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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
1997
97/160 The Real Effects of Monetary Policy in the European Union: What Are the Differences? by Ramana Ramaswamy & Torsten Sløk
97/159 Are Currency Crises Predictable? by Ilan Goldfajn & Rodrigo O. Valdés
97/158 Prices in Transition - Ten Stylized Facts by Paula De Masi & Vincent Koen
97/157 Sequencing Capital Account Liberalization - Lessons from the Experiences in Chile, Indonesia, Korea, and Thailand by Claudia Echeverria & Salim M. Darbar & R. B. Johnston
97/156 The CFA Franc Zone and the EMU by Michael T. Hadjimichael & Michel Galy
97/155 Decentralization and Macroeconomic Management by Teresa Ter-Minassian
97/154 Wholesale Payments and Financial Discipline, Efficiency, and Liquidity by D. F. I. Folkerts-Landau
97/153 The Efficiency of Government Expenditure - Experiences from Africa by Keiko Honjo & Sanjeev Gupta & Marijn Verhoeven
97/152 How Macroeconomic Factors Affect Income Distribution - The Cross-Country Evidence by Michael Sarel
97/151 Towards a System of Multilateral Unit Labor Cost-Based Competitiveness Indicators for Advanced, Developing, and Transition Countries by Anthony G. Turner & Stephen S. Golub
97/150 Cooperation, Emergence of the Economic Agency Role of Government, and Governance by Omotunde E. G. Johnson
97/149 Competitiveness in Transition Economies - What Scope for Real Appreciation? by Kornélia Krajnyák & Jeromin Zettelmeyer
97/148 Policy Reform, Adjustment Costs, and Investment- With Activity of Local Investors as a Signal by Omotunde E. G. Johnson
97/147 Nominal Income and the Inflation-Growth Divide by Sheetal K. Chand
97/146 Sources of Debt Accumulation in a Small Open Economy by A. Senhadji Semlali
97/145 Determinants of Inflation in Mozambique by Angel J. Ubide
97/144 Liquid Asset Ratios and Financial Sector Reform by Anne Marie Gulde
97/143 Aging in the Asian "Tigers": Challenges for Fiscal Policy by Peter S. Heller
97/142 Stylized Facts of Government Finance in the G-7 by Riccardo Fiorito
97/141 Reform of the Canada Pension Plan: Analytical Considerations by Charles Frederick Kramer & Yutong Li
97/140 Banking Crises in Latin America in the 1990s - Lessons from Argentina, Paraguay, and Venezuela by Alicia GarcÃa-Herrero
97/139 Corruption, Public Investment, and Growth by Hamid Reza Davoodi & Vito Tanzi
97/138 Transparency and Ambiguity in Central Bank Safety Net Operations by Charles Enoch
97/137 Labor Market Institutions and Unemployment Dynamics in Transition Economies by Zuzana Brixiova & Pietro Garibaldi
97/136 Implications for Savings of Aging in the Asian "Tigers" by Peter S. Heller & Steven A. Symansky
97/135 Macroeconomic Cycles in China by Stefan E. Oppers
97/134 External Finance and Foreign Debt in Central and Eastern European Countries by Stefano Manzocchi
97/133 Fiscal Policy and the Predictability of Exchange Rate Collapse by Betty C. Daniel
97/132 Time-Series of Structural Import Demand Equations - A Cross-Country Analysis by A. Senhadji Semlali
97/131 Can Switching Between Inflationary Regimes Explain Fluctuations in Real Interest Rates? by M. F. Bleaney
97/130 The Scope for Inflation Targeting in Developing Countries by Paul R. Masson
97/129 Intergovernmental Fiscal Relations: The Chinese System in Perspective by Vivek B. Arora & John Norregaard
97/128 Cyclical Fluctuations in Brazil's Real Exchange Rate: The Role of Domestic and External Factors by Carlos I. Medeiros & Alexander W. Hoffmaister & Pierre-Richard Agénor
