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Content
2011
- 2011/243 Financial Integration and Rebalancing in Asia
by Mr. Olaf Unteroberdoerster & Ms. Runchana Pongsaparn
- 2011/242 Risk Sharing and Financial Contagion in Asia: An Asset Price Perspective
by Mr. Phurichai Rungcharoenkitkul
- 2011/241 Rapid Credit Growth: Boon or Boom-Bust?
by Mr. Selim A Elekdag & Mr. Yiqun Wu
- 2011/240 The Policy Interest-Rate Pass-Through in Central America
by Ms. Stephanie C Medina Cas & Mr. Alejandro Carrion-Menendez & Ms. Florencia Frantischek
- 2011/239 Global Rebalancing: Implications for Low-Income Countries
by Yongzheng Yang
- 2011/238 Macroprudential Policy: What Instruments and How to Use them? Lessons From Country Experiences
by International Monetary Fund
- 2011/237 Does G-4 Liquidity Spill Over?
by Ms. L. Effie Psalida & Tao Sun
- 2011/236 Making Banks Safer: Can Volcker and Vickers Do it?
by Mr. Julian T Chow & Jay Surti
- 2011/235 Predicting Recessions: A New Approach for Identifying Leading Indicators and Forecast Combinations
by Turgut Kisinbay & Chikako Baba
- 2011/234 Global Poverty Estimates: A Sensitivity Analysis
by Ms. Camelia Minoiu & Ms. Shatakshee Dhongde
- 2011/233 Determinants of Non-oil Growth in the CFA-Zone Oil Producing Countries: How do they Differ?
by Ms. Alexandra Tabova & Ms. Carol L Baker
- 2011/232 Inflation Dynamics in the CEMAC Region
by Mr. Marcos Poplawski Ribeiro & Ms. Darlena Tartari Schwegler & Carlos Caceres
- 2011/231 How Long Do Housing Cycles Last? a Duration Analysis for 19 OECD Countries
by Mr. Philippe Bracke
- 2011/230 Limited Information Bayesian Model Averaging for Dynamic Panels with An Application to a Trade Gravity Model
by Huigang Chen & Mr. Alin T Mirestean & Mr. Charalambos G Tsangarides
- 2011/229 Inflation Targeting and Monetary Policy Transmission Mechanisms in Emerging Market Economies
by Ms. Sanchita Mukherjee & Ms. Rina Bhattacharya
- 2011/228 Incorporating Financial Sector Risk Into Monetary Policy Models: Application to Chile
by Mr. Leonardo Luna & Mr. Dale F Gray & Jorge Restrepo & Carlos Garcia
- 2011/227 Did the Euro Crisis Affect Non-Financial Firm Stock Prices Through a Financial or Trade Channel?
by Mr. Stijn Claessens & Mr. Hui Tong & Mr. Igor Esteban Zuccardi Huertas
- 2011/226 Decentralizing Spending More Than Revenue: Does it Hurt Fiscal Performance?
by Mr. Luc Eyraud & Ms. Lusine Lusinyan
- 2011/225 Understanding Chinese Bond Yields and their Role in Monetary Policy
by Mr. Nathan Porter & Mr. Nuno Cassola
- 2011/224 Incorporating Financial Stability in Inflation Targeting Frameworks
by Burcu Aydin & Ms. Engin Volkan
- 2011/223 Targets, Interest Rates, and Household Saving in Urban China
by Mr. Malhar S Nabar
- 2011/222 Systemic Risks in Global Banking: What Available Data Can Tell Us and What More Data Are Needed?
