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Content
2016
2015
- 2015/288 Effects of Monetary and Macroprudential Policies on Financial Conditions: Evidence from the United States
by Ms. Aleksandra Zdzienicka & Ms. Sally Chen & Federico Diaz Kalan & Stefan Laseen & Katsiaryna Svirydzenka
- 2015/287 The Impact of Unconventional Monetary Policy Measures by the Systemic Four on Global Liquidity and Monetary Conditions
by Ms. Yevgeniya Korniyenko & Ms. Elena Loukoianova
- 2015/286 Government Spending Effects in Low-income Countries
by Ms. Wenyi Shen & Ms. Susan S. Yang & Luis-Felipe Zanna
- 2015/285 Corporate Investment in Emerging Markets: Financing vs. Real Options Channel
by Delong Li & Mr. Nicolas E Magud & Mr. Fabian Valencia
- 2015/284 Floating with a Load of FX Debt?
by Tatsiana Kliatskova & Mr. Uffe Mikkelsen
- 2015/283 Will Macroprudential Policy Counteract Monetary Policy’s Effects on Financial Stability?
by Mr. Itai Agur & Ms. Maria Demertzis
- 2015/282 Long-term Gain, Short-Term Pain: Assessing the Potential Impact of Structural Reforms in Chile
by Marika Santoro
- 2015/281 The Game of Anchors: Studying the Causes of Currency Crises in Belarus
by Alex Miksjuk & Mr. Sam Ouliaris & Mikhail Pranovich
- 2015/280 Sharing a Ride on the Commodities Roller Coaster: Common Factors in Business Cycles of Emerging Economies
by Andrés Fernández & Andres Gonzalez & Diego Rodriguez
- 2015/279 Reforming the Legal and Institutional Framework for the Enforcement of Civil and Commercial Claims in Portugal
by Sebastiaan Pompe & Mr. Wolfgang Bergthaler
- 2015/278 From Expenditure Consolidation to Expenditure Efficiency: Addressing Public Expenditure Pressures in Lithuania
by Mr. David Coady & Ms. Nan Geng
- 2015/277 Changes in the Global Investor Base and the Stability of Portfolio Flows to Emerging Markets
by Mr. Luis Brandão-Marques & Mr. Gaston Gelos & Hibiki Ichiue & Ms. Hiroko Oura
- 2015/276 Housing Price and Household Debt Interactions in Sweden
by Ms. Rima A Turk
- 2015/275 International Sovereign Bonds by Emerging Markets and Developing Economies: Drivers of Issuance and Spreads
by Mr. Andrea F Presbitero & Mr. Dhaneshwar Ghura & Mr. Olumuyiwa S Adedeji & Lamin Njie
- 2015/274 Financial Distortions in China: A General Equilibrium Approach
by Diego Anzoategui & Miss Mali Chivakul & Wojciech Maliszewski
- 2015/273 A Macro-Model Approach to Monetary Policy Analysis and Forecasting for Vietnam
by Allan Dizioli & Jochen M. Schmittmann
- 2015/272 Some Misconceptions about Public Investment Efficiency and Growth
by Mr. Andrew Berg & Mr. Edward F Buffie & Ms. Catherine A Pattillo & Mr. Rafael A Portillo & Mr. Andrea F Presbitero & Luis-Felipe Zanna
- 2015/271 March Madness in Wall Street: (What) Does the Market Learn from Stress Tests?
