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Content
2013
- 2013/154 Macro-Financial Implications of Corporate (De)Leveraging in the Euro Area Periphery
by Ms. Manuela Goretti & Mr. Marcos R Souto
- 2013/153 Fiscal Policy over the Election Cycle in Low-Income Countries
by Mr. Christian H Ebeke & Miss Dilan Ölcer
- 2013/152 The Elusive Quest for Inclusive Growth: Growth, Poverty, and Inequality in Asia
by Mr. Ravi Balakrishnan & Mr. Chad Steinberg & Mr. Murtaza H Syed
- 2013/151 The Distributional Effects of Fiscal Consolidation
by Laurence M. Ball & Davide Furceri & Mr. Daniel Leigh & Mr. Prakash Loungani
- 2013/150 How Do Banking Crises Affect Bilateral Exports?
by Mr. Youssouf Kiendrebeogo
- 2013/149 The Growth and Stabilization Properties of Fiscal Policy in Malaysia
by Mr. Sohrab Rafiq
- 2013/148 Bank Funding in Central, Eastern and South Eastern Europe Post Lehman: A “New Normal”?
by Gregorio Impavido & Mr. Heinz Rudolph & Mr. Luigi Ruggerone
- 2013/147 Investing Volatile Oil Revenues in Capital-Scarce Economies: An Application to Angola
by Christine J. Richmond & Irene Yackovlev & Ms. Susan S. Yang
- 2013/146 Does Public-Sector Employment Fully Crowd Out Private-Sector Employment?
by Mr. Alberto Behar & Mr. Junghwan Mok
- 2013/145 Potential Output and Output Gap in Central America, Panama and Dominican Republic
by Mr. Christian A Johnson
- 2013/144 Fiscal Sustainability, Public Investment, and Growth in Natural Resource-Rich, Low-Income Countries: The Case of Cameroon
by Issouf Samaké & Ms. Priscilla S Muthoora & Mr. Bruno Versailles
- 2013/143 Bank Leverage and Monetary Policy's Risk-Taking Channel: Evidence from the United States
by Mr. Giovanni Dell'Ariccia & Mr. Luc Laeven & Mr. Gustavo Suarez
- 2013/142 Risk Exposures and Financial Spillovers in Tranquil and Crisis Times: Bank-Level Evidence
by Ms. Hélène Poirson & Jochen M. Schmittmann
- 2013/141 Fiscal Policy and Lending Relationships
by Mr. Giovanni Melina & Stefania Villa
- 2013/140 The Comovement in Commodity Prices: Sources and Implications
by Mr. Ron Alquist & Mr. Olivier Coibion
- 2013/139 Inclusive Growth: An Application of the Social Opportunity Function to Selected African Countries
by Mr. Olumuyiwa S Adedeji & Huancheng Du & Mr. Maxwell Opoku-Afari
- 2013/138 The Macroeconomic Effects of Natural Resource Extraction: Applications to Papua New Guinea
by Mr. Suman S Basu & Jan Gottschalk & Mr. Werner Schule & Mr. Nikhil Vellodi & Ms. Susan S. Yang
- 2013/137 Measuring the Informal Economy in the Caucasus and Central Asia
by Mr. Yasser Abdih & Leandro Medina
- 2013/136 The Economic Effects of Fiscal Consolidation with Debt Feedback
by Mr. Marcello M. Estevão & Issouf Samaké
- 2013/135 Inclusive Growth: Measurement and Determinants
by Rahul Anand & Mr. Saurabh Mishra & Mr. Shanaka J Peiris
- 2013/134 Comparing Parametric and Non-parametric Early Warning Systems for Currency Crises in Emerging Market Economies
by Mr. Fabio Comelli
- 2013/133 Afghanistan: Balancing Social and Security Spending in the Context of Shrinking Resource Envelope
by Aqib Aslam & Mr. Enrico G Berkes & Mr. Martin Fukac & Jeta Menkulasi & Mr. Axel Schimmelpfennig
- 2013/132 The Growth Comeback in Developing Economies: A New Hope or Back to the Future?
by Mr. John C Bluedorn & Rupa Duttagupta & Mr. Jaime Guajardo & Miss Nkunde Mwase
- 2013/131 Fixing the Fixings: What Road to a More Representative Money Market Benchmark?
