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Content
2017
- 2017/068 How is the likelihood of fire sales in a crisis affected by the interaction of various bank regulations?
by Mr. Divya Kirti & Vijay Narasiman
- 2017/067 Credit-Supply Shocks and Firm Productivity in Italy
by Sebastian Dörr & Mr. Mehdi Raissi & Miss Anke Weber
- 2017/066 Can Italy Grow Out of Its NPL Overhang? A Panel Threshold Analysis
by Mr. Kamiar Mohaddes & Mr. Mehdi Raissi & Miss Anke Weber
- 2017/065 Does Prolonged Monetary Policy Easing Increase Financial Vulnerability?
by Stephen Cecchetti & Mr. Tommaso Mancini-Griffoli & Mr. Machiko Narita
- 2017/064 Fiscal Decentralization and Fiscal Policy Performance
by Moussé Sow & Mr. Ivohasina F Razafimahefa
- 2017/063 Fiscal Policy Effectiveness in a Small Open Economy: Estimates of Tax and Spending Multipliers in Paraguay
by Mr. Antonio David
- 2017/062 Lower Bound Beliefs and Long-Term Interest Rates
by Christian Grisse & Signe Krogstrup & Silvio Schumacher
- 2017/061 Private and Public Debt: Are Emerging Markets at Risk?
by Marco Bernardini & Lorenzo Forni
- 2017/060 Bank Ownership: Trends and Implications
by Robert Cull & Maria Soledad Martinez Peria & Jeanne Verrier
- 2017/059 Macroprudential Policy, Incomplete Information and Inequality: The case of Low-Income and Developing Countries
by Margarita Rubio & Ms. Filiz D Unsal
- 2017/058 Exchange Rates and Trade: A Disconnect?
by Mr. Daniel Leigh & Weicheng Lian & Mr. Marcos Poplawski Ribeiro & Rachel Szymanski & Viktor Tsyrennikov & Hong Yang
- 2017/057 Public Debt Sustainability Under Uncertainty: An Invariant Set Approach
by Rossen Rozenov
- 2017/056 Direct and Spillover Effects of Unconventional Monetary and Exchange Rate Policies
by Mr. Joseph E. Gagnon & Mr. Tamim Bayoumi & Juan M. Londono & Christian Saborowski & Horacio Sapriza
- 2017/055 Aftershocks of Monetary Unification: Hysteresis with a Financial Twist
by Mr. Tamim Bayoumi & Mr. Barry J. Eichengreen
- 2017/054 Labor Force Participation in Chile: Recent Trends, Drivers, and Prospects
by Patrick Blagrave & Marika Santoro
- 2017/053 Pension Reform Options in Chile: Some Tradeoffs
by Marika Santoro
- 2017/052 The Drivers of Capital Flows in Emerging Markets Post Global Financial Crisis
by Mrs. Swarnali A Hannan
- 2017/051 Brazilian Market Portfolio
by Cristina Tessari & Alexis Meyer-Cirkel
- 2017/050 Spillovers from U.S. Monetary Policy Normalization on Brazil and Mexico’s Sovereign Bond Yields
by Carlos Góes & Herman Kamil & Phil De Imus & Ms. Mercedes Garcia-Escribano & Mr. Roberto Perrelli & Mr. Shaun K. Roache & Jeremy Zook
- 2017/049 Evaluating Changes in the Transmission Mechanism of Government Spending Shocks
by Mr. Nooman Rebei
- 2017/048 Understanding Inflation in Malawi: A Quantitative Investigation
by Dong Frank Wu
- 2017/047 Trade Liberalization in Peru: Adjustment Costs Amidst High Labor Mobility
by Elin Baldárrago & Mr. Gonzalo Salinas
- 2017/046 Revisiting the Link between Trade, Growth and Inequality: Lessons for Latin America and the Caribbean
by Ms. Kimberly Beaton & Aliona Cebotari & Andras Komaromi
- 2017/045 The Impact of Trade Agreements in Latin America using the Synthetic Control Method
by Mrs. Swarnali A Hannan
- 2017/044 Effects of Timeliness on the Trade Pattern between Primary and Processed Goods
by Suprabha Baniya
- 2017/043 Launching Export Accelerations in Latin America and the World
by Ms. Valerie Cerra & Miss Martha Tesfaye Woldemichael
- 2017/042 Composition of Trade in Latin America and the Caribbean
by Xiaodan Ding & Metodij Hadzi-Vaskov
- 2017/041 The Volatility of Capital Flows in Emerging Markets: Measures and Determinants
by Maria Sole Pagliari & Mrs. Swarnali A Hannan
- 2017/040 Sectoral Labor Mobility and Optimal Monetary Policy
by Mr. Alessandro Cantelmo & Mr. Giovanni Melina
- 2017/039 Governments and Promised Fiscal Consolidations: Do They Mean What They Say?
