By Force of Demand: Explaining International | | Comovements and the Saving-Investment Correlation Puzzle, by Yi Wen (St Louis Fed Working Papers 2005-043) | Full text |
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| Measuring | | comovements by regression quantiles, by Lorenzo Cappiello (European Central Bank Working papers 501) | Full text |
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| Assessing Aggregate | | Comovements in France, Germany and Italy. Using a Non Stationary Factor Model of the Euro Area, by Olivier de Bandt, Catherine Bruneau, Alexis Flageollet (Bank of France Working Papers Nr 145) | Abstract Full text |
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| Business Cycle Synchronisation in the Enlarged EU: | | Comovements in the New and Old Members, by Zsolt Darvas and György Szapáry (Magyar Nemzeti Bank Working papers 2004/01) | Abstract Full text |
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| | | Comovements in the prices of securities issued by large complex financial institutions, by Christian Hawkesby, Ian W Marsh and Ibrahim Stevens (Bank of England Working papers 256) | Abstract Full text |
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| | | Comovements in volatility in the euro money market (forthcoming), by Nuno Cassola and Claudio Morana (European Central Bank Working papers 703) | Full text |
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| Equity Portfolio Diversification under Time-Varying Predictability and | | Comovements: Evidence from Ireland, the US, and the UK, by Massimo Guidolin, and Stuart Hyde (St Louis Fed Working Papers 2008-005) | Full text |
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| Can the Standard International Business Cycle Model Explain the Relation Between Trade and | | Comovement?, by M. Ayhan Kose and Kei-Mu Yi (Philadelphia Fed Working Papers wp05-03) | Full text |
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| Determinants of Business Cycle | | Comovement: A Robust Analysis, by Marianne Baxter, Michael Kouparitsas (Chicago Fed Working papers WP-2004-14) | Abstract Full text |
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| | | Comovement: it's not a puzzle., by Riccardo DiCecio (St Louis Fed Working Papers 2005-035) | Full text |
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Stochastic Optimal Growth with a Non- | | Compact State Space, by Yuzhe Zhang (Minneapolis Fed Working Papers WP639) | Abstract Full text |
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| A New Social | | Compact: How University Engagement Can Fuel Innovation, by Larry Isaak, Rick Mattoon, Laura Melle (Chicago Fed Working papers WP-2006-08) | Abstract Full text |
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Financing and investment interdependencies in unquoted belgian | | compagnies , by Sophie Manigart, Katleen Baeyens and Ilse Verschueren (National Bank of Belgium Working Papers 029) | Full text |
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The Characteristics and Trading Behaviour of Dual-listed | | Companies , by Jaideep Bedi, Anthony Richards and Paul Tennant (Reserve Bank of Australia Research Discussion Papers RDP2003-06) | Abstract Full text |
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| Survey of Price-Setting Behaviour of Canadian | | Companies , by David Amirault, Carolyn Kwan, and Gordon Wilkinson (Bank of Canada Working papers 2006-35) | Abstract Full text |
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| Estimation of the Default Risk of Publicly Traded Canadian | | Companies , by Georges Dionne, Sadok Laajimi, Sofiane Mejri, and Madalina Petrescu (Bank of Canada Working papers 2006-28) | Abstract Full text |
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| Degree of Competition and Export-Production Relative Prices when the Exchange Rate Changes: Evidence from a Panel of Czech Exporting | | Companies , by Jirí Podpiera, Marie Raková (Czech National Bank Working papers 2006/10) | Abstract Full text |
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| Benchmarking Model Of Default Probabilities Of Listed | | Companies , by Cho-hoi Hui (Hong Kong Monetary Authority Working Papers RM2005-06) | Full text |
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| A Merton-model approach to assessing the default risk of UK public | | companies , by Merxe Tudela and Garry Young (Bank of England Working papers 194) | Abstract Full text |
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| The Challenges of Risk Management in Diversified Financial | | Companies , by Christine M. Cumming and Beverly J. Hirtle (New York Fed Economic policy review 0103cumm) | Abstract Full text |
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| Public Disclosure, Risk, and Performance at Bank Holding | | Companies , by Beverly Hirtle (New York Fed Staff reports 293) | Abstract Full text |
