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)

Financial Business Cycles

Paper: 1116, 29.08.2014

JEL: E32, E44, E47

Employment and Firm Heterogeneity, Capital Allocation, and Countercyclical Labor Market Policies

Paper: 1115, 29.08.2014

JEL: E24, E32, J64

The Role of Oil Price Shocks in Causing U.S. Recessions

Paper: 1114, 19.08.2014

JEL: E32, E37, E51, Q43

Estimating U.S. Cross-Border Securities Positions: New Data and New Methods

Paper: 1113, 19.08.2014

JEL: C8, F3, G1

Returns to Active Management: The Case of Hedge Funds

Paper: 1112, 19.08.2014

JEL: G11, G12, G14, G23

The Domestic and International Effects of Interstate U.S. Banking

Paper: 1111, 09.08.2014

JEL: E32, F32, F41, G21

U.S. Unconventional Monetary Policy and Transmission to Emerging Market Economies

Paper: 1109, 25.06.2014

JEL: E58, F42, G15

The Energy Boom and Manufacturing in the United States

Paper: 1108, 25.06.2014

JEL: D24, Q43

Understanding the Great Recession

Paper: 1107, 25.06.2014

JEL: E2, E24, E32

The Decline of Drudgery and the Paradox of Hard Work

Paper: 1106, 25.06.2014

JEL: E24, J22, O40

Liquidity Risk and U.S. Bank Lending at Home and Abroad

Paper: 1105, 25.06.2014

JEL: F42, G01, G21

Sovereign Debt Crises

Paper: 1104, 25.06.2014

JEL: E44, F34, G01, G28

Taxes and International Risk Sharing

Paper: 1110, 25.06.2014

JEL: F41, F44, H29

Uncovered Equity Parity and Rebalancing in International Portfolios

Paper: 1103, 22.05.2014

JEL: F21, G11, G12

Menu Costs, Trade Flows, and Exchange Rate Volatility

Paper: 1102, 16.04.2014

JEL: E31, F14, F31, F32

Evaluating Asset-Market Effects of Unconventional Monetary Policy: A Cross-Country Comparison

Paper: 1101, 03.04.2014

JEL: C22, E43

Inference Based on SVARs Identified with Sign and Zero Restrictions: Theory and Applications

Paper: 1100, 03.04.2014

JEL: E1

Bank Ownership, Lending, and Local Economic Performance During the 2008-2010 Financial Crisis

Paper: 1099, 01.04.2014

JEL: E44, E51, E65, G01, G21, H81, J23, R11, R5

Are Long-Term Inflation Expectations Well Anchored in Brazil, Chile and Mexico?

Paper: 1098, 01.04.2014

JEL: D84, E31, E43, E44, E52, E58, G14

A Model of Slow Recoveries from Financial Crises

Paper: 1097, 06.03.2014

Do Small Businesses Still Prefer Community Banks?

Paper: 1096, 02.01.2014

Trade Reforms, Foreign Competition, and Labor Market Adjustments in the U.S.

Paper: 1095, 02.01.2014

Local Currency Sovereign Risk

Paper: 1094, 02.01.2014

Surprise adn Uncertainty Indexes: Real-Time Aggregation of Real-Activity Macro Surprises

Paper: 1093, 22.11.2013

Can Structural Reforms Help Europe?

Paper: 1092, 22.11.2013

Portfolio Diversification and the Cross-Sectional Distribution of Foreign Investment

Paper: 1091, 22.11.2013

Interest Rate Swaps and Corporate Default

Paper: 1090, 22.11.2013

Unemployment and Business Cycles

Paper: 1089, 22.10.2013

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

Paper: 1088, 22.10.2013

Export Dynamics in Large Devaluations

Paper: 1087, 22.10.2013

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

Collateral Constraints and Macroeconomic Asymmetries

Paper: 1082, 03.09.2013

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

Paper: 1081, 12.06.2013

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

Paper: 1080, 12.06.2013

Taxation, Match Quality and Social Welfare

Paper: 1079, 04.05.2013

A Robust Neighborhood Truncation Approach to Estimation of Integrated Quarticity

Paper: 1078, 10.04.2013

On Returns Differentials

Paper: 1077, 10.04.2013

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

Paper: 1076, 10.04.2013

Asymmetric Information and the Death of ABS CDOs

Paper: 1075, 02.04.2013

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

Challenges for the Future of Chinese Economic Growth

Paper: 1072, 26.03.2013

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

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