by Mr. Sanjeev Gupta & João Tovar Jalles & Mr. Carlos Mulas-Granados & Michela Schena
- 2017/038 Banks, Firms, and Jobs
by Fabio Berton & Sauro Mocetti & Mr. Andrea F Presbitero & Matteo Richiardi
- 2017/037 A Fresh Look at Potential Output in Central, Eastern, and Southeastern European Countries
by Jiri Podpiera & Ms. Faezeh Raei & Ara Stepanyan
- 2017/036 What has happened to Sub-Regional Public Sector Efficiency in England since the Crisis?
by Samya Beidas-Strom
- 2017/035 The Growth Return of Infrastructure in Latin America
by Mr. Sergi Lanau
- 2017/034 Women at Work in Latin America and the Caribbean
by Natalija Novta & Joyce Wong
- 2017/033 Quarterly Projection Model for India: Key Elements and Properties
by Mr. Jaromir Benes & Kevin Clinton & Asish George & Pranav Gupta & Joice John & Mr. Ondrej Kamenik & Mr. Douglas Laxton & Pratik Mitra & G.V. Nadhanael & Mr. Rafael A Portillo & Hou Wang & Fan Zhang
- 2017/032 Inflation-Forecast Targeting for India: An Outline of the Analytical Framework
by Mr. Jaromir Benes & Kevin Clinton & Asish George & Joice John & Mr. Ondrej Kamenik & Mr. Douglas Laxton & Pratik Mitra & G.V. Nadhanael & Hou Wang & Fan Zhang
- 2017/031 What Influences Bank Lending in Saudi Arabia?
by Mr. Ken Miyajima
- 2017/030 Assessing the Fragility of Global Trade: The Impact of Localized Supply Shocks Using Network Analysis
by Ms. Yevgeniya Korniyenko & Magali Pinat & Brian Dew
- 2017/029 Terms-of-Trade Cycles and External Adjustment
by Gustavo Adler & Mr. Nicolas E Magud & Alejandro M. Werner
- 2017/028 Exploring the Role of Foreign Investors in Russia's Local Currency Government Bond (OFZ) Market
by Miss Yinqiu Lu & Dmitry Yakovlev
- 2017/027 The Impact of Natural Resource Discoveries in Latin America and the Caribbean: A Closer Look at the Case of Bolivia
by Mr. Frederik G Toscani
- 2017/026 What’s Different about Bank Holding Companies?