by Mr. Eugenio M Cerutti & Mr. Patrick M. McGuire & Mr. Stijn Claessens
- 2011/221 Spatial Spillovers in Emerging Market Spreads
by Mr. Salvatore Dell'Erba & Mr. Emanuele Baldacci & Mr. Tigran Poghosyan
- 2011/220 A Debt Intolerance Framework Applied to Central America, Panama and the Dominican Republic
by Mr. Geoffrey J Bannister & Mr. Luis D Barrot
- 2011/219 Bayesian Dynamic Factor Analysis of a Simple Monetary DSGE Model
by Mr. Maxym Kryshko
- 2011/218 Growth Spillover Dynamics From Crisis to Recovery
by Ms. Hélène Poirson & Mr. Sebastian Weber
- 2011/217 Efficiency-Adjusted Public Capital and Growth
by Mr. Sanjeev Gupta & Mr. Alvar Kangur & Mr. Abdoul A Wane & Mr. Chris Papageorgiou
- 2011/216 Data-Rich DSGE and Dynamic Factor Models
by Mr. Maxym Kryshko
- 2011/215 What Fuels the Boom Drives the Bust: Regulation and the Mortgage Crisis
by Jihad Dagher & Mr. Ning Fu
- 2011/214 Assessing Systemic Trade Interconnectedness: An Empirical Approach
by Mr. Alexander Massara & Mr. Luca Errico
- 2011/213 Market Phoenixes and Banking Ducks Are Recoveries Faster in Market-Based Financial Systems?
by Mr. Julien Allard & Mr. Rodolphe Blavy
- 2011/212 Apocalypse then: The Evolution of the North Atlantic Economy and the Global Crisis
by Mr. Trung T Bui & Mr. Tamim Bayoumi
- 2011/211 Do Fiscal Spillovers Matter?
by Mr. Sebastian Weber & Anna Ivanova
- 2011/210 Public Debt in Advanced Economies and its Spillover Effectson Long-Term Yields
by Mr. Emre Alper & Lorenzo Forni
- 2011/209 Communication of Central Bank Thinking and Inflation Dynamics
by Man-Keung Tang & Mr. Xiangrong Yu
- 2011/208 Global Economic Governance: IMF Quota Reform
by Mr. Arvind Virmani
- 2011/207 External Sustainability of Oil-Producing Sub-Saharan African Countries
by Mr. Robert C York & Ms. Misa Takebe
- 2011/206 The Taxation and Regulation of Banks
by Mr. Michael Keen
- 2011/205 The Cyclicality of Fiscal Policies in the CEMAC Region
by Mr. Gaston K Mpatswe & Mr. Sampawende J Tapsoba & Mr. Robert C York
- 2011/204 South Africa: The Cyclical Behavior of the Markups and its Implications for Monetary Policy
by Nir Klein
- 2011/203 Public Debt Targeting An Application to the Caribbean
by Mr. Alejandro D Guerson & Mr. Giovanni Melina
- 2011/202 Burkina Faso: Policies to Protect the Poor From the Impact of Food and Energy Price Increases
by Ms. Isabell Adenauer & Mr. Javier Arze del Granado
- 2011/201 Financial Linkages Across Korean Banks
by Burcu Aydin & Mr. Myeongsuk Kim & Mr. Ho-Seong Moon
- 2011/200 Remittances in Pakistan: Why have they gone up, and why Aren't they coming down?
by Ms. Yan M Sun & Udo Kock
- 2011/199 Shocks, Financial Dependence, and Efficiency: Evidence From U.S. and Canadian Industries
by Mr. Marcello M. Estevão & Tiago Severo
- 2011/198 De Jure Versus De Facto Exchange Rate Regimes in Sub-Saharan Africa
by Mr. Slavi T Slavov
- 2011/197 External Adjustment and the Global Crisis
by Mr. Gian M Milesi-Ferretti & Mr. Philip R. Lane
- 2011/196 Financial Deepening, Property Rights and Poverty: Evidence From Sub-Saharan Africa
by Mr. Yifei Huang & Mr. Raju J Singh
- 2011/195 Are Middle Eastern Current Account Imbalances Excessive?
by Mr. Paul Cashin & Samya Beidas-Strom
- 2011/194 Oil Shocks in a Global Perspective: Are they Really That Bad?
