Optimal Simple and | | Implementable Monetary and Fiscal Rules, by Stephanie Schmitt-Grohé and Martín Uribe (Atlanta Fed Working papers 2007-24) | Abstract Full text |
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| Affine Term-Structure Models: Theory and | | Implementation , by Bolder, David Jamieson (Bank of Canada Working papers 2001-15) | Abstract Full text |
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| The Agriculture of Mexico After Ten Years of Nafta | | Implementation , by Antonio Yunez-Naude, Fernando Barceinas Paredes (Central Bank of Chile Working Papers 277) | Abstract Full text |
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| A model of the Eurosystem's operational framework for monetary policy | | implementation , by Christian Ewerhart (European Central Bank Working papers 0197) | Full text |
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| Tunnels and Reserves in Monetary Policy | | Implementation , by William Whitesell (Federal Reserve Board FEDS series 2003-28) | Abstract Full text |
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| Monetary Policy | | Implementation and Results in Twenty Inflation-Targeting Countries, by Klaus Schmidt-Hebbel, Matías Tapia (Central Bank of Chile Working Papers 166) | Abstract Full text |
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| Interest Rate Structure and Monetary Policy | | Implementation in Mainland China, by Wensheng Peng, Hongyi Chen and Weiwei Fan (Hong Kong Monetary Authority China Economic Issues 200601) | Full text |
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| The New Basel Capital Framework and its | | implementation in the European Union, by Frank Dierick, Fatima Pires, Martin Scheicher and Kai Gereon Spitzer (European Central Bank Occasional papers 042) | Full text |
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| Towards European monetary integration: the evolution of currency risk premium as a measure for monetary convergence prior to the | | implementation of currency unions, by Fernando González and Simo Launonen (European Central Bank Working papers 0569) | Full text |
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| Improving | | implementation of inflation targeting in New Zealand: an investigation of the Reserve Bank's inflation errors, by Philip Liu (Reserve Bank of New Zealand Discussion Papers DP2004/06) | Abstract Full text |
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| Money supply and the | | implementation of interest rate targets, by Andreas Schabert (European Central Bank Working papers 0483) | Full text |
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| On the | | Implementation of Markov-Perfect Interest Rate and Money Supply Rules: Global and Local Uniqueness, by Michael Dotsey (Philadelphia Fed Working Papers 08-30) | Full text |
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| Interest Rate Versus Money Supply Instruments: On the | | Implementation of Markov-Perfect Optimal Monetary Policy, by Michael Dotsey and Andreas Hornstein (Philadelphia Fed Working Papers wp07-27) | Full text |
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| On the | | Implementation of Markov-Perfect Interest Rate and Money Supply Rules: Global and Local Uniqueness, by Michael Dotsey, Andreas Hornstein (Richmond Fed Working Papers 09-06) | Abstract Full text |
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| Excess reserves and | | implementation of monetary policy of the ECB, by Ulrich Bindseil, Gonzalo Camba-Méndez, Astrid Hirsch and Benedict Weller (European Central Bank Working papers 0361) | Full text |
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| Payment and financial innovation, reserve demand and | | implementation of monetary policy, by Harri Lahdenperä (Bank of Finland Discussion Papers 2001/26) | Abstract Full text |
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| Preconditions for a successful | | implementation of supervisors' Prompt Corrective Action: Is there a case for a banking standard in the EU, by María J. Nieto and Larry D. Wall (Bank of Spain Working Papers 0702) | Abstract Full text |
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| Preconditions for a Successful | | Implementation of Supervisors' Prompt Corrective Action: Is There a Case for a Banking Standard in the European Union?, by María J. Nieto and Larry D. Wall (Atlanta Fed Working papers 2006-27) | Abstract Full text |
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| Water services in Italy: | | implementation of the reform and efficiency of providers, by Michele Benvenuti, Elena Gennari (Banca d'Italia Occasional Papers 23) | Abstract Full text |
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| Natural gas distribution in Italy: the | | implementation of the reform and its effects, by Silvia Giacomelli (Banca d'Italia Occasional Papers 21) | Abstract Full text |
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| The reform and | | implementation of the Stability and Growth Pact, by Richard Morris, Hedwig Ongena and Ludger Schuknecht (European Central Bank Occasional papers 047) | Full text |
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| Banks' optimal | | implementation strategies for a risk sensitive regulatory capital rule: a real options and signalling approach, by Kjell Bjørn Nordal (Central Bank of Norway Working Papers 2006/12) | Full text |
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| Monetary Policy | | Implementation Without Averaging or Rate Corridors, by William Whitesell (Federal Reserve Board FEDS series 2006-22) | Abstract Full text |
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| A Study of U.S. Monetary Policy | | Implementation: Demand for Reserves on a Period Average Basis, by Ruth Judson and Elizabeth Klee (Federal Reserve Board FEDS series 2009-22) | Abstract Full text |
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| Monetary policy | | implementation: Misconceptions and their consequences, by Piti Disyatat (Bank for International Settlements Working papers 269) | Abstract Full text |
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| A Simple Test of Simple Rules: Can They Improve How Monetary Policy is | | Implemented with Inflation Targets?, by Rowe, Nicholas and David Tulk (Bank of Canada Working papers 2003-31) | Abstract Full text |