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| Inter-industry Contagion and the Competitive Effects of Financial Distress Announcements: Evidence from Commercial Banks and Life Insurance | | Companies , by Elijah III Brewer , William E. III Jackson (Chicago Fed Working papers WP-2002-23) | Abstract Full text |
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| Are Bank Holding | | Companies a Source of Strength to Their Banking Subsidiaries?, by Adam B. Ashcraft (New York Fed Staff reports 189) | Abstract Full text |
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| Are non-risk based capital requirements for insurance | | companies binding?, by Leo de Haan and Jan Kakes (Netherlands Bank DNB Working Papers 145) | Full text |
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| Service Output of Bank Holding | | Companies in the 1990s and the Role of Risk, by J. Christina Wang (Boston Fed Working papers 03-06) | Abstract Full text |
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| Why do capital intensive | | companies pay higher wages?, by Matti Virén (Bank of Finland Discussion Papers 2005/05) | Abstract Full text |
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| Risk-Adjusted Performance Measures at Bank Holding | | Companies with Section 20 Subsidiaries, by Victoria Geyfman (Philadelphia Fed Working Papers wp05-26) | Full text |
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| Where the Headquarters are - Evidence from Large Public | | Companies 1990-2000, by Tyler Diacon , Thomas Klier (Chicago Fed Working papers WP-2003-35) | Abstract Full text |
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| Is Corporate Governance Different for Bank Holding | | Companies?, by Renée Adams and Hamid Mehran (New York Fed Economic policy review 0304adam) | Abstract Full text |
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| Pension fund finance and sponsoring | | companies: empirical evidence on theoretical hypotheses, by E. Philip Davis, Sybille Grob and Leo de Haan (Netherlands Bank DNB Working Papers 158) | Full text |
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| | Company accounts based modelling of business failures and the implications for financial stability, by Philip Bunn and Victoria Redwood (Bank of England Working papers 210) | Abstract Full text |
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| Stock Market Reaction to Financial Statement Certification by Bank Holding | | Company CEOs, by Beverly Hirtle (New York Fed Staff reports 170) | Abstract Full text |
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| The roles of expected profitability, Tobin's Q and cash flow in econometric models of | | company investment, by Stephen Bond, Alexander Klemm, Rain Newton-Smith, Murtaza Syed and Gertjan Vlieghe (Bank of England Working papers 222) | Abstract Full text |
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| Defined benefit | | company pensions and corporate valuations: simulation and empirical evidence from the United Kingdom, by Kamakshya Trivedi and Garry Young (Bank of England Working papers 289) | Abstract Full text |
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| Location of manufacturing FDI in Hungary: How important are inter- | | company relationships?, by Gábor Békés (Magyar Nemzeti Bank Working papers 2005/07) | Abstract Full text |
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| Investor Behavior and the Purchase of | | Company Stock in 401(k) Plans -- The Importance of Plan Design, by Nellie Liang and Scott Weisbenner (Federal Reserve Board FEDS series 2002-36) | Abstract Full text |
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| 401(k) Matching Contributions in | | Company Stock: Costs and Benefits for Firms and Workers, by Jeffrey R. Brown, Nellie Liang, and Scott Weisbenner (Federal Reserve Board FEDS series 2004-23) | Abstract Full text |
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| Governing the Financial or Bank Holding | | Company: How Legal Infrastructure Can Facilitate Consolidated Risk Management, by Thomas C. Baxter, Jr. (New York Fed Current issues ci09-03) | Abstract Full text |
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Exports and productivity - | | comparable evidence for 14 countries, by The International Study Group on Exports and Productivity (National Bank of Belgium Working Papers 128) | Abstract Full text |
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| Exports and Productivity - | | Comparable Evidence for 14 Countries, by The International Study Group on Exports and Productivity (Central Bank of Chile Working Papers 437) | Abstract Full text |
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Development Paths and Dynamic | | Comparative Advantages: When Leamer Met Solow, by Rodrigo Fuentes; Verónica Mies (Central Bank of Chile Working Papers 453) | Abstract Full text |
