancourt - 61-74 Economic Growth and Financial System
by Héctor Gustavo González Padilla - 77-106 A Proposal for a Growth and Fiscal Compact
by Mario Tonveronachi - 107-127 Shifting Europe from Austerity to Growth: A Proposed Investment Programme for 2012-2015
by Stephany Griffith-Jones & Matthias Kollatz-Ahnen & Lars Andersen & Signe Hansen - 129-171 Recent Impact of the International Financial Crisis on the Implementation of Monetary Policy
by Sofía Corallo & Carlos Suárez Dóriga & Matías Vicens - 173-205 Tensions in the Implementation of Central Banks’ Policies in the Pursuit of Economic Development
by Martín Guzman & Pablo Gluzmann
October - December 2011, Volume 1, Issue 64
- 7-33 Using the Flow of High Frequency Information for Short Term Forecasting of Economic Activity in Argentina
by Laura D’Amato & Lorena Garegnani & Emilio Blanco - 35-81 Russian Fiscal Framework Past, Present and Future.Do we Need a Change?
by Sergey Vlasov - 83-115 On the “Science” of Monetary Policy: Methodological Notes
by Horacio A. Aguirre - 117-139 History of Creation of the Central Bank of Argentina
by Patricio Catriel Liddle & Juan José Pita
July - September 2011, Volume 1, Issue 63
- 7-39 The World in Balance Sheet Recession
by Richard Koo - 41-95 Uncertainty and Portfolio Dollarization. The Argentine Case in the Last Half Century
by Tamara Burdisso & Eduardo Ariel Corso - 97-147 Expectations, Inter-Sectorial Relationships and the Business Cycle
by Francisco Sáez & Fernando Alvarez & Jesús Morales & Giovanni Guedez - 149-194 External Vulnerability and Development Prebisch’s Contributions to Economic Thought
by Martín Fiszbein
January - June 2011, Volume 1, Issue 61-62
- 7-33 How Well Has Latin America Fared During the Global Financial Crisis?
by José Antonio Ocampo - 35-73 Financial Reforms and Financial Instability
by Pablo Gluzmann & Martín Guzman - 75-102 International Reserve Diversification
by Ousmène Mandeng - 103-137 A Cointegration Analysis on the Principle of Effective Demand in Argentina (1980-2007)
by Florencia Médici - 141-188 The Euro Zone Debt Crisis and the Situation of the European Banks
by José Manuel Duarte Inchausti - 189-249 Monetary Policy of Main Central Banks During the 2007-2011 Crisis
by Nerina Reyna & Carlos F. Suárez Dóriga & Matías Vicens - 253-274 The Central Bank: An Indispensable Institution for Development
by Federico Tassara & Pablo Borio - 275-303 Raúl Prebisch, Between Theory and Practice
by Guillermo E. Nakhlé
October - December 2010, Volume 1, Issue 60
- 7-52 Pricing the Currency Premium Under Flexible Exchange Rates: Evidence from South Africa
by Martin Grandes & Marcel Peter & Nicolas Pinaud - 53-104 Revaluing the Impact of Financial Development on Economic Growth and its Sources
by Marcelo Dabós & Tomás Williams - 105-136 Gross Substitutability of Financial Assets: Effects on Monetary Policy
by Andrés Schneider - 137-209 Bankarization and Determinants of Availability of Banking Services in Argentina
by Alejandra Anastasi & Emilio Blanco & Pedro Elosegui & Máximo Sangiácomo
July - September 2010, Volume 1, Issue 59
- 7-23 Seasonal Adjustment in Times of Strong Economic Changes
by Jens Mehrhoff - 25-79 Dynamic Stochastic General Equilibrium Models (DSGE): An Introduction
by Guillermo Escudé - 81-130 Effects of Productive Heterogeneity and Different Exchange Rate Schemes on the Employment Cycle in Argentina
by Demian Panigo & Pablo Chena & Ana Gárriz - 131-166 Use of Collateral in the Argentine Banking System
by Ricardo Bebczuk & Máximo Sangiácomo
January - June 2010, Volume 1, Issue 57-58