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| | | Implementing Arrow-Debreu Equilibria by Trading Infinitely-Lived Securities, by Kevin X.D. Huang and Jan Werner (Kansas City Fed Working Papers RWP02-08) | Abstract Full text |
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| | | Implementing international standards for stronger financial systems, by Kate Langdon (Bank for International Settlements Quarterly Review 0103f) | Full text |
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| | | Implementing monetary policy in the 2000s: operating procedures in Asia and beyond, by Corrinne Ho (Bank for International Settlements Working papers 253) | Abstract Full text |
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| | | Implementing optimal control in cointegrated I(1) structural VAR models, by Francesca V. Monti (European Central Bank Working papers 0288) | Full text |
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| | | Implementing the stability and growth pact: enforcement and procedural flexibility, by Roel Beetsma and Xavier Debrun (European Central Bank Working papers 0433) | Full text |
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Foreign-owned banks: | | Implication for New Zealand's financial stability, by Leslie Hull (Reserve Bank of New Zealand Discussion Papers DP2002/05) | Abstract Full text |
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| Domestic financial development in emerging economies: evidence and | | implications , by Ettore Dorrucci, Alexis Meyer-Cirkel and Daniel Santabárbara (European Central Bank Occasional papers 102) | Full text |
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| Fiscal adjustment between 1991 and 2002: Stylised facts and policy | | implications , by Maria Gabriella Briotti (European Central Bank Occasional papers 009) | Full text |
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| A reappraisal of the evidence on PPP: a systematic investigation into MA roots in panel unit root tests and their | | implications , by Christoph Fischer, Daniel Porath (Deutsche Bundesbank Discussion Papers 200623) | Full text |
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| Understanding Asset Prices: Determinants and Policy | | Implications , by Laurent Clerc (Bank of France Working Papers Nr 168) | Abstract Full text |
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| The Prospect for the US Dollar and | | Implications , by Jiming Ha, Kelvin Fan, and Cynthia Leung (Hong Kong Monetary Authority Working Papers RM2002-11) | Full text |
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| Asymmetric Labor Market Institutions in the EMU: positive and normative | | implications , by Mirko Abbritti and Andreas Mueller (Central Bank of Iceland Working Papers 37) | Abstract
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| The Influence of Foreigners' Stock Investment on Korean Stock Prices and Its | | Implications , by Sangwon Suh (The Bank of Korea Economic Papers 80) | Abstract Full text |
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| Inflation Persistence: Alternative Interpretations and Policy | | Implications , by Argia M. Sbordone (New York Fed Staff reports 286) | Abstract Full text |
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| Netting, Financial Contracts, and Banks: The Economic | | Implications , by William Bergman , Robert Bliss , Christian Johnson , George Kaufman (Chicago Fed Working papers WP-2004-02) | Abstract Full text |
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| Dynamics of Labor Demand: Evidence from Plant-level Observations and Aggregate | | Implications , by Russell Cooper, John Haltiwanger, and Jonathan L. Willis (Kansas City Fed Working Papers RWP03-12) | Abstract Full text |
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| Real Interest Rate Persistence: Evidence and | | Implications , by Christopher J. Neely, and David E. Rapach (St Louis Fed Working Papers 2008-018) | Abstract Full text |
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| Timing Transitions Between Determinate and Indeterminate Equilibria in an Empirical DSGE Model: Benefits and | | Implications , by Anatoliy Belaygorod, and Michael J. Dueker (St Louis Fed Working Papers 2006-025) | Full text |
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| CDO rating methodology: Some thoughts on model risk and its | | implications , by Ingo Fender and John Kiff (Bank for International Settlements Working papers 163) | Abstract Full text |
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| Bank runs, welfare and policy | | implications , by Haibin Zhu (Bank for International Settlements Working papers 107) | Abstract Full text |
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| Switching from single to multiple bank lending relationships: determinants and | | implications , by Luísa A Farinha and João A C Santos (Bank for International Settlements Working papers 083) | Abstract Full text |
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| IMF-Supported Adjustment Programs: Welfare | | Implications and the Catalytic Effect, by Carlos de Resende (Bank of Canada Working papers 2007-22) | Abstract Full text |
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| Heterogeneity and Aggregation in the Labor Market: | | Implications for Aggregate Preference Shifts, by Yongsung Chang, Sun-Bin Kim (Richmond Fed Working Papers 03-17) | Abstract Full text |
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| The timeless perspective vs. discretion: theory and monetary policy | | implications for an open economy, by Alfred V. Guender (Deutsche Bundesbank Discussion Papers 200729) | Full text |
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| China's Rise as a Manufacturing Powerhouse: | | Implications for Asia, by Kit Wei Zheng, Ong Jia Wern, Kevin Kwan Tai You (Monetary Authority of Singapore Staff Papers No. 42) | Abstract Full text |
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| Exchange rates and global volatility: | | implications for Asia-Pacific currencies, by John Cairns, Corrinne Ho and Robert McCauley (Bank for International Settlements Quarterly Review 0703f) | Abstract
