An Anatomy of Credit Booms: Evidence From | | Macro Aggregates and Micro Data, by Enrique G. Mendoza and Marco E. Terrones (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0936) | Abstract Full text |
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| Explaining Bank Failures in Brazil: Micro, | | Macro and Contagion Effects (1994-1998), by Adriana Soares Sales and Maria Eduarda Tannuri-Pianto (Central Bank of Brazil Working Papers 147) | Abstract Full text |
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| Distilling co-movements from persistent | | macro and financial series, by Karim Abadir and Gabriel Talmain (European Central Bank Working papers 0525) | Full text |
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| Does corruption hamper bank lending? | | Macro and micro evidence, by Laurent Weill (Bank of Finland BOFIT Discussion Papers 2009/03) | Abstract Full text |
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| Interpreting the Great Moderation: Changes in the Volatility of Economic Activity at the | | Macro and Micro Levels, by Steven J. Davis and James A. Kahn (Federal Reserve Bank of New York Staff reports 334) | Abstract Full text |
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| Tax Incentives for Retirement Savings: | | Macro and Welfare Effects in an OLG-GE Model with Liquidity Constraints and Heterogeneous Consumers., by Rodrigo Cifuentes (Central Bank of Chile Working Papers 242) | Abstract Full text |
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| Jumps, Cojumps and | | Macro Announcements, by Jérôme Lahaye, Sébastien Laurent, and Christopher J. Neely (St Louis Fed Working Papers 2007-032) | Full text |
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| Exchange rate volatility, | | macro announcements and the choice of intraday seasonality filtering method, by Helinä Laakkonen (Bank of Finland Discussion Papers 2007/23) | Abstract Full text |
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| Do | | macro announcements still drive the US bond market?, by Craig H Furfine (Bank for International Settlements Quarterly Review 0106f) | Full text |
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| Monetary policy and bank distress: an integrated micro- | | macro approach, by Ferre de Graeve, Thomas Kick, Michael Koetter (Deutsche Bundesbank Banking Supervision Discussion Papers 2008/03) | Full text |
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| Is there a signalling role for public wages? Evidence for the euro area based on | | macro data, by Javier J. Pérez and A. Jesús Sánchez (Bank of Spain Working Papers 0934) | Abstract Full text |
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| Lack of Signal Error (LoSE) and Implications for OLS Regression: Measurement Error for | | Macro Data, by Jeremy J. Nalewaik (Board of Governors of the Federal Reserve System FEDS series 2008-15) | Abstract
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| Is there a signalling role for public wages? Evidence for the euro area based on | | macro data,, by Javier J. Pérez, Jesús Sánchez, (European Central Bank Working papers 1148) | Full text |
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| The Micro- | | Macro Disconnect of Purchasing Power Parity, by Bergin, Glick, Wu (San Francisco Fed Working Papers 2010-14) | Full text |
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| AQM-06: The | | Macro economic Model of the OeNB, by Martin Schneider and Markus Leibrecht (Austrian National Bank Working Papers WP132) | Abstract Full text |
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| Capital Charges under Basel II: Corporate Credit Risk Modelling and the | | Macro Economy, by Kenneth Carling, Tor Jacobson , Jesper Lindé and Kasper Roszbach (Sveriges Riksbank Working Papers 142) | Abstract Full text |
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| Interdependencies between Expected Default Frequency and the | | Macro Economy, by by Per Ĺsberg Sommar and Hovick Shahnazarian (IJCB International Journal of Central Banking 09q3a3) | Abstract Full text |
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| Business Survey Data: Do They Help in Forecasting the | | Macro Economy?, by Jesper Hansson, Per Jansson , Mĺrten Löf (Sveriges Riksbank Working Papers 151) | Abstract Full text |
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| Wage flexibility in Britain: some micro and | | macro evidence, by Mark E Schweitzer (Bank of England Working papers 331) | Abstract Full text |
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| Term structure forecasting using | | macro factors and forecast combination, by Michiel de Pooter, Francesco Ravazzolo and Dick van Dijk., (Central Bank of Norway (Norges Bank) Working Papers 2010/01) | Abstract
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| Term Structure Forecasting Using | | Macro Factors And Forecast Combination, by Michiel De Pooter, Francesco Ravazzolo, and Dick van Dijk (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0993) | Abstract Full text |
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| | | Macro factors in the term structure of credit spreads, by Jeffery D Amato and Maurizio Luisi (Bank for International Settlements Working papers 203) | Abstract Full text |
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| Forecasting with a forward-looking DGE model - combining long-run views of financial markets with | | macro forecasting, by Hanna-Leena Männistö (Bank of Finland Discussion Papers 2005/21) | Abstract Full text |
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| Macroeconomic Derivatives: An Initial Analysis of Market-Based | | Macro Forecasts, Uncertainty, and Risk, by Gurkaynak, Wolfers (San Francisco Fed Working Papers 2005-26) | Full text |
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| Bank interest rates in a small European economy: Some exploratory | | macro level analyses using Finnish data, by Karlo Kauko (Bank of Finland Discussion Papers 2005/09) | Abstract Full text |
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| Public infrastructures, public consumption and welfare in a new open economy | | macro model, by Giovanni Ganelli – Juha Tervala (Bank of Finland Discussion Papers 2009/08) | Abstract Full text |
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| What macroeconomic shocks affect the German banking system? Analysis in an integrated micro- | | macro model, by Sven Blank, Jonas Dovern (Deutsche Bundesbank Banking Supervision Discussion Papers 2009/15) | Full text |
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| Analyzing Fiscal Policy and Growth with a Calibrated | | Macro Model, by Péter Benczúr - András Simon - Viktor Várpalotai (Magyar Nemzeti Bank (the central bank of Hungary) Working papers 2003/13) | Abstract Full text |
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| Yield Curve in an Estimated Nonlinear | | Macro Model, by Taeyoung Doh (Kansas City Fed Working Papers 09-04) | Abstract Full text |
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| Liquidity Stress-Tester: A | | macro model for stress-testing banks' liquidity risk, by Jan Willem van den End (Netherlands Bank DNB Working Papers 175) | Full text |
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| Monetary policy and the term spread in a | | macro model of a small open economy, by Viktor Kotlán (Czech National Bank Working papers 2002/01) | Abstract
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| Permanent and Transitory Policy Shocks in an Empirical | | Macro Model with Asymmetric Information, by Sharon Kozicki and P.A. Tinsley (Kansas City Fed Working Papers RWP03-09) | Abstract Full text |
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| Chain indexing in a | | macro model - Aggregation and irreversibility, by Knudsen, Dan; Sethi, Faisel (National Bank of Denmark (Danmarks Nationalbank) Working papers WP21/2004) | Abstract Full text |
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| | | Macro modelling with many models, by Ida Wolden Bache, James Mitchell, Francesco Ravazzolo and Shaun P. Vahey. (Central Bank of Norway (Norges Bank) Working Papers 2009/15) | Abstract
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| On implications of micro price data for | | macro models, by Bartosz Mackowiak and Frank Smets (European Central Bank Working papers 0960) | Full text |
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| A method to generate structural impulse-responses for measuring the effects of shocks in structural | | macro models, by Andreas Beyer and Roger E. A. Farmer (European Central Bank Working papers 0586) | Full text |
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| Diagnosing and Treating Bifurcations in Perturbation Analysis of Dynamic | | Macro Models, by Jinill Kim, Andrew T. Levin, and Tack Yun (Board of Governors of the Federal Reserve System FEDS series 2007-14) | Abstract Full text |
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| Exchange Rate Pass-Through into Import Prices: A | | Macro or Micro Phenomenon?, by José Manuel Campa and Linda S. Goldberg (Federal Reserve Bank of New York Staff reports 149) | Abstract Full text |
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| no 034- Price Convergence in Europe from a | | Macro Perspective: Product Categories and Reliability, by (DNB) (Netherlands Bank DNB Working Papers 034) | Full text |
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| Price convergence in Europe from a | | macro perspective: Trends and determinants (1960-2003), by (DNB) (Netherlands Bank DNB Working Papers 012) | Full text |
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| | | Macro Risk Premium and Intermediary Balance Sheet Quantities, by Tobias Adrian, Emanuel Moench, and Hyun Song Shin (Federal Reserve Bank of New York Staff reports 428) | Abstract Full text |
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| Transmission of | | macro shocks to loan losses in a deep crisis: the case of Finland, by Esa Jokivuolle – Matti Viren – Oskari Vähämaa (Bank of Finland Discussion Papers 2009/26) | Abstract Full text |
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| South Africa's Post-Apartheid Two-Step: Social Demands versus | | Macro Stability, by Brahima Coulibaly and Trevon D. Logan (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0974) | Abstract Full text |
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| Non-Linearities, Model Uncertainty, and | | Macro Stress Testing, by Miroslav Misina and David Tessier (Bank of Canada Working papers 2008-30) | Abstract Full text |
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| A | | macro stress testing model with feedback effects, by Mizuho Kida (Reserve Bank of New Zealand Discussion Papers DP2008/08) | Abstract Full text |
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| | | Macro stress testing with a macroeconomic credit risk model for Finland, by Kimmo Virolainen (Bank of Finland Discussion Papers 2004/18) | Abstract Full text |
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| | | Macro stress testing with a macroeconomic credit risk model: Application to the French manufacturing sector., by Sanvi Avouyi-Dovi, Mireille Bardos, Caroline Jardet, Ludovic Kendaoui and Jérémy Moquet (Bank of France Working Papers Nr 238) | Abstract Full text |
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| | | Macro stress testing with sector specific bankruptcy models, by Marianna Valentinyi-Endrész and Zoltán Vásáry (Magyar Nemzeti Bank (the central bank of Hungary) Working papers 2008/02) | Abstract Full text |
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| | | Macro stress tests and crises: what can we learn?, by Rodrigo Alfaro and Mathias Drehmann (Bank for International Settlements Quarterly Review 0912e) | Abstract Full text |
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| Using Factor Analysis for Forecasting Chilean | | Macro Variables, by Alvaro Aguirre, Luis Felipe Céspedes (Central Bank of Chile Working Papers 274) | Abstract Full text |
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| Do | | Macro Variables, Asset Markets, or Surveys Forecast Inflation Better?, by Andrew Ang, Geert Bekaert, and Min Wei (Board of Governors of the Federal Reserve System FEDS series 2006-15) | Abstract Full text |
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| | Macroeconometric Equivalence, Microeconomic Dissonance, and the Design of Monetary Policy, by Andrew T. Levin, J. David López-Salido, Edward Nelson, and Tack Yun (St Louis Fed Working Papers 2008-035) | Abstract Full text |
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| The Monetary Transmission Mechanism in Chile: A Medium-Sized | | Macroeconometric Model, by Carlos García, Pablo García, Igal Magendzo, Jorge Restrepo (Central Bank of Chile Working Papers 254) | Abstract Full text |
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| A quarterly | | macroeconometric model of the Spanish Economy, by Ángel Estrada, José Luis Fernández, Esther Moral and Ana V. Regil (Bank of Spain Working Papers 0413) | Abstract Full text |
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| The short-term impact of government budgets on prices: evidence from | | macroeconometrics models, by Jérôme Henry, Pablo Hernández de Cos and Sandro Momigliano (Bank of Spain Working Papers 0418) | Abstract Full text |
