Central Bank Research Hub - Series: Dallas Fed Institute Working Papers 2013

Papers by year: All | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009

Title Author(s)

Testing for Bubbles in Housing Markets: New Results Using a New Method

Paper: 0164, 30.12.2013

Institutional Quality, the Cyclicality of Monetary Policy and Macroeconomic Volatility

Paper: 0163, 30.12.2013

Debt, Inflation and Growth Robust Estimation of Long-Run Effects in Dynamic Panel Data Models

Paper: 0162, 22.11.2013

Is the Net Worth of Financial Intermediaries More Important than That of Non-Financial Firms?

Paper: 0161, 31.10.2013

U.S. Business Cycles, Monetary Policy and the External Finance Premium

Paper: 0160, 19.09.2013

Micro Price Dynamics During Japan's Lost Decades

Paper: 0159, 19.09.2013

A Shopkeeper Economy

Paper: 0158, 12.09.2013

How Does Government Spending Stimulate Consumption?

Paper: 0157, 12.09.2013

Why are Goods and Services more Expensive in Rich Countries? Demand Complementarities and Cross-Country Price Differences

Paper: 0156, 12.09.2013

Is Monetary Policy a Science? The Interaction of Theory and Practice Over the Last 50 Years

Paper: 0155, 03.09.2013

Commodity House Prices

Paper: 0154, 19.08.2013

Large Panel Data Models with Cross-Sectional Dependence: A Survey

Paper: 0153, 13.08.2013

Price Indexation, Habit Formation, and the Generalized Taylor Principle

Paper: 0152, 07.08.2013

International Reserves and Rollover Risk

Paper: 0151, 26.07.2013

Optimal Monetary Policy in a Currency Union With Interest Rate Spreads

Paper: 0150, 04.07.2013

Heterogeneous Bank Loan Responses to Monetary Policy and Bank Capital Shocks: A VAR Analysis Based on Japanese Disaggregated Data

Paper: 0149, 24.06.2013

Large Global Volatility Shocks, Equity Markets and Globalisation: 1885-2011

Paper: 0148, 12.06.2013

Tractable Latent State Filtering for Non-Linear DSGE Models Using a Second-Order Approximation

Paper: 0147, 04.06.2013

Common Correlated Effects Estimation of Heterogeneous Dynamic Panel Data Models with Weakly Exogenous Regressors

Paper: 0146, 26.04.2013

Financial Globalization and Monetary Transmission

Paper: 0145, 25.04.2013

JEL: E52, F41, F42, F47

A Bargaining Theory of Trade Invoicing and Pricing

Paper: 0144, 23.04.2013

JEL: F30, F40

Sovereign Debt Restructurings and the IMF: Implications for Future Official Interventions

Paper: 0143, 16.04.2013

JEL: F34, F53, H12, H63, O57

Sovereign Debt Crises: Could an International Court Minimize Them?

Paper: 0142, 16.04.2013

JEL: D82, F02, K41

Exchange Rate Pass-through, Firm Heterogeneity and Product Quality: A Theoretical Analysis

Paper: 0141, 13.03.2013

Merchanting and Current Account Balances

Paper: 0140, 26.02.2013

JEL: F10, F20, F32

Trade Barriers and the Relative Price Tradables

Paper: 0139, 26.02.2013

JEL: F1, F4

Spatial Considerations on the PPP Debate

Paper: 0138, 26.02.2013

JEL: C23, F41

Distribution Capital and the Short- and Long-Run Import Demand Elasticity

Paper: 0137, 30.01.2013

The GVAR Approach and the Dominance of the U.S. Economy

Paper: 0136, 16.01.2013

International Trade Price Stickiness and Exchange Rate Pass-through in Micro Data: A Case Study on U.S.-China Trade

Paper: 0135, 16.01.2013

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