Content
2001
- WP-01-05 Do regulators search for the quiet life? the relationship between regulators and the regulated in banking
by Richard J. Rosen - WP-01-04 Productivity growth in the 1990s: technology, utilization, or adjustment
by Susanto Basu & John G. Fernald & Matthew D. Shapiro - WP-01-03 Sub-debt yield spreads as bank risk measures
by Douglas D. Evanoff & Larry D. Wall - WP-01-02 On the fiscal implications of twin crises
by Craig Burnside & Martin S. Eichenbaum & Sergio Rebelo - WP-01-01 Does bank concentration lead to concentration in industrial sectors?
by Nicola Cetorelli
2000
- WP-00-31 Impact of independent directors and the regulatory environment on bank merger prices: evidence from takeover activity in the 1990s
by Elijah Brewer & William E. Jackson & Julapa Jagtiani - WP-00-30 Equilibrium lending mechanism and aggregate activity
by Cheng Wang & Ruilin Zhou - WP-00-29 What are the short-run effects of increasing labor market flexibility?
by Marcelo Veracierto - WP-00-28 Supplier relationships and small business use of trade credit
by Daniel Aaronson & Raphael W. Bostic & Paul Huck & Robert M. Townsend - WP-00-27 Recent evidence on the relationship between unemployment and wage growth
by Daniel Aaronson & Daniel G. Sullivan - WP-00-26 Data revisions and the identification of monetary policy shocks
by Dean Croushore & Charles L. Evans - WP-00-25 What can account for fluctuations in the terms of trade?
by Marianne Baxter & Michael A. Kouparitsas - WP-00-24 The pitfalls in inferring risk from financial market data
by Robert R. Bliss - WP-00-23 Savings of young parents
by Ricardo Cossa & Erin L. Krupka & Annamaria Lusardi - WP-00-22 An empirical examination of the price-dividend relation with dividend management
by Lucy F. Ackert & William C. Hunter - WP-00-21 Financial signal processing: a self calibrating model
by Robert J. Elliott & William C. Hunter & Barbara M. Jamieson - WP-00-20 How do retail prices react to minimum wage increases?
by Daniel Aaronson & James M. MacDonald - WP-00-18 Capital requirements and competition in banking industry
by Peter Vlaar - WP-00-17 The double play: simultaneous speculative attacks on currency and equity markets
by Sujit Chakravorti & Subir Lall - WP-00-16 Post-resolution treatment of depositors at failed banks: implications for the severity of banking crises, systemic risk, and too-big-to-fail
by George G. Kaufman & Steven A. Seelig - WP-00-15 Idiosyncratic risk and aggregate employment dynamics
by Jeffrey R. Campbell & Jonas D. M. Fisher - WP-00-14 The effects of geographic expansion on bank efficiency
by Allen N. Berger & Robert DeYoung - WP-00-13 Puzzles in the Chinese stock market
by John G. Fernald & John H. Rogers - WP-00-12 Oligopoly banking and capital accumulation
by Nicola Cetorelli & Pietro F. Peretto - WP-00-11 Why is productivity procyclical? Why do we care?
by Susanto Basu & John G. Fernald - WP-00-10 Bank capital regulation with and without state-contingent penalties
by David A. Marshall & Edward Simpson Prescott - WP-00-9 For how long are newly chartered banks financially fragile?
by Robert DeYoung - WP-00-8 The labor supply response to (mismeasured but) predictable wage changes
by Eric French - WP-00-7 Subordinated debt and bank capital reform
by Douglas D. Evanoff & Larry D. Wall - WP-00-6 Does the Community Reinvestment Act influence lending? an analysis of changes in bank low-income mortgage activity
by Drew Dahl & Douglas D. Evanoff & Michael F. Spivey - WP-00-5 Employment flows, capital mobility, and policy analysis
by Marcelo Veracierto - WP-00-4 Using market valuation to assess the importance and efficiency of public school spending
by Lisa Barrow & Cecilia Elena Rouse - WP-00-3 Market discipline in the governance of U.S. Bank Holding Companies: monitoring vs. influencing
by Robert R. Bliss & Mark J. Flannery - WP-00-2 The effects of health, wealth, and wages on labor supply and retirement behavior
by Eric French - WP-00-1 Dynamic monetary equilibrium in a random-matching economy
by Edward J. Green & Ruilin Zhou
1999
- WP-99-32 Bank competition and regulatory reform: the case of the Italian banking industry
by Paolo Angelini & Nicola Cetorelli - WP-99-31 Does the Japanese stock market price bank risk? evidence from financial firm failures
by Elijah Brewer & Hesna Genay & William C. Hunter & George G. Kaufman - WP-99-30 Worker insecurity and aggregate wage growth
by Daniel Aaronson & Daniel G. Sullivan - WP-99-29 The value of relationships between small firms and their lenders
by Paula R. Worthington - WP-99-28 Measures of program performance and the training choices of displaced workers
by Louis S. Jacobson & Robert J. LaLonde & Daniel G. Sullivan - WP-99-27 Deregulation and efficiency: the case of private Korean banks
by Jonathan Hao & William C. Hunter & Won Keun Yang - WP-99-26 Intrinsic bubbles: the case of stock prices: a comment
by Lucy F. Ackert & William C. Hunter - WP-99-25 Globalization of financial institutions: evidence from cross-border banking performance
by Allen N. Berger & Robert DeYoung & Hesna Genay & Gregory F. Udell - WP-99-24 The earned income credit and durable goods purchase
by Lisa Barrow & Leslie McGranahan - WP-99-23 A note on the benefits of homeownership
by Daniel Aaronson - WP-99-22 Is there evidence of the new economy in the data?