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| Integrated | | Macroeconomic Accounts for the United States: Draft SNA-USA, by Rochelle Antoniewicz, Susan Hume McIntosh, Charles Ian Mead, Karin Moses, Brent Moulton, Michael Palumbo, Genevieve Solomon, and Albert M. Teplin (Board of Governors of the Federal Reserve System FEDS series 2004-54) | Abstract Full text |
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| | | Macroeconomic adjustment and heterogeneity in the euro area, by Andrzej Torój (National Bank of Poland Working papers 054) | Full text |
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| The external and domestic side of | | macroeconomic adjustment in China, by Roland Straub, Christian Thimann (European Central Bank Working papers 1040) | Full text |
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| | | Macroeconomic adjustment to monetary union, by Gabriel Fagan, Vitor Gaspar (Czech National Bank Working papers 2008/14) | Abstract Full text |
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| | | Macroeconomic adjustment to monetary union, by Gabriel Fagan and Vítor Gaspar (European Central Bank Working papers 0946) | Full text |
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| Modern Forecasting Models in Action: Improving | | Macroeconomic Analyses at Central Banks, by Malin Adolfson , Michael K. Andersson , Jesper Lindé , Mattias Villani and Anders Vredin (Sveriges Riksbank Working Papers 188) | Abstract Full text |
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| Modern Forecasting Models in Action: Improving | | Macroeconomic Analyses at Central Banks, by by Malin Adolfson, Michael K. Andersson, Jesper Lindé, Mattias Villani and Anders Vredin (IJCB International Journal of Central Banking 07q4a4) | Abstract Full text |
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| A | | Macroeconomic Analysis of Obesity, by Pere Gomis-Porqueras, and Adrian Peralta-Alva (St Louis Fed Working Papers 2008-017) | Abstract Full text |
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| | | Macroeconomic and financial stability challenges for acceding and candidate countries, by Task Force on Enlargement of the International Relations Committee (European Central Bank Occasional papers 048) | Full text |
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| | | Macroeconomic and monetary policy-making at the EC, from the Rome Treaties to the Hague Summit, by Ivo Maes (National Bank of Belgium Working Papers 058) | Full text |
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| | | Macroeconomic And Monetary Policies From The Eductive Viewpoint, by Roger Guesnerie (Central Bank of Chile Working Papers 498) | Abstract Full text |
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| A century of | | macroeconomic and monetary thought at the National Bank of Belgium, by Ivo Maes (National Bank of Belgium Working Papers 188) | Abstract
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| When Do Stock Market Booms Occur? The | | Macroeconomic and Policy Environments of 20th Century Booms, by Michael D. Bordo, and David C. Wheelock (St Louis Fed Working Papers 2006-051) | Full text |
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| A joint econometric model of | | macroeconomic and term structure dynamics, by Peter Hördahl (European Central Bank Working papers 0405) | Full text |
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| Examining Simple Joint | | Macroeconomic and Term-Structure Models: A Practitioner's Perspective, by David Jamieson Bolder and Shudan Liu (Bank of Canada Working papers 2007-49) | Abstract Full text |
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| Do Productivity Growth, Budget Deficits, And Monetary Policy Actions Affect Real Interest Rates? Evidence From | | Macroeconomic Announcement Data, by Kevin L. Kliesen and Frank A. Schmid (St Louis Fed Working Papers 2004-019) | Full text |
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| The High-Frequency Response of Exchange Rates and Interest Rates to | | Macroeconomic Announcements, by Jon Faust; John H. Rogers; Shing-Yi B. Wang; Jonathan H. Wright (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0784) | Abstract Full text |
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| | | Macroeconomic announcements and implied volatilities in swaption markets, by Fabio Fornari (Bank for International Settlements Quarterly Review 0409h) | Abstract Full text |
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| The Impact of | | Macroeconomic Announcements on Real Time Foreign Exchange Rate in Emerging Markets, by Fang Cai, Hyunsoo Joo, and Zhiwei Zhang (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0973) | Abstract Full text |
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| | | Macroeconomic announcements, communication and order flow on the Hungarian foreign exchange market, by Michael Frömmel - Norbert Kiss M. - Klára Pinté (Magyar Nemzeti Bank (the central bank of Hungary) Working papers 2009/03) | Abstract Full text |
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| Reactions of Canadian Interest Rates to | | Macroeconomic Announcements: Implications for Monetary Policy Transparency, by Gravelle, Toni and Richhild Moessner (Bank of Canada Working papers 2001-5) | Abstract Full text |
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| Asset prices and banking distress: a | | macroeconomic approach, by Goetz von Peter (Bank for International Settlements Working papers 167) | Abstract Full text |
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| Benefits and spillovers of greater competition in Europe: a | | macroeconomic assessment, by Tamim Bayoumi, Douglas Laxton and Paolo Pesenti (European Central Bank Working papers 0341) | Full text |
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| Benefits and Spillovers of Greater Competition in Europe: A | | Macroeconomic Assessment, by Tamim Bayoumi; Douglas Laxton; Paolo Pesenti (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0803) | Abstract Full text |
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| Benefits and Spillovers of Greater Competition in Europe: A | | Macroeconomic Assessment, by Tamim Bayoumi, Douglas Laxton, and Paolo Pesenti (Federal Reserve Bank of New York Staff reports 182) | Abstract Full text |
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| Finance and growth: a | | macroeconomic assessment of the evidence from a European angle, by Elias Papaioannou (European Central Bank Working papers 0787) | Full text |
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| Australia's Medium-run Exchange Rate: A | | Macroeconomic Balance Approach, by Nikola Dvornak, Marion Kohler and Gordon Menzies (Reserve Bank of Australia Research Discussion Papers RDP2003-03) | Abstract Full text |
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| The Spline GARCH Model for Unconditional Volatility and its Global | | Macroeconomic Causes, by Robert F. Engle and Jose Gonzalo Rangel (Czech National Bank Working papers 2005/13) | Abstract Full text |
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| Labor Supply Heterogeneity and | | Macroeconomic Comovement, by Stefano Eusepi and Bruce Preston (Federal Reserve Bank of New York Staff reports 399) | Abstract Full text |
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| | | Macroeconomic Conditions and Banking Performance in Hong Kong: A Panel Data Study, by Stefan Gerlach, Wensheng Peng and Chang Shu (Hong Kong Monetary Authority Working Papers RM2004-04d) | Full text |
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| The Effect of | | Macroeconomic Conditions on Banks' Risk and Profitability, by Marianne Gizycki (Reserve Bank of Australia Research Discussion Papers RDP2001-06) | Abstract Full text |
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| Monetary policy, asset prices and | | macroeconomic conditions: a panel-VAR study, by Katrin Assenmacher-Wesche, Stefan Gerlach (National Bank of Belgium Working Papers 149) | Abstract Full text |
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| | | Macroeconomic Consequence of Deindustrialization- The Case of Korea in the 1990, by Du Yong Kang (Bank of Korea Economic Papers 50) | Abstract Full text |
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| Investment-Specific Technical Change in the US (1947-2000): Measurement and | | Macroeconomic Consequences, by Jason G. Cummins and Giovanni L. Violante (Board of Governors of the Federal Reserve System FEDS series 2002-10) | Abstract Full text |
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| Global Ageing and | | Macroeconomic Consequences of Demographic Uncertainty in a Multi-regional Model, by Juha Alho and Vladimir Borgy (Bank of France Working Papers Nr 174) | Abstract Full text |
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| | | Macroeconomic Coordination and Inflation Targeting in a Two-Country Model, by Eui Jung Chang, Marcelo Kfoury Muinhos and Joanílio Rodolpho Teixeira (Central Bank of Brazil Working Papers 050) | Abstract Full text |
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| Macro stress testing with a | | macroeconomic credit risk model for Finland, by Kimmo Virolainen (Bank of Finland Discussion Papers 2004/18) | Abstract Full text |
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| Macro stress testing with a | | macroeconomic credit risk model: Application to the French manufacturing sector., by Sanvi Avouyi-Dovi, Mireille Bardos, Caroline Jardet, Ludovic Kendaoui and Jérémy Moquet (Bank of France Working Papers Nr 238) | Abstract Full text |
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| How Did Latin America's Infrastructure Fare in the era of | | Macroeconomic Crises?, by César Calderón, William Easterly, Luis Servén. (Central Bank of Chile Working Papers 185) | Abstract Full text |
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| Must Original Sin Cause | | Macroeconomic Damnation?, by Luis Felipe Céspedes, Roberto Chang, Andrés Velasco (Central Bank of Chile Working Papers 234) | Abstract Full text |
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| Learning and Structural Change in | | Macroeconomic Data, by James B. Bullard and John Duffy (St Louis Fed Working Papers 2004-016) | Full text |
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| Real-time | | macroeconomic data and ex ante predictability of stock returns, by Jörg Döpke, Daniel Hartmann, Christian Pierdzioch (Deutsche Bundesbank Discussion Papers 200610) | Full text |
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| How Do FOMC Actions and U.S. | | Macroeconomic Data Announcements Move Brazilian Sovereign Yield Spreads and Stock Prices?, by Patrice Robitaille and Jennifer E. Roush (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0868) | Abstract Full text |
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| Nowcasting GDP and Inflation: The Real-Time Informational Content of | | Macroeconomic Data Releases, by Domenico Giannone, Lucrezia Reichlin, and David Small (Board of Governors of the Federal Reserve System FEDS series 2005-42) | Abstract Full text |
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| The High-Frequency Effects of U.S. | | Macroeconomic Data Releases on Prices and Trading Activity in the Global Interdealer Foreign Exchange Market, by Alain P. Chaboud; Sergey V. Chernenko; Edward Howorka; Raj S. Krishnasami Iyer; David Liu; Jonathan H. Wright (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0823) | Abstract Full text |
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| Nowcasting GDP and inflation: the real-time informational content of | | macroeconomic data (forthcoming), by Domenico Giannone (European Central Bank Working papers 0633) | Full text |
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| | | Macroeconomic Default Modeling and Stress Testing, by by Dietske Simons and Ferdinand Rolwes (IJCB International Journal of Central Banking 09q3a6) | Abstract Full text |
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| | | Macroeconomic Derivatives: An Initial Analysis of Market-Based Macro Forecasts, Uncertainty, and Risk, by Gurkaynak, Wolfers (San Francisco Fed Working Papers 2005-26) | Full text |
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| Banking fragility and distress: An econometric study of | | macroeconomic determinants, by Jarmo Pesola (Bank of Finland Discussion Papers 2005/13) | Abstract Full text |
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| | | Macroeconomic Determinants of Banking Financial Performance and Resilience in Singapore, by Robert St. Clair (Monetary Authority of Singapore Staff Papers No. 38) | Abstract Full text |
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| | | Macroeconomic determinants of Polish banks' loan losses - results of a panel data study, by Adam Glogowski (National Bank of Poland Working papers 053) | Full text |
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| A No-Arbitrage Analysis of | | Macroeconomic Determinants of Term Structures and the Exchange Rate, by Fousseni Chabi-Yo and Jun Yang (Bank of Canada Working papers 2007-21) | Abstract Full text |
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| | | Macroeconomic Determinants of the Term Structure of Corporate Spreads, by Jun Yang (Bank of Canada Working papers 2008-29) | Abstract Full text |