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| Expected Consumption Growth from Cross-Country Surveys: | | Implications for Assessing International Capital Markets, by Charles Engel and John H. Rogers (Federal Reserve Board International Financial Discussion Papers 2008-949) | Abstract Full text |
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| Denying Foreign Bank Entry: | | Implications For Bank Interest Margins, by Ross Levine (Central Bank of Chile Working Papers 222) | Abstract Full text |
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| Fair value accounting for financial instruments: some | | implications for bank regulation, by Wayne Landsman (Bank for International Settlements Working papers 209) | Abstract Full text |
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| Large Investors: | | Implications for Equilibrium Asset, Returns, Shock Absorption, and Liquidity, by Matthew Pritsker (Federal Reserve Board FEDS series 2005-36) | Abstract Full text |
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| Macroeconomic Stabilization through Monetary and Fiscal Policy Coordination: | | Implications for European Monetary Unions, by Jay H. Bryson (Federal Reserve Board International Financial Discussion Papers 2008-453) | Abstract
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| Internal Capital Markets in Multinational Banks: | | Implications for European Transition Countries, by (DNB) (Netherlands Bank DNB Working Papers 051) | Full text |
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| Change and constancy in the financial system: | | implications for financial distress and policy, by Claudio E. V. Borio (Bank for International Settlements Working papers 237) | Abstract Full text |
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| Hedge funds and their | | implications for financial stability, by Tomas Garbaravicius and Frank Dierick (European Central Bank Occasional papers 034) | Full text |
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| The marketability of bank assets and managerial rents: | | implications for financial stability, by Falko Fecht, Wolf Wagner (Deutsche Bundesbank Banking Supervision Discussion Papers 200712) | 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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| Corporate financial restructuring in Asia: | | implications for financial stability, by Michael Pomerleano (Bank for International Settlements Quarterly Review 0709i) | Abstract Full text |
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| Innovations in credit risk transfer: | | implications for financial stability, by Darrell Duffie (Bank for International Settlements Working papers 255) | Abstract Full text |
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| The impact of extreme weather events on budget balances and | | implications for fiscal policy, by Eliza M. Lis, Christiane Nickel (European Central Bank Working papers 1055) | Full text |
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| Reserve Accumulation: | | Implications for Global Capital Flows and Financial Markets, by Matthew Higgins and Thomas Klitgaard (New York Fed Current issues ci10-10) | Abstract Full text |
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| Identification with Averaged Data and | | Implications for Hedonic Regression Studies, by José Ferreira Machado, João Santos Silva (Bank of Portugal Working papers 2001-10) | Abstract Full text |
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| Corporate Balance Sheets in Developed Economies: | | Implications for Investment, by Denise Côté and Christopher Graham (Bank of Canada Working papers 2007-24) | Abstract Full text |
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| Securitisation in Asia and the Pacific: | | implications for liquidity and credit risks, by Jacob Gyntelberg and Eli M Remolona (Bank for International Settlements Quarterly Review 0606f) | Abstract Full text |
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| | | Implications for liquidity from innovation and transparency in the European corporate bond market, by Marco Laganá, Martin Perina, Isabel von Köppen-Mertes and Avinash Persaud (European Central Bank Occasional papers 050) | Full text |
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| The Excess Sensitivity of Long-Term Interest Rates: Evidence and | | Implications for Macroeconomic Models, by Refet S. Gurkaynak, Brian Sack, and Eric Swanson (Federal Reserve Board FEDS series 2003-50) | Abstract Full text |
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| Institutional asset managers: industry trends, incentives and | | implications for market efficiency, by Ingo Fender (Bank for International Settlements Quarterly Review 0309h) | Full text |
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| The euro-area government securities markets. Recent developments and | | implications for market functioning, by Roberto Blanco (Bank of Spain Working Papers 0120) | Full text |
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| Trends in Financial Market Concentration and Their | | Implications for Market Stability, by Nicola Cetorelli, Beverly Hirtle, Donald Morgan, Stavros Peristiani, and João Santos (New York Fed Economic policy review 0703hirt) | Abstract Full text |
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| Multivariate structural time series models with dual cycles : | | implications for measurement of output gap and potential growth, by Philippe Moës (National Bank of Belgium Working Papers 136) | Abstract Full text |
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| Do China's capital controls still bind? | | Implications for monetary autonomy and capital liberalisation, by Guonan Ma and Robert N. McCauley (Bank for International Settlements Working papers 233) | Abstract Full text |
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| Transition economy convergence in a two-country model: | | implications for monetary integration, by Jan Bruha and Jirí Podpiera (European Central Bank Working papers 0740) | Full text |