by V. Brousseau & Alexandre Chailloux & Alain Durré
- 2013/130 The Finance and Growth Nexus Re-Examined: Do All Countries Benefit Equally?
by Mr. Adolfo Barajas & Mr. Ralph Chami & Mr. Seyed Reza Yousefi
- 2013/129 Taxing Immovable Property Revenue Potential and Implementation Challenges
by Mr. John Norregaard
- 2013/128 The Fiscal and Welfare Impacts of Reforming Fuel Subsidies in India
by Rahul Anand & Mr. David Coady & Mr. Adil Mohommad & Mr. Vimal V Thakoor & Mr. James P Walsh
- 2013/127 Options and Strategies for Fiscal Consolidation in India
by Mr. Sampawende J Tapsoba
- 2013/126 Competition Policy for Modern Banks
by Mr. Lev Ratnovski
- 2013/125 That Squeezing Feeling: The Interest Burden and Public Debt Stabilization
by Mr. Xavier Debrun & Mr. Tidiane Kinda
- 2013/124 The Great Recession and the Inflation Puzzle
by Mr. Troy D Matheson & Mr. Emil Stavrev
- 2013/123 Are the Asia and Pacific Small States Different from Other Small States?
by Ms. Patrizia Tumbarello & Ezequiel Cabezon & Mr. Yiqun Wu
- 2013/122 Foreign Investors Under Stress: Evidence from India
by Ila Patnaik & Ajay Shah & Mr. Nirvikar Singh
- 2013/121 Financial Structures and Economic Outcomes: An Empirical Analysis
by Mr. Tom Gole & Tao Sun
- 2013/120 Credit Constraints, Productivity Shocks and Consumption Volatility in Emerging Economies
by Rudrani Bhattacharya & Ila Patnaik
- 2013/119 Emerging Economy Business Cycles: Financial Integration and Terms of Trade Shocks
by Rudrani Bhattacharya & Ila Patnaik & Madhavi Pundit
- 2013/118 Heterogeneous Bank Lending Responses to Monetary Policy: New Evidence from a Real-time Identification
by Mr. John C Bluedorn & Mr. Christopher Bowdler & Mr. Christoffer Koch
- 2013/117 Fiscal Multipliers in the ECCU
by Mr. Jesus R Gonzalez-Garcia & Mr. Antonio Lemus & Mr. Mico Mrkaic
- 2013/116 Inclusive Growth and the Incidence of Fiscal Policy in Mauritius: Much Progress, But More Could be Done
by Mr. Antonio David & Mr. Martin Petri
- 2013/115 Near-Coincident Indicators of Systemic Stress
by Mr. Ivailo Arsov & Mr. Elie Canetti & Ms. Laura E. Kodres & Ms. Srobona Mitra
- 2013/114 World Food Prices, the Terms of Trade-Real Exchange Rate Nexus, and Monetary Policy
by Mr. Luis Catão & Roberto Chang
- 2013/113 External Liabilities and Crises
by Mr. Luis Catão & Mr. Gian M Milesi-Ferretti
- 2013/112 Energy Subsidies and Energy Consumption: A Cross-Country Analysis
by Mr. Joshua Charap & Mr. Arthur Ribeiro da Silva & Mr. Pedro C Rodriguez
- 2013/111 The Anatomy of the VAT
by Mr. Michael Keen
- 2013/110 The Welfare Implications of Services Liberalization in a Developing Country: Evidence from Tunisia
by Mr. Nizar Jouini & Mr. Nooman Rebei
- 2013/109 Is the Growth Momentum in Latin America Sustainable?
by Mr. Sebastian Sosa & Ms. Evridiki Tsounta & Miss Marie S Kim
- 2013/108 Export Quality in Developing Countries
by Christian Henn & Mr. Chris Papageorgiou & Mr. Nikola Spatafora
- 2013/107 Capital Account Policies in Chile Macro-financial considerations along the path to liberalization
by Mr. Yan Carriere-Swallow & Mr. Pablo Garcia-Silva
- 2013/106 Credit Growth in Latin America: Financial Development or Credit Boom?
by Mr. Niels-Jakob H Hansen & Ms. Olga Sulla
- 2013/105 What Is in Your Output Gap? Unified Framework & Decomposition into Observables
by Michal Andrle
- 2013/104 The Pacific Speed of Growth: How Fast Can It Be and What Determines It?