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| How Do | | Macroeconomic Developments in Mainland China Affect Hong Kong's Short-term Interest Rates?, by Dong He, Frank Leung and Philip Ng (Hong Kong Monetary Authority Working Papers WP07_17) | Abstract Full text |
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| The yield curve and | | macroeconomic dynamics, by Peter Hördahl (European Central Bank Working papers 0832) | Full text |
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| Credit Risk Drivers: Evaluating the Contribution of Firm Level Information and of | | Macroeconomic Dynamics, by Diana Bonfim (Bank of Portugal Working papers 200707) | Abstract Full text |
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| Financial Intermediation, Asset Prices, and | | Macroeconomic Dynamics, by Tobias Adrian, Emanuel Moench, and Hyun Song Shin (Federal Reserve Bank of New York Staff reports 422) | Abstract Full text |
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| Imperfect information, | | macroeconomic dynamics and the yield curve: an encompassing macro-finance model, by Hans Dewachter (National Bank of Belgium Working Papers 144) | Abstract Full text |
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| Risk premiums and | | macroeconomic dynamics in a heterogeneous agent model, by Ferre De Graeve, Maarten Dossche, Marina Emiris, Henri Sneessens, Raf Wouters (National Bank of Belgium Working Papers 150) | Abstract Full text |
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| Risk Premiums and | | Macroeconomic Dynamics in a Heterogeneous Agent Model, by Ferre De Graeve, Maarten Dossche, Marina Emiris, Henri Sneessens and Raf Wouters (Sveriges Riksbank Working Papers 236) | Abstract Full text |
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| Evolving | | macroeconomic dynamics in a small open economy: an estimated Markov-switching DSGE model for the United Kingdom, by Philip Liu and Haroon Mumtaz (Bank of England Working papers 397) | Abstract Full text |
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| Has Globalization Transformed U.S. | | Macroeconomic Dynamics?, by Fabio Milani (Dallas Fed Institute Working Papers 0032) | Full text |
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| U.S. evolving | | macroeconomic dynamics: a structural investigation, by Luca Benati and Haroon Mumtaz (European Central Bank Working papers 0746) | Full text |
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| Evolving UK | | macroeconomic dynamics: a time-varying factor augmented VAR, by Haroon Mumtaz (Bank of England Working papers 386) | Abstract Full text |
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| The | | Macroeconomic Effect of External Pressures on Monetary Policy, by Davide Debortoli and Ricardo Nunes (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0944) | Abstract Full text |
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| Identifying the | | Macroeconomic Effect of Loan Supply Shocks, by Joe Peek, Eric S. Rosengren , and Geoffrey M. B. Tootell Revised article forthcoming in Journal of Monetary Economics. (Boston Fed Working papers 00-02) | Abstract Full text |
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| The | | macroeconomic effects of exogenous fiscal policy shocks in Germany: a disaggregated SVAR analysis, by Kirsten H. Heppke-Falk, Jörn Tenhofen, Guntram B. Wolff (Deutsche Bundesbank Discussion Papers 200641) | Full text |
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| The | | macroeconomic effects of fiscal policy, by António Afonso and Ricardo M. Sousa (European Central Bank Working papers 0991) | Full text |
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| The | | macroeconomic effects of fiscal policy in Spain, by Francisco de Castro (Bank of Spain Working Papers 0311) | Abstract Full text |
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| | | Macroeconomic effects of greater competition in the service sector: the case of Italy, by Lorenzo Forni, Andrea Gerali and Massimiliano Pisani (Bank of Italy Working Papers 706) | Abstract Full text |
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| The | | Macroeconomic Effects of Losing Autonomous Monetary Policy after the Euro Adoption in Poland, by Michal Gradzewicz, Krzysztof Makarski (National Bank of Poland Working papers 058) | Full text |
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| The | | Macroeconomic Effects of Military Buildups in a New Neoclassical Synthesis Framework, by Paquet, Alain, Louis Phaneuf, and Nooman Rebei (Bank of Canada Working papers 2003-12) | Abstract Full text |
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| The | | Macroeconomic Effects of Non-Zero Trend Inflation, by Robert Amano, Steve Ambler, and Nooman Rebei (Bank of Canada Working papers 2006-34) | Abstract Full text |
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| Trade linkages and | | macroeconomic effects of the price of oil, by Iikka Korhonen and Svetlana Ledyaeva (Bank of Finland BOFIT Discussion Papers 2008/16) | Abstract Full text |
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| The Impact of | | Macroeconomic Environment, by Chang Shu (Hong Kong Monetary Authority Working Papers RM2002-20) | Full text |
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| Reconciling Microeconomic and | | Macroeconomic Estimates of Price Stickiness, by Adam Cagliarini, Tim Robinson, Allen Tran (Reserve Bank of Australia Research Discussion Papers RDP2010-01) | Abstract Full text |
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| | | Macroeconomic Factors in Chilean Stock Returns, by J. Rodrigo Fuentes, Jorge Gregoire, Salvador Zurita, (Central Bank of Chile Working Papers 316) | Abstract Full text |
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| Linking Financial and | | Macroeconomic Factors to Credit Risk Indicators of Brazilian Banks, by Marcos Souto, Benjamin M. Tabak and Francisco Vazquez (Central Bank of Brazil Working Papers 189) | Abstract Full text |
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| | | Macroeconomic Fluctuations and Bank Behavior in Chile, by Adolfo Barajas; Leonardo Luna; Jorge Restrepo (Central Bank of Chile Working Papers 436) | Abstract Full text |
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| | | Macroeconomic fluctuations and bank lending:evidence for Germany and the euro area, by Sandra Eickmeier, Boris Hofmann, Andreas Worms (Deutsche Bundesbank Discussion Papers 200634) | Full text |
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| | | Macroeconomic Fluctuations and Bargaining, by Huberto M. Ennis (Richmond Fed Working Papers 01-04) | Abstract Full text |
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| | | Macroeconomic Fluctuations and Corporate Financial Fragility, by Catherine Bruneau, Olivier de Bandt and Widad El Amri (Bank of France Working Papers Nr 226) | Abstract Full text |
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| | | Macroeconomic fluctuations and firm entry: theory and evidence, by Vivien Lewis (National Bank of Belgium Working Papers 103) | Abstract Full text |
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| Do Credit Constraints Amplify | | Macroeconomic Fluctuations?, by Zheng Liu, Pengfei Wang, and Tao Zha (Atlanta Fed Working papers 2010-01) | Abstract
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| Do Credit Constraints Amplify | | Macroeconomic Fluctuations?, by Liu, Wang, Zha (San Francisco Fed Working Papers 2009-28) | Full text |
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| Revisiting Useful Approaches to Data-Rich | | Macroeconomic Forecasting, by Jan J. J. Groen and George Kapetanios (Federal Reserve Bank of New York Staff reports 327) | Abstract Full text |
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| | | Macroeconomic forecasting and structural change,, by Antonello D’Agostino, Luca Gambetti, Domenico Giannone, (European Central Bank Working papers 1167) | Full text |
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| | | Macroeconomic Forecasting and Structural Change, by Antonello D?Agostino, Luca Gambetti and Domenico Giannone (Central Bank and Financial Services Authority of Ireland Research Technical Papers 09/RT/08) | Abstract Full text |
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| Quantifying risk and uncertainty in | | macroeconomic forecasts, by Malte Knüppel, Karl-Heinz Tödter (Deutsche Bundesbank Discussion Papers 200725) | Full text |
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| A non-parametric model-based approach to uncertainty and risk analysis of | | macroeconomic forecasts, by Claudia Miani and Stefano Siviero (Bank of Italy Working Papers 758) | Abstract Full text |
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| The Reliability of | | Macroeconomic Forecasts based on Real Interest Rate Gap Estimates in Real Time: an Assessment for the Euro Area, by Jean-Stéphane Mésonnier (Bank of France Working Papers Nr 157) | Abstract Full text |
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| Shock Identification of | | Macroeconomic ForecastsBased on Daily Panels, by Marlene Amstad and Andreas M. Fischer (Federal Reserve Bank of New York Staff reports 206) | Abstract Full text |
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| On the uncertainty and risks of | | macroeconomic forecasts: Combining judgements with sample and model information, by Maximiano Pinheiro, Paulo Soares Esteves (Bank of Portugal Working papers 200821) | Abstract Full text |
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| Uncertainty And Risk Analysis Of | | Macroeconomic Forecasts: Fan Charts Revisited, by Álvaro A. Novo, Maximiano Pinheiro (Bank of Portugal Working papers 200319) | Abstract Full text |
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| Oil prices assumptions in | | macroeconomic forecasts: should we follow futures market expectations?, by Carlos Coimbra, Paulo Soares Esteves (Bank of Portugal Working papers 200404) | Abstract Full text |
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| Bond risk premia, | | macroeconomic fundamentals and the exchange rate, by Marcello Pericoli and Marco Taboga (Bank of Italy Working Papers 699) | Abstract Full text |
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| | | Macroeconomic Impact on Expected Default Freqency, by Per Ĺsberg and Hovick Shahnazarian (Sveriges Riksbank Working Papers 219) | Abstract Full text |
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| The | | Macroeconomic Impact on Hong, by Dong He, Chang Shu, Raymond Yip and Wendy Cheng (Hong Kong Monetary Authority Working Papers RM2005-15) | Full text |
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| | | Macroeconomic Implications of Agglomeration, by Morris A. Davis, Jonas D. M. Fisher, Toni M. Whited (Chicago Fed Working papers WP-2010-02) | Abstract
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| | | Macroeconomic Implications of Changes in the Term Premium, by Rudebusch, Sack, Swanson (San Francisco Fed Working Papers 2006-46) | Full text |
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| | | Macroeconomic implications of demographic developments in the euro area, by Angela Maddaloni, Alberto Musso, Philipp C. Rother, Melanie Ward-Warmedinger and Thomas Westermann (European Central Bank Occasional papers 051) | Full text |
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| A Primer on the | | Macroeconomic Implications of Population Aging, by Louise Sheiner, Daniel Sichel, and Lawrence Slifman (Board of Governors of the Federal Reserve System FEDS series 2007-01) | Abstract Full text |
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| | | Macroeconomic implications of rising household debt, by Guy Debelle (Bank for International Settlements Working papers 153) | Abstract Full text |
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| | | Macroeconomic Implications of US Interest Rates for Hong Kong, by Jiming Ha and Cynthia Leung (Hong Kong Monetary Authority Working Papers RM2002-05) | Full text |
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| Endogenous Nontradability and | | Macroeconomic Implications., by Paul R. Bergin and Reuven Glick (San Francisco Fed Working Papers 2003-09) | Full text |
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| What drives financial markets? Real-time | | macroeconomic indicators, by Hansen, Jakob Lage (National Bank of Denmark (Danmarks Nationalbank) Working papers WP42/2006) | Abstract Full text |
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| An analysis of the embedded frequency content of | | macroeconomic indicators and their counterparts using the Hilbert-Huang transform, by Patrick M Crowley – Tony Schildt (Bank of Finland Discussion Papers 2009/33) | Abstract Full text |
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| Exchange rate forecasting, order flow and | | macroeconomic information, by Dagfinn Rime, Lucio Sarno and Elvira Sojli (Central Bank of Norway (Norges Bank) Working Papers 2007/02) | Abstract
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| Comments on Backward-Looking Interest-Rate Rules, Interest-Rate Smoothing, and | | Macroeconomic Instability, by Charles T. Carlstrom and Timothy S. Fuerst (Cleveland Fed Working papers 0319) | Full text |