by Mr. Ralph Chami & Mr. Thomas F. Cosimano & Jun Ma & Ms. Celine Rochon
- 2017/025 Currency Wars or Efficient Spillovers? A General Theory of International Policy Cooperation
by Mr. Anton Korinek
- 2017/024 Banks’ Adjustment to Basel III Reform: A Bank-Level Perspective for Emerging Europe
by Michal Andrle & Vladimír Tomšík & Mr. Jan Vlcek
- 2017/023 Household Consumption in Japan – Role of Income and Asset Developments
by Erkki Vihriälä
- 2017/022 Curbing Corporate Debt Bias
by Ruud A. de Mooij & Mr. Shafik Hebous
- 2017/021 Czech Magic: Implementing Inflation-Forecast Targeting at the CNB
by Kevin Clinton & Tibor Hlédik & Mr. Tomás Holub & Mr. Douglas Laxton & Hou Wang
- 2017/020 International Remittances, Migration, and Primary Commodities in FSGM
by Stephen Snudden
- 2017/019 Financial Deepening in Mexico
by Alexander Herman & Mr. Alexander D Klemm
- 2017/018 Fiscal Politics in the Euro Area
by Mr. Luc Eyraud & Vitor Gaspar & Mr. Tigran Poghosyan
- 2017/017 Corporate Restructuring and Its Macro Effects
by Mr. Jongsoon Shin
- 2017/016 Risk Taking and Interest Rates: Evidence from Decades in the Global Syndicated Loan Market
by Seung Jung Lee & Lucy Qian Liu & Viktors Stebunovs
- 2017/015 Oil Prices and the Global Economy
by Mr. Rabah Arezki & Zoltan Jakab & Mr. Douglas Laxton & Mr. Akito Matsumoto & Armen Nurbekyan & Hou Wang & Jiaxiong Yao
- 2017/014 Money and Credit: Theory and Applications
by Liang Wang & Randall Wright & Lucy Qian Liu
- 2017/013 What Are Reference Rates For?
by Mr. Divya Kirti
- 2017/012 Financial and Business Cycles in Brazil
by Mr. Ivo Krznar & Mr. Troy D Matheson
- 2017/011 The Relative Effectiveness of Spot and Derivatives Based Intervention: The Case of Brazil
by Milan Nedeljkovic & Christian Saborowski
- 2017/010 Collect More, Spend Better: Public Investment in Asian Frontier Markets
by Mr. Manuk Ghazanchyan & Ricardo Marto & Jiri Jonas & Kaitlyn Douglass
- 2017/009 Price and Wage Flexibility in Hong Kong SAR
by Mr. Si Guo
- 2017/008 Optimal Tax Administration
by Mr. Michael Keen & Mr. Joel Slemrod
- 2017/007 Indian Financial Sector: Structure, Trends and Turns
by Rakesh Mohan & Partha Ray
- 2017/006 Fiscal Rules to Tame the Political Budget Cycle: Evidence from Italian Municipalities
by Lorenzo Forni & Andrea Bonfatti
- 2017/005 On the Determinants of Fiscal Non-Compliance: An Empirical Analysis of Spain’s Regions
by Mar Delgado-Téllez & Victor Duarte Lledo & Javier J. Pérez
- 2017/004 How Buoyant is the Tax System? New Evidence from a Large Heterogeneous Panel
by Mr. Paolo Dudine & João Tovar Jalles
- 2017/003 Why Do Bank-Dependent Firms Bear Interest-Rate Risk?
by Mr. Divya Kirti
- 2017/002 Korea’s Challenges Ahead—Lessons from Japan’s Experience
by Ms. Edda Zoli
- 2017/001 Benefits of Global and Regional Financial Integration in Latin America
by Mr. Luc Eyraud & Ms. Diva Singh & Mr. Bennett W Sutton
2016
- 2016/255 Strategic Corporate Layoffs
by Ruchir Agarwal & Julian Kolev
- 2016/254 Dynamic Fuel Price Pass-Through: Evidence from a New Global Retail Fuel Price Database
by Mr. Kangni R Kpodar & Mr. Chadi Abdallah
- 2016/253 Lost and Found: Market Access and Public Debt Dynamics
by Mr. Carlo Cottarelli & Mr. Andrea F Presbitero & Antonio Bassanetti
- 2016/252 Capital Account Openness in Low-income Developing Countries: Evidence from a New Database
by Mrs. Sarwat Jahan & Daili Wang
- 2016/251 Financial Information and Macroeconomic Forecasts
by Sophia Chen & Mr. Romain Ranciere
- 2016/250 Potential Output Growth Estimates for Central America and the Dominican Republic
by Mr. Roberto Garcia-Saltos & Fan Zhang & Iulia Ruxandra Teodoru
- 2016/249 China’s Rising IQ (Innovation Quotient) and Growth: Firm-level Evidence
by Hui He & Ms. Nan Li & Jing Fang
- 2016/248 Does Balance Sheet Strength Drive the Investment Cycle? Evidence from Pre- and Post-Crisis Cyprus
by Sophia Chen & Miss Yinqiu Lu
- 2016/247 Food Inflation in Sub-Saharan Africa: Causes and Policy Implications
by Mr. Emre Alper & Mr. Niko A Hobdari & Ali Uppal
- 2016/246 Does Gross or Net Debt Matter More for Emerging Market Spreads?