by Yongzheng Yang & Hong Chen & Shiu raj Singh & Baljeet Singh
- 2013/103 Four Decades of Terms-of-Trade Booms: Saving-Investment Patterns and a New Metric of Income Windfall
by Gustavo Adler & Mr. Nicolas E Magud
- 2013/102 Balance Sheet Strength and Bank Lending During the Global Financial Crisis
by Mr. Tümer Kapan & Ms. Camelia Minoiu
- 2013/101 The Impact of Foreign Bank Deleveraging on Korea
by Ms. Sonali Jain-Chandra & Min Jung Kim & Sung Ho Park & Jerome Shin
- 2013/100 Measuring Competitiveness: Trade in Goods or Tasks?
by Mr. Tamim Bayoumi & Mika Saito & Mr. Jarkko Turunen
- 2013/099 Survey of Reserve Managers: Lessons from the Crisis
by Aideen Morahan & Mr. Christian B. Mulder
- 2013/098 Understanding DSGE Filters in Forecasting and Policy Analysis
by Michal Andrle
- 2013/097 Productivity or Employment: Is It a Choice?
by Ms. Andrea De Michelis & Mr. Marcello M. Estevão & Ms. Beth Anne Wilson
- 2013/096 Monetary Policy in Emerging Markets: Taming the Cycle
by Mr. Donal McGettigan & Mr. Kenji Moriyama & Mr. Jean F Noah Ndela Ntsama & Mr. Francois Painchaud & Mr. Haonan Qu & Mr. Chad Steinberg
- 2013/095 Another Look at Governments’ Balance Sheets: The Role of Nonfinancial Assets
by Ms. Elva Bova & Mr. Robert Dippelsman & Ms. Kara C Rideout & Ms. Andrea Schaechter
- 2013/094 International Evidence on Government Support and Risk Taking in the Banking Sector
by Mr. Luis Brandão-Marques & Mr. Ricardo Correa & Horacio Sapriza
- 2013/093 The Impact of Debt Sustainability and the Level of Debt on Emerging Markets Spreads
by Nazim Belhocine & Mr. Salvatore Dell'Erba
- 2013/092 Searching for the Finance-Growth Nexus in Libya
by Mr. Serhan Cevik & Mr. Mohammad Rahmati
- 2013/091 The Dynamic Effect of Social and Political Instability on Output: The Role of Reforms
by Mr. Lorenzo E. Bernal-Verdugo & Davide Furceri & Mr. Dominique M. Guillaume
- 2013/090 The Investment Technology of Foreign and Domestic Institutional Investors in an Emerging Market
by Ila Patnaik & Ajay Shah
- 2013/089 Fiscal Sustainability: A 21st Century Guide for the Perplexed
by Mr. Evan C Tanner
- 2013/088 Market-Based Structural Top-Down Stress Tests of the Banking System
by Mr. Jorge A Chan-Lau
- 2013/087 GPM6: The Global Projection Model with 6 Regions
by Ioan Carabenciov & Charles Freedman & Mr. Roberto Garcia-Saltos & Mr. Douglas Laxton & Mr. Ondrej Kamenik & Mr. Petar Manchev
- 2013/086 Leaning Against the Wind and the Timing of Monetary Policy
by Mr. Itai Agur & Ms. Maria Demertzis
- 2013/085 Monetary Transaction Costs and the Term Premium
by Mr. Raphael A Espinoza & Mr. Dimitrios P. Tsomocos
- 2013/084 Italian Sovereign Spreads: Their Determinants and Pass-through to Bank Funding Costs and Lending Conditions
by Ms. Edda Zoli
- 2013/083 China’s Path to Consumer-Based Growth: Reorienting Investment and Enhancing Efficiency
by Mr. Il Houng Lee & Mr. Murtaza H Syed & Mr. Liu Xueyan
- 2013/082 China’s Demography and its Implications
by Mr. Il Houng Lee & Mr. Xu Qingjun & Mr. Murtaza H Syed
- 2013/081 Too Cold, Too Hot, or Just Right? Assessing Financial Sector Development Across the Globe
by Mr. Adolfo Barajas & Thorsten Beck & Ms. Era Dabla-Norris & Mr. Seyed Reza Yousefi
- 2013/080 Current Account Norms in Natural Resource Rich and Capital Scarce Economies
by Ms. Juliana Dutra Araujo & Ms. Grace B Li & Mr. Marcos Poplawski Ribeiro & Luis-Felipe Zanna
- 2013/079 The Day After Tomorrow: Designing an Optimal Fiscal Strategy for Libya
by Carlos Caceres & Mr. Serhan Cevik & Mr. Marco Committeri & Mr. Borja Gracia
- 2013/078 Hitchhiker’s Guide to Inflation in Libya
by Mr. Serhan Cevik & Ms. Katerina Teksoz
- 2013/077 Measuring and Mending Monetary Policy Effectiveness Under Capital Account Restrictions: Lessons from Mauritania
by Mr. Robert Blotevogel
- 2013/076 The Global Financial Crisis: An Anatomy of Global Growth
by Mr. Troy D Matheson
- 2013/075 How Effective are Macroprudential Policies in China?