by Marcelo Fernandes & Ms. Deniz O Igan & Marcelo Pinheiro
- 2015/270 Monetary Policy in a Developing Country: Loan Applications and Real Effects
by Charles Abuka & Ronnie K Alinda & Ms. Camelia Minoiu & José-Luis Peydró & Mr. Andrea F Presbitero
- 2015/269 How External Factors Affect Domestic Economy: Nowcasting an Emerging Market
by Mr. Serhat Solmaz & Marzie Taheri Sanjani
- 2015/268 Exiting From Fragility in sub-Saharan Africa: The Role of Fiscal Policies and Fiscal Institutions
by Ms. Corinne C Delechat & Ms. Ejona Fuli & Mrs. Dafina Glaser & Mr. Gustavo Ramirez & Rui Xu
- 2015/267 Impact of the New Financial Services Law in Bolivia on Financial Stability and Inclusion
by Dyna Heng
- 2015/266 Inflation Dynamics and Monetary Policy in Bolivia
by Mr. Alejandro D Guerson
- 2015/265 Explaining Inequality and Poverty Reduction in Bolivia
by Mr. Mauricio Vargas & Santiago Garriga
- 2015/264 Crowding-Out or Crowding-In? Public and Private Investment in India
by Girish Bahal & Mr. Mehdi Raissi & Mr. Volodymyr Tulin
- 2015/263 Emerging Market Portfolio Flows: The Role of Benchmark-Driven Investors
by Mr. Serkan Arslanalp & Mr. Takahiro Tsuda
- 2015/262 Fiscal Consolidation During Times of High Unemployment: The Role of Productivity Gains and Wage Restraint
by Mr. Ruy Lama & Juan Pablo Medina Guzman
- 2015/261 The Whole Elephant: A Proposal for Integrating Cash, Accrual, and Sustainability-Gap Accounts
by Mr. Timothy C Irwin
- 2015/260 Interest Rate Pass-Through in the Dominican Republic
by Mr. Francesco Grigoli & José M. Mota
- 2015/259 The U.S. Oil Supply Revolution and the Global Economy
by Mr. Kamiar Mohaddes & Mr. Mehdi Raissi
- 2015/258 Taylor Visits Africa
by Carlos Goncalves
- 2015/257 Debt Maturity: Does It Matter for Fiscal Space?
by Mr. Jun I Kim
- 2015/256 If the Fed Acts, How Do You React? The Liftoff Effect on Capital Flows
by Mrs. Swarnali A Hannan
- 2015/255 Contingent Liabilities from Banks: How to Track Them?
by Mr. Serkan Arslanalp & Yin Liao
- 2015/254 The Nordic Labor Market and Migration
by Giang Ho & Ms. Kazuko Shirono
- 2015/253 Multivariate Filter Estimation of Potential Output for the Euro Area and the United States
by Ali Alichi & Olivier Bizimana & Silvia Domit & Emilio Fernández Corugedo & Mr. Douglas Laxton & Kadir Tanyeri & Hou Wang & Fan Zhang
- 2015/252 Global Value Chains and the Exchange Rate Elasticity of Exports
by Mrs. Swarnali A Hannan & Maximiliano Appendino & Michèle Ruta
- 2015/251 Forecasting the Nominal Brent Oil Price with VARs—One Model Fits All?
by Benjamin Beckers & Samya Beidas-Strom
- 2015/250 The Unequal Benefits of Fuel Subsidies Revisited: Evidence for Developing Countries
by Mr. David Coady & Valentina Flamini & Louis Sears
- 2015/249 Bank Profitability and Risk-Taking
by Natalya Martynova & Mr. Lev Ratnovski & Mr. Razvan Vlahu
- 2015/248 How Do Public Debt Cycles Interact with Financial Cycles?
by Mr. Tigran Poghosyan
- 2015/247 Resolution Frameworks for Islamic Banks
by Elsie Addo Awadzi & Carine Chartouni & Mario Tamez
- 2015/246 Recognizing the Bias: Financial Cycles and Fiscal Policy
by Mrs. Nina Budina & Mr. Borja Gracia & Xingwei Hu & Mr. Sergejs Saksonovs
- 2015/245 Informality in Paraguay: Macro-Micro Evidence and Policy Implications
by Mr. Mauricio Vargas
- 2015/244 Functional Income Distribution and Its Role in Explaining Inequality
by Maura Francese & Mr. Carlos Mulas-Granados
- 2015/243 Capital Account Liberalization and Inequality
by Davide Furceri & Mr. Prakash Loungani
- 2015/242 End of the Supercycle and Growth of Commodity Producers: The Case of Chile
by Mr. Luc Eyraud
- 2015/241 Spillovers from Global and Regional Shocks to Armenia
by Knarik Ayvazyan & Ms. Teresa Daban Sanchez
- 2015/240 External Devaluations: Are Small States Different?