by Metodij Hadzi-Vaskov & Mr. Luca A Ricci
- 2016/245 The Effects of Monetary Policy Shocks on Inequality
by Davide Furceri & Mr. Prakash Loungani & Ms. Aleksandra Zdzienicka
- 2016/244 Inequality and Growth: A Heterogeneous Approach
by Mr. Francesco Grigoli & Evelio Paredes & Gabriel Di Bella
- 2016/243 Emerging Market Corporate Leverage and Global Financial Conditions
by Mr. Adrian Alter & Mr. Selim A Elekdag
- 2016/242 Automatic Adjustment Mechanisms in Asian Pension Systems?
by Ms. Elif C Arbatli Saxegaard & Mr. Csaba Feher & Mr. Jack J Ree & Ikuo Saito & Mauricio Soto
- 2016/241 Output and Inflation Co-movement: An Update on Business-Cycle Stylized Facts
by Michal Andrle & Jan Bruha & Mr. Serhat Solmaz
- 2016/240 Monetary Policy Credibility and Exchange Rate Pass-Through
by Mr. Yan Carriere-Swallow & Bertrand Gruss & Mr. Nicolas E Magud & Mr. Fabian Valencia
- 2016/239 A Tale of Transition: An Empirical Analysis of Economic Inequality in Urban China, 1986–2009
by Haiyan Ding & Hui He
- 2016/238 The Impact of Workforce Aging on European Productivity
by Mr. Shekhar Aiyar & Mr. Christian H Ebeke
- 2016/237 The Impact of Demographics on Productivity and Inflation in Japan
by Mr. Niklas J Westelius & Yihan Liu
- 2016/236 Macro-Financial Linkages and Heterogeneous Non-Performing Loans Projections: An Application to Ecuador
by Mr. Francesco Grigoli & Mr. Mario Mansilla & Martín Saldías
- 2016/235 Real Effects of Capital Inflows in Emerging Markets
by Ms. Deniz O Igan & Ali M. Kutan & Ali Mirzaei
- 2016/234 Tax Capacity and Growth: Is there a Tipping Point?
by Vitor Gaspar & Laura Jaramillo & Mr. Philippe Wingender
- 2016/233 Political Institutions, State Building, and Tax Capacity: Crossing the Tipping Point
by Vitor Gaspar & Laura Jaramillo & Mr. Philippe Wingender
- 2016/232 Minimum Wage as a Wage Policy Tool in Japan
by Ms. Chie Aoyagi & Mr. Giovanni Ganelli & Nour Tawk
- 2016/231 System Priors for Econometric Time Series
by Michal Andrle & Miroslav Plašil
- 2016/230 Fiscal Discipline and Exchange Rates: Does Politics Matter?
by João Tovar Jalles & Mr. Carlos Mulas-Granados & José Tavares
- 2016/229 Non-Performing Loans in the ECCU: Determinants and Macroeconomic Impact
by Ms. Kimberly Beaton & Ms. Alla Myrvoda & Shernnel Thompson
- 2016/228 Forecast Errors and Uncertainty Shocks
by Sylwia Nowak & Pratiti Chatterjee
- 2016/227 The Influence of Gender Budgeting in Indian States on Gender Inequality and Fiscal Spending
by Ms. Janet Gale Stotsky & Mr. Asad Zaman
- 2016/226 A Balancing Act: Reform Options for Paraguay’s Fiscal Responsibility Law
by Mr. Antonio David & Natalija Novta
- 2016/225 Arrears to the IMF – A Ghost of the Past?
