Content
1994, Volume 19, Issue Sum
- 1-26 The credit rating industry
by Richard Cantor & Frank Packer - 44-75 The price risk of options positions: measurement and capital requirements
by Arturo Estrella & Darryll Hendricks & John Kambhu & Soo Shin & Stefan Walter - 76-91 The baby boom generation and aggregate savings
by Richard Cantor & Andrew M. Yuengert - 92-100 Mortgage security hedging and the yield curve
by Julia D. Fernald & Frank M. Keane & Patricia C. Mosser - 101-106 Has excess capacity abroad reduced U.S. inflationary pressures?
by James A. Orr - 107-111 Recent trends in the profitability of credit card banks
by Andrea Meyercord - 112-119 Regional employment trends in the Second District
by Lois Banks & Charles Steindel
1994, Volume 19, Issue Spr
- 1-6 An independent central bank in a democratic country: the Federal Reserve experience
by William J. McDonough - 7-18 Netting agreements and the credit exposures of OTC derivatives portfolios
by Darryll Hendricks - 19-33 How lower Japanese asset prices affect Pacific financial markets
by Robert N. McCauley & Stephen Yeaple - 34-37 In brief: understanding the rising Japanese trade surplus
by Thomas Klitgaard - 38-44 In brief: high foreign real interest rates and investment in the 1990s
by Carol L. Osler - 45-53 Second District update: a moderate recovery is in progress
by Rae D. Rosen & John Wenninger
1993, Volume 18, Issue Win
- 24-37 International interest rate convergence: a survey of the issues and evidence
by Charles Pigott - 38-62 Debt reduction and market reentry under the Brady plan
by John Clark - 63-70 Index amortizing rate swaps
by Lisa N. Galaif - 71-74 The pricing and hedging of index amortizing rate swaps
by Julia D. Fernald - 75-78 Recent trends in commercial bank loan sales
by Rebecca Demsetz
1993, Volume 18, Issue Sum
- 1-14 A historical perspective on the 1989-92 slow growth period
by David A. Brauer - 15-26 Recent developments in New York City's economy
by Rae D. Rosen - 27-38 Securitization, loan sales, and the credit slowdown
by Richard Cantor & Rebecca Demsetz - 39-53 Government securities investments of commercial banks
by Anthony P. Rodrigues - 54-83 Emerging equity markets in the global economy
by John Mullin
1993, Volume 18, Issue Spr
- 3-36 Perspective on the credit slowdown
by Richard Cantor & John Wenninger - 37-39 The Minsky cycle in action: but why?
by Benjamin M. Friedman - 40-45 Financial and credit cycles--generic or episodic?
by Allen Sinai - 46-49 Not a blown fuse
by Albert M. Wojnilower - 50-70 Credit in the macroeconomy
by Ben S. Bernanke - 71-76 The role of credit in economic activity
by David M. Jones - 77-82 On the non-neutrality of money
by Hyman Minsky - 83-85 Credit veils and credit realities
by William Poole - 86-88 Official surveillance and oversight of the government securities market
by William J. McDonough - 89-114 Monetary policy and open market operations during 1992
by anonymous
1993, Volume 18, Issue Aut
- 1-5 The global derivatives market
by William J. McDonough - 6-19 Recent trade liberalization in developing countries: the effects on global trade and output
by Susan Hickok - 20-36 The dollar and U.S. imports after 1985
by Thomas Klitgaard - 37-46 Update on the Second District's economy
by Rae D. Rosen - 47-50 U.S.-Japan relations
by William J. McDonough
1992, Volume 17, Issue Win
- 1-27 Corporate refinancing in the 1990s
by Frank Iacono & Robert N. McCauley & Eli M. Remolona & Judith S. Ruud - 28-43 The recent growth of financial derivative markets
by Eli M. Remolona - 44-63 Assessing the exchange rate's impact on U.S. manufacturing profits
by Juann H. Hung - 64-74 Recent U.S. export performance in the developing world
by Bruce Kasman
1992, Volume 17, Issue Sum
- 5-24 A comparison of monetary policy operating procedures in six industrial countries
by Bruce Kasman - 25-38 Finance companies, bank competition, and niche markets
by Eli M. Remolona & Kurt C. Wulfekuhler - 39-47 Manufacturing productivity and high-tech investment
by Charles Steindel
1992, Volume 17, Issue Spr
- 1-20 The supply-side consequences of U.S. fiscal policy in the 1980s
by M. Akbar Akhtar & Ethan S. Harris - 21-35 Small time deposits and the recent weakness in M2
by John C. Partlan & John Wenninger - 36-51 Changes in monetary policy effectiveness: evidence from large macroeconomic models