by Mr. Tobias N. Rasmussen & Agustin Roitman
- 2011/193 Systemic Risk and Optimal Regulatory Architecture
by Marco A Espinosa-Vega & Mr. Rafael Matta & Mr. Charles M. Kahn & Mr. Juan Sole
- 2011/192 Economic Policies and FDI Inflows to Emerging Market Economies
by Ms. Elif C Arbatli Saxegaard
- 2011/191 Home Sweet Home: Government's Role in Reaching the American Dream
by Ms. Evridiki Tsounta
- 2011/190 Institutional Cash Pools and the Triffin Dilemma of the U.S. Banking System
by Mr. Zoltan Pozsar
- 2011/189 Capital Flows and Financial Stability: Monetary Policy and Macroprudential Responses
by Ms. Filiz D Unsal
- 2011/188 Capital Regulation and Tail Risk
by Mr. Enrico Camillo Perotti & Mr. Lev Ratnovski & Mr. Razvan Vlahu
- 2011/187 Possible Unintended Consequences of Basel III and Solvency II
by International Monetary Fund
- 2011/186 The Bright and the Dark Side of Cross-Border Banking Linkages
by Ms. Sònia Muñoz & Mr. Ryan Scuzzarella & Mr. Martin Cihak
- 2011/185 Taxing Financial Transactions: An Assessment of Administrative Feasibility
by Mr. John D Brondolo
- 2011/184 Customs Administration Reform and Modernization in anglophone Africa: Early 1990's to Mid-2010
by Mr. Justin O Zake
- 2011/183 Unforeseen Events Wait Lurking: Estimating Policy Spillovers From U.S. to Foreign Asset Prices
by Mr. Tamim Bayoumi & Mr. Trung T Bui
- 2011/182 The Relationship Between Illicit Coca Production and Formal Economic Activity in Peru
by Mr. Peter L. Pedroni & Ms. Concha Verdugo Yepes
- 2011/181 Financing Infrastructure in India: Macroeconomic Lessons and Emerging Market Case Studies
by Mr. James P Walsh & Jiangyan Yu & Mr. Chanho Park
- 2011/180 Is there a Role for Funding in Explaining Recent U.S. Banks' Failures?
by Pierluigi Bologna
- 2011/179 A Newton's Method for Benchmarking Time Series According to a Growth Rates Preservation Principle
by Mr. Marco Marini & Mr. Tommaso Di Fonzo
- 2011/178 FDI from BRICs to LICs: Emerging Growth Driver?
by Mr. Montfort Mlachila & Ms. Misa Takebe
- 2011/177 Compliance with the AM+L4776L/CFT International Standard: Lessons from a Cross-Country Analysis
by Ms. Concha Verdugo Yepes
- 2011/176 Determinants of Interest Rate Pass-Through: Do Macroeconomic Conditions and Financial Market Structure Matter?
by Mr. Nikoloz Gigineishvili
- 2011/175 The Impact of the Global Financial Crisison Microfinance and Policy Implications
by Gabriel Di Bella
- 2011/174 The Quest for Higher Growth in the WAEMU Region: The Role of Accelerations and Decelerations
by Mr. Montfort Mlachila & Mr. Tidiane Kinda
- 2011/173 Democratic Accountability, Deficit Bias, and Independent Fiscal Agencies
by Mr. Xavier Debrun
- 2011/172 Fiscal Policy Implementation in Sub-Saharan Africa
by Victor Duarte Lledo & Mr. Marcos Poplawski Ribeiro
- 2011/171 Is Fiscal Policy Procyclical in Developing Oil-Producing Countries?
by Ms. Nese Erbil
- 2011/170 A Quantitative Assessment of Financial Conditions in Asia
by Ms. Carolina Osorio-Buitron & Ms. Filiz D Unsal & Ms. Runchana Pongsaparn
- 2011/169 Country Insurance Using Financial Instruments
by Mr. Luca A Ricci & Mr. Marcos d Chamon & Ms. Yuanyan S Zhang
- 2011/168 International Fuel Tax Assessment: An Application to Chile
by Ian W.H. Parry & Mr. Jon Strand
- 2011/167 Iran: The Chronicles of the Subsidy Reform
by Mr. Dominique M. Guillaume & Mr. Roman Zytek & Mr. Mohammad Reza Farzin
- 2011/166 A General Equilibrium Model of Sovereign Default and Business Cycles
by Miss Zhanwei Z. Yue & Mr. Enrique G. Mendoza
- 2011/165 Foreign Exchange Intervention: A Shield Against Appreciation Winds?