- 7-32 Peripheral Fluctuations: Notes on the Macroeconomic Analysis of Raúl Prebisch
by Daniel Heymann - 33-57 Uncertainty and Economic Policy: Big Problems and Small Models
by Ruben Mercado - 59-93 Imperfectly Substitutable Financial Instruments in an Economic Development Model
by Agustín Filippo - 95-126 Call Money Interest Rate Determinants in Argentina
by Alejandra Anastasi & Pedro Elosegui & Máximo Sangiácomo - 127-143 Restructuring the Financial System: A Synthetic Presentation of an Alternative Approach to Financial Regulation
by Mario Tonveronachi & Elisabetta Montanaro - 145-186 Seasonal Adjustment and Local Calendar Effects in an Argentina´s Monetary Aggregate
by Tamara Burdisso & Emilio Blanco & Mariano Sardi - 189-227 A Second Stage of the Crisis Characterized by Uncertainty
by Jorge Carrera & Federico Grillo
October - December 2009, Volume 1, Issue 56
- 7-39 Productive, Geographical and Clientele Diversification of Banks, and its Effect on the Loan Portfolio Performance in Argentina
by Alejandra Anastasi & Ricardo Bebczuk & Pedro Elosegui & Máximo Sangiácomo - 41-93 The Mystery of Human Capital as Engine of Growth, or Why the US Became the Economic Superpower in the 20th Century
by Isaac Ehrlich - 95-156 Credit Scoring Models: Missing Information and the Use of Data from a Credit Register
by Verónica Balzarotti & Fernando Castelpoggi - 157-210 Stylized Facts for the Argentine Economy
by Soledad Feal Zubimendi & Mara Rojas & Mariana Inés Zilio
July - September 2009, Volume 1, Issue 55
- 7-32 On the Generality of the New Keynesian Phillips Curves
by Maritta Paloviita - 33-56 Short-Run Dynamics of Inflation: Estimating a Hybrid New-Keynesian Phillips Curve for Argentina (1993-2007)
by Laura D’Amato & María Lorena Garegnani - 57-91 Quotas and Voting Shares in the IMF: Theory and Evidence
by Martín Gonzalez-Eiras - 93-112 An Assessment of the Competition in the Banking Industry: Empirical Evidence from Argentina with Data at Bank Level
by Héctor Gustavo González Padilla
January - June 2009, Volume 1, Issue 53-54
- 25-57 The Blind Men and the Elephant
by Barry Eichengreen - 59-65 No Ordinary Recession
by Axel Leijonhufvud - 67-71 Notes on Varieties of Crises
by Daniel Heymann - 73-105 Economic Policy out of the Corridor. Reflections on the Global Crisis and the Latin American Experience
by José María Fanelli - 107-115 The North from the South
by Javier Finkman - 117-166 The Center and the Periphery: The Transmission of the Crisis to Latin American Economies
by Sebastián Katz - 167-185 The New Global Equilibrium
by Christian Broda & Piero Ghezzi & Eduardo Levy-Yeyati - 187-189 Crisis and Global Demand: From the Short-Term to the Medium-Term
by Francesco Giavazzi - 191-215 Economic Policy Implications of the Current Financial Instability
by José Antonio Ocampo Gaviria - 217-244 The G20, the Crisis and the Redesign of the International Financial Architecture
by Jorge Carrera
October - December 2008, Volume 1, Issue 52
- 7-37 From “Financieristic” to Real Macroeconomics
by Ricardo Ffrench-Davis - 39-56 Imports – Exports Correlation: A New Enigma?
by Ricardo Bebczuk - 57-86 Argentina’s Soybean Acreage Response to Changes in Price Incentives
by Luis Lanteri - 87-120 Regime and Underlying Inflation Dynamics: ¿Generalized Comovement or Relative Price Adjustment?
by Tomás Castagnino & Laura D’Amato
April - September 2008, Volume 1, Issue 51
- 7-41 Aggregate Indicators of Economic Activity for the Argentine Case: The Principal Components Methodology
by Pedro Elosegui & Lorena Garegnani & Luis Lanteri & Emilio Blanco - 43-81 Commodity Prices in Argentina: What Moves the Wind?
