This file is part of IDEAS , which uses RePEc data
[ Papers |
Articles |
Software |
Books |
Chapters |
Authors |
Institutions |
JEL Classification |
NEP reports |
Search |
New papers by email |
Author registration |
Rankings |
Volunteers |
FAQ |
Blog |
Help! ]
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
Order information: Web: http://www.imf.org/external/pubs/pubs/ord_info.htm
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
1998
98/178 Fundamental Determinants of Inequality and the Role of Government by Vito Tanzi
98/177 Terms of Trade Shocks and the Current Account by Paul Cashin & C. John McDermott
98/176 Will Fiscal Policy Be Effective Under EMU? by M. Cangiano & Eric Mottu
98/175 Export Credit Agencies, Trade Finance and South East Asia by Malcolm Stephens
98/174 The Wage Bargaining Structure in Norway and Sweden and its Influence on Real Wage Developments by Alun H. Thomas
98/173 Fixed-Income Markets in the United States, Europe, and Japan-Some Lessons for Emerging Markets by Garry J. Schinasi & T. Todd Smith
98/172 International Capital Flows and National Creditworthiness-Do the Fundamental Things Apply as Time Goes By? by Paul Cashin & C. John McDermott
98/171 Private Saving in Colombia by Alejando López MejÃa & Juan Ricardo Ortega
98/170 Monetary Policy in the Aftermath of Currency Crisis:The Case of Asia by Taimur Baig & Ilan Goldfajn
98/169 Do IMF-Supported Programs Work? A Survey of the Cross-Country Empirical Evidence by Nadeem Ul Haque & Mohsin S. Khan
98/168 Managing Capital Flows-Lessons from the Experience of Chile by Jaime Cardoso & Bernard Laurens
98/167 The Decline of Traditional Sectors in Israel- The Role of the Exchange Rate and the Minimum Wage by Eric V. Clifton
98/166 Economic Determinants of Government Subsidies by Benedict J. Clements & Gerd Schwartz & Hugo RodrÃguez
98/165 Migration and Pension by Efraim Sadka & Assaf Razin
98/164 The Quality of Governance: "Second-Generation" Civil Service Reform in Africa by Jahangir Aziz & Nadeem Ul Haque
98/163 The Volatility of the Relative Price of Commodities In Terms of Manufactures Across Exchange Regimes: A Theoretical Model by Hong Liang
98/162 The Impact of Human Capital on Growth - Evidence from West Africa by Sonia Brunschwig & Emilio Sacerdoti & Jon Tang
98/161 Inflation, Uncertainty, and Growth in Colombia by Henry Ma
98/160 Determinants of Inflation, Exchange Rate, and Output in Nigeria by Louis Kuijs
98/159 Capital Flows with Debt- and Equity-Financed Investment-Equilibrium Structure and Efficiency Implications by Efraim Sadka & Assaf Razin & Chi-Wa Yuen
98/158 Fiscal Effects of the 1993 Colombian Pension Reform by Sergio Clavijo
98/157 Demand for Money in Mozambique-Was There a Structural Break? by Marco A. Piñón-Farah
98/156 Soft Exchange Rate Bands and Speculative Attacks: Theory, and Evidence from the ERM since August 1993 by Alessandro Prati & Leonardo Bartolini
98/155 Financial Market Contagion in the Asian Crisis by Taimur Baig & Ilan Goldfajn
98/154 Are Currency Crises Predictable? A Test by Catherine A. Pattillo & Andrew Berg
98/153 Monetary Policy in a Small Open Economy with Credit Goods Production by Jorge A. Chan-Lau
98/152 The Effects of Tax Wedges on Hours Worked and Unemployment in Sweden by Alun H. Thomas
98/151 Pension Developments and Reforms in Transition Economies by M. Cangiano & Carlo Cottarelli & Luis M. Cubeddu
98/150 European Trade and Foreign Direct Investment U-Shaping Industrial Output in Central and Eastern Europe - Theory and Evidence by Alexander Repkine & Patrick P. Walsh
98/149 Time Series Analysis of Export Demand Equations - A Cross-Country Analysis by A. Senhadji Semlali & Claudio Montenegro
98/148 Purchasing Power Parities in Five East African Countries - Burundi, Kenya, Rwanda, Tanzania, and Uganda by Noureddine Krichene
98/147 Real Exchange Rate Volatility-Does the Nominal Exchange Rate Regime Matter? by Hong Liang