by Gustavo Adler & Mr. Camilo E Tovar Mora
- 2011/164 Modeling Optimal Fiscal Consolidation Paths in a Selection of European Countries
by Mr. Daniel S Kanda
- 2011/163 J-Curve of Productivity and Growth: Indian Manufacturing Post-Liberalization
by Mr. Arvind Virmani & Mr. Danish A Hashim
- 2011/162 Revenue Administration Reforms in anglophone Africa Since the Early 1990's
by Mr. David Kloeden
- 2011/161 Nonperforming Loans and Macrofinancial Vulnerabilities in Advanced Economies
by Ms. Mwanza Nkusu
- 2011/160 Inflation Inertia in Egypt and its Policy Implications
by Mr. Kenji Moriyama
- 2011/159 Policy Instruments to Lean Against the Wind in Latin America
by Mr. G. Terrier & Mr. Rodrigo O. Valdes & Mr. Camilo E Tovar Mora & Mr. Jorge A Chan-Lau & Carlos Fernandez Valdovinos & Ms. Mercedes Garcia-Escribano & Mr. Carlos I. Medeiros & Man-Keung Tang & Miss Mercedes Vera Martin & W. Christopher Walker
- 2011/158 Expansionary Austerity New International Evidence
by Mr. Daniel Leigh & Mr. Andrea Pescatori & Mr. Jaime Guajardo
- 2011/157 The Dynamic Implications of Debt Relief for Low-Income Countries
by Mr. Aleš Bulíř & Alma Romero-Barrutieta & Jose Daniel Rodríguez-Delgado
- 2011/156 The Behavior of Conventional and Islamic Bank Deposit Returns in Malaysia and Turkey
by Mr. Joshua Charap & Mr. Serhan Cevik
- 2011/155 The External Impact of China'S Exchange Rate Policy: Evidence From Firm Level Data
by Mr. Barry J. Eichengreen & Mr. Hui Tong
- 2011/154 Labor Market Regulations in Low-, Middle- and High-Income Countries: A New Panel Database
by Mr. Martin Schindler & Ms. Mariya Aleksynska
- 2011/153 Rainfall, Financial Development, and Remittances: Evidence From Sub-Saharan Africa
by Mr. Rabah Arezki & Markus Bruckner
- 2011/152 Towards a Best Practice of Modeling Unit of Measure and Related Statistical Metadata
by Mr. Wilfried Grossmann & Ms. Michaela Denk
- 2011/151 Avoid Filling Swiss Cheese with Whipped Cream: Imputation Techniques and Evaluation Procedures for Cross-Country Time Series
by Mr. Michael Weber & Ms. Michaela Denk
- 2011/150 The Role of Monetary Policy in Turkey During the Global Financial Crisis
by Mr. Selim A Elekdag & Mr. Harun Alp
- 2011/149 Post-Conflict Recovery: Institutions, Aid, or Luck?
by Mr. Antonio David & Mr. Fabiano Rodrigues Rodrigues Bastos & Marshall Mills
- 2011/148 The Real Exchange Rate and Employment in China
by Mai Dao & Ms. Ruo Chen
- 2011/147 Policy Coordination in Fiscal Federalism: Drawing Lessons From the Dubai Debt Crisis
by Mr. Serhan Cevik
- 2011/146 Recent Developments in European Bank Competition
by Mr. Yu Sun
- 2011/145 Should Unconventional Balance Sheet Policies Be Added to the Central Bank toolkit? a Review of the Experience so Far
by Kotaro Ishi & Mr. Kenji Fujita & Mr. Mark R. Stone
- 2011/144 International Reserve Adequacy in Central America
by Mrs. Kristin Magnusson Bernard
- 2011/143 Will Natural Gas Prices Decouple From Oil Prices Across the Pond?