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| Backward-Looking Interest-Rate Rules, Interest-Rate Smoothing, and | | Macroeconomic Instability, by Jess Benhabib (Philadelphia Fed Working Papers wp03-04) | Full text |
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| PPP Rules, | | Macroeconomic Instability and Learning, by Luis-Felipe Zanna (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0814) | Abstract Full text |
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| Capital and | | Macroeconomic Instability in a Discrete-Time Model with Forward-Looking Interest Rate Rules, by Kevin X. D. Huang and Qinglai Meng (Philadelphia Fed Working Papers wp07-04) | Full text |
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| Fighting Against Currency Depreciation, | | Macroeconomic Instability, and Sudden Stops, by Luis-Felipe Zanna (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0848) | Abstract Full text |
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| | | Macroeconomic Interdependence and the International Role of the Dollar, by Linda Goldberg and Cédric Tille (Federal Reserve Bank of New York Staff reports 316) | Abstract Full text |
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| The EAGLE. A model for policy analysis of | | macroeconomic interdependence in the euro area,, by Sandra Gomes, Pascal Jacquinot, Massimiliano Pisani (European Central Bank Working papers 1195) | Full text |
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| The EAGLE. A model for policy analysis of | | macroeconomic interdependence in the euro area, by Sandra Gomes, Pascal Jacquinot and Massimiliano Pisani (Bank of Italy Working Papers 770) | Abstract Full text |
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| The EAGLE. A model for policy analysis of | | macroeconomic interdependence in the euro area, by P. Jacquinot; M. Pisani (Bank of Portugal Working papers 201006) | Abstract Full text |
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| Size, openness, and | | macroeconomic interdependence,, by Alexander Chudik, Roland Straub, (European Central Bank Working papers 1172) | Full text |
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| Understanding the impact of the external dimension on the euro area: trade, capital flows and other international | | macroeconomic linkages, by Robert Anderton, Filippo di Mauro and Fabio Moneta (European Central Bank Occasional papers 012) | Full text |
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| Generational Policy and the | | Macroeconomic Measurement of Tax Incidence, by Juan Carlos Conesa, and Carlos Garriga (St Louis Fed Working Papers 2009-003) | Abstract Full text |
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| Optimal Inflation Stabilization in a Medium-Scale | | Macroeconomic Model, by Stephanie Schmitt-Grohé, Martín Uribe (Central Bank of Chile Working Papers 410) | Abstract Full text |
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| Optimal fiscal and monetary policy in a medium-scale | | macroeconomic model, by Stephanie Schmitt-Grohé and Martín Uribe (European Central Bank Working papers 0612) | Full text |
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| Central bank transparency and private information in a dynamic | | macroeconomic model, by Joseph G. Pearlman (European Central Bank Working papers 0455) | Full text |
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| The Taylor Principle in a medium-scale | | macroeconomic model, by Tommy Sveen and Lutz Weinke, Research Department (Central Bank of Norway (Norges Bank) Working Papers 2010/09) | Abstract
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| Bayesian Estimation of a Simple | | Macroeconomic Model for a Small Open and Partially Dollarized Economy, by Jorge Salas (Central Reserve Bank of Peru Working Papers 2010-007) | Full text |
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| Learning process and rational expectations: an analysis using a small | | macroeconomic model for New Zealand, by Olivier Basdevant (Reserve Bank of New Zealand Discussion Papers DP2003/05) | Abstract Full text |
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| Medium-Size | | Macroeconomic Model for the Brazilian Economy, by Marcelo Kfoury Muinhos and Sergio Afonso Lago Alves (Central Bank of Brazil Working Papers 064) | Abstract Full text |
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| A Small | | Macroeconomic Model of Hong Kong, by Jiming Ha, Cynthia Leung and Chang Shu (Hong Kong Monetary Authority Working Papers RM2002-07) | Full text |
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| QMM A Quarterly | | Macroeconomic Model of the Icelandic Economy, by Ásgeir Daníelsson, Magnús F. Guđmundsson, Svava J. Haraldsdóttir (Central Bank of Iceland Working Papers 41) | Abstract
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| QMM A Quarterly | | Macroeconomic Model of the Icelandic Economy, by Ásgeir Daníelsson, Lúđvík Elíasson, Magnús F. Guđmundsson, Björn A. Hauksson, Ragnhildur Jónsdóttir, Thorvardur Tjörvi Ólafsson and Thórarinn G. Pétursson (Central Bank of Iceland Working Papers 32) | Abstract
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| A | | Macroeconomic Model of the Term Structure of Interest Rates in Mexico., by Cortés Espada Josué Fernando; Ramos Francia Manuel (Bank of Mexico Working Papers 2008-10) | Full text |
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| | | Macroeconomic modelling in EMU, by Javier Andrés and Fernando Restoy (Bank of Spain Working Papers 0718) | Abstract Full text |
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| | | Macroeconomic modelling of monetary policy, by Matt Klaeffling (European Central Bank Working papers 0257) | Full text |
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| The short-term impact of government budgets on prices: evidence from | | macroeconomic models, by Jérôme Henry (European Central Bank Working papers 0396) | Full text |
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| Identifying endogenous fiscal policy rules for | | macroeconomic models, by Javier J. Pérez and Paul Hiebert (European Central Bank Working papers 0156) | Full text |
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| The Excess Sensitivity of Long-Term Interest Rates: Evidence and Implications for | | Macroeconomic Models, by Refet S. Gurkaynak, Brian Sack, and Eric Swanson (Board of Governors of the Federal Reserve System FEDS series 2003-50) | Abstract Full text |
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| Theory, Measurement, and Calibration of | | Macroeconomic Models, by Paul Gomme and Peter Rupert (Cleveland Fed Working papers 0505) | Full text |
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| Implications of State-Dependent Pricing for Dynamic | | Macroeconomic Models, by Michael Dotsey and Robert G. King (Philadelphia Fed Working Papers wp05-02) | Full text |
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| Monetary Policy under Uncertainty in Micro-Founded | | Macroeconomic Models, by Levin, Onatski, Williams, N. Williams (San Francisco Fed Working Papers 2005-15) | Full text |
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| Kalman Filtering with Truncated Normal State Variables for Bayesian Estimation of | | Macroeconomic Models, by Michael J. Dueker (St Louis Fed Working Papers 2005-057) | Full text |
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| Evaluation of | | macroeconomic models for financial stability analysis, by Gunnar Bĺrdsen, Kjersti-Gro Lindquist and Dimitrios P. Tsomocos (Central Bank of Norway (Norges Bank) Working Papers 2006/01) | |
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| Inflation persistence in structural | | macroeconomic models (RG10), by Robert-Paul Berben, Ricardo Mestre, Theodoros Mitrakos (European Central Bank Working papers 0521) | Full text |
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| ML vs GMM Estimates of Hybrid | | Macroeconomic Models (With an Application to the New Phillips Curve), by Éric Jondeau and Hervé Le Bihan (Bank of France Working Papers Nr 103) | Abstract Full text |
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| Structural Multi-Equation | | Macroeconomic Models: Identification-Robust Estimation and Fit, by Jean-Marie Dufour, Lynda Khalaf, and Maral Kichian (Bank of Canada Working papers 2009-19) | Abstract Full text |
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| Real-Time | | Macroeconomic Monitoring: Real Activity, Inflation, and Interactions, by 1005 name=1005 (Philadelphia Fed Working Papers 10-5:) | Full text |
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| A Closer Look at the Sensitivity Puzzle: The Sensitivity of Expected Future Short Rates and Term Premia to | | Macroeconomic News, by Meredith Beechey (Board of Governors of the Federal Reserve System FEDS series 2007-06) | Abstract Full text |
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| | | Macroeconomic news and the euro/dollar exchange rate, by Gabriele Galati and Corrinne Ho (Bank for International Settlements Working papers 105) | Abstract Full text |
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| The impact of | | macroeconomic news on exchange rate volatility, by Helinä Laakkonen (Bank of Finland Discussion Papers 2004/24) | Abstract Full text |
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| The Effects of | | Macroeconomic News on Money Markets, by Norbert Kiss M. (Magyar Nemzeti Bank (the central bank of Hungary) Occasional papers 2004/30) | Abstract Full text |
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| Do Energy Prices Respond to U.S. | | Macroeconomic News? A Test of the Hypothesis of Predetermined Energy Prices, by Lutz Kilian and Clara Vega (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0957) | Abstract Full text |
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| | | Macroeconomic News, Announcements, and Stock Market Jump Intensity Dynamics, by Rangel José Gonzalo (Bank of Mexico Working Papers 2009-15) | Full text |
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| Explicit inflation objectives and | | macroeconomic outcomes, by Andrew T. Levin (European Central Bank Working papers 0383) | Full text |
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| Monetary policy regimes and | | macroeconomic outcomes: Hong Kong and Singapore, by Stefan Gerlach and Petra Gerlach-Kristen (Bank for International Settlements Working papers 204) | Abstract Full text |
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| Space and Time in | | Macroeconomic Panel Data: Young Workers and State-Level Unemployment Revisited, by Christopher L. Foote (Boston Fed Working papers 07-10) | Abstract Full text |
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| Forecasting in Large | | Macroeconomic Panels Using Bayesian Model Averaging, by Gary Koop and Simon Potter (Federal Reserve Bank of New York Staff reports 163) | Abstract Full text |
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| Evolving | | Macroeconomic Perceptions and the Term Structure of Interest Rates, by Athanasios Orphanides and Min Wei (Board of Governors of the Federal Reserve System FEDS series 2010-01) | Abstract Full text |
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| Currency Crises and | | Macroeconomic Performance, by Luke Gower and Alan Krause (Reserve Bank of Australia Research Discussion Papers RDP2002-08) | Abstract Full text |
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| The effects of inflation targeting on | | macroeconomic performance, by Thórarinn G. Pétursson (Central Bank of Iceland Working Papers 23) | Full text |
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| Sectoral specialisation in the EU: a | | macroeconomic perspective, by MPC task force of the ESCB (European Central Bank Occasional papers 019) | Full text |
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| The Impact of E-Business Technologies on Supply Chain Operations: A | | Macroeconomic Perspective, by Amit Basu and Thomas F. Siems (Dallas Fed Working Papers wp0404) | Full text |
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| Global Relative Price Shocks: The Role of | | Macroeconomic Policies, by Adam Cagliarini, Warwick McKibbin (Reserve Bank of Australia Research Discussion Papers RDP2009-10) | Abstract Full text |
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| Institutions and Cyclical Properties of | | Macroeconomic Policies, by César Calderón, Roberto Duncan, Klaus Schmidt-Hebbel (Central Bank of Chile Working Papers 285) | Abstract Full text |
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| | | Macroeconomic Policies and Performance in Latin America, by César Calderón, Klaus Schmidt-Hebbel (Central Bank of Chile Working Papers 217) | Abstract Full text |
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| The Role of Credibility in the Cyclical Properties of | | Macroeconomic Policies in Emerging Economies, by César Calderón, Roberto Duncan, Klaus Schmidt-Hebbel (Central Bank of Chile Working Papers 237) | Abstract Full text |
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| The role of | | macroeconomic policies in the global crisis, by Pietro Catte, Pietro Cova, Patrizio Pagano, Ignazio Visco (Bank of Italy Occasional Papers 69) | Abstract Full text |