98/146 Optimal Fiscal Policy and the Environment by Johanna Elisabeth Ligthart
98/145 Explaining the Recent Behavior of Inflation and Unemployment in the United States by Vincent Hogan
98/144 Monetary Operations and Government Debt Management Under Islamic Banking by David Marston & Ghiath Shabsigh & Vasudevan Sundararajan
98/143 Crises, Contagion, and the Closed-End Country Fund Puzzle by Angel J. Ubide & Eduardo Levy Yeyati
98/142 Contagion-Monsoonal Effects, Spillovers, and Jumps Between Multiple Equilibria by Paul R. Masson
98/141 Recovery and Growth in Transition Economies 1990-97--A Stylized Regression Analysis by Oli Havrylyshyn & Ron van Rooden & Ivailo Izvorski
98/140 From Autarky to Integration-Imitation, Foreign Borrowing, and Growth by Rachel van Elkan
98/139 Can the Neoclassical Model Explain the Distribution of Foreign Direct Investment Across Developing Countries? by Harm Zebregs
98/138 Managing Corporate Distress in the Philippines-Some Policy Recommendations by G. C. Lim & Charles Woodruff
98/137 East Asian Growth Before and After the Crisis by N. F. R. Crafts
98/136 Is the United States CPI Biased Across Income and Age Groups? by S. Nuri Erbas & Chera L. Sayers
98/135 Tax Revenue in Sub-Saharan Africa - Effects of Economic Policies and Corruption by Dhaneshwar Ghura
98/134 The Role of Allocation in a Globalized Corporate Income Tax by Jack M. Mintz
98/133 The Uzbek Growth Puzzle by Jeromin Zettelmeyer
98/132 Output Decline and Recovery in Uzbekistan - Past Performance and Future Prospects by Günther Taube & Jeromin Zettelmeyer
98/131 Can short-Term Capital Controls Promote Capital Inflows? by Tito Cordella
98/130 Perspectives on the Recent Currency Crisis Literature by Robert P. Flood & Nancy Peregrim Marion
98/129 Increasing Dependency Ratios, Pensions, and Tax Smoothing by Vito Tanzi & Efraim Sadka
98/128 The East Asian Crisis - Macroeconomic Developments and Policy Lessons by Kalpana Kochhar & Prakash Loungani & Mark R. Stone
98/127 Financial Crisis and Credit Crunch as a Result of Inefficient Financial Intermediation - with Reference to the Asian Financial Crisis by Zhaohui Chen & Jorge A. Chan-Lau
98/126 Central Banking in Transition Countries by Helmut Wagner
98/125 Fixed Investment and Capital Flows - A Real Options Approach by Peter B. Clark & Jorge A. Chan-Lau
98/124 Self-Fulfilling Risk Predictions - An Application to Speculative Attacks by Robert P. Flood & Nancy Peregrim Marion
98/123 Does the Long-Run PPP Hypothesis Hold for Africa? Evidence from Panel Co-Integration Study by Jun Nagayasu
98/122 Tax Smoothing in a Financially Repressed Economy - Evidence from India by Paul Cashin & Ratna Sahay & Nilss Olekalns
98/121 Capital Structures and Portfolio Composition During Banking Crisis - Lessons from Argentina 1995 by Alberto M. Ramos
98/120 The Demise of the Nation State? by Vito Tanzi
98/119 Search Unemployment with Advance Notice by Pietro Garibaldi
98/118 Macroeconomic Performance Under Alternative Exchange Rate Regimes - Does Wage Indexation Matter? by Esteban Jadresic
98/117 Deviations from Uncovered Interest Parity - A Global Guide to Where the Action Is by Evan Tanner
98/116 Impact of European Union Association Agreements on Mediterranean Countries by Henri C. Ghesquière
98/115 Consequences of the Economic and Monetary Union for the Coordination of Tax Systems in the European Union - Lessons from the U.S. Experience by Vito Tanzi & Howell H. Zee
98/114 The Transmission of Monetary Policy in Israel by Fiorella De Fiore
98/113 Market-Based Policy Instruments for Systemic Bank Restructuring by Tamim Bayoumi & Paul R. Masson
98/112 Liability-Creating Versus Non-Liability-Creating Fiscal Stabilization Policies - Ricardian Equivalence, Fiscal Stabilization, and EMU by Tamim Bayoumi & Paul R. Masson
98/111 Welfare Cost of (Low) Inflation - A General Equilibrium Perspective by Howell H. Zee
98/110 Interest Spreads in Banking - Costs, Financial Taxation, Market Power, and Loan Quality in the Colombian Case 1974-96 by Adolfo Barajas & Roberto Steiner & Natalia Salazar