by Mr. Sebastian Acevedo Mejia & Aliona Cebotari & Kevin Greenidge & Geoffrey N. Keim
- 2015/239 Monetary Transmission: Are Emerging Market and Low Income Countries Different?
by Mr. Aleš Bulíř & Mr. Jan Vlcek
- 2015/238 Defining the Government’s Debt and Deficit
by Mr. Timothy C Irwin
- 2015/237 Natural Resource Booms in the Modern Era: Is the curse still alive?
by Mr. Andrew M. Warner
- 2015/236 Public Investment in a Developing Country Facing Resource Depletion
by Mr. Adrian Alter & Matteo Ghilardi & Ms. Dalia S Hakura
- 2015/235 Financial Inclusion and Development in the CEMAC
by Mr. Adrian Alter & Boriana Yontcheva
- 2015/234 Monetary Operations and Islamic Banking in the GCC: Challenges and Options
by Ms. Ritu Basu & Mr. Ananthakrishnan Prasad & Mr. Sergio L. Rodriguez
- 2015/233 Steady as She Goes—Estimating Potential Output During Financial “Booms and Busts”
by Mr. Helge Berger & Mr. Thomas Dowling & Mr. Sergi Lanau & Mr. Mico Mrkaic & Mr. Pau Rabanal & Marzie Taheri Sanjani
- 2015/232 The Evolving Functions and Organization of Finance Ministries
by Mr. Richard I Allen & Yasemin Hurcan & Peter Murphy & Mr. Maximilien Queyranne & Mr. Sami Yläoutinen
- 2015/231 Monetary Policy Transmission and Financial Stability in a LIC: The Case of Bangladesh
by Mr. Sohrab Rafiq
- 2015/230 Inflation and Activity – Two Explorations and their Monetary Policy Implications
by Mr. Olivier J Blanchard & Mr. Eugenio M Cerutti & Lawrence Summers
- 2015/229 Employment and the Great Recession: The Role of Real Wages
by Mr. Bas B. Bakker
- 2015/228 Inflation Targeting and Exchange Rate Regimes in Emerging Markets
by Mr. Christian H Ebeke & Mr. Armand P Fouejieu
- 2015/227 Macrofinancial Analysis in the World Economy: A Panel Dynamic Stochastic General Equilibrium Approach
by Mr. Francis Vitek
- 2015/226 Are Capital Inflows Expansionary or Contractionary? Theory, Policy Implications, and Some Evidence
by Mr. Olivier J Blanchard & Mr. Jonathan David Ostry & Mr. Atish R. Ghosh & Mr. Marcos d Chamon
- 2015/225 Fiscal Consequences of Terrorism
by Mr. Serhan Cevik & John Ricco
- 2015/224 Breaking Through the Zero Lower Bound
by Ruchir Agarwal & Miles Kimball
- 2015/223 Dealing with Systemic Sovereign Debt Crises: Fiscal Consolidation, Bail-ins or Official Transfers?
by Mr. Damiano Sandri
- 2015/222 Fragilities in the U.S. Treasury Market: Lessons from the “Flash Rally” of October 15, 2014
by Antoine Bouveret & Mr. Peter Breuer & Ms. Yingyuan Chen & David Jones & Tsuyoshi Sasaki
- 2015/221 Spillovers from China onto Sub-Saharan Africa: Insights from the Flexible System of Global Models (FSGM)
by Mr. Derek Anderson & Mr. Jorge I Canales Kriljenko & Mr. Paulo Drummond & Pedro Espaillat & Mr. Dirk V Muir
- 2015/220 A Financial Conditions Index for Greece
by Mr. Jonathan F Manning & Maral Shamloo
- 2015/219 Emerging Powers and Global Governance: Whither the IMF?
by Rakesh Mohan & Muneesh Kapur
- 2015/218 Capital Controls or Macroprudential Regulation?
by Mr. Anton Korinek & Mr. Damiano Sandri
- 2015/217 Optimal Bank Recovery
by Mr. C. A. E. Goodhart & Miguel A. Segoviano
- 2015/216 Stress Testing Corporate Balance Sheets in Emerging Economies
by Mr. Julian T Chow
- 2015/215 Big Players Out of Synch: Spillovers Implications of US and Euro Area Shocks
by Ms. Carolina Osorio-Buitron & Mr. Esteban Vesperoni
- 2015/214 Estimating VAT Pass Through
by Ms. Dora Benedek & Ruud A. de Mooij & Mr. Philippe Wingender
- 2015/213 Domestic Market Integration and the Law of One Price in Brazil
by Carlos Góes & Mr. Troy D Matheson
- 2015/212 Credit Expansion in Emerging Markets: Propeller of Growth?