by Mr. Bin Wang & Tao Sun
- 2013/074 Rebalancing: Evidence from Current Account Adjustment in Europe
by Mr. Ruben V Atoyan & Mr. Jonathan F Manning & Jesmin Rahman
- 2013/073 Aid, Exports, and Growth: A Time-Series Perspective on the Dutch Disease Hypothesis
by Mr. Joong S Kang & Mr. Alessandro Prati & Mr. Alessandro Rebucci
- 2013/072 Non-Performing Loans in CESEE: Determinants and Impact on Macroeconomic Performance
by Nir Klein
- 2013/071 Growth Slowdowns and the Middle-Income Trap
by Mr. Shekhar Aiyar & Mr. Romain A Duval & Mr. Damien Puy & Mr. Yiqun Wu & Ms. Longmei Zhang
- 2013/070 Factors Influencing Emerging Market Central Banks’ Decision to Intervene in Foreign Exchange Markets
by Mr. Matthew S Malloy
- 2013/069 The Economics of Political Transitions: Implications for the Arab Spring
by Padamja Khandelwal & Agustin Roitman
- 2013/068 A Framework for Macroprudential Bank Solvency Stress Testing: Application to S-25 and Other G-20 Country FSAPs
by Andreas Jobst & Ms. Li L Ong & Mr. Christian Schmieder
- 2013/067 The Challenge of Debt Reduction during Fiscal Consolidation
by Mr. Luc Eyraud & Miss Anke Weber
- 2013/066 The Impact of Uncertainty Shocks on the UK Economy
by Miss Stephanie Denis & Mr. Prakash Kannan
- 2013/065 Rules, Discretion, and Macro-Prudential Policy
by Mr. Itai Agur & Mr. Sunil Sharma
- 2013/064 Rating Through-the-Cycle: What does the Concept Imply for Rating Stability and Accuracy?
by Mr. John Kiff & Michael Kisser & Miss Liliana B Schumacher
- 2013/063 Stock-Flow Adjustments, Government’s Integrated Balance Sheet and Fiscal Transparency
by Mr. Mike Seiferling
- 2013/062 Export Performance in Europe: What Do We Know from Supply Links?
by Jesmin Rahman & Mr. Tianli Zhao
- 2013/061 Forecasting and Monetary Policy Analysis in Low-Income Countries: Food and non-Food Inflation in Kenya
by Michal Andrle & Mr. Andrew Berg & Rogelio Morales & Mr. Rafael A Portillo & Mr. Jan Vlcek
- 2013/060 Quarterly GDP Revisions in G-20 Countries: Evidence from the 2008 Financial Crisis
by Mr. Manik L. Shrestha & Mr. Marco Marini
- 2013/059 External Linkages and Policy Constraints in Saudi Arabia
by Mr. Niklas J Westelius
- 2013/058 A Framework for Efficient Government Investment
by Mr. Andrew M. Warner
- 2013/057 Targeting, Cascading, and Indirect Tax Design
by Mr. Michael Keen
- 2013/056 Information Rigidities in Economic Growth Forecasts: Evidence from a Large International Panel
by Jonas Dovern & Mr. Ulrich Fritsche & Mr. Prakash Loungani & Ms. Natalia T. Tamirisa
- 2013/055 Getting to Know GIMF: The Simulation Properties of the Global Integrated Monetary and Fiscal Model
by Mr. Derek Anderson & Mr. Benjamin L Hunt & Mika Kortelainen & Mr. Michael Kumhof & Mr. Douglas Laxton & Mr. Dirk V Muir & Susanna Mursula & Stephen Snudden
- 2013/054 Systemic Contingent Claims Analysis: Estimating Market-Implied Systemic Risk
by Andreas Jobst & Mr. Dale F Gray
- 2013/053 The Quality of the Recent High-Growth Episode in Sub-Saharan Africa
by Mr. Marcelo Martinez & Mr. Montfort Mlachila
- 2013/052 Outward Foreign Direct Investment and Domestic Investment: The Case of Developing Countries
by Mr. Ali J Al-Sadiq
- 2013/051 Benchmarking Banking Sector Efficiency Across Regional Blocks in Sub-Saharan Africa: What Room for Policy?