98/109 Considerations in Reducing Inflation From Low to Lower Levels by Michael P. Leidy & Stephen Tokarick
98/108 Structural Reforms in Government Bond Markets by Mark de Broeck & Dominique M. Guillaume & Emmanuel van der Stichele
98/107 Exchange Rate Fluctuations and Trade Flows - Evidence from the European Union by Giovanni Dell'Ariccia
98/106 Disinflation in Spain - The Recent Experience by Nicolas Sobczak
98/105 Developing Countries and the Globalization of Financial Markets by Malcolm D. Knight
98/104 Determinants of Growth in an Error-Correction Model for El Salvador by Armando Méndez Morales
98/103 Policy Responses to External Imbalances in Emerging Market Economies - Further Empirical Results by Chorng-Huey Wong & Luis Carranza
98/102 How Big is the Brain Drain? by Enrica Detragiache & William Carrington
98/101 Inflation and Money Demand in Albania by Sanja Kalra
98/100 From Inflation to Growth - Eight Years of Transition by Peter Doyle & Peter F. Christoffersen
98/99 Explaining Investment in the WAEMU by Athanasios Vamvakidis
98/98 The Impact of Economic Security on Bank Deposits and Investment by Michael Fabricius
98/97 Financial Opening, Deposit Insurance, and Risk in a Model of Banking Competition by Tito Cordella & Eduardo Levy Yeyati
98/96 Banking System Restructuring in Kazakhstan by David S. Hoelscher
98/95 Liberating Supply-Fiscal Policy and Technological Innovation in a Multicountry Model by Tamim Bayoumi
98/94 North-South Trade-Is Africa Unusual? by David T. Coe & Alexander W. Hoffmaister
98/93 Bank Lending and Interest Rate Changes in a Dynamic Matching Model by Giovanni Dell'Ariccia & Pietro Garibaldi
98/92 Asymmetric Information and the Market Structure of the Banking Industry by Giovanni Dell'Ariccia
98/91 Leading Indicators of Banking Crises-Was Asia Different? by Daniel C. L. Hardy & Ceyla Pazarbasioglu
98/90 Intermediation Spreads in a Dual Currency Economy-Argentina in the 1990s by Luis Catão
98/89 Current Account Reversals and Currency Crisis-Empirical Regularities by Gian Maria Milesi-Ferretti & Assaf Razin
98/88 The Price Incentive to Smuggle and the Cocoa Supply in Ghana, 1950-96 by Aleš Bulir
98/87 The United Kingdom's Experience with Inflation Targeting by Timothy D. Lane & Skander van den Heuvel
98/86 Japanese Effective Exchange Rates and Determinants-Prices, Real Interest Rates, and Actual and Optimal Current Accounts by Jun Nagayasu
98/85 The Effects of European Economic Integration on the Profitability of Industries by Dalia Hakura
98/84 Trading Blocs and Welfare-How Trading Bloc Members are Affected by New Entrants by Qaizar Hussain & R. Scott Hacker
98/83 Financial Liberalization and Financial Fragility by Enrica Detragiache & Asli Demirgüç-Kunt
98/82 Selected Transition and Mediterranean Countries-An Institutional Primer on EMU and EU Relations by Robert Alan Feldman & Heliodoro Temprano-Arroyo
98/81 Exchange and Capital Controls as Barriers to Trade by Natalia T. Tamirisa
98/80 A Model for Financial Programming by Jan Giehm Mikkelsen
98/79 Responses of the Stock Market to Macroeconomic Announcements Across Economic States by Zuliu Hu & Li Li
98/78 Reducing Inflation - Lessons from Albania's Early Success by C. McNeilly & Doris Schiesser-Gachnang
98/77 How Do the Skilled and the Unskilled Respond to Regional Shocks? The Case of Spain by Paolo Mauro & Antonio Spilimbergo
98/76 Does Corruption Affect Income Inequality and Poverty? by Sanjeev Gupta
98/75 The Macroeconomic Effects of Environmental Taxes - A Closer Look at the Feasibility of "Win-Win" Outcomes by Johanna Elisabeth Ligthart
98/74 The Italian Social Protection System - The Poverty of Welfare by Francesca Utili & Massimo V. Rostagno
98/73 Carbon Taxes - Their Macroeconomic Effects and Prospects for Global Adoption - A Survey of the Literature by Ved P. Gandhi & Javier Cuervo