97/127 Contagion and Volatility with Imperfect Credit Markets by Pierre-Richard Agénor & Joshua Aizenman
97/126 Exchange Rate Volatility, Pricing to Market and Trade Smoothing by Peter B. Clark & Hamid Faruqee
97/125 Globalization and Growth Prospect in Arab Countries by Patricia Alonso-Gamo
97/124 Monetary Impact of a Banking Crisis and the Conduct of Monetary Policy by Alicia GarcÃa-Herrero
97/123 Discrepancies Between Quarterly GDP Estimates by Adriaan M. Bloem
97/122 Shock Versus Gradualism in Models of Rational Expectations: The Case of Trade Liberalization by Susan Mary George & Leonardo Auernheimer
97/121 Derivatives Effect on Monetary Policy Transmission by Coenraad Vrolijk
97/120 Income Distribution and Social Expenditure in Brazil by Benedict J. Clements
97/119 Exports, Inflation, and Growth by Þorvaldur Gylfason
97/118 Policy Complementarities and the Washington Consensus by Jahangir Aziz & Robert F. Westcott
97/117 Determinants of Stock Prices - The Case of Zimbabwe by T. Oyama
97/116 The Impact of Trade Prices on Employment and Wages in the United States by Dalia Hakura
97/115 Capital Flows to Brazil-The Endogeneity of Capital Controls by Ilan Goldfajn & Eliane A. Cardoso
97/114 The Changing Role of the State in the Economy - A Historical Perspective by Vito Tanzi
97/113 The Insurance Role of Social Security - Theory and Lessons for Policy Reform by Victor Hugo Valdivia
97/112 Investing U.S. Social Security Trust Fund Assets in Private Securities by Michael P. Leidy
97/111 Japan's Restrictive System of Trade and Payments - Operation, Effectiveness, and Liberalization, 1950-1964 by Shinji Takagi
97/110 Saving in Southeast Asia and Latin America Compared - Searching for Policy Lessons by Anuradha Dayal-Gulati & Christian Thimann
97/109 Estimating the Equilibrium Real Exchange Rate - An Application to Finland by Tarhan Feyzioglu
97/108 Explaining and Forecasting the Velocity of Money in Transition Economies, with Special Reference to the Baltics, Russia, and other Countries of the Former Soviet Union by Mark de Broeck & Kornélia Krajnyák & Henri Lorie
97/107 Tax Effort in Sub-Saharan Africa by Janet Gale Stotsky & Asegedech WoldeMariam
97/106 The Determinants of Banking Crises - Evidence from Developing and Developed Countries by Enrica Detragiache & Asli Demirgüç-Kunt
97/105 The Egyptian Stabilization Experience - An Analytical Retrospective by Arvind Subramanian
97/104 Potential Output Growth in Emerging Market Countries - The Case of Chile by Jorge Roldos
97/103 Japanese Foreign Direct Investment and Regional Trade by Tamim Bayoumi & Gabrielle Lipworth
97/102 On the Speed of Transition in Central and Eastern Europe: Does On-the-Job Search Matter? by Zuzana Brixiova
97/101 Fiscal Policy and Growth in the Middle East and North Africa Region by Sena Eken
97/100 Controlling Fiscal Corruption by Sheetal K. Chand & Karl Ove Moene
97/99 The Design of EMU by David K. H. Begg
97/98 Some Evidence on Exchange Rate Determination in Major Industrial Countries by R. B. Johnston & Yan Sun
97/97 Growth and Productivity in ASEAN Countries by Michael Sarel
97/96 Public Disclosure and Bank Failures by Tito Cordella & Eduardo Levy Yeyati
97/95 Debt Reduction and New Loans: A Contracting Perspective by Jeffrey A. Zimmerman & Aasim M. Husain & John A. Carlson
97/94 The Role of Fiscal Policy in Sustainable Stabilization: Evidence from Latin America by Gerd Schwartz & Teresa Ter-Minassian
97/93 Effects of the European Economic and Monetary Union (EMU) on Taxation and Interest Spending of National Governments by Francesco P. Mongelli