by Mr. Francois Boutin-Dufresne & Santiago Peña & Mr. Oral Williams & Mr. Tomasz A. Zawisza
- 2013/050 The Endogenous Skill Bias of Technical Change and Inequality in Developing Countries
by Mr. Alberto Behar
- 2013/049 Fiscal Multipliers in Bulgaria: Low But Still Relevant
by Mr. Dirk V Muir & Miss Anke Weber
- 2013/048 Taxation, Bank Leverage, and Financial Crises
by Ruud A. de Mooij & Mr. Michael Keen & Mr. Masanori Orihara
- 2013/047 Financial Stability In An Evolving Regulatory And Supervisory Landscape
by Ms. Yingbin Xiao
- 2013/046 Too Small to Fail? Subnational Spending Pressures in Europe
by Mr. Luc Eyraud & Ms. Marialuz Moreno Badia
- 2013/045 Asset Price Bubbles: A Selective Survey
by Ms. Anna Scherbina
- 2013/044 Dealing with Private Debt Distress in the Wake of the European Financial Crisis A Review of the Economics and Legal Toolbox
by Ms. Yan Liu & Mr. Christoph B. Rosenberg
- 2013/043 Structural Transformation and the Volatility of Aggregate Output in OECD Countries
by Mr. Constant A Lonkeng Ngouana
- 2013/042 Macroeconomic Evaluation of Labor Market Reform in Germany
by Mr. Tom Krebs & Mr. Martin Scheffel
- 2013/041 Infrastructure and Income Distribution in ASEAN-5: What are the Links?
by Dulani Seneviratne & Ms. Yan M Sun
- 2013/040 Growth and Employment in the Dominican Republic: Options for a Job-Rich Growth
by Mr. Umidjon Abdullaev & Mr. Marcello M. Estevão
- 2013/039 Monetary Transmission Mechanism in the East African Community: An Empirical Investigation
by Mr. Hamid R Davoodi & S. V. S. Dixit & Gabor Pinter
- 2013/038 Global House Price Fluctuations: Synchronization and Determinants
by Mr. Hideaki Hirata & Mr. Ayhan Kose & Mr. Christopher Otrok & Mr. Marco Terrones
- 2013/037 Competition among Exchanges and Enforcement Policy
by Ms. Cecilia Caglio & Mr. Andrea Pescatori
- 2013/036 Fiscal Consolidation and the Cost of Credit: Evidence from Syndicated Loans
by Ms. Senay Agca & Ms. Deniz O Igan
- 2013/035 Boosting Competitiveness to Grow Out of Debt: Can Ireland Find a Way Back to Its Future?
by Ms. Mwanza Nkusu
- 2013/034 Determinants of Bank Interest Margins in Sub-Saharan Africa
by Mr. Calixte Ahokpossi
- 2013/033 International Reserves and Rollover Risk
by Javier Bianchi & Juan Carlos Hatchondo & Mr. Leonardo Martinez
- 2013/032 Exchange Rate Liberalization in Selected Sub-Saharan African Countries Successes, Failures, and Lessons
by Mr. Nils O Maehle & Ms. Haimanot Teferra & Armine Khachatryan
- 2013/031 Inward and Outward Spillovers in the SACU Area
by Mr. Jorge I Canales Kriljenko & Ms. Farayi Gwenhamo & Mr. Saji Thomas
- 2013/030 Wholesale Bank Funding, Capital Requirements and Credit Rationing
by Mr. Itai Agur
- 2013/029 Revisiting the Link Between Finance and Macroeconomic Volatility
by Ms. Era Dabla-Norris & Mr. Narapong Srivisal
- 2013/028 Financial Crises Explanations, Types, and Implications
by Mr. Stijn Claessens & Mr. Ayhan Kose
- 2013/027 External Conditions and Debt Sustainability in Latin America
by Gustavo Adler & Mr. Sebastian Sosa
- 2013/026 Chronicle of a Decline Foretold: Has China Reached the Lewis Turning Point?