by Patricia C. Mosser - 52-65 Foreign bank credit to U.S. corporations: the implications of offshore loans
by Robert N. McCauley & Rama Seth - 66-71 The New York City recession
by David A. Brauer & Mark Flaherty
1992, Volume 17, Issue Aut
- 10-24 Bank capital ratios, asset growth, and the stock market
by Richard Cantor & Ronald Johnson - 25-43 Reserve requirements and the discount window in recent decades
by Ann-Marie Meulendyke - 44-58 Relative cost of capital for marginal firms over the business cycle
by Gikas A. Hardouvelis & Thierry A. Wizman - 59-68 The impact of the current defense build-down
by Ronnie Lowenstein & Richard Peach
1991, Volume 16, Issue Win
- 12-28 Determinants of long-term interest rates: an empirical study of several industrial countries
by Howard Howe & Charles Pigott - 29-46 Explaining the persistence of the U.S. trade deficit in the late 1980s
by Susan Hickok & Juann H. Hung - 47-54 Evolution of U.S. trade with China
by James A. Orr
1991, Volume 16, Issue Sum
- 13-24 Inflation: measurement and policy issues
by Richard G. Davis - 25-29 In brief: economic capsules: an overview of inflation measurement
by David A. Brauer & Lucille Wu - 30-35 Tracking inflation in the service sector
by Eugene Kroch - 36-39 Recent real income and wage trends in the United States
by Eugene Kroch - 40-51 The bank credit \"crumble.\"
by Ronald Johnson - 52-62 A disaggregate analysis of discount window borrowing
by Kausar Hamdani & Stavros Peristiani - 63-76 The trade balance effects of foreign direct investment in U.S. manufacturing
by James A. Orr
1991, Volume 16, Issue Spr
- 14-26 The effect of imports on U.S. manufacturing wages
by David A. Brauer - 27-37 The shifting composition of U.S. manufactured goods trade
by Susan Hickok - 38-51 Factors affecting the competitiveness of internationally active financial institutions
by Beverly Hirtle - 52-78 Monetary policy and open market operations during 1990
by anonymous - 79-82 In brief economic capsules: Japanese banks' customers in the United States
by Alicia Quijano & Rama Seth - 83-85 Another view of the underpricing of initial public offerings
by Judith S. Ruud
1991, Volume 16, Issue Aut
- 1-13 Do international reactions of stock and bond markets reflect macroeconomic fundamentals?
by Eli M. Remolona - 14-27 The cost of capital for securities firms in the United States and Japan
by Robert N. McCauley & Steven A. Zimmer - 28-46 Financial liberalization and monetary control in Japan
by Bruce Kasman & Anthony P. Rodrigues - 47-60 Expected inflation and real interest rates based on index-linked bond prices: the U.K. experience
by Gabriel De Kock - 61-69 Tracking the economy with the purchasing managers' index
by Ethan S. Harris
1990, Volume 15, Issue Win
- 1-19 The decline in U.S. saving and its implications for economic growth
by Ethan S. Harris & Charles Steindel - 20-32 Comparing the cost of capital in the United States and Japan: a survey of methods
by James M. Poterba - 33-59 Bank cost of capital and international competition
by Robert N. McCauley & Steven A. Zimmer - 60-64 In brief economic capsules: equity carve-outs in Tokyo
by Ted Fikre - 65-79 Optimal monetary policy design: rules versus discretion again
by A. Steven Englander
1990, Volume 15, Issue Sum
- 1-7 The role of central banks and the financial system in emerging market economies
by E. Gerald Corrigan - 8-30 The influence of financial changes on interest rates and monetary policy: a review of recent evidence
by Paul Bennett - 31-41 Effects of leverage on corporate investment and hiring decisions
by Richard Cantor - 42-55 Housing finance and the transmission of monetary policy
by John Ryding - 56-70 Financial market evolution and the interest sensitivity of output
by Beverly Hirtle & Jeanette Kelleher - 71-82 Intermediate targets and indicators for monetary policy: an introduction to the issues
by Richard G. Davis
1990, Volume 15, Issue Spr
- 1-14 Reforming the U.S. financial system: an international perspective
by E. Gerald Corrigan - 15-30 Event risk premia and bond market incentives for corporate leverage
by Steven A. Zimmer - 31-42 Understanding international differences in leverage trends
by Eli M. Remolona
1989, Volume 14, Issue Win
- 16-35 Do margin requirements matter? Evidence from U.S. and Japanese stock markets