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| Reactions of Canadian Interest Rates to Macroeconomic Announcements: | | Implications for Monetary Policy Transparency, by Gravelle, Toni and Richhild Moessner (Bank of Canada Working papers 2001-5) | Abstract Full text |
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| Fiscal policy in Mediterranean countries - Developments, structures and | | implications for monetary policy, by Michael Sturm and François Gurtner (European Central Bank Occasional papers 069) | Full text |
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| New Keynesian, Open-Economy Models and Their | | Implications for Monetary Policy, by David Bowman; Brian M. Doyle (Federal Reserve Board International Financial Discussion Papers 2003-762) | Abstract Full text |
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| Revisions to PCE Inflation Measures: | | Implications for Monetary Policy, by Dean Croushore (Philadelphia Fed Working Papers 08-8) | Full text |
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| Lack of Signal Error (LoSE) and | | Implications for OLS Regression: Measurement Error for Macro Data, by Jeremy J. Nalewaik (Federal Reserve Board FEDS series 2008-15) | Abstract
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| Why Are Semiconductor Prices Falling So Fast? Industry Estimates and | | Implications for Productivity Measurement, by Ana Aizcorbe (Federal Reserve Board FEDS series 2002-20) | Abstract Full text |
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| Optimization in Production of Corporate Governance: Evidence from Auditor Independence and | | Implications for Public Policy, by Dino Falaschetti and Michael J. Orlando (Kansas City Fed Working Papers RWP03-13) | Abstract Full text |
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| Financial Literacy and Planning: | | Implications for Retirement Wellbeing, by Annamaria Lusardi and Olivia S. Mitchell (Netherlands Bank DNB Working Papers 078) | Full text |
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| Basel II and Operational Risk: | | Implications for risk measurement and management in the financial sector, by Ariane Chapelle, Yves Crama, Georges Hübner and Jean-Philippe Peters (National Bank of Belgium Working Papers 051) | Full text |
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| Japanese Banking Problems: | | Implications For Southeast Asia, by Joe Peek Eric, S. Rosengren (Central Bank of Chile Working Papers 121) | Abstract Full text |
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| Bank loans versus bond finance: | | implications for sovereign debtors, by Misa Tanaka (Bank of England Working papers 267) | Abstract Full text |
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| Specific Factors Meet Intermediate Inputs: | | Implications for Strategic Complementarities and Persistence, by Kevin X.D. Huang (Kansas City Fed Working Papers RWP04-06) | Abstract Full text |
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| Specific Factors Meet Intermediate Inputs: | | Implications for Strategic Complementarities and Persistence, by Kevin X. D. Huang (Philadelphia Fed Working Papers wp04-07) | Full text |
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| Banking Concentration: | | Implications for Systemic Risk and Safety Net Design, by Rodrigo Cifuentes (Central Bank of Chile Working Papers 231) | Abstract Full text |
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| Exchange rate variability, pressures and optimum currency area criteria: | | Implications for the central and eastern european countries, by Roman Horváth (Czech National Bank Working papers 2005/08) | Abstract
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| Pessimistic Beliefs under Rational Learning: Quantitative | | Implications for the Equity Premium Puzzle, by Massimo Guidolin (St Louis Fed Working Papers 2005-005) | Full text |
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| Fiscal sustainability and policy | | implications for the euro area, by Fabrizio Balassone, Jorge Cunha, Geert Langenus, Bernhard Manzke, Jeanne Pavot, Doris Prammer, Pietro Tommasino (National Bank of Belgium Working Papers 155) | Abstract Full text |
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| Fiscal sustainability and policy | | implications for the euro area, by Fabrizio Balassone, Jorge Cunha, Geert Langenus, Bernhard Manzke, Jeanne Pavot (European Central Bank Working papers 0994) | Full text |
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| Fiscal sustainability and policy | | implications for the euro area, by Fabrizio Balassone, Jeanne Pavot, Jorge Cunha, Doris Prammer, Geert Langenus, Pietro Tommasino, Bernhard Manzke (Deutsche Bundesbank Discussion Papers 200904) | Full text |
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| Fiscal sustainability and policy | | implications for the euro area, by Fabrizio Balassone, Jorge Cunha, Geert Langenus, Bernhard Manzke, Jeanne Pavot, Doris Prammer and Pietro Tommasino (Bank of France Working Papers Nr 225) | Abstract Full text |
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| Firm-Specific Labor and Firm-Specific Capital: | | Implications for the Euro-Data New Phillips Curve, by by Julien Matheron (IJCB International Journal of Central Banking 06q4a2) | Abstract Full text |
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| The Demand for Youth: | | Implications for the Hours Volatility Puzzle, by Nir Jaimovich, Seth Pruitt, and Henry E. Siu (Federal Reserve Board International Financial Discussion Papers 2009-964) | Abstract Full text |
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| Openness and Imperfect Pass-Through: | | Implications for the Monetary Policy, by Claudio Soto , Jorge Selaive (Central Bank of Chile Working Papers 216) | Abstract Full text |
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| Incomplete Markets and Households' Exposure to Interest Rate and Inflation Risk: | | Implications for the Monetary Policy Maker, by Andrea Pescatori (Cleveland Fed Working papers 0709) | Full text |
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| Financial Intermediation Theory and | | Implications for the Sources of Value in Structured Finance Markets, by Janet Mitchell (National Bank of Belgium Working Papers 071) | Abstract Full text |