by Anne Oeking & Mariusz A. Sumlinski
- 2016/224 Whose Credit Line is it Anyway: An Update on Banks' Implicit Subsidies
by Tryggvi Gudmundsson
- 2016/223 Stock Market Liquidity in Chile
by Mr. Luis Brandão-Marques
- 2016/222 Trade Costs of Sovereign Debt Restructurings: Does a Market-Friendly Approach Improve the Outcome?
by Mr. Tamon Asonuma & Mr. Marcos d Chamon & Akira Sasahara
- 2016/221 Securitization and Credit Quality
by David Marques-Ibanez
- 2016/220 A Tale of Two Sectors: Why is Misallocation Higher in Services than in Manufacturing?
by Daniel A Dias & Christine J. Richmond & Carlos Robalo Marques
- 2016/219 Quantifying the Spillovers from China Rebalancing Using a Multi-Sector Ricardian Trade Model
by Rui Mano
- 2016/218 To Bet or Not to Bet: Copper Price Uncertainty and Investment in Chile
by Mr. Fabio Comelli & Mrs. Esther Perez Ruiz
- 2016/217 Financial Sector Debt Bias
by Ms. Oana Luca & Alexander F. Tieman
- 2016/216 Can Property Taxes Reduce House Price Volatility? Evidence from U.S. Regions
by Mr. Tigran Poghosyan
- 2016/215 Tuning in RBC Growth Spectra
by Szilard Benk & Tamas Csabafi & Jing Dang & Max Gillman & Michal Kejak
- 2016/214 When China Sneezes Does ASEAN Catch a Cold?
by Mr. Sohrab Rafiq
- 2016/213 How to Better Measure Hedonic Residential Property Price Indexes
by Mick Silver
- 2016/212 Spillovers from the Maturing of China’s Economy
by Allan Dizioli & Mr. Benjamin L Hunt & Wojciech Maliszewski
- 2016/211 Corporate Sector Vulnerabilities in Ireland
by Nir Klein
- 2016/210 Oil Prices and the Global Economy: Is It Different This Time Around?
by Mr. Kamiar Mohaddes & M. Hashem Pesaran
- 2016/209 Can Statistical Capacity Building Help Reduce Procyclical Fiscal Policy in Developing Countries?
by Mr. Sampawende J Tapsoba & Mr. Robert C York & Neree C.G.M. Noumon
- 2016/208 Dominican Republic: Sectoral Financial Positions and Macroeconomic Vulnerabilities
by Ms. Svetlana Cerovic & Jose Saboin
- 2016/207 The Role of Newly Industrialized Economies in Global Value Chains
by Dominik Boddin
- 2016/206 National Insurance Scheme Reforms in the Caribbean
by Koffie Ben Nassar & Mr. Joel Chiedu Okwuokei & Mike Li & Timothy Robinson & Mr. Saji Thomas
- 2016/205 Surprise, Surprise: What Drives the Rand / U.S. Dollar Exchange Rate Volatility?
by Nasha Maveé & Mr. Roberto Perrelli & Mr. Axel Schimmelpfennig
- 2016/204 Benefits and Costs of Corporate Debt Restructuring: An Estimation for Korea
by Jae Chung & Mr. Lev Ratnovski
- 2016/203 Resolving China’s Corporate Debt Problem
by Wojciech Maliszewski & Mr. Serkan Arslanalp & Mr. John C Caparusso & Jose M Garrido & Mr. Si Guo & Mr. Joong S Kang & Mr. Waikei R Lam & Daniel Law & Wei Liao & Ms. Nadia Rendak & Mr. Philippe Wingender & Jiangyan Yu & Ms. Longmei Zhang
- 2016/202 The Blind Side of Public Debt Spikes
by Laura Jaramillo & Mr. Carlos Mulas-Granados & Elijah Kimani
- 2016/201 Estimating Potential Output in Chile: A Multivariate Filter for Mining and Non-Mining Sectors
by Patrick Blagrave & Marika Santoro
- 2016/200 Assessing Liquidity Buffers in the Panamanian Banking Sector
by Andras Komaromi & Metodij Hadzi-Vaskov & Torsten Wezel
- 2016/199 Gone with the Wind: Estimating Hurricane and Climate Change Costs in the Caribbean
by Mr. Sebastian Acevedo Mejia
- 2016/198 Negative Interest Rates: How Big a Challenge for Large Danish and Swedish Banks?