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| Expectations, deflation traps and | | macroeconomic policy, by George W Evans – Seppo Honkapohja (Bank of Finland Discussion Papers 2009/24) | Abstract Full text |
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| Robustness and | | Macroeconomic Policy, by Gadi Barlevy (Chicago Fed Working papers WP-2010-04) | Abstract
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| Growth, Integration, and | | Macroeconomic Policy Design: Some Lessons for Latin America, by David Begg (Central Bank of Chile Working Papers 192) | Abstract Full text |
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| | | Macroeconomic Policy Mix and Social Welfare, by Hyun-Jeong Kim, Seong-Hun Yun (Bank of Korea Economic Papers 91) | Abstract Full text |
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| Micro Foundations of | | Macroeconomic Price Adjustment: Survey Evidence from Swedish Firms, by Mikael Apel , Richard Friberg and Kerstin Hallsten (Sveriges Riksbank Working Papers 128) | Abstract Full text |
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| Central bank's | | macroeconomic projections and learning, by Giuseppe Ferrero, Alessandro Secchi (National Bank of Poland Working papers 072) | Full text |
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| | | Macroeconomic rates of return of public and private investment: crowding-in and crowding-out effects, by António Afonso and Miguel St. Aubyn (European Central Bank Working papers 0864) | Full text |
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| Long run | | macroeconomic relations in the global economy, by Stephane Dees, Sean Holly (European Central Bank Working papers 0750) | Full text |
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| Is | | Macroeconomic Research Robust to Alternative Data Sets?, by Dean Croushore and Tom Stark (Philadelphia Fed Working Papers wp02-03) | Full text |
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| Business Failures and | | Macroeconomic Risk Factors, by Sharabany Ran (Bank of Israel Research - Discussion Papers dp0406) | Abstract Full text |
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| How informative are | | macroeconomic risk forecasts? An examination of the Bank of England's inflation forecasts, by Malte Knüppel, Guido Schultefrankenfeld (Deutsche Bundesbank Discussion Papers 200814) | Full text |
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| Assessing portfolio credit risk changes in a sample of EU large and complex banking groups in reaction to | | macroeconomic shocks, by Olli Castrén, Trevor Fitzpatrick, Matthias Sydow (European Central Bank Working papers 1002) | Full text |
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| What | | macroeconomic shocks affect the German banking system? Analysis in an integrated micro-macro model, by Sven Blank, Jonas Dovern (Deutsche Bundesbank Banking Supervision Discussion Papers 2009/15) | Full text |
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| Financial fragility, | | macroeconomic shocks and banks' loan losses: evidence from Europe, by Jarmo Pesola (Bank of Finland Discussion Papers 2007/15) | Abstract Full text |
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| | | Macroeconomic Shocks and Financial Vulnerability, by Jorge Carrera, Luis N. Lanteri (Central Bank of Argentina Working Papers 2007/17) | Full text |
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| The role of | | macroeconomic shocks in banking crises., by Jarmo Pesola (Bank of Finland Discussion Papers 2001/06) | Abstract
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| Effects of | | Macroeconomic Shocks to the Quality of the Aggregate Loan Portfolio, by Ivan Baboucek and Martin Jancar (Czech National Bank Working papers 2005/01) | Abstract Full text |
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| Approximating and Forecasting | | Macroeconomic Signals in Real-Time, by Joăo Valle e Azevedo, Ana Pereira (Bank of Portugal Working papers 200819) | Abstract Full text |
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| Interest Rate Pass-Through, Monetary Policy Rules and | | Macroeconomic Stability, by Claudia Kwapil and Johann Scharler (Austrian National Bank Working Papers WP118) | Abstract Full text |
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| (Un)Predictability and | | macroeconomic stability, by Antonello D’Agostino (European Central Bank Working papers 0605) | Full text |
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| (Un)Predictability and | | Macroeconomic Stability, by Antonello D'Agostino, Domenico Giannone and Paolo Surico (Central Bank and Financial Services Authority of Ireland Research Technical Papers 06/RT/05) | Abstract Full text |
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| Automatic stabilizers, fiscal rules and | | macroeconomic stability, by Javier Andrés and Rafael Doménech (Bank of Spain Working Papers 0314) | Abstract Full text |
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| Government size and | | macroeconomic stability, by M S Mohanty and Fabrizio Zampolli (Bank for International Settlements Quarterly Review 0912g) | Abstract Full text |
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| Worldwide | | Macroeconomic Stability and Monetary Policy Rules, by James B. Bullard, and Aarti Singh (St Louis Fed Working Papers 2006-040) | Full text |
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| Financial innovation, | | macroeconomic stability and systemic crises, by Prasanna Gai, Sujit Kapadia, Stephen Millard and Ander Perez (Bank of England Working papers 340) | Abstract Full text |
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| | | Macroeconomic Stability in Developing Countries: How Much is Enough?, by Peter Montiel and Luis Serven (Monetary Authority of Singapore Staff Papers No. 40) | Abstract Full text |
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| Money demand and | | macroeconomic stability revisited, by Andreas Schabert and Christian Stoltenberg (European Central Bank Working papers 0458) | Full text |
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| Banking competition, housing prices and | | macroeconomic stability (948 KB), by Javier Andrés and Óscar Arce (Bank of Spain Working Papers 0830) | Abstract Full text |
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| The danger of inflating expectations of | | macroeconomic stability: heuristic switching in an overlapping generations monetary model, by Alex Brazier, Richard Harrison, Mervyn King and Tony Yates (Bank of England Working papers 303) | Abstract Full text |
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| The Danger of Inflating Expectations of | | Macroeconomic Stability: Heuristic Switching in an Overlapping-Generations Monetary Model, by by Alex Brazier, Richard Harrison, Mervyn King and Tony Yates (IJCB International Journal of Central Banking 08q2a6) | Abstract Full text |
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| The Role of Collateralized Household Debt in | | Macroeconomic Stabilization, by Jeffrey R. Campbell, Zvi Hercowitz (Chicago Fed Working papers WP-2004-24) | Abstract Full text |
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| A | | macroeconomic structural model for the Portuguese economy, by Ricardo Mourinho Félix (Bank of Portugal Working papers 200513) | Abstract Full text |
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| UK monetary regimes and | | macroeconomic stylised facts, by Luca Benati (Bank of England Working papers 290) | Abstract Full text |
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| | | Macroeconomic Surprises and the Inflation Compensation Curve in the Euro Area, by Jérôme Coffinet and Sébastien Frappa (Bank of France Working Papers Nr 220) | Abstract Full text |
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| The Stability of | | Macroeconomic Systems with Bayesian Learners, by James B. Bullard, and Jacek Suda (St Louis Fed Working Papers 2008-043) | Abstract Full text |
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| Seeing Inside the Black Box: Using Diffusion Index Methodology to Construct Factor Proxies in Large Scale | | Macroeconomic Time Series Environments, by 0825 (Philadelphia Fed Working Papers 08-25) | Full text |
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| Forecasting | | Macroeconomic Time Series With Locally Adaptive Signal Extraction, by Paolo Giordani and Mattias Villani (Sveriges Riksbank Working Papers 234) | Abstract
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| Loss Aversion in Aggregate | | Macroeconomic Time SeriesForthcoming in: European Economic Review, by Rina Rosenblatt-Wisch (Swiss National Bank Working Papers 2007-06) | Abstract
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| Money demand and | | macroeconomic uncertainty, by Claus Greiber, Wolfgang Lemke (Deutsche Bundesbank Discussion Papers 200526) | Full text |
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| Inflation Risk Premia and Survey Evidence on | | Macroeconomic Uncertainty, by Paul Söderlind (Swiss National Bank Working Papers 2009-04) | Full text |
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| Variance Risk Premia, Asset Predictability Puzzles, and | | Macroeconomic Uncertainty, by Hao Zhou (Board of Governors of the Federal Reserve System FEDS series 2010-14) | Abstract Full text |
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| How Far Can Forecasting Models Forecast? Forecast Content Horizons for Some Important | | Macroeconomic Variables, by John W. Galbraith and Greg Tkacz (Bank of Canada Working papers 2007-01) | Abstract Full text |
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| Forecasting | | macroeconomic variables for the new member states of the European Union, by Anindya Banerjee (European Central Bank Working papers 0482) | Full text |
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| Accuracy in forecasting | | macroeconomic variables in Iceland, by Ásgeir Daníelsson (Central Bank of Iceland Working Papers 39) | Abstract
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| Forecasting stock market volatility with | | macroeconomic variables in real time, by Jörg Döpke, Daniel Hartmann, Christian Pierdzioch (Deutsche Bundesbank Banking Supervision Discussion Papers 2006/01) | Full text |
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| The role of | | macroeconomic variables in sovereign risk, by Marcos S. Matsumura and José Valentim Vicente (Central Bank of Brazil Working Papers 196) | Abstract Full text |
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| The monetary-policy regime and the development in central | | macroeconomic variables in the OECD countries 1970-2003, by Christensen, Anders Mřller; Hansen, Niels Lynggĺrd (National Bank of Denmark (Danmarks Nationalbank) Working papers WP31/2005) | Abstract Full text |
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| Forecasting with Small | | Macroeconomic VARs in the Presence of Instabilities, by Todd E. Clark and Michael W. McCracken (Board of Governors of the Federal Reserve System FEDS series 2007-41) | Abstract Full text |
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| Forecasting with Small | | Macroeconomic VARs in the Presence of Instabilities, by Todd E. Clark and Michael W. McCracken (Kansas City Fed Working Papers RWP06-09) | Abstract Full text |
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| Credit market and | | macroeconomic volatility, by Caterina Mendicino (European Central Bank Working papers 0743) | Full text |
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| International Financial Remoteness and | | Macroeconomic Volatility, by Rose, Spiegel (San Francisco Fed Working Papers 2008-01) | Full text |
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| Institutional Causes of | | Macroeconomic Volatility, by Levon Barseghyan, and Riccardo DiCecio (St Louis Fed Working Papers 2008-021) | Abstract Full text |
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| | | Macroeconomic Volatility and Terms of Trade Shocks, by Dan Andrews and Daniel Rees (Reserve Bank of Australia Research Discussion Papers RDP2009-05) | Abstract Full text |
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| Do Bank-Based Financial Systems Reduce | | Macroeconomic Volatility by Smoothing Interest Rates?, by Johann Scharler (Austrian National Bank Working Papers WP117) | Abstract Full text |
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| Labor market institutions and | | macroeconomic volatility in a panel of OECD countries, by Fabio Rumler, Johann Scharler (European Central Bank Working papers 1005) | Full text |
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| Investigating The Relationship between Exchange Rate Volatility and | | Macroeconomic Volatility In Singapore?, by Saktiandi Supaat, Angela Phang, Ng Heng Tiong, and Edward Robinson (Monetary Authority of Singapore Staff Papers No. 25) | Abstract Full text |
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| Exploring the Implications of Official Dollarization on | | Macroeconomic Volatility., by Roberto Duncan (Central Bank of Chile Working Papers 200) | Abstract Full text |