by Diego Bastourre & Jorge Carrera & Javier Ibarlucia - 83-121 The Determinants of Non-Performing Loan Portfolio in the Argentine Banking System
by Ricardo Bebczuk & Máximo Sangiácomo - 123-142 Recent Developments in Monetary Policy Analysis for Emerging Countries
by Javier García-Cicco
January - March 2008, Volume 1, Issue 50
- 7-60 Evolution in the Market Power of Financial Intermediation Services in Argentina: A Structural Empirical Analysis (2005:q1 - 2007:q1)
by Karina Otero - 61-96 Anatomy of Credit Scoring Models
by Matías Alfredo Gutiérrez Girault - 97-125 Business Cycle Accounting for Argentina Utilizing Capital Utilization
by Tiago V. de V. Cavalcanti & Pedro Elosegui & George McCandless & Emilio Blanco - 127-167 Inflation Persistence and Changes in the Monetary Regime: The Argentine Case
by Laura D´Amato & Lorena Garegnani & Juan M. Sotes
October - December 2007, Volume 1, Issue 49
- 13-32 Efficiency of Lending Sectoral Allocation in Argentina
by Ricardo Bebczuk & Máximo Sangiácomo - 33-64 Risky Banking and Credit Rationing
by Pedro Elosegui & Anne P. Villamil - 65-138 Alternative Monetary Regimes in a DSGE Model of a Small Open Economy with Two Sectors and Sticky Prices and Wages
by Guillermo J. Escudé - 139-155 Loans Size and Portfolio Loss Predictability in Argentina
by Ricardo N. Bebczuk
July - September 2007, Volume 1, Issue 48
- 13-71 Macroeconomic Shocks and Financial Vulnerability
by Jorge Carrera & Luis N. Lanteri - 73-107 The Asymmetrical Impact of Restrictions to Financing in Argentina. Comparison by Sector, Size and Origin of Ownership (1995-2003)
by Pedro Elosegui & Paula Español & Demian Panigo & Emilio Blanco - 111-144 Monetary Space in Latin America: A Criterion to Regime Selection
by Eduardo Ariel Corso - 145-177 Industrial Diversification, Financial Development and Productive Investments
by Alfredo Schclarek
April - June 2007, Volume 1, Issue 47
- 7-62 A Subtle and not Always Understood Link over 50 Years: A Note on Investment Rate and Economic Growth
by Sebastián Katz & Luis Lanteri & Sebastián Vargas - 63-91 Corporate Self-Financing and Economic Growth
by Ricardo Bebczuk & Lorena Garegnani - 93-125 Good Practices to Manage Operational Risk in Financial Institutions
by Miguel Delfiner & Ana Mangialavori & Cristina Pailhé - 127-143 How to Approach the Next Steps of the Argentine Economy and the Economic Policy?
by Eduardo L. Curia
January - March 2007, Volume 1, Issue 46
- 7-61 Real Interest Rate Risk in the Argentine Banking System. A Measuring Model
by Verónica Balzarotti - 63-101 Liquidity Risk Management in Financial Institutions: International Best Practices and Experiences
by Miguel Delfiner & Claudia Lippi & Cristina Pailhé - 103-136 The Feldstein-Horioka Paradox: A New Perspective from the Institutional Sector Level
by Ricardo Bebczuk & Klaus Schmidt-Hebbel - 137-166 Exchange Rate and Monetary Policy After the Convertibility Regime Collapse
by Roberto Frenkel & Martín Rapetti
October 2006, Volume 1, Issue 45
- 7-44 Towards an Estimation of Money Demand with Forecasting Purposes: Argentina, 1993-2005
by Horacio Aguirre & Tamara Burdisso & Federico Grillo - 45-77 Alternative Estimates of Output Gap for the Argentine Economy
by Pedro Elosegui & Lorena Garegnani & Luis Lanteri & Francisco Lepone & Juan Sotes Paladino - 79-94 A Note on Regressions with Integrated Variables
by Hildegart A. Ahumada - 95-119 A Bayesian Method of Forecast Averaging: An Application to the Expectations Survey of BCRA
by Pedro Elosegui & Francisco Lepone & George McCandless