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International Monetary Fund IMF Working Papers Contact information of
International Monetary Fund: Postal: International Monetary Fund, Washington, DC USA Phone: (202) 623-7000 Fax: (202) 623-4661 Email: Web page: http://www.imf.org/external/pubind.htm More information through EDIRC
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For technical questions regarding this series, please contact
(Christopher F. Baum) Series handle: repec:imf:imfwpa
More pages of listings: 0 |1 |2 |3 |4 |5 |6 |7 |8 |9 |10 |11 |12 |13 |14 |15 |16 |17 |18 |19
2000
1999 99/181 Assessing External Sustainability in India by Tim Callen & Paul Cashin
99/180 The Political Economy of Redistributive Social Security by Pierre Pestieau
99/179 The Efficiency of Education Expenditure in Portugal by Benedict J. Clements
99/178 Currency and Banking Crises - The Early Warnings of Distress by Graciela Laura Kaminsky
99/177 Redistribution Through Public Employment - The Case of Italy by Alberto Alesina & Massimo V. Rostagno & Stephan Danninger
99/176 Fiscal Federalism and Government Size in Transition Economies - The Case of Moldova by Luiz de Mello
99/175 Global Equilibrium Exchange Rates - Euro, Dollar, "Ins," "Outs," and Other Major Currencies in a Panel Cointegration Framework by Angel J. Ubide & J. Humberto Lopez & Enrique Alberola Ila & Susana Garcia Cervero
99/174 Risk, Resources, and Education - Public Versus Private Financing of Higher Education by Berthold U. Wigger & Robert K. von Weizsäcker
99/173 Demand for M2 in an Emerging-Market Economy - An Error-Correction Model for Malaysia by Subramanian S. Sriram
99/172 Dominance Testing of Social Sector Expenditures and Taxes in Africa by David E. Sahn & Stephen D. Younger
99/171 Flight Capital as a Portfolio Choice by Catherine A. Pattillo & Paul Collier & Anke Hoeffler
99/170 Central Bank Independence and the Conduct of Monetary Policy in the United Kingdom by Jan Kees Martijn & Hossein Samiei
99/169 The Myth of Comoving Commodity Prices by Paul Cashin & C. John McDermott & Alasdair Scott
99/168 Global Liquidity and Asset Prices: Measurement, Implications, and Spillovers by Charles Frederick Kramer & Klaas Baks
99/167 Ownership of Capital in Monetary Economics and the Inflation Tax on Equity by Ralph Chami & Thomas F. Cosimano & Connel Fullenkamp
99/166 Why Do Firms Pay Antidumping Duty? by Poonam Gupta
99/165 Rethinking Subnational Taxes - A New Look at Tax Assignment by Richard Miller Bird
99/164 Multiple Equilibria, Contagion, and the Emerging Market Crises by Paul R. Masson
99/163 Income Distribution, Informal Safety Nets, and Social Expenditures in Uganda by Calvin A. McDonald & Christian Schiller & Kenichi Ueda
99/162 The Suitability of ASEAN for a Regional Currency Arrangement by Tamim Bayoumi & Paolo Mauro
99/161 The Disappearing Openness-Inflation Relationship - A Cross-Country Analysis of Inflation Rates by M. F. Bleaney
99/160 The 1994 Mexican Economic Crisis - The Role of Government Expenditure and Relative Prices by Eliot Kalter & Armando P. Ribas
99/159 Political Economy Aspects of Trade and Financial Liberalization - Implications for Sequencing by Rina Bhattacharya
99/158 Linkages Among Asset Markets in the United States - Tests in a Bivariate GARCH Framework by Salim M. Darbar & Parha Deb
99/157 Suriname - A Case Study of High Inflation by Benedikt Braumann & Sukhdev Shah
99/156 On the Fast Track to EU Accession - Macroeconomic Effects and Policy Challenges for Estonia by Günther Taube & René Weber
99/155 Booms and Slumps in World Commodity Prices by Paul Cashin & C. John McDermott & Alasdair Scott