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| Threshold dynamics of short-term interest rates: empirical evidence and | | implications for the term structure, by Theofanis Archontakis, Wolfgang Lemke (Deutsche Bundesbank Discussion Papers 200702) | Full text |
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| The Consolidation of Financial Market Regulation: Pros, Cons, and | | Implications for the United States, by Sabrina R. Pellerin, John R. Walter, Patricia E. Wescott (Richmond Fed Working Papers 09-08) | Abstract Full text |
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| Central Bank intraday collateral policy and | | implications for tiering in RTGS payment systems, by John P. Jackson and Mark J. Manning (Netherlands Bank DNB Working Papers 129) | Full text |
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| Who Tames the Celtic Tiger? Portfolio | | Implications from a Multivariate Markov Switching Model, by Massimo Guidolin, and Stuart Hyde (St Louis Fed Working Papers 2006-029) | Full text |
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| Escaping the Samaritan's Dilemma: | | Implications of a Dynamic Model of Altruistic Intergenerational Transfers, by Maria Perozek (Federal Reserve Board FEDS series 2005-67) | Abstract Full text |
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| Asset pricing | | implications of a New Keynesian model, by Bianca De Paoli, Alasdair Scott and Olaf Weeken (Bank of England Working papers 326) | Abstract Full text |
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| Welfare | | Implications of a Second Lender in the International Markets, by Luis Opazo (Central Bank of Chile Working Papers 422) | Abstract Full text |
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| Sterling | | implications of a US current account reversal, by Morten Spange and Pawel Zabczyk (Bank of England Working papers 296) | Abstract Full text |
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| Comparing the pre-settlement risk | | implications of alternative clearing arrangements, by John P Jackson and Mark J Manning (Bank of England Working papers 321) | Abstract Full text |
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| The | | implications of an ageing population for the UK economy, by Garry Young (Bank of England Working papers 159) | Abstract Full text |
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| | | Implications of Asymmetry Risk for Portfolio Analysis and Asset Pricing, by Fousseni Chabi-Yo, Dietmar Leisen, and Eric Renault (Bank of Canada Working papers 2007-47) | Abstract Full text |
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| Norwegian banks in a recession: Procyclical | | implications of Basel II, by Henrik Andersen (Central Bank of Norway Working Papers 2009/04) | Abstract Full text |
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| Welfare | | implications of Calvo vs. Rotemberg pricing assumptions, by Giovanni Lombardo and David Vestin (European Central Bank Working papers 0770) | Full text |
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| Macroeconomic | | Implications of Changes in the Term Premium, by Rudebusch, Sack, Swanson (San Francisco Fed Working Papers 2006-46) | Full text |
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| Official dollarisation/euroisation: motives, features and policy | | implications of current cases, by Adalbert Winkler, Francesco Mazzaferro, Carolin Nerlich and Christian Thimann (European Central Bank Occasional papers 011) | Full text |
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| Current accounts, net foreign assets and the | | implications of cyclical factors, by Matthieu Bussiere, Georgios Chortareas and Rebecca L Driver (Bank of England Working papers 173) | Abstract Full text |
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| Macroeconomic | | implications of demographic developments in the euro area, by Angela Maddaloni, Alberto Musso, Philipp C. Rother, Melanie Ward-Warmedinger and Thomas Westermann (European Central Bank Occasional papers 051) | Full text |
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| Whither monetary and financial stability? the | | implications of evolving policy regimes, by Claudio Borio and William White (Bank for International Settlements Working papers 147) | Abstract Full text |
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| The Immediacy | | Implications of Exchange Organization, by James T. Moser (Chicago Fed Working papers WP-2002-09) | Abstract Full text |
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| | | Implications of Exchange Rate Objectives under Incomplete Exchange Rate Pass-Through, by Malin Adolfson (Sveriges Riksbank Working Papers 135) | Abstract Full text |
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| The efficiency | | implications of financial conglomeration, by Ville Mälkönen (Bank of Finland Discussion Papers 2004/17) | Abstract Full text |
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| The Welfare | | Implications of Fiscal Dominance, by Carlos De Resende and Nooman Rebei (Bank of Canada Working papers 2008-28) | Abstract Full text |
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| | | Implications of habit formation for optimal monetary policy, by Jeffery D Amato and Thomas Laubach (Bank for International Settlements Working papers 121) | Abstract Full text |
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| Welfare | | Implications of Heterogeneous Labor Markets in a Currency Area, by Céline Poilly and Jean-Guillaume Sahuc (Bank of France Working Papers Nr 199) | Abstract Full text |
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| Quantitative | | Implications of Indexed Bonds in Small Open Economies, by Ceyhun Bora Durdu (Federal Reserve Board International Financial Discussion Papers 2007-909) | Abstract Full text |
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| The Welfare | | Implications of Inflation versus Price-Level Targeting in a Two-Sector, Small Open Economy, by Eva Ortega and Nooman Rebei (Bank of Canada Working papers 2006-12) | Abstract Full text |