by Mr. Reinout De Bock & Mr. Jose G Gijon
- 2011/142 Resource Windfalls, Macroeconomic Stability and Growth: The Role of Political Institutions
by Mr. Kazim Kazimov & Mr. Kirk Hamilton & Mr. Rabah Arezki
- 2011/141 Exchange Rate Pass-Through Over the Business Cycle in Singapore
by Mr. Siang Meng Tan & Ms. Joey Chew & Mr. Sam Ouliaris
- 2011/140 Euro Area Export Performance and Competitiveness
by Mr. Jarkko Turunen & Mr. Richard T. Harmsen & Mr. Tamim Bayoumi
- 2011/139 Protectionist Responses to the Crisis: Damage Observed in Product-Level Trade
by Mr. Brad J. McDonald & Christian Henn
- 2011/138 Global and Regional Spillovers to GCC Equity Markets
by Tahsin Saadi Sedik & Mr. Oral Williams
- 2011/137 Asean Bond Market Development: Where Does it Stand? Where is it Going?
by Mahmood Pradhan & Mr. Shanaka J Peiris & Mr. Mangal Goswami & Dulani Seneviratne & Mr. Joshua Felman & Andreas Jobst & Mr. Simon T Gray
- 2011/136 Global Liquidity: Availability of Funds for Safe and Risky Assets
by Mr. Akito Matsumoto
- 2011/135 Developing Asean5 Bond Markets: What Still Needs to Be Done?
by Mr. Simon T Gray & Andreas Jobst & Mr. Joshua Felman & Ana Carvajal
- 2011/134 Sovereign Spreads and Contagion Risks in Asia
by Ms. Filiz D Unsal & Carlos Caceres
- 2011/133 Business Cycles in Emerging Markets: The Role of Durable Goods and Financial Frictions
by International Monetary Fund
- 2011/132 The Development of Local Debt Markets in Asia
by Mr. Mangal Goswami & Mr. Sunil Sharma
- 2011/131 The Distributive Effects of Land Titleon Labor Supply: Evidence From Brazil
by Mr. Mauricio Moura & Mr. Caio Piza & Mr. Marcos Poplawski Ribeiro
- 2011/130 Risky Bank Lending and Optimal Capital Adequacy Regulation
by Mr. Jaromir Benes & Mr. Michael Kumhof
- 2011/129 Official Dollarization As a Monetary Regime: Its Effectson El Salvador
by Mr. Andrew J Swiston
- 2011/128 A New Action-Based Dataset of Fiscal Consolidation
by Mr. Andrea Pescatori & Mr. Daniel Leigh & Mr. Jaime Guajardo & Mr. Pete Devries
- 2011/127 The IMF's Government Finance Statistics Yearbook: Maps of Government for 74 Countries
by International Monetary Fund
- 2011/126 Measuring Fiscal Decentralization: Exploring the IMF’s Databases
by International Monetary Fund
- 2011/125 Information Rigidity in Growth Forecasts: Some Cross-Country Evidence
by Ms. Natalia T. Tamirisa & Mr. Prakash Loungani & Mr. Herman O. Stekler
- 2011/124 Reforming the Tax System to Promote Environmental Objectives: An Application to Mauritius
by Ian W.H. Parry
- 2011/123 Sectoral Composition of Foreign Direct Investment and External Vulnerability in Eastern Europe
by Yuko Kinoshita
- 2011/122 Precautionary Savings and Global Imbalances in World General Equilibrium
by Mr. Damiano Sandri
- 2011/121 Inflation Dynamics and the Great Recession
by Mr. Sandeep Mazumder & Laurence M. Ball
- 2011/120 From West to East: Estimating External Spillovers to Australia and New Zealand
by Ms. Yan M Sun
- 2011/119 Bank Behavior in Response to Basel Iii: A Cross-Country Analysis
by Mr. Thomas F. Cosimano & Ms. Dalia S Hakura
- 2011/118 Credit Market Imperfection and Sectoral Asymmetry of Chinese Business Cycle
by Ms. Yuanyan S Zhang
- 2011/117 Search Frictions and the Labor Wedge
by Mr. Murat Tasci & Mr. Andrea Pescatori
- 2011/116 In Which Exchange Rate Models Do Forecasters Trust?