by Ms. Mercedes Garcia-Escribano & Mr. Fei Han
- 2015/211 The Impact of Global Liquidity on Financial Landscapes and Risks in the ASEAN-5 Countries
by Tao Sun
- 2015/210 How Does Bank Competition Affect Solvency, Liquidity and Credit Risk? Evidence from the MENA Countries
by Raja Almarzoqi & Sami Ben Naceur & Alessandro Scopelliti
- 2015/209 News Shocks in Open Economies: Evidence from Giant Oil Discoveries
by Mr. Rabah Arezki & Valerie A Ramey & Liugang Sheng
- 2015/208 Getting the Dog to Bark: Disclosing Fiscal Risks from the Financial Sector
by Mr. Timothy C Irwin
- 2015/207 Monetary Policy Transmission in Emerging Asia: The Role of Banks and the Effects of Financial Globalization
by Nasha Ananchotikul & Dulani Seneviratne
- 2015/206 Financial Inclusion: Zooming in on Latin America
by Ms. Era Dabla-Norris & Yixi Deng & Anna Ivanova & Ms. Izabela Karpowicz & Ms. Filiz D Unsal & Eva VanLeemput & Joyce Wong
- 2015/205 What Measure of Inflation Should a Developing Country Central Bank Target?
by Rahul Anand & Mr. Eswar S Prasad & Boyang Zhang
- 2015/204 Reaping the Benefits from Global Value Chains
by Mr. Kevin C Cheng & Sidra Rehman & Dulani Seneviratne & Shiny Zhang
- 2015/203 How to De-Dollarize Financial Systems in the Caucasus and Central Asia?
by Sami Ben Naceur & Amr Hosny & Gregory Hadjian
- 2015/202 Managing the Fed’s Liftoff and Transmission of Monetary Policy
by Mr. Manmohan Singh
- 2015/201 Building a Better Union: Incentivizing Structural Reforms in the Euro Area
by Angana Banerji & Ms. Bergljot B Barkbu & Mr. James A John & Mr. Tidiane Kinda & Mr. Sergejs Saksonovs & Hanni Schoelermann & Mr. Tao Wu
- 2015/200 “But we are different!”: 12 Common Weaknesses in Banking Laws, and What to Do About Them
by Wouter Bossu & Dawn Chew
- 2015/199 Demand for Value Added and Value-Added Exchange Rates
by Mr. Rudolfs Bems & Robert C. Johnson
- 2015/198 Delegated Portfolio Management, Benchmarking, and the Effects on Financial Markets
by Ms. Deniz O Igan & Marcelo Pinheiro
- 2015/197 Is There a Debt-threshold Effect on Output Growth?