99/154 Identifying the Common Component in International Economic Fluctuations - A New Approach by Eswar Prasad & Robin L. Lumsdaine
99/153 Regulation of Withdrawals in Individual Account Systems by Jan Walliser
99/152 Has the Nature of Crises Changed? A Quarter Century of Currency Crises in Argentina by Nada Choueiri & Graciela Laura Kaminsky
99/151 Bank Rating Changes and Bank Stock Returns - Puzzling Evidence from the Emerging Markets by Anthony J. Richards & David Deddouche
99/150 Foreign Investment in Colombia's Financial Sector by Adolfo Barajas & Roberto Steiner & Natalia Salazar
99/149 Why Has Inflation in the United States Remained So Low? Reassessing the Importance of Labor Costs and the Price of Imports by Stephen Tokarick & Jorge A. Chan-Lau
99/148 Idiosyncratic Risk - An Empirical Analysis, with Implications for the Risk of Relative-Value Trading Strategies by Anthony J. Richards
99/147 Monitoring Banking Sector Fragility - A Multivariate Logit Approach by Enrica Detragiache & Asli Demirgüç-Kunt
99/146 Sources of Contagion: Finance or Trade? by Caroline van Rijckeghem & Beatrice Weder
99/145 Trade and Industrialization in Developing Agricultural Economies by Sergei Dodzin & Athanasios Vamvakidis
99/144 Can a Shorter Workweek Induce Higher Employment? Mandatory Reductions in the Workweek and Employment Subsidies by S. Nuri Erbas & Chera L. Sayers
99/143 Corporate Leverage, Bankruptcy, and Output Adjustment in Post-Crisis East Asia by Se-Jik Kim & Mark R. Stone
99/142 From Toronto Terms to the HIPC Initiative - A Brief History of Debt Relief for Low-Income Countries by Christina Daseking & Robert Powell
99/141 Nominal Exchange Rates and Nominal Interest Rate Differentials by Francisco Nadal-De Simone & Weshah Razzak
99/140 Central Bank Participation in Currency Options Markets by Peter Breuer
99/139 Recapitalizing Banks with Public Funds - Selected Issues by Charles Enoch & Vasudevan Sundararajan & G. G. Garcia
99/138 The Asia Crisis - Causes, Policy Responses and Outcomes by Andrew Berg
99/137 A Peek Inside the Black Box: The Monetary Transmission Mechanism in Japan by Tamim Bayoumi & James Hubert John
99/136 Portfolio Diversification, Leverage, and Financial Contagion by Garry J. Schinasi & T. Todd Smith
99/135 Corporate Insolvency Procedures and Bank Behavior - A Study of Selected Asian Economies by Qaizar Hussain & Clas Wihlborg
99/134 Macroeconomic and Sectoral Effects of Terms-of-Trade Shocks - The Experience of the Oil-Exporting Developing Countries by Nikola Spatafora & Andrew M. Warner
99/133 Country Risks and the Investment Activity of U.S. Multinationals in Developing Countries by Alexander Lehmann
99/132 Exchange-Rate-Based Stabilization - ACritical Look at the Stylized Facts by A. Javier Hamann
99/131 EMU Challenges European Labor Markets by Rüdiger Soltwedel & Dirk Dohse & Christiane Krieger-Boden
99/130 Skill Acquisition and Firm Creation in Transition Economies by Zuzana Brixiova & Wenli Li & Tarik Yousef
99/129 Emerging Markets Crisis - An Asset Markets Perspective by Ricardo J. Caballero & Arvind Krishnamurthy
99/128 Neglected Heterogeneity and Dynamics in Cross-Country Savings Regressions by Nadeem Ul Haque & Sunil Sharma & M. Hashem Pesaran
99/127 The Enforcement of Property Rights and Underdevelopment by Era Dabla-Norris & Scott Freeman
99/126 Long-Term International Capital Movements and Technology - A Review by Harm Zebregs
99/125 Technology and Epidemics by L. Zanforlin & Alberto Chong
99/124 Three Million Foreigners, Three Million Unemployed? Immigration and the French Labor Market by Dominique M. Gross