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| | | Implications of Intellectual Property Rights for Dynamic Gains from Trade, by Michele Connolly and Diego Valderrama (San Francisco Fed Working Papers 2004-23) | Full text |
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| Business Cycle | | Implications of Internal Consumption Habit for New Keynesian Models, by Takashi Kano and James M. Nason (Atlanta Fed Working papers 2009-16) | Abstract Full text |
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| Welfare | | implications of joining a common currency, by Michele Ca'Zorzi (European Central Bank Working papers 0445) | Full text |
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| Capital and Risk: New Evidence on | | Implications of Large Operational Losses, by Patrick de Fontnouvelle , Virginia DeJesus-Rueff, John Jordan , and Eric Rosengren (Boston Fed Working papers 03-05) | Abstract Full text |
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| The | | implications of latent technology regimes for competition and efficiency in banking, by Michael Koetter, Tigran Poghosyan (Deutsche Bundesbank Banking Supervision Discussion Papers 200815) | Full text |
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| Cointegration | | implications of linear rational expectation models, by Mikael Juselius (Bank of Finland Discussion Papers 2008/06) | Abstract Full text |
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| On | | implications of micro price data for macro models, by Bartosz Mackowiak and Frank Smets (European Central Bank Working papers 0960) | Full text |
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| Cyclical | | implications of minimum capital requirements, by Frank Heid (Deutsche Bundesbank Banking Supervision Discussion Papers 200506) | Full text |
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| Simulation, estimation and welfare | | implications of monetary policies in a 3-country NOEM model, by Joseph Plasmans, Tomasz Michalak, Jorge Fornero (National Bank of Belgium Working Papers 094) | Abstract Full text |
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| | | Implications of monetary union for catching-up member states, by Marcelo Sánchez (European Central Bank Working papers 0630) | Full text |
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| Revenue | | Implications of New York City's Tax System, by Jesse Edgerton, Andrew F. Haughwout, and Rae Rosen (New York Fed Current issues ci10-04) | Abstract Full text |
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| Exploring the | | Implications of Official Dollarization on Macroeconomic Volatility., by Roberto Duncan (Central Bank of Chile Working Papers 200) | Abstract Full text |
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| Asset pricing | | implications of Pareto optimality with private information, by Narayana R. Kocherlakota, Luigi Pistaferri (Deutsche Bundesbank Discussion Papers 200529) | Full text |
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| Fiscal | | Implications of Personal Tax Adjustments in the Czech Republic, by Alena Bicáková, Jirí Slacálek, Michal Slavík (Czech National Bank Working papers 2006/07) | Abstract
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| A Primer on the Macroeconomic | | Implications of Population Aging, by Louise Sheiner, Daniel Sichel, and Lawrence Slifman (Federal Reserve Board FEDS series 2007-01) | Abstract Full text |
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| On the Aggregate and Distributional | | Implications of Productivity Differences across Countries, by Andrés Erosa, Tatyana Koreshkova, Diego Restuccia (Richmond Fed Working Papers 06-02) | Abstract Full text |
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| Risk Sharing and Efficiency | | Implications of Progressive Pension Arrangements, by Hans Fehr and Christian Habermann (Netherlands Bank DNB Working Papers 064) | Full text |
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| Macroeconomic | | implications of rising household debt, by Guy Debelle (Bank for International Settlements Working papers 153) | Abstract Full text |
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| The Income | | Implications of Rising U.S. International Liabilities, by Matthew Higgins, Thomas Klitgaard, and Cédric Tille (New York Fed Current issues ci11-12) | Abstract Full text |
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| Banks in the Securities Business: Market-Based Risk | | Implications of Section 20 Subsidiaries, by Victoria Geyfman (Philadelphia Fed Working Papers wp05-17) | Full text |
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| | | Implications of State-Dependent Pricing for Dynamic Macroeconomic Models, by Michael Dotsey and Robert G. King (Philadelphia Fed Working Papers wp05-02) | Full text |
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| International Economic | | Implications of the End of the Soviet Union, by William L. Helkie, David Howard, and Jaime Marquez (Federal Reserve Board International Financial Discussion Papers 2008-470) | Abstract
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| Systemic Risk | | Implications of the Hungarian Interbank Market, by Ágnes Lublóy (Magyar Nemzeti Bank Working papers 2004/10) | Abstract Full text |
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| The New Basel Accord: some potential | | implications of the new standards for credit risk, by Esa Jokivuolle - Karlo Kauko (Bank of Finland Discussion Papers 2001/02) | Abstract
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| Signal or Noise? | | Implications of the Term Premiumfor Recession Forecasting, by Joshua V. Rosenberg and Samuel Maurer (New York Fed Economic policy review 0807rose) | Abstract Full text |
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| Signal or Noise? | | Implications of the Term Premium, by for Recession Forecasting (New York Fed Economic policy review 0801rose) | Abstract Full text |
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| Welfare | | Implications of the Transition to High Household Debt, by Jeffrey R. Campbell, Zvi Hercowitz (Chicago Fed Working papers WP-2006-27) | Abstract Full text |