by Ms. Rima A Turk
- 2016/197 Central Banking in Latin America: The Way Forward
by Mr. Yan Carriere-Swallow & Mr. Luis Ignacio Jácome & Mr. Nicolas E Magud & Alejandro M. Werner
- 2016/196 Is Capping Executive Bonuses Useful?
by Kentaro Asai
- 2016/195 U.S. Monetary Policy Normalization and Global Interest Rates
by Carlos Caceres & Mr. Yan Carriere-Swallow & Ishak Demir & Bertrand Gruss
- 2016/194 Fading Ricardian Equivalence in Ageing Japan
by Ikuo Saito
- 2016/193 Products and Provinces: A Disaggregated Panel Analysis of Canada’s Manufacturing Exports
by Mr. Itai Agur
- 2016/192 How to Improve Inflation Targeting in Canada
by Mr. Maurice Obstfeld & Kevin Clinton & Mr. Ondrej Kamenik & Mr. Douglas Laxton & Ms. Yulia Ustyugova & Hou Wang
- 2016/191 An Assessment of the Exchange Rate Pass-Through in Angola and Nigeria
by Ana Lariau & Moataz El-Said & Ms. Misa Takebe
- 2016/190 Fragmented Politics and Public Debt
by Ernesto Crivelli & Mr. Sanjeev Gupta & Mr. Carlos Mulas-Granados & Carolina Correa-Caro
- 2016/189 The Effectiveness of Monetary Policy in Small Open Economies: An Empirical Investigation
by Keyra Primus
- 2016/188 Fiscal Rules for Resource Windfall Allocation: The Case of Trinidad and Tobago
by Keyra Primus
- 2016/187 Regulating Local Government Financing Vehicles and Public-Private Partnerships in China
by Hui Jin & Isabel Rial
- 2016/186 Supervisory Incentives in a Banking Union
by Elena Carletti & Mr. Giovanni Dell'Ariccia & Mr. Robert Marquez
- 2016/185 Highways to Heaven: Infrastructure Determinants and Trends in Latin America and the Caribbean
by Ms. Valerie Cerra & Mr. Alfredo Cuevas & Carlos Góes & Ms. Izabela Karpowicz & Mr. Troy D Matheson & Issouf Samaké & Svetlana Vtyurina
- 2016/184 Spatial Dependence and Data-Driven Networks of International Banks
by Ben Craig & Martín Saldías
- 2016/183 Rebalancing in China—Progress and Prospects
by Ms. Longmei Zhang
- 2016/182 Unlocking Pakistan’s Revenue Potential
by Mr. Serhan Cevik
- 2016/181 China’s Financial Interlinkages and Implications For Inter-Agency Coordination
by Min Liao & Tao Sun & Jinfan Zhang
- 2016/180 Market Frictions, Interbank Linkages and Excessive Interconnections
by Mr. Pragyan Deb
- 2016/179 Smoke Screen: Estimating the Tax Pass-Through to Cigarette Prices in Pakistan
by Mr. Serhan Cevik
- 2016/178 Optimal Debt Policy Under Asymmetric Risk
by Mr. Julio Escolano & Vitor Gaspar
- 2016/177 Changing Times for Frontier Markets: A Perspective from Portfolio Investment Flows and Financial Integration
by Nordine Abidi & Ms. Burcu Hacibedel & Ms. Mwanza Nkusu
- 2016/176 Growing Apart, Losing Trust? The Impact of Inequality on Social Capital
by Eric D Gould & Alexander Hijzen
- 2016/175 Profitability and Balance Sheet Repair of Italian Banks
by Andreas Jobst & Miss Anke Weber
- 2016/174 Aggregate Uncertainty and Sectoral Productivity Growth: The Role of Credit Constraints
by Sangyup Choi & Davide Furceri & Mr. Yifei Huang & Mr. Prakash Loungani
- 2016/173 China’s Growing Influence on Asian Financial Markets
by Mr. Serkan Arslanalp & Wei Liao & Shi Piao & Dulani Seneviratne
- 2016/172 Negative Interest Rate Policy (NIRP): Implications for Monetary Transmission and Bank Profitability in the Euro Area