by Mr. Jaewoo Lee & Mr. H. Takizawa & Mr. David Hauner
- 2011/115 Impact of the Global Crisison Banking Sector Soundness in Asian Low-Income Countries
by International Monetary Fund
- 2011/114 Causes of Asset Shortages in Emerging Markets
by Mr. Jiaqian Chen & Patrick A. Imam
- 2011/113 On Brazil’s Term Structure: Stylized Facts and Analysis of Macroeconomic Interactions
by Mr. Rodrigo Cabral & Mr. Richard Munclinger & Mr. Luiz Alves & Mr. Marco Rodriguez Waldo
- 2011/112 Words vs. Deeds: What Really Matters?
by Mahvash S Qureshi & Mr. Atish R. Ghosh & Mr. Charalambos G Tsangarides
- 2011/111 Identifying Vulnerabilities in Systemically-Important Financial Institutions in a Macro-Financial Linkages Framework
by Tao Sun
- 2011/110 New Shocks and Asset Price Volatility in General Equilibrium
by Mr. Alessandro Rebucci & Mr. Akito Matsumoto & Pietro Cova & Massimiliano Pisani
- 2011/109 Real Unit Labor Costs Differentials in EMU+L4700: How Big, How Benign and How Reversible?
by Mr. Igor Lebrun & Mrs. Esther Perez Ruiz
- 2011/108 Estimating a Small Open-Economy Model for Egypt: Spillovers, Inflation Dynamics, and Implications for Monetary Policy
by Ms. Elif C Arbatli Saxegaard & Mr. Kenji Moriyama
- 2011/107 Identifying Fiscal Policy Transmission in Stochastic Debt Forecasts
by Mr. Kei Kawakami & Rafael Romeu
- 2011/106 New Evidenceon Cyclical and Structural Sources of Unemployment
by Mr. Jinzhu Chen & Mr. Bharat Trehan & Mr. Prakash Kannan & Mr. Prakash Loungani
- 2011/105 Has the Great Recession Raised U.S. Structural Unemployment?
by Mr. Marcello M. Estevão & Ms. Evridiki Tsounta
- 2011/104 Ghana: Will it Be Gifted or Will it Be Cursed?
by Burcu Aydin
- 2011/103 Macroeconomic Costs of Higher Bank Capital and Liquidity Requirements
by Mr. Scott Roger & Mr. Jan Vlcek
- 2011/102 Oil Spill(over)s: Linkages in Petroleum Product Pricing Policies in West African Countries
by Mohamed El Harrak & Mr. Antonio David & Ms. Lorraine Ocampos & Marshall Mills
- 2011/101 Development of Financial Markets in Central Europe: the Case of the CE4 Countries
by Mr. Amat Adarov & Mr. Robert Tchaidze
- 2011/100 Assessing Fiscal Stress
by Miss Gabriela Dobrescu & Iva Petrova & Nazim Belhocine & Mr. Emanuele Baldacci
- 2011/099 Did Export Diversification Soften the Impact of the Global Financial Crisis?
by Rafael Romeu & Mr. Nelson Camanho da Costa Neto
- 2011/098 Real-time Forecasts of Economic Activity for Latin American Economies
by Mr. Philip Liu & Rafael Romeu & Mr. Troy D Matheson
- 2011/097 Lessons for Monetary Policy: What Should the Consensus Be?