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| What are the effects of fiscal policy shocks? A VAR-based | | comparative analysis, by Dario Caldara and Christophe Kamps (European Central Bank Working papers 877) | Full text |
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| | | Comparative Analysis of Alternative Methods for Seasonal Adjustment: X-12-ARIMA and TRAMO-SEATS, by Hahn Shik Lee (The Bank of Korea Economic Papers 28) | Abstract Full text |
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| Bank Failures and Bank Fundamentals: A | | Comparative Analysis of Latin America and East Asia during the Nineties using Bank-Level Data, by Marco Arena (Bank of Canada Working papers 2005-19) | Abstract Full text |
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| A | | Comparative Analysis of the Determinants of Financial Distress in French, Italian and Spanish firms, by Dyrberg, Anne (Danmarks Nationalbank Working papers WP26/2005) | Abstract Full text |
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| Labour productivity in the Nordic EU countries: a | | comparative overview and explanatory factors 1980-2004, by Anatoli Annenkov and Christophe Madaschi (European Central Bank Occasional papers 39) | Full text |
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International Trade Patterns over the Last Four Decades: How does Portugal | | Compare with other Cohesion Countries?, by Joăo Amador, Sónia Cabral, José Ramos Maria (Bank of Portugal Working papers 2007-14) | Abstract Full text |
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Mexico's and Asia's recoveries | | Compared , by Nicholas Kwan and Miranda Cheng (Hong Kong Monetary Authority Working Papers RM2001-10q108) | Full text |
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| | Comparing Alternative Output-Gap Estimators: A Monte Carlo Approach, by Rennison, Andrew (Bank of Canada Working papers 2003-8) | Abstract Full text |
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| | | Comparing alternative Phillips curve specifications: European results with survey-based expectations, by Maritta Paloviita (Bank of Finland Discussion Papers 2005/22) | Abstract Full text |
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| | | Comparing alternative predictors based on large-panel factor models, by Antonello D'Agostino and Domenico Giannone (European Central Bank Working papers 680) | Full text |
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| | | Comparing Alternative Predictors Based on Large-Panel Factor Models, by Antonello D'Agostino and Domenico Giannone (Central Bank of Ireland Research Technical Papers 06/RT/14) | Abstract Full text |
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| | | Comparing Alternative Representations and Alternative Methodologies in Business Cycle Accounting, by V. V. Chari, Patrick J. Kehoe, and Ellen R. McGrattan (Minneapolis Fed Working Papers WP647) | Abstract Full text |
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| US, Japan and the euro area: | | comparing business-cycle features, by Peter McAdam (European Central Bank Working papers 283) | Full text |
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| Evaluating the real effect of bank branching deregulation: | | comparing contiguous counties across U.S. state borders, by Rocco R. Huang (European Central Bank Working papers 788) | Full text |
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| Forecasting Inflation and Output: | | Comparing Data-Rich Models with Simple Rules, by William T. Gavin, and Kevin L. Kliesen (St Louis Fed Working Papers 2006-054) | Full text |
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| | | Comparing Dynamic Equilibrium Economies to Data, by Jesus Fernández-Villaverde and Juan F. Rubio-Ramírez (Atlanta Fed Working papers 2001-23) | Abstract Full text |
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| The distribution of contract durations across firms: a unified framework for understanding and | | comparing dynamic wage and price setting models, by Huw Dixon (European Central Bank Working papers 676) | Full text |
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| | | Comparing economic dynamics in the EU and CEE accession countries, by Ralph Süppel (European Central Bank Working papers 267) | Full text |
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| | | Comparing equilibrium real interest rates: different approaches to measure Brazilian rates, by Marcelo Kfoury Muinhos and Márcio I. Nakane (Central Bank of Brazil Working Papers 101) | Abstract Full text |
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| Understanding and | | Comparing Factor-Based Forecasts, by Jean Boivin and Serena Ng (IJCB International Journal of Central Banking 05q4a4) | Abstract Full text |
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