99/123 Regional Income Redistribuiton and Risk Sharing - How Does Italy Compare in Europe? by Jörg Decressin
99/122 Inflation, Money Demand, and Purchasing Power Parity in South Africa by Gunnar Jonsson
99/121 Determinants of Argentina's External Trade by Luis Catão & Elisabetta Falcetti
99/120 Measuring Misalignment - Purchasing Power Parity and East Asian Currencies in the 1990s by Menzie David Chinn
99/119 Modeling and Forecasting Inflation in India by Tim Callen & Dongkoo Chang
99/118 Inflation and Growth in Transition: Are the Asian Economies Different? by Sanja Kalra & Torsten Sløk
99/117 Investment, Capital Accumulation, and Growth - Some Evidence from The Gambia 1964-98 by Christian H. Beddies
99/116 The Relative Merits and Implications of Inflation Targeting for South Africa by Gunnar Jonsson
99/115 The External Wealth of Nations - Measures of Foreign Assets and Liabilities for Industrial and Developing Countries by Gian Maria Milesi-Ferretti & Philip R. Lane
99/114 Exchange market Pressure and Monetary Policy - Asia and Latin America in the 1990s by Evan Tanner
99/113 Bank Fragility and International Capital Mobility by Enrica Detragiache
99/112 Private Sector Consumption Behavior and Non-Keynesian Effects of Fiscal Policy by Rina Bhattacharya
99/111 Firm Investment and Balance-Sheet Problems in Japan by Toshitaka Sekine
99/110 Foreign Exchange Queues, Informal Traders, and a Zero Premium in the Black Market - A Cape Verdean Puzzle by Jan-Peter Olters
99/109 Deconstructing Job Creation by Pietro Garibaldi & Paolo Mauro
99/108 Bailout and Conglomeration by Se-Jik Kim
99/107 Analysis of the U.S. Business Cycle with a Vector-Markov-Switching Model by Zenon Kontolemis G.
99/106 Bank Bailouts: Moral Hazard vs. Value Effect by Tito Cordella & Eduardo Levy Yeyati
99/105 Measuring Financial Development in Sub-Saharan Africa by E. Gelbard & Sérgio Pereira. Leite
99/104 The IMF Approach to Economic Stabilization by Michael Mussa & Miguel A. Savastano
99/103 Public Debt Management and Bailouts by Törbjörn I. Becker
99/102 Rachet Effects in Currency Substitution - An Application to the Kyrgyz Republic by Joannes Mongardini & Johannes Mueller
99/101 We Just Averaged over Two Trillion Cross-Country Growth Regressions by Eduardo Ley & Mark F. J. Steel
99/100 Global Moral Hazard, Capital Account Liberalization and the "Overlending Syndrome" by Eduardo Levy Yeyati
99/99 Adjustment Costs, Irreversibility, and Investment Patterns in African Manufacturing by Arne Bigsten
99/98 The Rise and Fall of the Pyramid Schemes in Albania by Christopher J. Jarvis
99/97 A Dynamic Model of Inflation for Kenya, 1974-1996 by Dick Durevall & Njuguna S. Ndung'u
99/96 Measures of Potential Output - An Application to Israel by Fabio Scacciavillani & Phillip Swagel
99/95 The Structural Budget Balance - The IMF's Methodology by Robert P. Hagemann
99/94 Managerial Entrenchment and the Choice of Debt Financing by Amadou N. R. Sy
99/93 Coordinating Tariff Reduction and Domestic Tax Reform by Michael Keen & Johanna Elisabeth Ligthart
99/92 Central Banking Without Central Bank Money by Alain Ize & Arto Kovanen & Timo Henckel
99/91 Institutionalized Corruption and the Kleptocratic State by Joshua Charap & Christian Harm
99/90 Determinants of Angola's Parallel Market Real Exchange Rate by E. Gelbard & Jun Nagayasu
99/89 Trade in Financial Services and Capital Movements by Natalia T. Tamirisa
99/88 External Vulnerability in Emerging Market Economies - How High Liquidity Can Offset Weak Fundamentals and the Effects of Contagion by Christian B. Mulder & Matthieu Bussiere [Downloadable!]