by Michael A. Kouparitsas - WP-99-21 Testing the stability of implied probability density functions
by Robert R. Bliss & Nikolaos Panigirtzoglou - WP-99-20 Thoughts on financial derivatives, systematic risk, and central banking: a review of some recent developments
by William C. Hunter & David A. Marshall - WP-99-19 Fiscal shocks in an efficiency wage model
by Craig Burnside & Martin S. Eichenbaum & Jonas D. M. Fisher - WP-99-18 Assessing the effects of fiscal shocks
by Craig Burnside & Martin S. Eichenbaum & Jonas D. M. Fisher - WP-99-17 Who's minding the store? motivating and monitoring hired managers at small, closely held firms: the case of commercial banks
by Robert DeYoung & Kenneth Spong & Richard J. Sullivan - WP-99-16 Toward a theory of merchant credit card acceptance
by Sujit Chakravorti & Ted To - WP-99-15 Does commodity money eliminate the indeterminacy of equilibria?
by Ruilin Zhou - WP-99-14 Habit persistence, asset returns and the business cycles
by Michele Boldrin & Lawrence J. Christiano & Jonas D. M. Fisher - WP-99-13 Wealth inequality, intergenerational links and estate taxation
by Mariacristina De Nardi - WP-99-12 Banking and currency crises and systemic risk: a taxonomy and review
by George G. Kaufman - WP-99-11 Hedging and financial fragility in fixed exchange rate regimes
by Craig Burnside & Martin S. Eichenbaum & Sergio Rebelo - WP-99-10 Labor market policies in an equilibrium search model
by Fernando Alvarez & Marcelo Veracierto - WP-99-9 Asset price fluctuation and price indices
by Shigenori Shiratsuka - WP-99-8 Banking market structure, financial dependence and growth: international evidence from industry data
by Nicola Cetorelli & Michele Gambera - WP-99-7 School choice through relocation: evidence from the Washington, D.C. area
by Lisa Barrow - WP-99-6 Product mix and earnings volatility at commercial banks: evidence from a degree of leverage model
by Robert DeYoung & Karin P. Roland - WP-99-5 Unskilled workers in an economy with skill-biased technology
by Shouyong Shi - WP-99-4 Maximum likelihood in the frequency domain: a time to build example
by Lawrence J. Christiano & Robert J. Vigfusson - WP-99-3 Taylor rules in a limited participation model
by Lawrence J. Christiano & Christopher J. Gust - WP-99-2 Measurement errors in Japanese Consumer Price Index
by Shigenori Shiratsuka - WP-99-1 Extracting market expectations from option prices: case studies in Japanese option markets
by Hisashi Nakamura & Shigenori Shiratsuka
1998
- WP-98-26 Contracting innovations and the evolution of clearing and settlement methods at futures exchanges
by James T. Moser - WP-98-25 Charity and the bequests motive: evidence from seventeenth century wills
by Leslie McGranahan - WP-98-24 Organizational flexibility and employment dynamics at young and old plants
by Jeffrey R. Campbell & Jonas D. M. Fisher - WP-98-23 Wage differentials for temporary services work: evidence from administrative data
by Lewis M. Segal & Daniel G. Sullivan - WP-98-22 Lending to troubled thrifts: the case of FHLBanks
by Lisa K. Ashley & Elijah Brewer - WP-98-21 Inventories and output volatility
by Paula R. Worthington - WP-98-19 Can VAR's describe monetary policy?
by Charles L. Evans & Kenneth N. Kuttner - WP-98-18 Consumption-based modeling of long-horizon returns
by Kent D. Daniel & David A. Marshall - WP-98-17 Geographic concentration in U.S. manufacturing: evidence from the U.S. auto supplier industry
by Thomas H. Klier - WP-98-16 Can the benefits principle be applied to state-local taxation of business?
by William H. Oakland & William A. Testa - WP-98-15 Dynamic trade liberalization analysis: steady state, transitional and inter-industry effects
by Michael A. Kouparitsas - WP-98-14 Projected U.S. demographics and social security
by Mariacristina De Nardi & Selahattin Imrohoroglu & Thomas J. Sargent - WP-98-13 Bank time deposit rates and market discipline in Poland: the impact of state ownership and deposit insurance reform
by Thomas H. Mondschean & Timothy P. Opiela - WP-98-12 Central banks, asset bubbles, and financial stability
by George G. Kaufman - WP-98-11 The effect of school finance reform on population heterogeneity
by Daniel Aaronson - WP-98-10 The quest for the natural rate: evidence from a measure of labor market turbulence
by Ellen R. Rissman - WP-98-9 An analysis of women's return-to-work decisions following first birth
by Lisa Barrow - WP-98-8 A model of bimetallism
by Francois R. Velde & Warren E. Weber - WP-98-7 Understanding the effects of a shock to government purchases
by Wendy Edelberg & Martin S. Eichenbaum & Jonas D. M. Fisher - WP-98-6 Stock market and investment good prices: implications of macroeconomics
by Lawrence J. Christiano & Jonas D. M. Fisher - WP-98-5 Prospective deficits and the Asian currency crisis
by Craig Burnside & Martin S. Eichenbaum & Sergio Rebelo - WP-98-4 The informational advantage of specialized monitors: the case of bank examiners
by Robert DeYoung & Mark J. Flannery & William W. Lang & Sorin M. Sorescu - WP-98-3 Could Prometheus be bound again? a contribution to the convergence controversy
by Nicola Cetorelli - WP-98-2 Search, self-insurance and job-security provisions
by Fernando Alvarez & Marcelo Veracierto - WP-98-1 Plant level irreversible investment and equilibrium business cycles
by Marcelo Veracierto