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| | | Macroeconomic Volatility, Predictability and Uncertainty in the Great Moderation: Evidence from the Survey of Professional Forecasters, by Sean D. Campbell (Board of Governors of the Federal Reserve System FEDS series 2004-52) | Abstract Full text |
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| Floating, Official Dollarization, and | | Macroeconomic Volatility:An Analysis for the Chilean Economy, by Roberto Duncan (Central Bank of Chile Working Papers 249) | Abstract Full text |
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| Trade Costs and Some Puzzles in International | | Macroeconomics , by Luke Willard (Reserve Bank of Australia Research Discussion Papers RDP2007-10) | Abstract Full text |
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| Dual inflation and real exchange rate in new open economy | | macroeconomics , by Balázs Világi (Magyar Nemzeti Bank (the central bank of Hungary) Working papers 2004/05) | Abstract Full text |
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| On applications of state-space modelling in | | macroeconomics , by Olivier Basdevant (Reserve Bank of New Zealand Discussion Papers DP2003/02) | Abstract Full text |
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| The Trade Comovement Problem in International | | Macroeconomics , by M. Ayhan Kose and Kei-Mu Yi (Federal Reserve Bank of New York Staff reports 155) | Abstract Full text |
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| Modeling Bond Yields in Finance and | | Macroeconomics , by Francis X. Diebold, Monika Piazzesi and Glenn D. Rudebusch (San Francisco Fed Working Papers 2005-04) | Full text |
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| Recent Developments in Monetary | | Macroeconomics and U.S. Dollar Policy, by William T. Gavin (St Louis Fed Working Papers 2005-062) | Full text |
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| Getting rid of Keynes? A survey of the history of | | macroeconomics from Keynes to Lucas and beyond, by Michel De Vroey (National Bank of Belgium Working Papers 187) | Abstract Full text |
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| Using a New Open Economy | | Macroeconomics model to make real nominal exchange rate forecasts, by Peter Sellin (Sveriges Riksbank Working Papers 213) | Abstract Full text |
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| The | | macroeconomics of fiscal consolidations in a monetary union: the case of Italy, by Lorenzo Forni, Andrea Gerali and Massimiliano Pisani (Bank of Italy Working Papers 747) | Abstract Full text |
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| | | Macroeconomics of international price discrimination, by Giancarlo Corsetti and Luca Dedola (European Central Bank Working papers 0176) | Full text |
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| The | | Macroeconomics of U.S. Consumer Bankruptcy Choice: Chapter 7 or Chapter 13?, by Wenli Li and Pierre-Daniel Sarte (Philadelphia Fed Working Papers wp03-14) | Full text |
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| | | Macroeconomics, Monetary Policy and the Central Bank´s Net Worth, by Jorge E. Restrepo, Luis Salomó y Rodrigo Valdés (Central Bank of Chile Working Papers 497) | Abstract Full text |
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| Intertemporal Substitution in | | Macroeconomics: Evidence from a Two-Dimensional Labour Supply Model with Money, by Ali Dib and Louis Phaneuf (Bank of Canada Working papers 2005-30) | Abstract Full text |
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| A joint | | macroeconomic-yield curve model for Hungary, by Zoltán Reppa (Magyar Nemzeti Bank (the central bank of Hungary) Working papers 2009/01) | Abstract Full text |
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| How Changes in Oil Prices Affect the | | Macroeconomy , by Brian DePratto, Carlos de Resende, and Philipp Maier (Bank of Canada Working papers 2009-33) | Abstract Full text |
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| Inflation Target Transparency and the | | Macroeconomy , by Martin Melecky; Diego Rodríguez Palenzuela; Ulf Söderström (Central Bank of Chile Working Papers 490) | Abstract Full text |
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| Fundamental Economic Shocks and The | | Macroeconomy , by Charles L. Evans, David A. Marshall (Central Bank of Chile Working Papers 351) | Abstract Full text |
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| Energy markets and the euro area | | macroeconomy , by Task Force of the Monetary Policy Committee of the ESCB (European Central Bank Occasional papers 113) | Full text |
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| Immigration and the | | Macroeconomy , by Federico S. Mandelman and Andrei Zlate (Atlanta Fed Working papers 2008-25) | Abstract Full text |
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| Housing, Portfolio Choice, and the | | Macroeconomy , by Pedro Silos (Atlanta Fed Working papers 2005-21) | Abstract Full text |
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| From Individual to Aggregate Labor Supply: A Quantitative Analysis based on a Heterogeneous Agent | | Macroeconomy , by Yongsung Chang, Sun-Bin Kim (Richmond Fed Working Papers 03-05) | Abstract Full text |
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| Inventories, Liquidity, and the | | Macroeconomy , by Yi Wen (St Louis Fed Working Papers 2008-045) | Abstract Full text |
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| Household debt and the | | macroeconomy , by Guy Debelle (Bank for International Settlements Quarterly Review 0403e) | Abstract Full text |
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| Where Are We Now? Real-Time Estimates of the | | Macroeconomy , by Martin D. D. Evans (IJCB International Journal of Central Banking 05q3a4) | Abstract Full text |
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| Are the Dynamic Linkages Between the | | Macroeconomy and Asset Prices Time-Varying?, by Massimo Guidolin, and Sadayuki Ono (St Louis Fed Working Papers 2005-056) | Full text |
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| The Canadian | | Macroeconomy and the Yield Curve: An Equilibrium-Based Approach, by René Garcia and Richard Luger (Bank of Canada Working papers 2005-36) | Abstract Full text |
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| The | | Macroeconomy and the Yield Curve: A Nonstructural Analysis, by Francis X. Diebold, Glenn D. Rudebusch and S. Boragan Aruoba (San Francisco Fed Working Papers 2003-18) | Full text |
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| a general equilibrium model of the oil- | | macroeconomy nexus, by Anton Nakov and Galo Nuño (Bank of Spain Working Papers 0932) | Abstract Full text |
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| The Property Market and the | | Macroeconomy of the Mainland: A Cross Region Study, by Wensheng Peng, Matthew Yiu and Dickson Tam (Hong Kong Monetary Authority Working Papers RM2005-12) | Full text |
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| Forecasting the | | macroeconomy with current financial market information: Europe and the United States, by Juha Junttila (Bank of Finland Discussion Papers 2002/02) | Abstract Full text |
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| House Prices, Money, Credit and the | | Macroeconomy., by Charles Goodhart and Boris Hofmann (European Central Bank Working papers 0888) | Full text |
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| Oil and the | | macroeconomy: a quantitative structural analysis, by Francesco Lippi and Andrea Nobili (Bank of Italy Working Papers 704) | Abstract Full text |
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| A Small Model of the Australian | | Macroeconomy: An Update, by Andrew Stone, Troy Wheatley and Louise Wilkinson (Reserve Bank of Australia Research Discussion Papers RDP2005-11) | Abstract Full text |
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| Oil and the U.S. | | Macroeconomy: An Update and a Simple Forecasting Exercise, by Kevin L. Kliesen (St Louis Fed Working Papers 2008-009) | Full text |
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| Household decisions, credit markets and the | | macroeconomy: implications for the design of central bank models, by John Muellbauer (Bank for International Settlements Working papers 306) | Abstract Full text |
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| State and Local Finances and the | | Macroeconomy: The High-Employment Budget and Fiscal Impetus, by Glenn Follette, Andrea Kusko, and Byron Lutz (Board of Governors of the Federal Reserve System FEDS series 2009-05) | Abstract Full text |
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| Energy Price Shocks and the | | Macroeconomy: The Role of Consumer Durables, by Rajeev Dhawan and Karsten Jeske (Atlanta Fed Working papers 2006-09) | Abstract Full text |
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| Comments on Jeske and Kreuger's %22Housing and the | | Macroeconomy: The Role of Implicit Guarantees for Government Sponsored Enterprises%22, by Brian Peterson (Atlanta Fed Working papers 2008-03) | Abstract Full text |
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| Housing and the | | Macroeconomy: The Role of Implicit Guarantees for Government-Sponsored Enterprises, by Karsten Jeske and Dirk Krueger (Atlanta Fed Working papers 2005-15) | Abstract Full text |
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| The External Finance Premium and the | | Macroeconomy: US Post-WWII Evidence, by Ferre De Graeve (Dallas Fed Working Papers wp0809) | Full text |
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New Framework for Measuring and Managing | | Macrofinancial Risk and Financial Stability, by Dale F. Gray, Robert C. Merton, Zvi Bodie (Central Bank of Chile Working Papers 541) | Abstract Full text |
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| Procyclicality in the financial system: do we need a new | | macrofinancial stabilisation framework?, by William R. White (Bank for International Settlements Working papers 193) | Abstract Full text |
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Aggregation, Persistence and Volatility in a | | Macromodel , by Karim Abadir, Gabriel Talmain (Bank of Portugal Working papers 200106) | Abstract Full text |
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| Two Decades of | | Macromodelling at the MAS, by Jared J Enzler, Christopher W Murphy, Ng Heng Tiong, Angela Phang and Edward Robinson (Monetary Authority of Singapore Staff Papers No. 39) | Abstract Full text |
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Bank supervision Russian style: Evidence of conflicts between micro- and | | macroprudential concerns, by Sophie Claeys and Koen Schoors (Sveriges Riksbank Working Papers 205) | Abstract Full text |
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| Towards a | | macroprudential framework for financial supervision and regulation?, by Claudio Borio (Bank for International Settlements Working papers 128) | Abstract Full text |
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| | | Macroprudential Regulation and Systemic Capital Requirements, by Céline Gauthier, Alfred Lehar, and Moez Souissi (Bank of Canada Working papers 2010-04) | Abstract Full text |
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| | | Macroprudential Supervision of Financial Institutions: Lessons from the SCAP, by Beverly Hirtle, Til Schuermann, and Kevin Stiroh (Federal Reserve Bank of New York Staff reports 409) | Abstract Full text |
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| The term " | | macroprudential": origins and evolution, by Piet Clement (Bank for International Settlements Quarterly Review 1003h) | Abstract Full text |
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Price Rigidity. Evidence from the French CPI | | Macro-Data, by Laurent Baudry, Hervé Le Bihan, patrick Sevestre and Sylvie Tarrieu (Bank of France Working Papers Nr 113) | Abstract
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| A | | Macro-econometric Model for Ireland, by Kieran McQuinn, Nuala O'Donnell and Mary Ryan (Central Bank and Financial Services Authority of Ireland Research Technical Papers 05/RT/09) | Abstract Full text |
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| Structural | | Macro-Econometric Modelling in a Policy Environment, by Martin Fukac and Adrian Pagan (Reserve Bank of New Zealand Discussion Papers DP2009/16) | Full text |
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| Structural | | Macro-Econometric Modelling in a Policy Environment, by Martin Fukac (Kansas City Fed Working Papers 10-08) | Abstract Full text |
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| Is forecasting with large models informative? Assessing the role of judgement in | | macro-economic forecasts, by Ricardo Mestre and Peter McAdam (European Central Bank Working papers 0950) | Full text |
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| The Property Market and the | | Macro-Economy, by Wensheng Peng, Lillian Cheung, Kelvin Fan and Cynthia Leung (Hong Kong Monetary Authority Working Papers RM2001-02q105) | Full text |
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| Do Behavioral Biases Adversely Affect the | | Macro-Economy?, by George M. Korniotis and Alok Kumar (Board of Governors of the Federal Reserve System FEDS series 2008-49) | Abstract Full text |