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| Real | | Implications of the Zero Bound on Nominal Interest Rates., by Alexander L. Wolman (Richmond Fed Working Papers 03-15) | Abstract Full text |
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| The | | Implications of Transmission and Information Lags for the Stabilization Bias and Optimal Delegation, by Jean-Paul Lam and Florian Pelgrin (Bank of Canada Working papers 2004-37) | Abstract Full text |
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| | | Implications of Uncertainty about Long-Run Inflation and the Price Level, by Stuber, Gerald (Bank of Canada Working papers 2001-16) | Abstract Full text |
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| Macroeconomic | | Implications of US Interest Rates for Hong Kong, by Jiming Ha and Cynthia Leung (Hong Kong Monetary Authority Working Papers RM2002-05) | Full text |
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| The mix of international banks'foreign claims: determinants and | | implications., by Alicia García-Herrero and María Soledad Martínez-Pería (Bank of Spain Working Papers 0525) | Abstract Full text |
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| Endogenous Nontradability and Macroeconomic | | Implications., by Paul R. Bergin and Reuven Glick (San Francisco Fed Working Papers 2003-09) | Full text |
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| Foreign exchange reserve accumulation in emerging markets: what are the domestic | | implications?, by M S Mohanty and Philip Turner (Bank for International Settlements Quarterly Review 0609f) | Abstract Full text |
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Information, liquidity and risk in the international interbank market: | | implicit guarantees and private credit market failure, by Henri Bernard and Joseph Bisignano (Bank for International Settlements Working papers 086) | Abstract Full text |
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| Comments on Jeske and Kreuger's %22Housing and the Macroeconomy: The Role of | | Implicit Guarantees for Government Sponsored Enterprises%22, by Brian Peterson (Atlanta Fed Working papers 2008-03) | Abstract Full text |
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| Housing and the Macroeconomy: The Role of | | Implicit Guarantees for Government-Sponsored Enterprises, by Karsten Jeske and Dirk Krueger (Atlanta Fed Working papers 2005-15) | Abstract Full text |
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| Rating targeting and the confidence levels | | implicit in bank capital, by Esa Jokivuolle - Samu Peura (Bank of Finland Discussion Papers 2006/27) | Abstract Full text |
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| Market Expectations | | Implicit in Derivative Prices: Applications to Exchange and Oil Markets, by Díaz de León, A. & M. Casanova (Bank of Mexico Working Papers 2004-01) | Full text |
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| Assessing the compensation for volatility risk | | implicit in interest rate derivatives, by Fabio Fornari (European Central Bank Working papers 0859) | Full text |
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| Term Structure Movements | | Implicit in Option Prices, by Carlos Ibsen R. Almeida and José Valentim M. Vicente (Central Bank of Brazil Working Papers 128) | Abstract Full text |
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| What Does the Yield Curve Tell Us About the Federal Reserve's | | Implicit Inflation Target?, by Taeyoung Doh (Kansas City Fed Working Papers RWP07-10) | Abstract Full text |
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| | | Implicit interest rates and corporate balance sheets: an analysis using aggregate and disaggregated UK data, by Andrew Benito and John Whitley (Bank of England Working papers 193) | Abstract Full text |
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| The GSE | | Implicit Subsidy and the Value of Government Ambiguity, by Wayne Passmore (Federal Reserve Board FEDS series 2005-5) | Abstract Full text |
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| The GSE | | Implicit Subsidy and Value of Government Ambiguity, by Wayne Passmore (Federal Reserve Board FEDS series 2003-64) | Abstract Full text |
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| | | Implicit tax co-ordination under repeated policy interactions, by Marco Catenaro and Jean-Pierre Vidal (European Central Bank Working papers 0259) | Full text |
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Volatility Forecasts for the Mexican Peso - U.S. Dollar Exchange Rate: An Empirical Analysis of Garch, Option | | Implied and Composite Forecast Models, by Benavides Guillermo (Bank of Mexico Working Papers 2006-04) | Full text |
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| Dynamic Estimation of Volatility Risk Premia and Investor Risk Aversion from Option- | | Implied and Realized Volatilities, by Tim Bollerslev, Michael Gibson, and Hao Zhou (Federal Reserve Board FEDS series 2004-56) | Abstract Full text |
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| Option- | | implied asymmetries in bond market expectations around monetary policy actions of the ECB, by Sami Vähämaa (European Central Bank Working papers 0315) | Full text |
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| Cross-dynamics of volatility term structures | | implied by foreign exchange options, by Elizaveta Krylova (European Central Bank Working papers 0530) | Full text |
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| Estimating and Comparing the | | Implied Cost of Equity for Canadian and U.S. Firms, by Jonathan Witmer and Lorie Zorn (Bank of Canada Working papers 2007-48) | Abstract Full text |
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| Internal Ratings Systems, | | Implied Credit Risk and the Consistency of Banks' Risk Classification Policies, by Tor Jacobson , Jesper Lindé and Kasper Roszbach (Sveriges Riksbank Working Papers 155) | Abstract Full text |
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| Density forecast evaluation and the effect of risk-neutral central moments on the currency risk premium: tests based on EUR/HUF option- | | implied densities, by Csaba Csávás (Magyar Nemzeti Bank Working papers 2008/03) | Abstract Full text |