by Gikas A. Hardouvelis & Stavros Peristiani - 36-47 Shifting patterns of U.S. trade with selected developing Asian economies
by Susan Hickok & James A. Orr - 48-61 Unemployment in Canada and the United States: the role of unemployment insurance benefits
by Vivek Moorthy - 62-68 In brief-economic capsules: monetary policy and U.S. external balances
by Bruce Kasman
1989, Volume 14, Issue Sum
- 1-6 Legislative priorities
by E. Gerald Corrigan - 7-28 Explaining international differences in the cost of capital
by Robert N. McCauley & Steven A. Zimmer - 29-43 Distributional issues in privatization
by Rama Seth - 44-58 Union concessions in the 1980s
by Linda A. Bell - 59-67 Interest rates, household cash flow, and consumer expenditures
by Richard Cantor
1989, Volume 14, Issue Aut
- 1-6 Trends in international banking in the United States and Japan
by E. Gerald Corrigan - 7-19 Evaluating recent trends in capital formation
by A. Steven Englander & Charles Steindel - 20-32 Inflation expectations surveys as predictors of inflation and behavior in financial and labor markets
by A. Steven Englander & Gary Stone - 33-47 Japanese trade balance adjustment to yen appreciation
by Susan Hickok - 48-53 The effectiveness of tax amnesty programs in selected countries
by Elliot Uchitelle
1989, Issue Special
- 4-6 The formation of the Federal Reserve System
by Benjamin Strong - 6-14 Federal Reserve control of credit
by Benjamin Strong - 15-20 Some essentials of monetary stability
by George L. Harrison - 21-28 Reflections of a central banker
by Allan Sproul - 29-34 The international monetary system--retrospect and prospect
by Alfred Hayes - 35-41 The contributions and limitations of \"monetary\" analysis
by Paul A. Volcker - 42-47 Unresolved issues in monetary policy
by Anthony M. Solomon - 48-52 Securing a more balanced global economy
by E. Gerald Corrigan
1988, Volume 13, Issue Win
- 4-15 Economic consequences of continued U.S. external deficit
by Charles Pigott - 16-32 External adjustment and U.S. macroeconomic performance
by Janet Ceglowski & Bruce Kasman - 33-51 Financial implications of the U.S. external deficit
by Juann H. Hung & Charles Pigott & Anthony P. Rodrigues - 52-68 Capacity constraints and the prospects for external adjustment and economic growth: 1989-90
by R. Spence Hilton - 69-82 The performance of the U.S. capital goods industry: implications for trade adjustment
by James A. Orr
1988, Volume 13, Issue Sum
- 4-16 Evidence on stock market speculative bubbles: Japan, the United States, and Great Britain
by Gikas A. Hardouvelis - 17-33 The international transmission of stock prices disruption in October 1987
by Paul Bennett & Jeanette Kelleher - 34-46 International linkages among equities markets and the October 1987 market break
by Robert Aderhold & Christine M. Cumming & Alison Harwood - 47-60 Margin requirements on equity instruments
by George Sofianos - 61-79 Consistent margin requirements: are they feasible?
by Arturo Estrella - 80-89 Margin requirements and stock market volatility
by Gikas A. Hardouvelis
1988, Volume 13, Issue Spr
- 1-6 A balanced approach to the LDC debt problem
by E. Gerald Corrigan - 7-22 The competitiveness of U.S. manufactured goods: recent changes and prospects
by Linda A. Bell & Janet Ceglowski & Susan Hickok - 23-40 Money demand--some long-run properties
by John Wenninger - 41-58 Monetary policy and open market operations during 1987
by Sandra C. Krieger & Peter D. Sternlight
1988, Volume 13, Issue Aut
- 6-17 A review of Federal Reserve policy targets and operating guides in recent decades
by Ann-Marie Meulendyke - 18-27 The globalization of financial markets and the effectiveness of monetary policy instruments
by Lawrence J. Radecki & Vincent Reinhart - 28-44 Interest rate divergences among the major industrial nations
by Bruce Kasman & Charles Pigott - 45-59 Estimating the funding gap of the Pension Benefit Guaranty Corporation
by John A. Brehm & Arturo Estrella & Beverly Hirtle - 60-66 In brief: economic capsules--U.S. trade with Taiwan and South Korea
by Susan Hickok & Thomas Klitgaard
1987, Volume 12, Issue Win
- 1-5 International economic prospects: a case study in mutuality
by E. Gerald Corrigan - 6-13 Large-dollar payment flows from New York
by anonymous - 14-25 Financial structure of the G-10 countries: how does the United States compare?