97/92 Authorities' Roles and Organizational Issues in Systemic Bank Restructuring by Peter Nyberg
97/91 Exogenous Shocks, Deposit Runs and Bank Soundness - A Macroeconomic Framework by Mario I. Bléjer
97/90 From Suez to Tequila - The IMF as Crisis Manager by James M. Boughton
97/89 Institutional Development - Skill Transference Through a Reversal of "Human Capital Flight" or Technical Assistance by Nadeem Ul Haque & Ali Khan
97/88 Do Tax Rates Encourage Entrepreneurial Activity? by Roger H. Gordon
97/87 Capital Flows and the Twin Crises : The Role of Liquidity by Ilan Goldfajn & Rodrigo O. Valdés
97/86 Borrowing Risk and the Tequila Effect by Pierre-Richard Agénor
97/85 Growth, Investment, and Savings in the Arab Economies by Amer Bisat
97/84 Recovery Ratios and Survival Times for Corporate Bonds by Ivailo Izvorski
97/83 Do Central Banks Need Capital? by Peter Stella
97/82 Macroeconomic Fluctuations in Sub-Saharan Africa by Alexander W. Hoffmaister
97/81 Financial Sector Reforms in Algeria, Morocco, and Tunisia: A Preliminary Assessment by A. Jbili
97/80 Inflation in Transition Economies: How Much? and Why? by Atish R. Ghosh
97/79 Leading Indicators of Currency Crises by Graciela Laura Kaminsky
97/78 Tax Burden and Migration: A Political Economy Perspective by Efraim Sadka & Assaf Razin
97/77 Unemployment Persistence and Capital Shortage: The Case of Trinidad and Tobago by Benedikt Braumann
97/76 A Model of an Optimum Currency Area by Luca Antonio Ricci
97/75 Exchange Rate-Based Stabilization in Western Europe - Greece, Ireland, Italy and Portugal by Enrica Detragiache & A. Javier Hamann
97/74 How Long is the Long Run? A Dynamic Analysis of the Spanish Business Cycle by Stefania Fabrizio & Angel J. Ubide & J. Humberto Lopez
97/73 Corruption and the Rate of Temptation - Do Low Wages in the Civil Service Cause Corruption? by Caroline van Rijckeghem & Beatrice Weder
97/72 External Borrowing by the Baltics, Russia and Other Countries of the Former Soviet Union: Developments and Policy Issues by Ishan Kapur & Emmanuel van der Mensbrugge
97/71 A Primer on the IMF's Information Notice System by Dominique Desruelle & Alessandro Zanello
97/70 World Commodity Prices as a Forecasting Tool for Retail Prices - Evidence from the United Kingdom by John Thornton & Alicia GarcÃa-Herrero
97/69 Exchange Rate Regimes and Location by Luca Antonio Ricci
97/68 An Analysis of External Debt and Capital Flight in the Severely Indebted Low Income Countries in Sub-Saharan Africa by Simeon Inidayo Ajayi
97/67 What Type of Contracts Underlie Aggregate Wage Dynamics? by Esteban Jadresic
97/66 Real Exchange Rate Levels, Productivity and Demand Shocks: Evidence from a Panel of 14 Countries by Menzie David Chinn & Louis Dorrance Johnston
97/65 Experiences with Monetary Integration and Lessons for Korean Unification by Goohoon Kwon
97/64 Contrasting Monetary Regimes in Africa by Patrick Honohan & Stephen A. O'Connell
97/63 Does Public Disagreement on Monetary Policy Unsettle the Markets? by Timothy D. Lane & Hossein Samiei
97/62 European Monetary Union and International Capital Markets: Structural Implications and Risks by Alessandro Prati & Garry J. Schinasi
97/61 Cointegration and Long-Horizon Forecasting by Peter F. Christoffersen & Francis X. Diebold
97/60 Investment Implications of Selected WTO Agreements and the Proposed Multilateral Agreement on Investment by Matthias Vocke
97/59 Social Security Tax Reform and Unemployment: A General Equilibrium Analysis for France by Caroline van Rijckeghem