99/87 Military Spending, the Peace Dividend, and Fiscal Adjustment by Benedict J. Clements & Hamid Reza Davoodi & Jerald Alan Schiff & Peter Debaere
99/86 Signaling Fiscal Regime Sustainability by Alessandro Prati & Francesco Drudi
99/85 Does Mother Nature Corrupt - Natural Resources, Corruption, and Economic Growth by Carlos Leite & Jens Weidmann
99/84 Explaining International Comovements of Output and Asset Returns: The Role of Money and Nominal Rigidities by Robert Miguel W. K. Kollman
99/83 Real Wage Rigidities, Fiscal Policy, and the Stability of EMU in the Transition Phase by Norbert Berthold & Rainer Fehn & Eric Thode
99/82 Common Trends and Structural Change: A Dynamic Macro Model for the Pre- and Postrevolution Islamic Republic of Iran by Törbjörn I. Becker
99/81 Co-Movements in Long-Term Interest Rates and the Role of PPP-Based Exchange Rate Expectations by Jan Marc Berk & Klaas Knot
99/80 How Persistent Are Shocks to World Commodity Prices? by Paul Cashin & Hong Liang & C. John McDermott
99/79 Do Hong Kong SAR and China Constitute An Optimal Currency Area? An Empirical Test of the Generalized Purchasing Power Parity Hypothesis by Hong Liang
99/78 Price Imputation and Other Techniques for Dealing with Missing Observations, Seasonality and Quality Change in Price Indices by Paul A. Armknecht & Fenella Maitland-Smith
99/77 Sources of Economic Growth - An Extensive Growth Accounting Exercise by A. Senhadji Semlali
99/76 Price Liberalization, Money Growth, and Inflation During the Transition to a Market Economy by Ernesto Hernández-Catá
99/75 Simple Monetary Policy Rules Under Model Uncertainty by Peter Isard & Douglas Laxton & Ann-Charlotte Eliasson
99/74 Estimating Trade Equations from Aggregate Bilateral Data by Tamim Bayoumi
99/73 The Evolution of Output in Transition Economies - Explaining the Differences by Eduardo Borensztein & Ratna Sahay & Jeromin Zettelmeyer & Andrew Berg
99/72 Sticky Prices - An Empirical Assessment of Alternative Models by Esteban Jadresic
99/71 Excess Volatility and the Asset-Pricing Exchange Rate Model with Unobservable Fundamentals by Lorenzo Giorgiani & Leonardo Bartolini
99/70 A Test of the General Validity of the Heckscher-Ohlin Theorem for Trade in the European Community by Dalia Hakura
99/69 Economic and Legal Considerations of Optimal Privatization - Case Studies of Mortgage Firms (DePfa Group and Fannie Mae) by Claudia Helene Dziobek & Hans-Joachim Beyer & John R. Garrett
99/68 Privatization, Social Impact, and Social Safety Nets by Sanjeev Gupta & Henry Ma & Christian Schiller
99/67 Price and Monetary Dynamics Under Alternative Exchange Rate Regimes by M. F. Bleaney
99/66 Financial Fragility and Economic Performance in Developing Economies - Do Capital Controls, Prudential Regulation and Supervision Matter? by Marco Rossi
99/65 The Georgian Hyperinflation and Stabilization by Jian-Ye Wang
99/64 Survey of Literature on Demand for Money: Theoretical and Empirical Work with Special Reference to Error-Correction Models by Subramanian S. Sriram
99/63 Spend Now, Pay Later? Tax Smoothing and Fiscal Sustainability in South Asia by Paul Cashin & Nadeem Ul Haque & Nilss Olekalns
99/62 Macroeconomic Conditions and Import Surcharges in Selected Transition Economies by Piritta Sorsa
99/61 Inflation Targeting and Output Stability by Esteban Jadresic
99/60 Inequality and Optimal Redistributive Tax and Transfer Policies by Howell H. Zee
99/59 Fixed Capital Adjustment - Is Latin America Different? Evidence from the Colombian and Mexican Manufacturing Sectors by Gaston R. Gelos & Alberto Isgut
99/58 The Role of Inter- and Intraindustry Trade in Technology Diffusion by Dalia Hakura & Florence Jaumotte
99/57 Copper and the Chilean Economy, 1960-98 by Antonio Spilimbergo
99/56 International Trade and the Business Cycle by Eswar Prasad
99/55 Government Employment and Wages and Labor Market Performance by Dimitri G. Demekas & Zenon Kontolemis G.