98/72 External Debt Histories of Ten Low-Income Developing Countries - Lessons from Their Experience by Saqib Rizavi & Mariano Cortes & Ydahlia A. Metzgen Quemarez & Francesca Fornasari & Benoit Ketchekmen & R. Brooks & Robert Powell & Doris C. Ross & Kevin Ross
98/71 Current Accounts - What is Their Relevance for Economic Policymaking? by Fabio Scacciavillani & Malcolm D. Knight
98/70 Government Expenditure Arrears - Securitization and Other Solutions by Alberto M. Ramos
98/69 Deviations of Exchange Rates from Purchasing Power Parity - A Story Featuring Two Monetary Unions by Tamim Bayoumi & Ronald MacDonald
98/68 Inflation, Disinflation, and Growth by Atish R. Ghosh & Steven Phillips
98/67 Exchange Rates and Economic Fundamentals - A Methodological Comparison of BEERs and FEERs by Peter B. Clark & Ronald MacDonald
98/66 The Fiscal Effects of Monetary Policy by Momi Dahan
98/65 Central Bank Vulnerability and the Credibility of Commitments - A Value-at-Risk Approach to Currency Crises by Mario I. Bléjer & Liliana Schumacher
98/63 Corruption Around the World - Causes, Consequences, Scope, and Cures by Vito Tanzi
98/62 Multiple Equilibrium, Variability, and the Development Process by Luis Carranza & José Enrique Galdón-Sánchez
98/61 Rethinking Public Pension Reform Initiatives by Peter S. Heller
98/60 Growth, Trade, and Deindustrialization by Ramana Ramaswamy & Bob Rowthorn
98/59 Interest Rate Spreads in the Eastern Caribbean by Ruby Randall
98/58 Competitiveness and the Evolution of the Real Exchange Rate in Chile by Martine Guerguil & Martin David Kaufman
98/57 Money Demand and Regional Monetary Policy in the West African Economic and Monetary Union by Philipp C. Rother
98/56 Public Sector Efficiency and Fiscal Austerity by Stephen Sheppard & Nadeem Ul Haque & Peter Montiel
98/55 Fiscal Discipline and the Cost of Public Debt Service: Some Estimates for OECD Countries by Francesco Caselli
98/54 The Design of Instruments for Government Finance in an Islamic Economy by Nadeem Ul Haque & Abbas Mirakhor
98/53 How Far is Eastern Europe from Brussels? by Stanley Fischer & Ratna Sahay & Carlos A. Végh Gramont
98/52 From Transition to Market - Evidence and Growth Prospects by Stanley Fischer & Ratna Sahay & Carlos A. Végh Gramont
98/51 The Canadian Agreement on Internal Trade: Developments and Prospects by Michael P. Leidy
98/50 EMU, Adjustment, and Exchange Rate Variability by Peter Isard & Luca Antonio Ricci
98/49 Trade Liberalization and Tax Reform in the Southern Mediterranean Region by George T. Abed
98/48 "Globalization" and Relocation in a Vertically Differentiated Industry by Tito Cordella & Isabel Grilo
98/47 Immigration Flows and Regional Labor Market Dynamics by Dominique M. Gross
98/46 The Relative Importance of Political and Economic Variables in Creditworthiness Ratings by Nadeem Ul Haque & Donald J. Mathieson & Nelson C. Mark
98/45 Output Decline in Transition: The Case of Kazakhstan by Mark de Broeck & Kristina Kostial
98/44 Economic Announcements and the Timing of Public Debt Auctions by Marco Rossi
98/43 Anticipation and Surprises in Central Bank Interest Rate Policy: The Case of the Bundesbank by Daniel C. L. Hardy
98/42 The Italian Labor Market: Stylized Facts, Institutions, and Directions for Reform by Eswar Prasad & Francesca Utili
98/41 Virtual Deficits and the Patinkin Effect by Eliane A. Cardoso
98/40 Regional Trade Agreements Versus Board Liberalization: Which Path Leads to Faster Growth? Time-Series Evidence by Athanasios Vamvakidis
98/39 Preliminary Considerations of an Inflation Targeting Framework for the Philippines by G. C. Lim & Guy Debelle
98/38 Achieving Stabilization in Armenia by Balázs Horváth
98/37 The Prudential Regulation and Management of Foreign Exchange Risk by Richard K. Abrams & Paulina Beato
98/36 Taxation and the Household Saving Rate - Evidence from OECD Countries by Vito Tanzi & Howell H. Zee
98/35 Should Public Pensions be Funded? by Richard Hemming