by Andreas Jobst & Ms. Huidan Huidan Lin
- 2016/171 Can Reform Waves Turn the Tide? Some Case Studies Using the Synthetic Control Method
by Bibek Adhikari & Mr. Romain A Duval & Bingjie Hu & Mr. Prakash Loungani
- 2016/170 Spillovers from China’s Growth Slowdown and Rebalancing to the ASEAN-5 Economies
by Allan Dizioli & Mr. Jaime Guajardo & Mr. Vladimir Klyuev & Rui Mano & Mr. Mehdi Raissi
- 2016/169 Demographic Dividends, Gender Equality, and Economic Growth: The Case of Cabo Verde
by Ms. Heloisa Marone
- 2016/168 The Real Exchange Rate: Assessment and Trade Impact in the Context of Fiji and Samoa
by Jan Gottschalk & Carl Miller & Lanieta Rauqeuqe & Isoa Wainiqolo & Yongzheng Yang
- 2016/167 Monetary Transmission in Developing Countries: Evidence from India
by Ms. Prachi Mishra & Mr. Peter J Montiel & Rajeswari Sengupta
- 2016/166 What is Responsible for India’s Sharp Disinflation?
by Sajjid Chinoy & Pankaj Kumar & Ms. Prachi Mishra
- 2016/165 Evolution of Exchange Rate Behavior in the ASEAN-5 Countries
by Mr. Vladimir Klyuev & To-Nhu Dao
- 2016/164 Investing to Mitigate and Adapt to Climate Change: A Framework Model
by Anthony Bonen & Mr. Prakash Loungani & Willi Semmler & Sebastian Koch
- 2016/163 A Probabilistic Approach to Fiscal Space and Prudent Debt Level: Application to Low-Income Developing Countries
by Mr. Olumuyiwa S Adedeji & Mr. Calixte Ahokpossi & Claudio Battiati & Mrs. Mai Farid
- 2016/162 From Firm-Level Imports to Aggregate Productivity: Evidence from Korean Manufacturing Firms Data
by Mr. JaeBin Ahn & Moon Jung Choi
- 2016/161 The Impact of Oil Prices on the Banking System in the GCC
by Padamja Khandelwal & Mr. Ken Miyajima & Mr. Andre O Santos
- 2016/160 Testing Piketty’s Hypothesis on the Drivers of Income Inequality: Evidence from Panel VARs with Heterogeneous Dynamics
by Carlos Góes
- 2016/159 Inflation and the Black Market Exchange Rate in a Repressed Market: A Model of Venezuela
by Ms. Valerie Cerra
- 2016/158 Measuring Concentration Risk - A Partial Portfolio Approach
by Pierpaolo Grippa & Lucyna Gornicka
- 2016/157 Reflating Japan: Time to Get Unconventional?
by Ms. Elif C Arbatli Saxegaard & Mr. Dennis P Botman & Kevin Clinton & Pietro Cova & Vitor Gaspar & Zoltan Jakab & Mr. Douglas Laxton & Mr. Constant A Lonkeng Ngouana & Mr. Joannes Mongardini & Hou Wang
- 2016/156 The Case for an Independent Fiscal Institution in Japan
by Mr. George Kopits
- 2016/155 Europe: A Survey of Gender Budgeting Efforts
by Sheila Quinn
- 2016/154 Caribbean and Pacific Islands: A Survey of Gender Budgeting Efforts
by Tamoya A. L. Christie & Dhanaraj Thakur
- 2016/153 Western Hemisphere: A Survey of Gender Budgeting Efforts
by Lucía Pérez Fragoso & Corina Rodríguez Enríquez
- 2016/152 Sub-Saharan Africa: A Survey of Gender Budgeting Efforts
by Ms. Janet Gale Stotsky & Ms. Lisa L Kolovich & Suhaib Kebhaj
- 2016/151 Middle East and Central Asia: A Survey of Gender Budgeting Efforts
by Ms. Lisa L Kolovich & Sakina Shibuya
- 2016/150 Asia: A Survey of Gender Budgeting Efforts
by Lekha Chakraborty
- 2016/149 Gender Budgeting: Fiscal Context and Current Outcomes
by Ms. Janet Gale Stotsky
- 2016/148 Climate Mitigation in China: Which Policies Are Most Effective?