by Mr. Alexander Chudik & Mr. Kamiar Mohaddes & M. Hashem Pesaran & Mr. Mehdi Raissi
- 2015/196 Aid and Growth at the Regional Level
by Axel Dreher & Steffen Lohmann
- 2015/195 A New Look at the Determinants of Growth in Asian Countries
by Mr. Manuk Ghazanchyan & Ms. Janet Gale Stotsky & Qianqian Zhang
- 2015/194 Normalization of Global Financial Conditions: The Implications for Brazil
by Mr. Troy D Matheson
- 2015/193 Capital Inflows, Credit Growth, and Financial Systems
by Ms. Deniz O Igan & Zhibo Tan
- 2015/192 Innovation, Deregulation, and the Life Cycle of a Financial Service Industry
by Fumiko Hayashi & Ms. Grace B Li & Zhu Wang
- 2015/191 Comparing the Employment-Output Elasticities of Expatriates and Nationals in the Gulf Cooperation Council
by Mr. Alberto Behar
- 2015/190 Systemic Risk Assessment in Low Income Countries: Balancing Financial Stability and Development
by Daniela Marchettini & Mr. Rodolfo Maino
- 2015/189 On the Drivers of Inflation in Sub-Saharan Africa
by Anh D. M. Nguyen & Mr. Jemma Dridi & Ms. Filiz D Unsal & Mr. Oral Williams
- 2015/188 Trends in Fiscal Transparency: Evidence from a New Database of the Coverage of Fiscal Reporting
by Rachel F Wang & Mr. Timothy C Irwin & Lewis K Murara
- 2015/187 Exports in a Tariff-Free Environment: What Structural Reforms Matter? Evidence from the European Union Single Market
by Jesmin Rahman & Ara Stepanyan & Jessie Yang & Mr. Li Zeng
- 2015/186 Portfolio Rebalancing in Japan: Constraints and Implications for Quantitative Easing
by Mr. Serkan Arslanalp & Mr. Dennis P Botman
- 2015/185 Sub-Saharan Employment Developments: The Important Role of Household Enterprises with an Application to Rwanda
by Mr. Alun H. Thomas
- 2015/184 Integrated Ownership and Control in the GCC Corporate Sector
by Mr. Andre O Santos
- 2015/183 Production Offshoring and Investment by Japanese Firms
by Mr. Joong S Kang & Shi Piao
- 2015/182 Price Expectations and the U.S. Housing Boom
by Pascal Towbin & Mr. Sebastian Weber
- 2015/181 Foreign Help Wanted: Easing Japan’s Labor Shortages
by Mr. Giovanni Ganelli & Naoko Miake
- 2015/180 Filling the Gap: Infrastructure Investment in Brazil
by Ms. Mercedes Garcia-Escribano & Carlos Góes & Ms. Izabela Karpowicz
- 2015/179 Collateral Damage: Dollar Strength and Emerging Markets’ Growth
by Mr. Pablo F Druck & Mr. Nicolas E Magud & Rodrigo Mariscal
- 2015/178 Estimation of Drivers of Public Education Expenditure: Baumol’s Effect Revisited
by Manabu Nose
- 2015/177 Does A Regional Trade Agreement Lessen or Exacerbate Growth Volatility? An Empirical Investigation
by Mr. Kangni R Kpodar & Patrick A. Imam
- 2015/176 Deflation and Public Finances: Evidence from the Historical Records
by Mr. Nicolas End & Mr. Sampawende J Tapsoba & Mr. G. Terrier & Renaud Duplay
- 2015/175 Now or Later? The Political Economy of Public Investment in Democracies
by Mr. Sanjeev Gupta & Miss Estelle X Liu & Mr. Carlos Mulas-Granados
- 2015/174 Institutions and Growth: a GMM/IV Panel VAR Approach
by Carlos Góes
- 2015/173 What Matters for Financial Development and Stability?
by Raja Almarzoqi & Sami Ben Naceur & Akshay Kotak
- 2015/172 Fiscal Deficit and Public Debt in the Western Balkans: 15 Years of Economic Transition
by Zsoka Koczan
- 2015/171 Transforming Non-Renewable Resource Economies (NREs)
by Bill Battaile & Mr. Saurabh Mishra
- 2015/170 A Model for Monetary Policy Analysis in Uruguay
by Mr. Rafael A Portillo & Ms. Yulia Ustyugova
- 2015/169 Household Financial Access and Risk Sharing in Nigeria
by Stacy Carlson & Ms. Era Dabla-Norris & Mika Saito & Ms. Yu Shi
- 2015/168 Does Public Sector Inefficiency Constrain Firm Productivity: Evidence from Italian Provinces
by Raffaela Giordano & Mr. Sergi Lanau & Pietro Tommasino & Petia Topalova
- 2015/167 Default Premium
by Mr. Luis Catão & Rui Mano
- 2015/166 From Systemic Banking Crises to Fiscal Costs: Risk Factors
by David Amaglobeli & Mr. Nicolas End & Mariusz Jarmuzek & Mr. Geremia Palomba
- 2015/165 Systemic Risk, Aggregate Demand, and Commodity Prices
by Javier Gómez-Pineda & Mr. Dominique M. Guillaume & Kadir Tanyeri
- 2015/164 Macroeconomic Challenges of Structural Transformation: Public Investment, Growth and Debt Sustainability in Sierra Leone
by Lacina Balma & Mthuli Ncube
- 2015/163 Joining the Club? Procyclicality of Private Capital Inflows in Low Income Developing Countries
by Ms. Juliana Dutra Araujo & Mr. Antonio David & Carlos van Hombeeck & Mr. Chris Papageorgiou
- 2015/162 The German Labor Market Reforms and Post-Unemployment Earnings
by Niklas Engbom & Ms. Enrica Detragiache & Ms. Faezeh Raei
- 2015/161 Price and Income Elasticity of Indian Exports—The Role of Supply-Side Bottlenecks
by Mr. Mehdi Raissi & Mr. Volodymyr Tulin
- 2015/160 Drivers of Financial Integration – Implications for Asia
by Nasha Ananchotikul & Shi Piao & Ms. Edda Zoli
- 2015/159 Can Foreign Exchange Intervention Stem Exchange Rate Pressures from Global Capital Flow Shocks?