98/34 Evaluation of Taxes and Revenues from the Energy Sector in the Baltics, Russia, and Other Former Soviet Union Countries by Dale F. Gray
98/33 The Security Factor in the Political Economy of Development by Martin C. McGuire
98/32 An Econometric Analysis of Countries' Repayment Performance to the International Monetary Fund by Lynn Aylward & Rupert Thorne
98/31 Financial Infusion and Exiting from a Money Rule by Mark R. Stone
98/30 Islamic Banking - Issues in Prudential Regulations and Supervision by Luca Errico & Mitra Farahbaksh
98/29 Parametric Distributional Flexibility and Conditional Variance Models with an Application to Hourly Exchange Rates by Jenny N. Lye
98/28 Dollarization of Financial Intermediation: Causes and Policy Implications by Alain Ize & Eduardo Levy Yeyati
98/27 Post Stabilization Inflation Dynamics in Slovenia by Kevin Ross
98/26 Fiscal Sustainability with Non-Renewable Resources by Nigel Andrew Chalk
98/25 Coordination of Monetary and Fiscal Policies by Enrique de la Piedra & Bernard Laurens
98/24 The Statistical Measurement of Financial Derivatives by Robert M. Heath
98/23 The Nonmonetary Determinants of Inflation - A Panel Data Study by Carlo Cottarelli
98/22 Opening Up and Geographic Diversification of Trade in Transition Economies by Hassan Al-Atrash & Oli Havrylyshyn
98/21 Monetary Policy with a Convex Phillips Curve and Asymmetric Loss by Demosthenes N. Tambakis
98/20 Poverty, Income Distribution, and Economic Policy in the Philippines by Philip R. Gerson
98/19 Financial Sector Reform and Monetary Policy in the Netherlands by Paul Louis Ceriel Hilbers
98/18 Public Debt Indexation and Denomination - The Case of Brazil by Ilan Goldfajn
98/17 Why Do Different Countries Use Different Currencies? by Thomas Krueger & Narayana Rao Kocherlakota
98/16 Brady Bonds and Default Probabilities by Ivailo Izvorski
98/15 The Macroeconomic Consequences of Wage Indexation Revisited by Esteban Jadresic
98/14 Generational Accounting for France by Ousmane Dore & Joaquim Vieira Ferreira Levy
98/13 Does the Introduction of Futures on Emerging Market Currencies Destabilize the Underlying Currencies? by Laura E. Kodres & Christian Jochum
98/12 French Public Finances: Modeling Long-Term Prospects and Reform Options by Karl Friedrich Habermeier & Fabrice Lenseigne
98/11 Pension Reform in the Baltics, Russia, and other Countries of the Former Soviet Union (BRO) by Marta de Castello Branco
98/10 Open Regionalism in a World of Continental Trade Blocs by Jeffrey A. Frankel & Shang-Jin Wei
98/9 Uncertainty, Flexible Exchange Rates, and Agglomeration by Luca Antonio Ricci
98/8 Currency Boards: The Ultimate Fix? by Atish R. Ghosh
98/7 Income Inequality - Does Inflation Matter? by Aleš Bulir
98/6 How to Deal with Azerbaijan's Oil Boom? Policy Strategies in a Resource-Rich Transition Economy by Christoph B. Rosenberg & Tapio Saavalainen
98/5 Estimating Egypt's Equilibrium Real Exchange Rate by Joannes Mongardini
98/4 Economic Security, Private Investment, and Growth in Developing Countries by Hélène Poirson
98/3 Exchange Rate Uncertainty in Money-Based Stabilization Programs by R. Armando Morales
98/2 Developing Countries and the Feldstein-Horioka Puzzle by Athanasios Vamvakidis & Romain Wacziarg
98/1 The Impact of Fiscal Policy Variables on Output Growth by Philip R. Gerson
88/95 The Impact of Macroeconomic Policies on the Level of Taxation (and on the Fiscal Balance) in Developing Countries by Vito Tanzi
1997 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
and download statistics
Did you know? You can import bibliographic info in various formats into you bibliographic tool, or just into your word processor. See under "publisher info" on each abstract page.
This page was last updated on 2009-10-21.
This information is provided to you by IDEAS at the Department of Economics , College of Liberal Arts and Sciences , University of Connecticut using RePEc data on a server sponsored by the Society for Economic Dynamics .