by Ian W.H. Parry & Baoping Shang & Mr. Philippe Wingender & Nate Vernon-Lin & Tarun Narasimhan
- 2016/147 Sovereign Debt Restructuring and Growth
by Lorenzo Forni & Mr. Geremia Palomba & Ms. Joana Pereira & Christine J. Richmond
- 2016/146 The Design of Fiscal Reform Packages: Insights from a Theoretical Endogenous Growth Model
by Andrew Hodge
- 2016/145 Sovereign Risk and Deposit Dynamics: Evidence from Europe
by Mr. David A. Grigorian & Mr. Vlad Manole
- 2016/144 Fiscal Multipliers and Institutions in Peru: Getting the Largest Bang for the Sol
by Svetlana Vtyurina & Zulima Leal
- 2016/143 No Extension without Representation? Evidence from a Natural Experiment in Collective Bargaining
by Alexander Hijzen & Pedro S. Martins
- 2016/142 Does Conditionality Mitigate the Potential Negative Effect of Aid on Revenues?
by Ernesto Crivelli & Mr. Sanjeev Gupta
- 2016/141 The Role of Fiscal Transfers in Smoothing Regional Shocks: Evidence from Existing Federations
by Mr. Tigran Poghosyan & Mr. Abdelhak S Senhadji & Mr. Carlo Cottarelli
- 2016/140 Gender Equality and Economic Diversification
by Romina Kazandjian & Ms. Lisa L Kolovich & Ms. Kalpana Kochhar & Ms. Monique Newiak
- 2016/139 6½ Decades of Global Trade and Income: “New Normal” or “Back to Normal” after GTC and GFC?
by Sanjay Kalra
- 2016/138 The Fiscal Multiplier in Small Open Economy: The Role of Liquidity Frictions
by Jasmin Sin
- 2016/137 South Africa: Labor Market Dynamics and Inequality
by Rahul Anand & Siddharth Kothari & Naresh Kumar
- 2016/136 The Dynamics of Sovereign Debt Crises and Bailouts
by Mr. Francisco Roch & Harald Uhlig
- 2016/135 Cleaning-up Bank Balance Sheets: Economic, Legal, and Supervisory Measures for Italy
by Jose M Garrido & Emanuel Kopp & Miss Anke Weber
- 2016/134 Insolvency and Enforcement Reforms in Italy
by Jose M Garrido
- 2016/133 Fixed Base Year vs. Chain Linking in National Accounts: Experience of Sub-Saharan African Countries
by Mr. Robert Dippelsman & Venkat Josyula & Eric Métreau
- 2016/132 Inflation, Financial Developments, and Wealth Distribution
by Wai-Yip Alex Ho & Chun-Yu Ho
- 2016/131 An Analysis of OPEC’s Strategic Actions, US Shale Growth and the 2014 Oil Price Crash
by Mr. Alberto Behar & Robert A Ritz
- 2016/130 A Network Model of Multilaterally Equilibrium Exchange Rates
by Mr. Alexei P Kireyev & Andrei Leonidov
- 2016/129 Outside the Band: Depreciation and Inflation Dynamics in Chile
by Mrs. Esther Perez Ruiz
- 2016/128 A National Wealth Approach to Banking Crises and Financial Stability
by Mr. Olivier M Frecaut
- 2016/127 U.S. Corporate Income Tax Reform and its Spillovers
by Kimberly Clausing & Edward Kleinbard & Ms. Thornton Matheson
- 2016/126 Did the Global Financial Crisis Break the U.S. Phillips Curve?
by Stefan Laseen & Marzie Taheri Sanjani