Central Bank Research Hub - Series: New York Fed Staff reports 2011

Papers by year: All | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004

Title Author(s)

The Impact of the Great Recession on School District Finances: Evidence from New York

Paper: 534, 28.12.2011

Dodd-Frank One Year On: Implications for Shadow Banking

Paper: 533, 27.12.2011

Financial Intermediary Balance Sheet Management

Paper: 532, 27.12.2011

Some Unpleasant General Equilibrium Implications of Executive Incentive Compensation Contracts

Paper: 531, 27.12.2011

What Do Drug Monopolies Cost Consumers in Developing Countries?

Paper: 530, 27.12.2011

Repo and Securities Lending

Paper: 529, 27.12.2011

Which Financial Frictions? Parsing the Evidence from the Financial Crisis of 2007-09

Paper: 528, 23.12.2011

The Macroeconomic Effects of Large-Scale Asset Purchase Programs

Paper: 527, 21.12.2011

Housing Busts and Household Mobility: An Update

Paper: 526, 11.11.2011

Incentives and Responses under No Child Left Behind: Credible Threats and the Role of Competition

Paper: 525, 08.11.2011

Optimal Disinflation under Learning

Paper: 524, 07.11.2011

Do We Know What We Owe? A Comparison of Borrower- and Lender-Reported Consumer Debt

Paper: 523, 18.10.2011

The International Role of the Dollar: Does It Matter if This Changes?

Paper: 522, 12.10.2011

Early Contract Renegotiation: An Analysis of U.S. Labor Contracts from 1970 to 1995

Paper: 521, 07.10.2011

The Great Escape? A Quantitative Evaluation of the Fed's Liquidity Facilities

Paper: 520, 05.10.2011

Expectations versus Fundamentals: Does the Cause of Banking Panics Matter for Prudential Policy?

Paper: 519, 04.10.2011

Market Declines: Is Banning Short Selling the Solution?

Paper: 518, 01.10.2011

An Analysis of CDS Transactions: Implications for Public Reporting

Paper: 517, 27.09.2011

Belief Updating among College Students: Evidence from Experimental Variation in Information

Paper: 516, 26.09.2011

Learning the Fiscal Theory of the Price Level: Some Consequences of Debt Management Policy

Paper: 515, 26.09.2011

Real Estate Investors, the Leverage Cycle, and the Housing Market Crisis

Paper: 514, 12.09.2011

Decomposing Short-Term Return Reversal

Paper: 513, 09.09.2011

The Pre-FOMC Announcement Drift

Paper: 512, 03.09.2011

Liquidity Management of U.S. Global Banks: Internal Capital Markets in the Great Recession

Paper: 511, 25.08.2011

Evaluating Interest Rate Rules in an Estimated DSGE Model

Paper: 510, 25.08.2011

Inflation Expectations and Behavior: Do Survey Respondents Act on Their Beliefs?

Paper: 509, 23.08.2011

The Dynamics and Differentiation of Latin American Metal Exports

Paper: 508, 18.08.2011

Mapping Change in the Federal Funds Market

Paper: 507, 15.08.2011

Repo Runs: Evidence from the Tri-Party Repo Market

Paper: 506, 30.07.2011

Sustainable Social Security: Four Options

Paper: 505, 28.07.2011

The Empirical Content of Models with Multiple Equilibria in Economies with Social Interactions

Paper: 504, 28.07.2011

The Production Impact of "Cash-for-Clunkers": Implications for Stabilization Policy

Paper: 503, 16.07.2011

Corporate Governance and Banks: What Have We Learned from the Financial Crisis?

Paper: 502, 01.07.2011

Stereotypes and Madrassas: Experimental Evidence from Pakistan

Paper: 501, 01.07.2011

Determinants of College Major Choice: Identification Using an Information Experiment

Paper: 500, 01.07.2011

Global Bond Risk Premiums

Paper: 499, 02.06.2011

A Model of Liquidity Hoarding and Term Premia in Inter-Bank Markets

Paper: 498, 28.05.2011

A Note on Bank Lending in Times of Large Bank Reserves

Paper: 497, 27.05.2011

Central Bank Transparency, the Accuracy of Professional Forecasts, and Interest Rate Volatility

Paper: 496, 26.05.2011

Sectoral Price Facts in a Sticky-Price Model

Paper: 495, 25.05.2011

Are Credit Default Swaps Associated with Higher Corporate Defaults?

Paper: 494, 14.05.2011

Efficient, Regression-Based Estimation of Dynamic Asset Pricing Models

Paper: 493, 07.05.2011

Bank Capital Regulation and Structured Finance

Paper: 492, 05.05.2011

FOMC Communication Policy and the Accuracy of Fed Funds Futures

Paper: 491, 18.04.2011

Robust Capital Regulation

Paper: 490, 13.04.2011

Expectations of Inflation: The Biasing Effect of Thoughts about Specific Prices

Paper: 489, 08.04.2011

Liquidity Hoarding

Paper: 488, 22.03.2011

Central Bank Transparency and the Crowding Out of Private Information in an Experimental Asset Market

Paper: 487, 09.03.2011

Vouchers, Responses, and the Test-Taking Population: Regression Discontinuity Evidence from Florida

Paper: 486, 02.03.2011

BASEL III: Long-Term Impact on Economic Performance and Fluctuations

Paper: 485, 26.02.2011

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