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| Forecasting Exchange Rate Volatility: The Superior Performance of Conditional Combinations of Time Series and Option | | Implied Forecasts., by Benavides Guillermo; Capistrán Carlos (Bank of Mexico Working Papers 2009-01) | Full text |
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| | | Implied Interest Rate Skew, Term Premiums, and the "Conundrum", by J. Benson Durham (Federal Reserve Board FEDS series 2007-55) | Abstract
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| Explaining the level of credit spreads: option- | | implied jump risk premia in a firm value model, by Martijn Cremers, Joost Driessen, Pascal Maenhout and David Weinbaum (Bank for International Settlements Working papers 191) | Abstract Full text |
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| Zero Bound, Option- | | Implied PDFs, and Term Structure Models, by Don H. Kim (Federal Reserve Board FEDS series 2008-31) | Abstract Full text |
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| Option- | | implied preferences adjustments, density forecasts, and the equity risk premium, by Francisco Alonso, Roberto Blanco and Gonzalo Rubio (Bank of Spain Working Papers 0630) | Abstract Full text |
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| Summary statistics of option- | | implied probability density functions and their properties, by Damien Lynch and Nikolaos Panigirtzoglou (Bank of England Working papers 345) | Abstract Full text |
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| Modelling the | | implied probability of stock market movements, by Ernst Glatzer and Martin Scheicher (European Central Bank Working papers 0212) | Full text |
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| Testing the forecasting performace of IBEX 35 option | | implied risk neutral densities, by Francisco Alonso, Roberto Blanco and Gonzalo Rubio (Bank of Spain Working Papers 0504) | Abstract Full text |
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| Interpreting | | implied risk-neutral densities: the role of risk premia, by Peter Hördahl and David Vestin (European Central Bank Working papers 0274) | Full text |
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| Estimating and analysing currency options | | implied risk-neutral density functions for the largest new EU member states, by Olli Castrén (European Central Bank Working papers 0440) | Full text |
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| A study of | | implied risk-neutral density functions in the Norwegian option market, by Stig Arild Syrdal (Central Bank of Norway Working Papers 2002/13) | Full text |
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| Do options- | | implied RND functions on G3 currencies move around the times of interventions on the JPY/USD exchange rate?, by Olli Castrén (European Central Bank Working papers 0410) | Full text |
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| Evaluating | | Implied RNDs by Some New Confidence Interval Estimation Techniques, by Magnus Andersson and Magnus Lomakka (Sveriges Riksbank Working Papers 146) | Abstract Full text |
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| Macroeconomic announcements and | | implied volatilities in swaption markets, by Fabio Fornari (Bank for International Settlements Quarterly Review 0409h) | Abstract Full text |
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| | | Implied volatility of foreign exchange options: is it worth tracking?, by Áron Gereben - Klára Pintér (Magyar Nemzeti Bank Occasional papers 2005/39) | Abstract Full text |
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| Extracting risk neutral probability densities by fitting | | implied volatility smiles: Some methodological points and an application to the 3M Euribor futures option prices., by Andersen, Allan Bødskov; Wagener, Tom (Danmarks Nationalbank Working papers WP09/2002) | Abstract Full text |
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| Extracting risk neutral probability densities by fitting | | implied volatility smiles: some methodological points and an application to the 3M Euribor futures option prices, by Allan Bodskov Andersen and Tom Wagener (European Central Bank Working papers 0198) | Full text |
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| Predictable Dynamics in the S&P 500 Index Options | | Implied Volatility Surface, by Silvia Goncalves, and Massimo Guidolin (St Louis Fed Working Papers 2005-010) | Full text |
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| Modelling the MIB30 | | Implied Volatility Surface. Does Efficiency Matter?, by Gianluca Cassesse, and Massimo Guidolin (St Louis Fed Working Papers 2005-008) | Full text |
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| Volatility Forecasts, Trading Volume, and the ARCH versus Option- | | Implied Volatility Trade-off, by Glen Donaldson and Mark Kamstra (Atlanta Fed Working papers 2004-06) | Abstract Full text |
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| Stock | | Implied Volatility, Stock Turnover, and the Stock-Bond Return Relation, by Chris Stivers, Licheng Sun, and Robert Connolly (Atlanta Fed Working papers 2002-3a) | Abstract Full text |
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| The Effect of Bid-Ask Prices on Brazilian Options | | Implied Volatility: A Case Study of Telemar Call Options, by Claudio Henrique da Silveira Barbedo and Eduardo Facó Lemgruber (Central Bank of Brazil Working Papers 144) | Abstract Full text |
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When Does Determinacy | | Imply Expectational Stability?, by James B. Bullard, and Stefano Eusepi (St Louis Fed Working Papers 2008-007) | Full text |
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| Relationship lending and competition: Higher switching cost does not necessarily | | imply greater relationship benefits, by Timo Vesala (Bank of Finland Discussion Papers 2005/03) | Abstract Full text |
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| Does Openness | | Imply Greater Vulnerability?, by César Calderón; Norman V. Loayza; Klaus Schmidt-Hebbel (Central Bank of Chile Working Papers 485) | Abstract Full text |
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