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| An affine | | macro-factor model of the UK yield curve, by Peter Lildholdt, Nikolaos Panigirtzoglou and Chris Peacock (Bank of England Working papers 322) | Abstract Full text |
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| Imperfect information, macroeconomic dynamics and the yield curve: an encompassing | | macro-finance model, by Hans Dewachter (National Bank of Belgium Working Papers 144) | Abstract Full text |
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| Frequency-domain analysis of debt service in a | | macro-finance model for the euro area., by Jean-Paul Renne (Bank of France Working Papers Nr 261) | Abstract Full text |
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| A | | Macro-Finance Model of the Term Structure, Monetary Policy, and the Economy, by Glenn D. Rudebusch and Tao Wu (San Francisco Fed Working Papers 2003-17) | Full text |
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| Challenges in | | Macro-Finance Modeling, by Don Kim (Board of Governors of the Federal Reserve System FEDS series 2008-06) | Abstract
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| Challenges in | | macro-finance modeling, by Don H Kim (Bank for International Settlements Working papers 240) | Abstract Full text |
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| | | Macro-Finance Models of Interest Rates and the Economy, by Rudebusch (San Francisco Fed Working Papers 2010-01) | Full text |
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| Epstein-Zin preferences and their use in | | macro-finance models: implications for optimal monetary policy,, by Matthieu Darracq Paričs, Alexis Loublier (European Central Bank Working papers 1209) | Full text |
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| The Bond Yield "Conundrum" from a | | Macro-Finance Perspective, by Rudebusch, Swanson, Wu (San Francisco Fed Working Papers 2006-16) | Full text |
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| The Recent Shift in Term Structure Behavior from a No-Arbitrage | | Macro-Finance Perspective, by Glenn Rudebusch and Tao Wu (San Francisco Fed Working Papers 2004-25) | Full text |
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| An affine | | macro-finance term structure model for the euro area, by Wolfgang Lemke (Deutsche Bundesbank Discussion Papers 200713) | Full text |
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| Balance Sheet Interlinkages and | | Macro-Financial Risk Analysis in the Euro Area,, by Olli Castrén, Ilja Kristian Kavonius, (European Central Bank Working papers 1124) | Full text |
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| Globel | | Macro-financial shocks and expected default frequencies in the Euro Area, by Olli Castrén (European Central Bank Working papers 0875) | Full text |
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| | | Macro-model-based stress testing of Basel II capital requirements, by Esa Jokivuolle – Kimmo Virolainen – Oskari Vähämaa (Bank of Finland Discussion Papers 2008/17) | Abstract Full text |
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| The ECB and IMF indicators for the | | macro-prudential analysis of the banking sector: a comparison of the two approaches, by Anna Maria Agresti, Patrizia Baudino and Paolo Poloni (European Central Bank Occasional papers 099) | Full text |
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| On the origins of the BIS | | macro-prudential approach to financial stability: Alexandre Lamfalussy and financial fragility, by Ivo Maes (National Bank of Belgium Working Papers 176) | Abstract
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| Analysing banking sector conditions - How to use | | macro-prudential indicators, by Leena Mörttinen, Paolo Poloni, Patrick Sandars and Jukka Vesala (European Central Bank Occasional papers 026) | Full text |
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| When liquidity risk becomes a | | macro-prudential issue: Empirical evidence of bank behaviour, by Jan Willem van den End and Mostafa Tabbae (Netherlands Bank DNB Working Papers 230) | Full text |
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| Asset-price boom-bust cycles and credit: what is the scope of | | macro-prudential regulation?, by Vladimir Borgy, Laurent Clerc and Jean-Paul Renne (Bank of France Working Papers Nr 263) | Abstract Full text |
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| What can ( | | macro-)prudential policy do to support monetary policy?, by Claudio Borio and Ilhyock Shim (Bank for International Settlements Working papers 242) | Abstract Full text |
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| Prudential Discipline for Financial Firms: Micro, | | Macro, and Market Structures, by Larry Wall (Atlanta Fed Working papers 2010-09) | Abstract
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| Micro, | | Macro, and Strategic Forces in InternationalTrade Invoicing, by Linda S. Goldberg and Cédric Tille (Federal Reserve Bank of New York Staff reports 405) | Abstract Full text |
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| Fast micro and slow | | macro: can aggregation explain the persistence of inflation?, by Benoît Mojon (European Central Bank Working papers 0729) | Full text |
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| Fast Micro and Slow | | Macro: Can Aggregation Explain the Persistence of Inflation?, by Filippo Altissimo, Benoît Mojon, Paolo Zaffaroni (Chicago Fed Working papers WP-2007-02) | Abstract Full text |
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The political economy under monetary union: has the euro | | made a difference?, by Marcel Fratzscher and Livio Stracca (European Central Bank Working papers 0956) | Full text |
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| On the Optimality of Decisions | | made by Hub-and-Spokes Monetary Policy Committees, by (DNB) (Netherlands Bank DNB Working Papers 027) | Full text |
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| Assessing the Potential for Further Foreign Demand for U.S. Assets: Has Financing U.S. Current Account Deficits | | Made Foreign Investors Overweight in U.S. Securities?, by Carol C. Bertaut (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0950) | Abstract Full text |
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The 2008 Federal Intervention to Stabilize Fannie | | Mae and Freddie Mac, by W. Scott Frame (Atlanta Fed Working papers 2009-13) | Abstract Full text |
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| Emerging Competition and Risk-Taking Incentives at Fannie | | Mae and Freddie Mac, by W. Scott Frame and Lawrence J. White (Atlanta Fed Working papers 2004-04) | Abstract Full text |
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| An Analysis of the Systemic Risks Posed by Fannie | | Mae and Freddie Mac and an Evaluation of the Policy Options for Reducing Those Risks, by Robert A. Eisenbeis, W. Scott Frame, and Larry D. Wall (Atlanta Fed Working papers 2006-02) | Abstract Full text |
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The determinants of intra-firm trade: in search for export-import | | magnification effects, by Peter Egger, Michael Pfaffermayr (Deutsche Bundesbank Discussion Papers 200512) | Full text |
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The | | Magnitude and Cyclical Behavior of Financial Market Frictions, by Andrew T. Levin, Fabio M. Natalucci, and Egon Zakrajsek (Board of Governors of the Federal Reserve System FEDS series 2004-70) | Abstract Full text |
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| The timing and | | magnitude of exchange rate overshooting, by Mathias Hoffmann, Jens Sondergaard, Niklas J. Westelius (Deutsche Bundesbank Discussion Papers 200728) | Full text |
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| Credit card use after the final mortgage payment: does the | | magnitude of income shocks matter?,, by Barry Scholnick, (European Central Bank Working papers 1142) | Full text |
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Assessing and Managing Operational Risks at the | | Magyar Nemzeti Bank, by László Baki - Dr Péter Rajczy - Márta Temesvári (Magyar Nemzeti Bank (the central bank of Hungary) Occasional papers 2004/32) | Abstract Full text |
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Check in the | | Mail or More in the Paycheck: Does the Effectiveness of Fiscal Stimulus Depend on How It Is Delivered?, by Claudia R. Sahm, Matthew D. Shapiro, and Joel Slemrod (Board of Governors of the Federal Reserve System FEDS series 2010-40) | Abstract Full text |
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Competition and Price Discrimination in the Market for | | Mailing Lists, by Ron Borzekowski, Raphael Thomadsen, and Charles Taragin (Board of Governors of the Federal Reserve System FEDS series 2005-56) | Abstract Full text |
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Does It Pay to Read Your Junk | | Mail? Evidence of the Effect of Advertising on Home Equity Credit Choices, by Sumit Agarwal, Brent W. Ambrose (Chicago Fed Working papers WP-2008-09) | Abstract Full text |
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| | Main drivers of the ECB financial accounts and ECB financial strength over the first 11 years, by Olivier Vergote, Werner Studener, Ioannis Efthymiadis and Niall Merriman (European Central Bank Occasional papers 111) | Full text |
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| How to interpret the CPIS data on the distribution of foreign portfolio assets in the presence of sizeable cross-border positions in mutual funds. Evidence for Italy and the | | main euro-area countries, by Alberto Felettigh, Paola Monti (Bank of Italy Occasional Papers 16) | Abstract Full text |
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| Taxi and limousine services after the Bersani reform: an investigation on | | main Italian cities, by Chiara Bentivogli (Bank of Italy Occasional Papers 24) | Abstract Full text |
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| A Bivariate Model of Fed and ECB | | Main Policy Rates, by Chiara Scotti (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0875) | Abstract Full text |
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| The | | main recessions in Italy: a retrospective comparison, by Antonio Bassanetti, Martina Cecioni, Andrea Nobili, Giordano Zevi (Bank of Italy Occasional Papers 46) | Abstract Full text |
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| Optimal allotment policy in the Eurosystem's | | main refinancing operations, by Christian Ewerhart, Nuno Cassola, Steen Ejerskov and Natacha Valla (European Central Bank Working papers 0295) | Full text |
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| Bidding behaviour in the ECB's | | main refinancing operations during the financial crisis, by Jens Eisenschmidt, Astrid Hirsch, Tobias Linzert (European Central Bank Working papers 1052) | Full text |
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| Structural econometric approach to bidding in the | | main refinancing operations of the Eurosystem, by Nuno Cassola (European Central Bank Working papers 0793) | Full text |
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| How does the ECB allot liquidity in its weekly | | main refinancing operations? A look at the empirical evidence, by Steen Ejerskov (European Central Bank Working papers 0244) | Full text |
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Alternative Measures of Core Inflation on the | | Mainland , by Chang Shu and Andrew Tsang (Hong Kong Monetary Authority Working Papers RM2004-04b) | Full text |
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| Price Convergence between Hong Kong and the | | Mainland , by Jiming Ha and Kelvin Fan (Hong Kong Monetary Authority Working Papers RM2002-08) | Full text |
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| Economic growth across space and time: subprovincial evidence from | | Mainland China, by Declan Curran, Michael Funke and Jue Wang (Bank of Finland BOFIT Discussion Papers 2007/21) | Abstract Full text |
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| Taking the temperature - forecasting GDP growth for | | mainland China, by Declan Curran, Michael Funke (Bank of Finland BOFIT Discussion Papers 2006/06) | Abstract Full text |
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| A New Keynesian Model for Analysing Monetary Policy in | | Mainland China, by Li-gang Liu and Wenlang Zhang (Hong Kong Monetary Authority Working Papers WP07_18) | Abstract Full text |
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| A Real Activity Index for | | Mainland China, by Li-gang Liu, Wenlang Zhang, and Jimmy Shek (Hong Kong Monetary Authority Working Papers WP07_07) | Abstract Full text |
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| Cross-Border Fund Flows and Hong Kong Banks' External Transactions vis-ŕ-vis | | Mainland China, by Joanna Shi and Andrew Tsang (Hong Kong Monetary Authority Working Papers RM2006-07) | Full text |
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| A Monetary Conditions Index for | | Mainland China, by Wensheng Peng and Frank Leung (Hong Kong Monetary Authority Working Papers RM2005-01) | Full text |