97/58 Characteristics of the Euro, the Demand for Reserves, and Policy Coordination Under EMU by Paul R. Masson & Bart Turtelboom
97/57 The Asymmetric Effects of Monetary Policy on Job Creation and Destruction by Pietro Garibaldi
97/56 Explaining Consumption - A Simple Test of Alternative Hypotheses by Tamim Bayoumi
97/55 The GATS Agreement on Financial Services - A Modest Start to Multilateral Liberalization by Piritta Sorsa
97/54 Determinants of Korean Trade Flows and their Geographical Destination by Lorenzo Giorgiani & Gian Maria Milesi-Ferretti
97/53 Liberalization and the Behavior of Output During the Transition from Plan to Market by Ernesto Hernández-Catá
97/52 Fiscal Aspects of Bank Restructuring by James Daniel
97/51 Current Account Imbalances in ASEAN Countries - Are they a Problem? by Jonathan David Ostry
97/50 Zaire's Hyperinflation, 1990-96 by Philippe Beaugrand
97/49 The IMF Monetary Model at Forty by J. J. Polak
97/48 Modeling the World Economic Outlook at the IMF - A Historical Review by James M. Boughton
97/47 Intra-Industry Trade of Arab Countries: An Indicator of Potential Competitiveness by Oli Havrylyshyn & Peter Kunzel
97/46 The Effect of Expected Effective Corporate Tax Rates on Incremental Financing Decisions by Reint Gropp
97/45 The Indonesian Financial System - Its Contribution to Economic Performance, and Key Policy Issues by Jonh D. Montogomery
97/44 Aspects of the Monetary Transmission Mechanism under Exchange Rate Targeting: The Case of France by Ioannis Halikias & Joaquim Vieira Ferreira Levy
97/43 The Effect of Globilization on Wages in the Advanced Economies by Phillip Swagel & Matthew J. Slaughter
97/42 Deindustrialization: Causes and Implications by Ramana Ramaswamy & Bob Rowthorn
97/41 A Provincial View of Economic Integration by Tamim Bayoumi & Michael W. Klein
97/40 Bank Concentration and the Supply of Credit in Argentina by Gustavo Enrique Cañonero
97/39 Foreign Exchange Risk Premium: Does Fiscal Policy Matter? Evidence from Italian Data by Lorenzo Giorgiani
97/38 The Effects of Forward-Versus Backward-Looking Wage Indexation on Price Stabilization Programs by Joe Crowley
97/37 International Labor Standards and International Trade by Stephen S. Golub
97/36 Financial Liberalization and Money Demand in ASEAN Countries: Implications for Monetary Policy by Robert Dekle & Mahmood Pradhan
97/35 Inflation Targeting in Practice by Guy Debelle
97/34 Monetary Policy and Leading Indicators of Inflation in Sweden by Ramana Ramaswamy & Josef Baumgartner & Göran Zettergren
97/33 The Effect of Increasing Government Employment on Growth:Some Evidence from Africa by James P. F. Gordon
97/32 Bank Credit in Argentina in the Aftermath of the Mexican Crisis: Supply or Demand Constrained? by Luis Catão
97/31 Aspects of Fiscal Performance in Some Transition Economies Under Fund-Supported Programs by Willem H. Buiter
97/30 Designing a Tax Administration Reform Strategy: Experiences and Guidelines by Katherine Baer & Carlos Silvani
97/29 International Currencies and Endogenous Enforcement - An Empirical Analysis by Roohi Prem
97/28 Market Information and Signaling in Central Bank Operations, or, How Often Should a Central Bank Intervene? by Daniel C. L. Hardy
97/27 Recent Export Credit Market Developments by Paulo Flavio Nacif Drummond
97/26 Informational Efficiency, Interest Rate Variability, and Central Bank Operations by Daniel C. L. Hardy
97/25 The Tax Treatment of Government Bonds by John Norregaard
97/24 Debt Relief for Low-Income Countries and the HIPC Initiative by Anthony R. Boote & Kamau Thugge
