Central Bank Research Hub - Series: Board of Governors of the Federal Reserve System International Financial Discussion Papers

Papers by year: All | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003

Title Author(s)

"Fool Me Once . . . " Did U.S. Investors Play it Safer in the European Debt Crisis?

Paper: 1088, 22.10.2013

Collateral Constraints and Macroeconomic Asymmetries

Paper: 1082, 03.09.2013

International Evidence on Government Support and Risk Taking in the Banking Sector

Paper: 1086, 03.09.2013

Global Financial Conditions, Country Spreads and Macroeconomic Fluctuations in Emerging Countries

Paper: 1085, 03.09.2013

Say on Pay Laws, Executive Compensation, CEO Pay Slice, and Firm Value Around the World

Paper: 1084, 03.09.2013

The Systemic Risk of European Banks During the Financial and Sovereign Debt Crisis

Paper: 1083, 03.09.2013

Do Central Banks? Forecasts Take Into Account Public Opinion and Views?

Paper: 1080, 12.06.2013

Capital Flows to Emerging Market Economies: A Brave New World?

Paper: 1081, 12.06.2013

Taxation, Match Quality and Social Welfare

Paper: 1079, 04.05.2013

Revenge of the Steamroller: ABCP as a Workflow on Risk Choices

Paper: 1076, 10.04.2013

A Robust Neighborhood Truncation Approach to Estimation of Integrated Quarticity

Paper: 1078, 10.04.2013

On Returns Differentials

Paper: 1077, 10.04.2013

Asymmetric Information and the Death of ABS CDOs

Paper: 1075, 02.04.2013

Challenges for the Future of Chinese Economic Growth

Paper: 1072, 26.03.2013

The Cyclicality of Job-to-Job Transitions and Its Implications for Aggregate Productivity

Paper: 1074, 26.03.2013

A Theory of Rollover Risk, Sudden Stops, and Foreign Reserves

Paper: 1073, 26.03.2013

Do Recessions Affect Potential Output?

Paper: 1066, 06.02.2013

Institutional Herding in the Corporate Bond Market

Paper: 1071, 06.02.2013

Firm Characteristics and Empirical Factor Models: A Data-Mining Experiment

Paper: 1070, 06.02.2013

Sovereign Credit Risk, Banks' Government Support, and Bank Stock Returns Around the World

Paper: 1069, 06.02.2013

Variance Risk Premiums and the Forward Premium Puzzle

Paper: 1068, 06.02.2013

Banks, Sovereign Debt and the International Transmission of Business Cycles

Paper: 1067, 06.02.2013

Fiscal Consolidation in a Currency Union: Spending Cuts vs. Tax Hikes

Paper: 1063, 28.11.2012

Interest Rate and the Volatility and Correlation of Commodity Prices

Paper: 1065, 28.11.2012

Foreign Banks in the U.S.: A Primer

Paper: 1064, 28.11.2012

Evaluating a Global Vector Autoregression for Forecasting

Paper: 1056, 10.11.2012

A State-Dependent Model for Inflation Forecasting

Paper: 1062, 10.11.2012

Gauging The Effects of Fiscal Stimulus Packages In The Euro Area

Paper: 1061, 10.11.2012

Nonparametric HAC Estimation for Time Series Data with Missing Observations

Paper: 1060, 10.11.2012

Liquidity Shocks, Dollar Funding Costs, and the Bank Lending Channel During the European Sovereign Crisis

Paper: 1059, 10.11.2012

Crisis and Calm: Demand for U.S. Currency at Home and Abroad From the Fall of the Berlin Wall to 2011

Paper: 1058, 10.11.2012

The Return on U.S. Direct Investment at Home and Abroad

Paper: 1057, 10.11.2012

International Relative Price Levels: A Look Under the Hood

Paper: 1055, 06.09.2012

Individual Price Adjustment Along the Extensive Margin

Paper: 1052, 06.09.2012

Heterogeneous Workers, Optimal Job Seeking, and Aggregate Labor Market Dynamics

Paper: 1053, 06.09.2012

Commodity Price Movements in a General Equilibrium Model of Storage

Paper: 1054, 06.09.2012

U.S. Real Interest Rates and Default Risk in Emerging Economies

Paper: 1051, 14.08.2012

JEL: F34, G15

Do Oil Prices Help Forecast U.S. Real GDP? The Role of Nonlinearities and Asymmetries

Paper: 1050, 13.07.2012

JEL: C32, C53, Q43

Exchange Rate Policy and Sovereign Bond Spreads in Developing Countries

Paper: 1049, 13.07.2012

JEL: E58, F31, F33, F34

How Do Laffer Curves Differ Across Countries?

Paper: 1048, 24.05.2012

JEL: E00, E13, E2, E3, E62, H00, H2, H3, H6

The Timing of Sovereign Defaults Over Electoral Terms

Paper: 1047, 24.05.2012

JEL: F34, H63

Fiscal Consolidation in an Open Economy

Paper: 1046, 04.05.2012

JEL: E52, E58

When Good Investments Go Bad: The Contraction in Community Bank Lending After the 2008 GSE Takeover

Paper: 1045, 24.03.2012

JEL: E61, G21, G28

U.S. International Equity Investment

Paper: 1044, 23.03.2012

JEL: C35, F21, G11

The Effect of TARP on Bank Risk-Taking

Paper: 1043, 07.03.2012

JEL: E61, G21, G28

Foreign Holdings of U.S. Treasuries and U.S. Treasury Yields

Paper: 1041, 29.02.2012

JEL: F31, F32, F34

Monetary Policy in Emerging Market Economies: What Lessons From the Global Financial Crisis?

Paper: 1042, 29.02.2012

JEL: E52, E58, E63

The Hitchhiker's Guide to Missing Import Price Changes and Pass-Through

Paper: 1040, 14.02.2012

Aggregate Hours Worked in OECD Countries: New Measurement and Implications for Business Cycles

Paper: 1039, 10.01.2012

Exports Versus Multinational Production Under Nominal Uncertainty

Paper: 1038, 08.12.2011

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