99/54 Deposit Insurance - A Survey of Actual and Best Practices by G. G. Garcia
99/53 Can Currency Demand be Stable Under a Financial Crisis? - The Case of Mexico by May Y. Khamis & Alfredo Mario Leone
99/52 A Review of Capital Account Restrictions in Chile in the 1990s by Francisco Nadal-De Simone & Piritta Sorsa
99/51 Adjustment and Growth in Sub-Saharan Africa by Anupam Basu & Evangelos A. Calamitsis & Dhaneshwar Ghura
99/50 Long-Run Exchange Rate Dynamics - A Panel Data Study by Karl Friedrich Habermeier & Mario Mesquita
99/49 Algeria - The Real Exchange Rate, Export Diversification, and Trade Protection by Piritta Sorsa
99/48 The Egyptian Stock Market - Efficiency Tests and Volatility Effects by Mauro Mecagni & Maged Sawky Sourial
99/47 Exchange Rate Pass-Through and Dynamic Oligopoly - An Empirical Investigation by Dominique M. Gross & Nicolas Schmitt
99/46 Political Instability and Economic Vulnerability by Christian B. Mulder & Matthieu Bussiere [Downloadable!]
99/45 Japan's Stagnant Nineties - A Vector Autoregression Retrospective by Ramana Ramaswamy & Christel Rendu
99/44 Nonrenewable Resources - A Case for Persistent Fiscal Surpluses by M. Alier & Martin David Kaufman
99/43 Unemployment, Capital-Labor Substitution, and Economic Growth by Bob Rowthorn
99/42 Does Monetary Policy Stabilize the Exchange Rate Following a Currency Crisis? by Ilan Goldfajn & Poonam Gupta
99/41 Is Poland Ready for Inflation Targeting? by Robert F. Westcott & Peter F. Christoffersen
99/40 Real Exchange Rate Behavior and Economic Growth - Evidence from Egypt, Jordan, Morocco, and Tunisia by Ghiath Shabsigh & Ilker Domaç
99/39 A Model of the Lender of Last Resort by Haizhou Huang & C. A. E. Goodhart
99/38 East Asia in the Aftermath - Was There a Crunch? by Atish R. Ghosh & Swart R. Ghosh
99/37 The Long-Run Relationship Between Real Exchange Rates and Real Interest Rate Differentials - A Panel Study by Jun Nagayasu & Ronald MacDonald
99/36 Explaining the Behavior of Financial Intermediation - Evidence from Transition Economies by Philipp C. Rother
99/35 Macroeconomic Fluctuations in Developing Countries - Some Stylized Facts by Eswar Prasad & Pierre-Richard Agénor & C. John McDermott
99/34 Institutions, Innovations, and Growth by Haizhou Huang & Chenggang Xu
99/33 Determinants of Ex-Ante Banking System Distress: A Macro-Micro Empirical Exploration of Some Recent Episodes by Brenda González-Hermosillo
99/32 How Intensive Is Competition in the Emerging Markets? An Analysis of Corporate Rates of Return from Nine Emerging Markets by Jack D. Glen & Ajit Singh & Rudolph Matthias
99/31 Exchange Rate Movements and Tradable Goods Prices in East Asia - An Analysis Based on Japanese Customs Data, 1988-98 by Shinji Takagi & Yushi Yoshida
99/30 The Length and Cost of Banking Crises by Edward J. Frydl
99/29 A Model of Contagious Currency Crises with Application to Argentina by Nada Choueiri
99/28 The Korean Financial Crisis of 1997 - A Strategy of Financial Sector Reform by Angel J. Ubide & Tomás J. T. Baliño
99/27 Explaining Foreign Exchange Market Puzzles by Norman C. Miller
99/26 Monetary Policy and Public Finances - Inflation Targets in a New Perspective by Christian H. Beddies