by Mr. Otmar Issing
- 2011/096 Monetary Policy Transmission Mechanisms in Pacific Island Countries
by Mr. Jonathan C Dunn & Mr. Matt Davies & Yongzheng Yang & Mr. Yiqun Wu & Mr. Shengzu Wang
- 2011/095 The Tax Elasticity of Corporate Debt: A Synthesis of Size and Variations
by Ruud A. de Mooij
- 2011/094 Measuring Fiscal Vulnerability and Fiscal Stress: A Proposed Set of Indicators
by Mr. James McHugh & Iva Petrova & Mr. Emanuele Baldacci
- 2011/093 Financial Conditions Indexes for the United States and Euro Area
by Mr. Troy D Matheson
- 2011/092 International Mutual Funds, Capital Flow Volatility, and Contagion – A Survey
by Mr. Gaston Gelos
- 2011/091 How to Deal with Real Estate Booms: Lessons from Country Experiences
by Mr. Pau Rabanal & Mr. Christopher W. Crowe & Mr. Giovanni Dell'Ariccia & Ms. Deniz O Igan
- 2011/090 Growth from International Capital Flows: The Role of Volatility Regimes
by Antu Panini Murshid & Mr. Ashoka Mody
- 2011/089 France: Lessons from Past Fiscal Consolidation Plans
by Mr. Edouard Martin & Mrs. Irina Yakadina & Ms. Irina Tytell
- 2011/088 How Do Business and Financial Cycles Interact?
by Mr. Marco Terrones & Mr. Ayhan Kose & Mr. Stijn Claessens
- 2011/087 The Monetary Transmission in Dollarized and Non-Dollarized Economies: The Cases of Chile, New Zealand, Peru and Uruguay
by Mr. Santiago Acosta Ormaechea & Mr. David O Coble Fernandez
- 2011/086 Identifying the Linkages between Major Mining Commodity Prices and China’s Economic Growth—Implications for Latin America
by Mr. Yongzhen Yu
- 2011/085 Corporate and Household Debt Distress in Latvia: Strengthening the Incentives for Market-Based Approach to Debt Resolution
by Mr. Magnus Saxegaard & Ms. Michaela Erbenova & Ms. Yan Liu
- 2011/084 The Dynamics of the Term Structure of Interest Rates in the United States in Light of the Financial Crisis of 2007–10
by Mr. Marco Rodriguez Waldo & Mr. Carlos I. Medeiros
- 2011/083 Next Generation Balance Sheet Stress Testing
by Mr. Christian Schmieder & Maher Hasan & Mr. Claus Puhr
- 2011/082 Fat-Tails and their (Un)Happy Endings: Correlation Bias and its Implications for Systemic Risk and Prudential Regulation
by International Monetary Fund
- 2011/081 Towards Inflation Targeting in Sri Lanka
by Ding Ding & Rahul Anand & Mr. Shanaka J Peiris
- 2011/080 Feeling The Elephant’s Weight: The Impact of Côte d’Ivoire’s Crisis on WAEMU Trade
by Mr. Philippe Egoume Bossogo & Mr. Ankouvi Nayo
- 2011/079 Mongolia: Measuring the Output Gap
by Julia Bersch & Tara M. Sinclair
- 2011/078 Deposit Formation in Georgia
by Mr. Robert Tchaidze & Mr. Salome Tvalodze
- 2011/077 Evidence on Productivity, Comparative Advantage, and Networks in the Export Performance of Firms
by Mr. Luca A Ricci & Mr. Federico Trionfetti
- 2011/076 Financial Cycles: What? How? When?
by Mr. Marco Terrones & Mr. Ayhan Kose & Mr. Stijn Claessens
- 2011/075 Probabilities of Default and the Market Price of Risk in a Distressed Economy
by Miguel A. Segoviano & Mr. Raphael A Espinoza
- 2011/074 A network analysis of global banking: 1978–2009
by Mr. Javier A. Reyes & Ms. Camelia Minoiu
- 2011/073 ICT, Financial Inclusion, and Growth: Evidence from African Countries
by Mr. Kangni R Kpodar & Mihasonirina Andrianaivo
- 2011/072 “An Analysis of U.S. Fiscal and Generational Imbalances: Who Will Pay and How?”