97/23 Possible Effects of European Monetary Union on Switzerland: A Case Study of Policy Dilemmas Caused by Low Inflation and the Nominal Interest Rate Floor by Douglas Laxton & Eswar Prasad
97/22 Broad Money Demand and Monetary Policy in Tunisia by Volker Treichel
97/21 What Determines Real Exchange Rates? The Long and Short of It by Ronald MacDonald
97/20 Fiscal Policy Management in an Open Capital Regime by Peter S. Heller
97/19 Cyclical Effects of the Composition of Government Purchases by Jahangir Aziz & Luc Leruth
97/18 The Reform of the Pension System in Italy by A. Javier Hamann
97/17 Phillips Curves, Phillips Lines and the Unemplyment Costs of Overheating by Peter B. Clark & Douglas Laxton
97/16 Policy Implications of "Second-Generation" Crisis Models by Robert P. Flood & Nancy Peregrim Marion
97/15 Stock Market Equilibrium and Macroeconomic Fundamentals by Lamin Leigh
97/14 Financial Innovations Involving the Greek Drachma by Michael G. Papaioannou & E. K. Gatzonas
97/13 Patterns of Capital Flows to Emerging Markets: A Theoretical Perspective by Mohsin S. Khan & Zhaohui Chen
97/12 The Rationale and Design of Inflation-Indexed Bonds by Robert T. Price
97/11 Towards a Market Economy: Structures of Governance by Pierre Dhonte & Ishan Kapur
97/10 From Generosity to Sustainability - The Austrian Pension System and Options for its Reform by Christian Thimann & Manfred Koch
97/9 Are Business Cycles Different in Asia and Latin America? by Alexander W. Hoffmaister & Jorge Roldos
97/8 External Stability Under Alternative Nominal Exchange Rate Anchors: An Application to the GCC Countries by S. Nuri Erbas & Zubair Iqbal
97/7 The Exchange Rate in a Dynamic-Optimizing Current Account Model with Nominal Rigidities: A Quantitative Investigation by Robert Miguel W. K. Kollman
97/6 Long - Horizon Exchange Rate Predictability? by Lorenzo Giorgiani & Jeremy Berkowitz
97/5 Adjusting to New Realities: MENA, The Uruguay Round, and the EU-Mediterranean Initiative by Patricia Alonso-Gamo & Susan Fennell & Khaled Sakr
97/4 Improving India's Saving Performance by Martin Mühleisen
97/3 Do Labor Market Policies and Growth Fundamentals Matter for Income Inequality in OECD Countries? Some Empirical Evidence by Patrick Van Houdt
97/2 Labor Market Adjustment in Canada and the United States by Eswar Prasad & Alun H. Thomas
97/1 Fiscal Imbalances, Capital Inflows, and the Real Exchange Rate: The Case of Turkey by E. Murat Ucer & Pierre-Richard Agénor & C. John McDermott
1996 96/143 Union Behavior, Industry Rents, and Optimal Policies by Phillip Swagel
96/142 Banking System Fragility: Likelihood Versus Timing of Failure - An Application to the Mexican Financial Crisis by Brenda González-Hermosillo & Ceyla Pazarbasioglu & Robert Billings
96/141 Globalization, Tax Competition and the Future of Tax Systems by Vito Tanzi
96/140 Government Debt, Life-Cycle Income and Liquidity Constrains: Beyond Approximate Ricardian Equivalence by Hamid Faruqee & Douglas Laxton & Steven A. Symansky
96/139 Social and Political Factors in a Model of Endogenous Economic Growth and Distribution: An Application to the Philippines by Delano Villanueva
96/138 Disinflation in Transition Economies: The Role of Relative Price Adjustment by Sharmini Amrita Coorey & Mauro Mecagni & Erik Offerdal
96/137 Capital Inflows and the Real Exchange Rate: Analytical Framework and Econometric Evidence by Alexander W. Hoffmaister & Pierre-Richard Agénor