by Mr. Olivier J Blanchard & Gustavo Adler & Mr. Irineu E de Carvalho Filho
- 2015/158 Should Korea Worry about a Permanently Weak Yen?
by Mr. Jack J Ree & Mr. Gee Hee Hong & Seoeun Choi
- 2015/157 The Impact of IMF-Supported Programs on FDI in Low-income Countries
by Mr. Ali J Al-Sadiq
- 2015/156 The Dog That Didn’t Bark: The Strange Case of Domestic Policy Cooperation in the “New Normal”
by Mr. Tamim Bayoumi
- 2015/155 Emerging Market Heterogeneity: Insights from Cluster and Taxonomy Analysis
by Mr. Zhongxia Zhang & Miss Yuan Gao
- 2015/154 LTV and DTI Limits—Going Granular
by Mr. Luis Ignacio Jácome & Ms. Srobona Mitra
- 2015/153 Financial Factors: Implications for Output Gaps
by Mr. Pau Rabanal & Marzie Taheri Sanjani
- 2015/152 The Quest for the Holy Grail: Efficient and Equitable Fiscal Consolidation in India
by Mr. Chadi Abdallah & Mr. David Coady & Mr. Sanjeev Gupta & Emine Hanedar
- 2015/151 China’s Labor Market in the “New Normal”
by Mr. Waikei R Lam & Xiaoguang Liu & Mr. Alfred Schipke
- 2015/150 Banks in The Global Integrated Monetary and Fiscal Model
by Michal Andrle & Mr. Michael Kumhof & Mr. Douglas Laxton & Mr. Dirk V Muir
- 2015/149 Network Effects of International Shocks and Spillovers
by Mr. Alexei P Kireyev & Andrei Leonidov
- 2015/148 What Slice of the Pie? The Corporate Bond Market Boom in Emerging Economies
by Ms. Diana B Ayala Pena & Milan Nedeljkovic & Christian Saborowski
- 2015/147 Designing Legal Frameworks for Public Debt Management
by Elsie Addo Awadzi
- 2015/146 Designing Effective Macroprudential Stress Tests: Progress So Far and the Way Forward
by Mr. Dimitri G Demekas
- 2015/145 How Does Post-Crisis Bank Capital Adequacy Affect Firm Investment?
by Yangfan Sun & Mr. Hui Tong
- 2015/144 A New Methodology for Estimating the Output Gap in the United States
by Ali Alichi
- 2015/143 The Macroeconomic Relevance of Credit Flows: An Exploration of U.S. Data
by Alexander Herman & Ms. Deniz O Igan & Mr. Juan Sole
- 2015/142 Systemic Risk: A New Trade-off for Monetary Policy?
by Stefan Laseen & Mr. Andrea Pescatori & Mr. Jarkko Turunen
- 2015/141 Global Financial Spillovers to Emerging Market Sovereign Bond Markets
by Mr. Christian H Ebeke & Ms. Annette J Kyobe
- 2015/140 Assessing Default Risks for Chinese Firms: A Lost Cause?
by Daniel Law & Mr. Shaun K. Roache
- 2015/139 Does Easing Monetary Policy Increase Financial Instability?
