Central Bank Research Hub - Series: Philadelphia Fed Working Papers 2011

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Title Author(s)

Optimal Labor-Market Policy in Recessions

Paper: 11-48, 01.12.2011

A Quantitative Analysis of Unemployment Benefit Extensions

Paper: 11-8/R, 10.11.2011

Supply-Side Policies and the Zero Lower Bound

Paper: 11-47, 27.10.2011

Large Capital Infusions, Investor Reactions, and the Return and Risk Performance of Financial Institutions over the Business Cycle and Recent Financial Crisis

Paper: 11-46, 08.10.2011

On the Network Topology of Variance Decompositions: Measuring the Connectedness of Financial Firms

Paper: 11-45, 04.10.2011

Declining Labor Turnover and Turbulence

Paper: 11-44, 29.09.2011

Subprime Mortgages and the Housing Bubble

Paper: 11-12/R, 28.09.2011

Sovereign Risk and the Effects of Fiscal Retrenchment in Deep Recessions

Paper: 11-43, 26.09.2011

The Agglomeration of R&D Labs

Paper: 11-42, 23.09.2011

Improving GDP Measurement: A Forecast Combination Perspective

Paper: 11-41, 21.09.2011

Do Phillips Curves Conditionally Help to Forecast Inflation?

Paper: 11-40, 21.09.2011

Rising Indebtedness and Temptation: A Welfare Analysis

Paper: 11-39, 15.09.2011

Portage and Path Dependence

Paper: 11-38, 09.09.2011

Trading Dynamics in Decentralized Markets with Adverse Selection

Paper: 11-36, 08.09.2011

How Much Did Banks Pay to Become Too-Big-to-Fail and to Become Systemically Important?

Paper: 11-37, 08.09.2011

Dealing with Consumer Default: Bankruptcy vs. Garnishment

Paper: 11-35, 26.08.2011

Can Oil Prices Forecast Exchange Rates?

Paper: 11-34, 26.08.2011

Maturity, Indebtedness, and Default Risk

Paper: 11-33, 16.08.2011

Fiscal Volatility Shocks and Economic Activity

Paper: 11-32, 12.08.2011

Out-of-Sample Forecast Tests Robust to the Choice of Window Size

Paper: 11-31, 10.08.2011

Collateral Damage: Sizing and Assessing the Subprime CDO Crisis

Paper: 11-30, 10.08.2011

On the Implementation of Markov-Perfect Monetary Policy

Paper: 11-29, 05.08.2011

Optimal Monetary Policy in a Model of Money and Credit

Paper: 11-28, 05.08.2011

Who Said Large Banks Don't Experience Scale Economies? Evidence from a Risk-Return-Driven Cost Function

Paper: 11-27, 02.08.2011

A Quantitative Analysis of the US Housing and Mortgage Markets and the Foreclosure Crisis

Paper: 11-26, 21.07.2011

Real-Time Data and Fiscal Policy Analysis: A Survey of the Literature

Paper: 11-25, 09.07.2011

Core Measures of Inflation as Predictors of Total Inflation

Paper: 11-24, 30.06.2011

The Dynamics of Public Investment Under Persistent Electoral Advantage

Paper: 11-23, 26.06.2011

The Trust Preferred CDO Market: From Start to (Expected) Finish

Paper: 11-22, 26.06.2011

Partisan Cycles and the Consumption Volatility Puzzle

Paper: 11-21, 14.06.2011

Inference for VARs Identified with Sign Restrictions

Paper: 11-20, 07.06.2011

Establishment Heterogeneity, Exporter Dynamics, and the Effects of Trade Liberalization

Paper: 11-19, 12.05.2011

Private Equity Premium in a General Equilibrium Model of Uninsurable Investment Risk

Paper: 11-18, 10.05.2011

Limited and Varying Consumer Attention: Evidence from Shocks to the Salience of Bank Overdraft Fees

Paper: 11-17, 21.04.2011

The Long and Large Decline in State Employment Growth Volatility

Paper: 11-16, 09.04.2011

Home Equity Withdrawal in Retirement

Paper: 11-15, 05.04.2011

Bankruptcy: Is It Enough to Forgive or Must We Also Forget?

Paper: 11-14, 02.04.2011

Credit Cycle and Adverse Selection Effects in Consumer Credit Markets: Evidence from the HELOC Market

Paper: 11-13, 29.03.2011

Subprime Mortgages and the Housing Bubble

Paper: 11-12, 29.03.2011

Is Technology-Enhanced Credit Counseling as Effective as In-Person Delivery?

Paper: 11-11, 29.03.2011

UK World War I and Interwar Data for Business Cycle and Growth Analysis

Paper: 11-10, 29.03.2011

Floats, Pegs and the Transmission of Fiscal Policy

Paper: 11-9, 29.03.2011

A Quantitative Analysis of Unemployment Benefit Extensions

Paper: 11-8, 29.03.2011

Estimation and Evaluation of DSGE Models: Progress and Challenges

Paper: 11-7, 29.03.2011

U.S. Trade and Inventory Dynamics

Paper: 11-6, 29.03.2011

Evaluating DSGE Model Forecasts of Comovements

Paper: 11-5, 29.03.2011

Optimal Monetary Policy in a Model of Money and Credit

Paper: 11-4, 29.03.2011

Strategic Default on First and Second Lien Mortgages During the Financial Crisis

Paper: 11-3, 29.03.2011

A Dynamic Model of Unsecured Credit

Paper: 11-2, 29.03.2011

Lessons from the Latest Data on U.S. Productivity

Paper: 11-1, 29.03.2011

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