96/136 Mobilization of Saving in Developing Countries: The Case if the Islamic Republic of Iran by Manmohan S. Kumar & Mohamed A. El-Erian
96/135 A Credit Crunch? A Case Study of Finland in the Aftermath of the Banking Crisis by Ceyla Pazarbasioglu
96/134 Financial Sector Reform and Banking Crises in the Baltic Countries by Marta de Castello Branco & Alfred Kammer & L. Effie Psalida
96/133 EMU and Long Interest Rates in Germany by Jeromin Zettelmeyer
96/132 Real Exchange Rate Fluctuations and the Business Cycle: Evidence from Japan by Bankim Chadha & Eswar Prasad
96/131 Capital Mobility and Exchange Market Intervention in Developing Countries by Donald J. Mathieson & Liliana Rojas-Suárez & Michael P. Dooley
96/130 National Accounts in Transition Countries: Distortions and Biases by Adriaan M. Bloem & Paul Cotterell & Terry Gigantes
96/129 Business Cycle in Czechoslovakia Under Central Planning: Were Credit Shocks Causing it? by Aleš Bulir
96/128 The Role of the Prudential Supervision and Financial Restructuring of Banks During Transition to Indirect Instruments of Monetary Control by Vasudevan Sundararajan
96/127 The Brady-Euro Yield Differential Debate: Why Arbitrage is Infeasible by Elaine Karen Buckberg & Federico L. Kaune Moreno
96/126 Health and Education Expenditures in Russia, the Baltic States, and the Other Countries of the Former Soviet Union by Mark A. Horton
96/125 Equilibrium Exchange Rates in Transition Economies by Lionel Halpern & Charles Wyplosz
96/124 Investment and Growth in the Middle East and North Africa by Francesco P. Mongelli & Mohamed A. El-Erian & Amer Bisat & Mahmoud El-Gamal
96/123 Issues and New Directions in Public Expenditure Management by A. Premchand
96/122 Accountability and Transparency in the Public Sector - The New Zealand Experience by M. Cangiano
96/121 Wage Indexation and Macroeconomic Stability - The Gray-Fischer Theorem Revisted by Esteban Jadresic
96/120 The Taxation Implicit in Two-Tiered Exchange Rate Systems by Harry Huizinga
96/119 Fiscal Policy and Long-Run Growth by Vito Tanzi & Howell H. Zee
96/118 Macroeconomic Fluctuations and Equilibrium Discount Factors by Charles Frederick Kramer
96/117 Race to the Center: Competition for the Nikkei 225 Futures Trade by Takatoshi Ito & Wen-Ling Lin
96/116 Growth Accounting and Growth Processes by Jahangir Aziz
96/115 Additional Evidence on EMS Interest Rate Linkages by John Thornton & Alicia GarcÃa-Herrero
96/114 Exchange Rate Pass-Through in Spain by Zuzana Murgasova
96/113 Japan's Medium- and Long-Term Fiscal Challenges by K. Okamura
96/112 Macroeconomic Experiences of the Transition Economies in Indochina by Ajai Chopra & John Dodsworth & Chi Do Pham & Hisanobu Shishido
96/111 Is the Phillips Curve Really a Curve? Some Evidence for Canada, the United Kingdom, and the United States by Douglas Laxton & Guy Debelle
96/110 Current Account Sustainability - Selected East Asian and Latin American Experiences by Gian Maria Milesi-Ferretti & Assaf Razin
96/109 Inflation, Nominal Interest Rates, and the Variability of Output by Bankim Chadha & Daniel Tsiddon
96/108 Monetary Policy in Central and Eastern Europe - Lessons After Half a Decade of Transition by David K. H. Begg
96/107 Domestic, Foreign or Common Shocks? by Stefania Fabrizio & J. Humberto Lopez
96/106 A Robust and Efficient Method for Solving Nonlinear Rational Expectations Models by Douglas Laxton & Michel Juillard
96/105 Investment in Inflationary Economies by Eduardo Levy Yeyati
96/104 Noise Traders and Herding Behavior by Lee Scott Redding
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