99/25 Financial Liberalization, Credit Constraints, and Collateral - Investment in the Mexican Manufacturing Sector by Gaston R. Gelos & Alejandro M. Werner
99/24 Capital Controls and Trade Liberalization in a Monetary Economy by B. Jang
99/23 Growth Gains from Trade and Education by Se-Jik Kim & Yong-jin Kim
99/22 The Stock Market Channel of Monetary Policy by Ralph Chami & Thomas F. Cosimano & Connel Fullenkamp
99/21 Does Higher Government Spending Buy Better Results in Education and Health Care? by Sanjeev Gupta & Erwin Tiongson & Marijn Verhoeven
99/20 Credit Allocation and Financial Crisis in Korea by Eduardo Borensztein & Jong-Wha Lee
99/19 Taxation in Latin America - Structural Trends and Impact of Administration by Parthasrathi Shome
99/18 Are There International R&D Spillovers Among Randomly Matched Trade Partners?- A Response to Keller by David T. Coe & Alexander W. Hoffmaister
99/17 Large Capital Flows - A Survey of the Causes, Consequences, and Policy Responses by Alejando López MejÃa
99/16 Interest Rate Arbitrage in Currency Baskets--Forecasting Weights and Measuring Risk by Lorenzo Giorgiani & Peter F. Christoffersen
99/15 Exchange Rate Unification, the Equilibrium Real Exchange Rate, and Choice of Exchange Rate Regime--The Case of the Islamic Republic of Iran by Michel Lazare & Vasudevan Sundararajan & Sherwyn Williams
99/14 Consumption and Income Inequality in Poland During the Economic Transition by Eswar Prasad & Michael P. Keane
99/13 The Morning After--Explaining the Slowdown in Japanese Growth in the 1990s' by Tamim Bayoumi
99/12 The Euro and the Production Structure and Export Performance of Middle East and North African Countries by Jean-François Ruhashyankiko
99/11 Sectorial Macroeconomic Interdependencies - Evidence for Latin America, East Asia and Europe by Angel J. Ubide & Norman Loayza & J. Humberto Lopez
99/10 "Enemy of None but a Common Friend of All"? An International Perspective on the Lender-of-Last-Resort Function by Curzio Giannini
99/9 Implications of EMU for Exchange Rate Policy in Central and Eastern Europe by George Kopits
99/8 REPMOD - A Smaller Sibling for MULTIMOD by Guy Meredith
99/7 Inflation Targeting in Korea - An Empirical Exploration by Alexander W. Hoffmaister
99/6 Privatization in Transition Countries - A Sampling of the Literature by Oli Havrylyshyn & Donal McGettigan
99/5 Offshore Banking-An Analysis of Micro- and Macro-Prudential Issues by Luca Errico & Alberto Musalem Borrero
99/4 Central Bank Autonomy, and Inflation and Output Performance in the Baltic States, Russia, and Other Countries of the Former Soviet Union, 1995-97 by Tonny Lybek
99/3 In Search of "Capital Crunch" - Supply Factors Behind the Credit Slowdown in Japan by D. Woo
99/2 Credibility of Central Bank Independence Revisited by Timo Välilä
99/1 China's Trade Flows-Changing Price Sensitivies and the Reform Process by Valerie Cerra & Anuradha Dayal-Gulati
98/64 The Domestic and Foreign Price Gaps in the P-Star Model - Evidence from Spain by Alicia GarcÃa-Herrero & Manoj Vasant Pradhan
1998 More pages of listings: 0 |1 |2 |3 |4 |5 |6 |7 |8 |9 |10 |11 |12 |13 |14 |15 |16 |17 |18 |19 Access
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This page was last updated on 2009-10-21.
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