by Ms. Mitali Das & Mr. Papa M N'Diaye
- 2013/025 The Changing Collateral Space
by Mr. Manmohan Singh
- 2013/024 Income Mobility and Welfare
by Mr. Tom Krebs & Mr. Pravin Krishna & Mr. William Maloney
- 2013/023 Assessing the Determinants of Interest Rate Transmission Through Conditional Impulse Response Functions
by Christian Saborowski & Mr. Sebastian Weber
- 2013/022 Assessing the Macroeconomic Impact of Structural Reforms The Case of Italy
by Ms. Lusine Lusinyan & Mr. Dirk V Muir
- 2013/021 Inflation Targeting and Country Risk: An Empirical Investigation
by Mr. Armand P Fouejieu & Mr. Scott Roger
- 2013/020 You Never Give Me Your Money? Sovereign Debt Crises, Collective Action Problems, and IMF Lending
by Mr. Marco Committeri & Francesco Spadafora
- 2013/019 Regionalization vs. Globalization
by Mr. Hideaki Hirata & Mr. Ayhan Kose & Mr. Christopher Otrok
- 2013/018 Macroprudential Policies for a Resource Rich Economy The Case of Mongolia
by Mr. Rodolfo Maino & Patrick A. Imam & Mr. Yasuhisa Ojima
- 2013/017 A Fiscal Stimulus and Jobless Recovery
by Mr. Cristiano Cantore & Mr. Paul L Levine & Mr. Giovanni Melina
- 2013/016 Liquidity and Transparency in Bank Risk Management
by Mr. Lev Ratnovski
- 2013/015 Recent Improvements to the Government Finance Statistics Yearbook Database in Response to Analytical Needs
by Mr. Mike Seiferling
- 2013/014 Connected to Whom? International Interbank Borrowing During the Global Crisis
by Mr. Kalin I Tintchev
- 2013/013 Explaining ASEAN-3’s Investment Puzzle A Tale of Two Sectors
by Yong Sarah Zhou
- 2013/012 Bond Markets in Africa
by Mr. Yibin Mu & Mr. Peter Phelps & Ms. Janet Gale Stotsky
- 2013/011 Modeling Sterilized Interventions and Balance Sheet Effects of Monetary Policy in a New-Keynesian Framework
by Mr. Jaromir Benes & Mr. Andrew Berg & Mr. Rafael A Portillo & David Vávra
- 2013/010 Okun's Law: Fit at 50?
by Laurence M. Ball & Mr. Daniel Leigh & Mr. Prakash Loungani
- 2013/009 Banks’ Foreign Credit Exposures and Borrowers’ Rollover Risks Measurement, Evolution and Determinants
by Mr. Eugenio M Cerutti
- 2013/008 The Behavior of Currencies during Risk-off Episodes
by Mr. Reinout De Bock & Mr. Irineu E de Carvalho Filho
- 2013/007 New Zealand Banks’ Vulnerabilities and Capital Adequacy
by Mr. B. Jang & Mr. Masahiko Kataoka
- 2013/006 Why are the G-20 Data Gaps Initiative and the SDDS Plus Relevant for Financial Stability Analysis?
by Mr. Robert M Heath
- 2013/005 A Modern History of Fiscal Prudence and Profligacy
by Mr. Paolo Mauro & Rafael Romeu & Mr. Ariel J Binder & Mr. Asad Zaman
- 2013/004 Macroeconomic Model Spillovers and Their Discontents
by Mr. Tamim Bayoumi & Mr. Francis Vitek
- 2013/003 Capital Requirements for Over-the-Counter Derivatives Central Counterparties
by Ms. Li Lin & Jay Surti
- 2013/002 Breaking the Curse of Sisyphus: An Empirical Analysis of Post-Conflict Economic Transitions
by Mr. Serhan Cevik & Mr. Mohammad Rahmati
- 2013/001 Growth Forecast Errors and Fiscal Multipliers
by Mr. Olivier J Blanchard & Mr. Daniel Leigh
2012