by Nicoletta Batini & Julia Guerreiro & Giovanni Callegari
- 2011/071 Reconsidering the Role of Food Prices in Inflation
by Mr. James P Walsh
- 2011/070 Debt Dilution and Sovereign Default Risk
by Mr. Leonardo Martinez & Juan Carlos Hatchondo & Cesar Sosa Padilla
- 2011/069 Fiscal sustainability and the fiscal reaction function for South Africa
by Charl Jooste & Mr. Alfredo Cuevas & Ian C. Stuart & Philippe Burger
- 2011/068 Sovereign Rating News and Financial Markets Spillovers: Evidence from the European Debt Crisis
by Bertrand Candelon & Mr. Amadou N Sy & Mr. Rabah Arezki
- 2011/067 Capital Flows to EU New Member States: Does Sector Destination Matter?
by Ms. Pritha Mitra
- 2011/066 Making OTC Derivatives Safe—A Fresh Look
by Mr. Manmohan Singh
- 2011/065 Effects of Fiscal Consolidation in the Czech Republic
by Stephen Snudden & Mr. Vladimir Klyuev
- 2011/064 Reviving the Competitive Storage Model: A Holistic Approach to Food Commodity Prices
by Mr. Norbert Funke & Weifeng Wu & Yanliang Miao
- 2011/063 Leadership Contestability, Monopolistic Rents and Growth
by Mr. Roberto Piazza
- 2011/062 Food Prices and Political Instability
by Mr. Rabah Arezki & Markus Bruckner
- 2011/061 How Strong are Fiscal Multipliers in the GCC?
by Mr. Raphael A Espinoza & Mr. Abdelhak S Senhadji
- 2011/060 Imperfect Information and Saving in a Small Open Economy
by Agustin Roitman & Christian Daude
- 2011/059 Inflation Uncertainty and Relative Price Variability in WAEMU Countries
by Mrs. Kerstin Gerling & Carlos Fernandez Valdovinos
- 2011/058 Creditless Recoveries
by Mr. Abdul d Abiad & Mr. Giovanni Dell'Ariccia & Ms. Grace B Li
- 2011/057 Modeling Inflation in Chad
by Mr. Tidiane Kinda
- 2011/056 Fiscal Rules in a Volatile World: A Welfare-Based Approach
by Jorge Restrepo & Carlos Garcia & Mr. Evan C Tanner
- 2011/055 The Impact of Legislation on Credit Risk—Comparative Evidence From the United States, the United Kingdom and Germany
by Philipp Schmieder & Mr. Christian Schmieder
- 2011/054 Taxing Financial Transactions: Issues and Evidence
by Ms. Thornton Matheson
- 2011/053 Evaluating GDP Forecasting Models for Korea
by Mr. Li Zeng
- 2011/052 How Big (Small?) are Fiscal Multipliers?
by Ethan Ilzetzki & Mr. Enrique G. Mendoza & Mr. Carlos A. Végh Gramont
- 2011/051 Determinants of Bank Credit in Emerging Market Economies
by Vahram Stepanyan & Kai Guo
- 2011/050 Bank Ownership and the Effects of Financial Liberalization: Evidence from India
by Mrs. Poonam Gupta & Ms. Kalpana Kochhar & Mr. Sanjaya P Panth
- 2011/049 Dollarization in Cambodia: Causes and Policy Implications
by Ms. Nombulelo Braiton
- 2011/048 Fiscal Expectations Under the Stability and Growth Pact: Evidence from Survey Data
by Mr. Marcos Poplawski Ribeiro & Jan-Christoph Rülke
- 2011/047 Additions to Market Indices and the Comovement of Stock Returns Around the World
by Yishay Yafeh & Mr. Stijn Claessens
- 2011/046 Current Account Rebalancing and Real Exchange Rate Adjustment Between the U.S. and Emerging Asia
by Mr. Damiano Sandri & Mr. Pau Rabanal & Ms. Isabelle Mejean