by Ambrogio Cesa-Bianchi & Mr. Alessandro Rebucci
- 2015/138 Estimation and out-of-sample Prediction of Sudden Stops: Do Regions of Emerging Markets Behave Differently from Each Other?
by Mr. Fabio Comelli
- 2015/137 What Really Drives Public Debt: A Holistic Approach
by Pablo Anaya & Alex Pienkowski
- 2015/136 The Journey to Inflation Targeting: Easier Said than Done The Case for Transitional Arrangements along the Road
by Mr. Bernard J Laurens & Mr. Kelly Eckhold & Mr. Darryl King & Mr. Nils O Maehle & Abdul Naseer & Alain Durré
- 2015/135 Lower for Longer: Neutral Rates in the United States
by Mr. Andrea Pescatori & Mr. Jarkko Turunen
- 2015/134 Avoiding Dark Corners: A Robust Monetary Policy Framework for the United States
by Ali Alichi & Kevin Clinton & Charles Freedman & Mr. Ondrej Kamenik & Michel Juillard & Mr. Douglas Laxton & Mr. Jarkko Turunen & Hou Wang
- 2015/133 Global Food Prices and Domestic Inflation: Some Cross-Country Evidence
by Davide Furceri & Mr. Prakash Loungani & John Simon & Susan Wachter
- 2015/132 Inflation-Forecast Targeting: Applying the Principle of Transparency
by Kevin Clinton & Charles Freedman & Michel Juillard & Mr. Ondrej Kamenik & Mr. Douglas Laxton & Hou Wang
- 2015/131 The Leap of the Tiger: How Malaysia Can Escape the Middle-Income Trap
by Reda Cherif & Fuad Hasanov
- 2015/130 Unveiling the Effects of Foreign Exchange Intervention: A Panel Approach
by Gustavo Adler & Noemie Lisack & Rui Mano
- 2015/129 Monetary Policy in India: Transmission to Bank Interest Rates
by Sonali Das
- 2015/128 Gauging Housing Supply in Canada: A Stock Approach
by Julien Reynaud
- 2015/127 Push Factors and Capital Flows to Emerging Markets: Why Knowing Your Lender Matters More Than Fundamentals
by Mr. Eugenio M Cerutti & Mr. Stijn Claessens & Mr. Damien Puy
- 2015/126 Pension Reforms in Mauritius: Fair and Fast—Balancing Social Protection and Fiscal Sustainability
by Mauricio Soto & Mr. Vimal V Thakoor & Mr. Martin Petri
- 2015/125 Enhancing Macroeconomic Resilience to Natural Disasters and Climate Change in the Small States of the Pacific
by Ezequiel Cabezon & Ms. Leni Hunter & Ms. Patrizia Tumbarello & Kazuaki Washimi & Mr. Yiqun Wu
- 2015/124 Strengthening Fiscal Frameworks and Improving the Spending Mix in Small States
by Ezequiel Cabezon & Ms. Patrizia Tumbarello & Mr. Yiqun Wu
- 2015/123 Experiences with Macroprudential Policy—Five Case Studies
by Mr. Salim M. Darbar & Mr. Xiaoyong Wu
- 2015/122 Poverty, Growth, and Inequality in Sub-Saharan Africa: Did the Walk Match the Talk under the PRSP Approach?
by Mr. Daouda Sembene
- 2015/121 Crime and the Economy in Mexican States: Heterogeneous Panel Estimates (1993-2012)
by Ms. Concha Verdugo Yepes & Mr. Peter L. Pedroni & Xingwei Hu
- 2015/120 An Overview of Islamic Finance
by Mr. Mumtaz Hussain & Asghar Shahmoradi & Ms. Rima A Turk
- 2015/119 Make in India: Which Exports Can Drive the Next Wave of Growth?
by Rahul Anand & Ms. Kalpana Kochhar & Mr. Saurabh Mishra
- 2015/118 Base Erosion, Profit Shifting and Developing Countries
by Ernesto Crivelli & Ruud A. de Mooij & Mr. Michael Keen
- 2015/117 Sub-National Government’s Risk Premia: Does Fiscal Performance Matter?
by Mr. Sergio Sola & Mr. Geremia Palomba