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| Intra-Regional Trade and the Role of | | Mainland China, by Joanne Cutler, Kevin Chow, Carrie Chan and Unias Li (Hong Kong Monetary Authority Working Papers RM2004-05) | Full text |
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| Hong Kong's External Claims and Liabilities vis-ŕ-vis | | Mainland China, by Joanna Shi (Hong Kong Monetary Authority Working Papers RM2001-16q202) | Full text |
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| Recent Reforms and Progress in Rural Development in | | Mainland China, by Raymond Yip, Jun-yu Chan and Nathan Chow (Hong Kong Monetary Authority China Economic Issues 200705) | Full text |
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| Estimating a Benchmark Term Structure of Interest Rates for | | Mainland China, by Hongyi Chen and Vincent Yeung (Hong Kong Monetary Authority China Economic Issues 200604) | Full text |
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| Interest Rate Structure and Monetary Policy Implementation in | | Mainland China, by Wensheng Peng, Hongyi Chen and Weiwei Fan (Hong Kong Monetary Authority China Economic Issues 200601) | Full text |
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| Output gaps and inflation in | | Mainland China, by Stefan Gerlach and Wensheng Peng (Bank for International Settlements Working papers 194) | Abstract Full text |
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| How Do Macroeconomic Developments in | | Mainland China Affect Hong Kong's Short-term Interest Rates?, by Dong He, Frank Leung and Philip Ng (Hong Kong Monetary Authority Working Papers WP07_17) | Abstract Full text |
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| The Relationship between Commodity and Consumer Prices in | | Mainland China and Hong Kong, by Joanne Cutler, Carrie Chan and Unias Li (Hong Kong Monetary Authority Working Papers RM2005-08) | Full text |
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| Hong Kong's Economic Integration and Business Cycle Synchronisation with | | Mainland China and the US, by Hans Genberg, Li-gang Liu and Xiangrong Jin (Hong Kong Monetary Authority Working Papers RM2006-11) | Full text |
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| Hong Kong's Financial Market Interactions with the US and | | Mainland China in Crisis and Tranquil Times, by Dong He, Zhiwei Zhang and Honglin Wang (Hong Kong Monetary Authority Working Papers WP09_10) | Abstract Full text |
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| Monetary Management in | | Mainland China in the Face of Large Capital Inflows, by Dong He, Carmen Chu, Chang Shu and Amy Wong (Hong Kong Monetary Authority Working Papers RM2005-07) | Full text |
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| Inflation in | | mainland China - modelling a roller coaster ride, by Michael Funke (Bank of Finland BOFIT Discussion Papers 2005/06) | Abstract Full text |
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| Outward Portfolio Investment From | | Mainland China: How Much Do We Expect And How Large a Share Can Hong Kong Expect to Capture?, by Lillian Cheung, Kevin Chow, Jian Chang and Unias Li (Hong Kong Monetary Authority Working Papers RM2006-13) | Full text |
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| Commodity Futures Market in | | Mainland China: Recent Developments and Issues, by Wensheng Peng, Ivy Yong and Rina Suo (Hong Kong Monetary Authority China Economic Issues 200606) | Full text |
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| Impact of Exchange Rate Movements on the | | Mainland Economy, by Chang Shu and Raymond Yip (Hong Kong Monetary Authority China Economic Issues 200603) | Full text |
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| The Property Market and the Macroeconomy of the | | Mainland: A Cross Region Study, by Wensheng Peng, Matthew Yiu and Dickson Tam (Hong Kong Monetary Authority Working Papers RM2005-12) | Full text |
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| | Maintaining low inflation: money, interest rates, and policy stance, by Samuel Reynard (European Central Bank Working papers 0756) | Full text |
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| | | Maintaining Low Inflation: Money, Interest Rates, and Policy StancePublished in:, by Samuel Reynard (Swiss National Bank Working Papers 2007-05) | Abstract
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| | | Maintaining price stability under free-floating: a fearless way out of the corner?, by Carsten Detken and Vítor Gaspar (European Central Bank Working papers 0241) | Full text |
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Happiness | | Maintenance and Asset Prices, by Antonio Falato (Board of Governors of the Federal Reserve System FEDS series 2008-19) | Abstract
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| Using Home | | Maintenance and Repairs to Smooth Variable Earnings, by Joseph Gyourko and Joseph Tracy (Federal Reserve Bank of New York Staff reports 168) | Abstract Full text |
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| | | Maintenance Expenditures and Indeterminacy under Increasing Returns to Scale, by Lansing, Guo (San Francisco Fed Working Papers 2005-10) | Full text |
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Import Price Dynamics in | | Major Advanced Economies and Heterogeneity in Exchange Rate Pass-Through, by Stephane Dees, Matthias Burgert, and Nicolas Parent (Bank of Canada Working papers 2008-39) | Abstract Full text |
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| Import price dynamics in | | major advanced economies and heterogeneity in exchange rate pass-through, by Stéphane Dées (European Central Bank Working papers 0933) | Full text |
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| College | | Major Choice and the Gender Gap, by Basit Zafar (Federal Reserve Bank of New York Staff reports 364) | Abstract Full text |
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| Do China and oil exporters influence | | major currency configurations?, by Marcel Fratzscher and Arnaud Mehl (European Central Bank Working papers 0973) | Full text |
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| Do China and Oil Exporters Influence | | Major Currency Configurations?, by Marcel Fratzscher and Arnaud Mehl (Dallas Fed Institute Working Papers 0025) | Full text |
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| Housing cycles in the | | major euro area countries, by Luis.J Álvarez, Guido Bulligan, Alberto Cabrero, Laurent Ferrara and Harald Stahl (Bank of France Working Papers Nr 269) | Abstract Full text |
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| A Framework for Assessing the Systemic Risk of | | Major Financial Institutions, by Xin Huang, Hao Zhou, and Haibin Zhu (Board of Governors of the Federal Reserve System FEDS series 2009-37) | Abstract Full text |
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| Stress testing in practice: a survey of 43 | | major financial institutions, by Ingo Fender and Michael S Gibson (Bank for International Settlements Quarterly Review 0106g) | Full text |
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| Longer-term effects of monetary growth on real and nominal variables, | | major industrial countries, 1880-2001, by Alfred A. Haug and William G. Dewald (European Central Bank Working papers 0382) | Full text |
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| A comparison of Structural Productivity Levels in the | | Major Industrialised Countries, by Renaud Bourlčs and Gilbert Cette (Bank of France Working Papers Nr 133) | Abstract Full text |
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| Trends in "structural" productivity levels in the | | major industrialized countries, by Renaud Bourlčs and Gilbert Cette (Bank of France Working Papers Nr 156) | Abstract Full text |
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| The | | Major Supervisory Initiatives Post-FDICIA: Are They Based on the Goals of PCA? Should They Be?, by Robert A. Eisenbeis and Larry D. Wall (Atlanta Fed Working papers 2002-31) | Abstract Full text |
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| The provisioning experience of the | | major UK banks: a small panel investigation, by Darren Pain (Bank of England Working papers 177) | Abstract Full text |
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Is Economics Coursework, or | | Majoring in Economics, Associated with Different Civic Behaviors?, by Sam Allgood, William Bosshardt, Wilbert van der Klaauw, and Michael Watts (Federal Reserve Bank of New York Staff reports 450) | Abstract Full text |
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What Do | | Majority-Voting Politics Say About Redistributive Taxation of Consumption and Factor Income? Not Much., by Jim Dolmas (Dallas Fed Working Papers wp0814) | Full text |
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Estimating the | | makam yield curve and deriving forward interest rates, by Stein Roy (Bank of Israel Monetary Studies - Discussion Papers mns0703) | Abstract
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Does Inflation Targeting | | Make a Difference?, by Frederic Mishkin, Klaus Schmidt-Hebbel (Central Bank of Chile Working Papers 404) | Abstract Full text |
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| Does Inflation Targeting | | Make a Difference?, by Oscar Landerretche, Vittorio Corbo, Klaus Schmidt-Hebbel (Central Bank of Chile Working Papers 106) | Abstract Full text |
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| Does Inflation Targeting | | Make a Difference?, by Frederic S. Mishkin, Klaus Schmidt-Hebbel (Czech National Bank Working papers 2006/13) | Abstract Full text |
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| The link between interest rates and exchange rates: do contradictionary depreciations | | make a difference?, by Marcelo Sánchez (European Central Bank Working papers 0548) | Full text |
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| Households' Response to Wealth Changes: Do Gains or Losses | | make a Difference?, by Robert Paul Berben, Kerstin Bernoth and Mauro Mastrogiacomo (Netherlands Bank DNB Working Papers 090) | Full text |
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| Fiscal policy and growth: do financial crises | | make a difference?,, by Christina Kolerus, Hans Peter Grüner, António Afonso (European Central Bank Working papers 1217) | Full text |
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| Real-Time Datasets Really Do | | Make a Difference: Definitional Change, Data Release, and Forecasting, by Andres Fernandez (Philadelphia Fed Working Papers 09-28) | Full text |
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| How do you | | make a time series sing like a choir? Using the Hilbert-Huang transform to extract embedded frequencies from economic or financial time series, by Patrick M Crowley (Bank of Finland Discussion Papers 2009/32) | Abstract Full text |
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| Does uncertainty | | make a time-varying natural rate of interest irrelevant for the conduct of monetary policy?, by Jean-Stéphane Mésonnier and Jean-Paul Renne (Bank of France Working Papers Nr 175) | Abstract Full text |
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| Too much right can | | make a wrong: Setting the stage for the financial crisis, by Richard J. Rosen (Chicago Fed Working papers WP-2009-18) | Abstract Full text |
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| Do decreasing hazard functions for price changes | | make any sense?, by Luis J. Álvarez (European Central Bank Working papers 0461) | Full text |
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| Do decreasing hazard functions for price changes | | make any sense?, by Luis J. Álvarez, Pablo Burriel and Ignacio Hernando (Bank of Spain Working Papers 0508) | Abstract Full text |
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| Does The Time Inconsistency Problem | | Make Flexible Exchange Rates Look Worse Than You Think?, by Roc Armenter Martin Bodenstein (Board of Governors of the Federal Reserve System International Financial Discussion Papers 0865) | Abstract Full text |
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| Does the Time Inconsistency Problem | | Make Flexible Exchange Rates Look Worse Than You Think?, by Roc Armenter and Martin Bodenstein (Federal Reserve Bank of New York Staff reports 230) | Abstract Full text |
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| Using a New Open Economy Macroeconomics model to | | make real nominal exchange rate forecasts, by Peter Sellin (Sveriges Riksbank Working Papers 213) | Abstract Full text |
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| Does The WTO | | Make Trade More Stable?, by Andrew K Rose (Monetary Authority of Singapore Staff Papers No. 27) | Abstract Full text |
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Incomplete Markets and Households' Exposure to Interest Rate and Inflation Risk: Implications for the Monetary Policy | | Maker , by Andrea Pescatori (Cleveland Fed Working papers 0709) | Full text |
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Insights gained from conversations with labor market decision | | makers , by Truman F. Bewley (European Central Bank Working papers 0776) | Full text |
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