by Christine M. Cumming & Lawrence M. Sweet - 26-34 The risk-based capital agreement: a further step towards policy convergence
by Jeffrey Bardos - 35-47 Converging household debt ratios of four industrial countries
by Dorothy B. Christelow
1987, Volume 12, Issue Sum
- 1-8 A framework for reform of the financial system
by E. Gerald Corrigan - 9-20 The pricing and hedging of market index deposits
by Stephen R. King & Eli M. Remolona - 21-31 Exploring the effects of capital movements on M1 and the economy
by Thomas Klitgaard & John Wenninger - 32-44 Financial consequences of new Asian surpluses
by Robert N. McCauley & Rama Seth - 45-55 Japan's growth performance over the last decade
by Bruce Kasman
1987, Volume 12, Issue Spr
- 1-9 A perspective on the globalization of financial markets and institutions
by E. Gerald Corrigan - 10-28 The growth of the financial guarantee market
by Beverly Hirtle - 29-34 The household demand for money: estimates from cross-sectional data
by Cecily C. Garver & Lawrence J. Radecki
1987, Volume 12, Issue Aut
- 1-10 Capital requirements of commercial and investment banks: contrasts in regulation
by Gary Haberman - 11-23 The economics of securitization
by Christine M. Cumming - 24-35 Eurocommercial paper and U.S. commercial paper: converging money markets?
by Lauren A. Hargraves & Robert N. McCauley - 36-48 Current labor market trends and inflation
by Richard Cantor & John Wenninger
1986, Volume 11, Issue Win
- 1-5 Coping with globally integrated financial markets
by E. Gerald Corrigan - 6-13 Bankers on pricing consumer deposits
by Richard G. Davis & Leon Korobow & John Wenninger - 14-18 The pricing of consumer deposit products - the non-rate dimensions
by Richard G. Davis & Leon Korobow - 19-34 Monetary policy influence on the economy-an empirical analysis
by M. Akbar Akhtar & Ethan S. Harris - 35-45 Inflation in the service sector
by Peter Rappoport - 46-52 International \"middle-market\" borrowing
by Jeremy Gluck
1986, Volume 11, Issue Sum
- 1-11 The recent performance of the commercial banking industry
by Richard G. Davis - 12-23 Estimating household debt service payments
by Lynn Paquette - 24-29 Financial transactions and the demand for M1
by Lawrence J. Radecki & John Wenninger - 30-41 Short-term borrowing by local school districts
by Allen J. Proctor - 42-44 Are large U.S. banks moving international activity off their balance sheets?
by Robert N. McCauley - 44-46 Prospects for the U.S. international travel deficit
by Bruce Kasman
1986, Volume 11, Issue Spr
- 1-5 Reducing international imbalances in an interdependent world
by E. Gerald Corrigan - 6-11 Macroeconomic influences on the U.S.-Japan trade imbalance
by Vincent Reinhart - 12-18 The changing commodity composition of U.S. imports from Japan
by Daniel E. Nolle & Charles Pigott - 19-33 Reserves forecasting for open market operations
by Kathleen M. Camilli & Kausar Hamdani & John C. Partlan - 34-53 Monetary policy and open market operations in 1985
by Peter D. Sternlight
1986, Volume 11, Issue Aut
- 1-10 Responsiveness of interest rate spreads and deposit flows to changes in market rates
by John Wenninger - 11-21 Wage rigidity in West Germany: a comparison with the U.S. experience
by Linda A. Bell - 22-30 The cycle in property/casualty insurance
by Robert T. McGee - 31-35 Tax reform and the merger and acquisition market: the repeal of General Utilities
by Charles Steindel
1985, Volume 10, Issue Win
- 6-10 The monetary aggregates in 1985
by Lawrence J. Radecki & John Wenninger - 11-18 Japan's intangible barriers to trade in manufacturers
by Dorothy B. Christelow - 19-27 Housing reform in New Jersey: the Mount Laurel decision
by Daniel E. Chall - 28-37 Adjustments in Buffalo's labor market
by Fred C. Doolittle - 38-40 Credit card balances-debt or convenience use?
by Lynn Paquette - 40-42 Forecasting automobile output
by Ethan S. Harris - 43-44 Projecting consumer expenditures on automobiles
by Joann E. Martens
1975, Volume 57, Issue Oct
- 245-253 A primer on Federal Reserve float
by Arline Hoel
1975, Volume 3, Issue Summer
- 47-50 A new supervisory system for rating banks
by George R. Juncker
1963, Volume 45, Issue Feb
- 30-35 Forecasting float
by Irving Auerbach