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Content
2010
- 2010/297 Macroeconomic Effects of Public Pension Reforms
by Ms. Joana Pereira & Mr. Philippe D Karam & Mr. Dirk V Muir & Ms. Anita Tuladhar
- 2010/296 Learning About Inflation Measures for Interest Rate Rules
by Luis-Felipe Zanna & Mr. Marco Airaudo
- 2010/295 European Financial Linkages: A New Look At Imbalances
by International Monetary Fund
- 2010/294 Japan’s Quest for Growth: Exploring the Role of Capital and innovation
by Mr. Murtaza H Syed & Ms. Jinsook Lee
- 2010/293 Rebalancing in Japan: The Role of Private Consumption
by Kiichi Tokuoka
- 2010/292 Weathering the Global Storm: The Benefits of Monetary Policy Reform in the LA5 Countries
by International Monetary Fund
- 2010/291 What Drives House Prices in Australia? A+L4584 Cross-Country Approach
by Mr. Shengzu Wang & Ms. Patrizia Tumbarello
- 2010/290 Export Versus FDI in Services
by International Monetary Fund
- 2010/289 Income Uncertainty and Household Savings in China
by Kai Liu & Mr. Marcos d Chamon & Mr. Eswar S Prasad
- 2010/288 Estimating a Structural Model of Herd Behavior in Financial Markets
by Antonio Guarino & Marco Cipriani
- 2010/287 Workers’ Remittances and the Equilibrium Real Exchange Rate: Theory and Evidence
by Mr. Ralph Chami & Mr. Adolfo Barajas & Mr. Peter J Montiel & Ms. Dalia S Hakura
- 2010/286 Bank Capital: Lessons From the Financial Crisis
by Ouarda Merrouche & Ms. Enrica Detragiache & Asli Demirgüç-Kunt
- 2010/285 Estimating Potential Output with a Multivariate Filter
by International Monetary Fund
- 2010/284 Transforming China: Insights from the Japanese Experience of the 1980s
by Mr. Papa M N'Diaye
- 2010/283 The Cost of Private Debt Over the Credit Cycle
by Eugen Tereanu & Johanna L. Francis & Dilek Aykut
- 2010/282 Into the Great Unknown: Stress Testing with Weak Data
by Ms. Li L Ong & Mr. Rodolfo Maino & Ms. Nombulelo Braiton
- 2010/281 Determinants of Emerging Market Sovereign Bond Spreads: Fundamentals vs Financial Stress
by Iva Petrova & Mr. Michael G. Papaioannou & Mr. Dimitri Bellas
- 2010/280 Managing Public Debt and Its Financial Stability Implications
by Mr. Udaibir S Das & Jay Surti & Mr. Faisal Ahmed & Mr. Michael G. Papaioannou & Mr. Guilherme Pedras
- 2010/279 A Noteon Terms of Trade Shocks and the Wage Gap
by International Monetary Fund
- 2010/278 U.S. Monetary Shocks and Global Stock Prices
by Mr. Luc Laeven & Mr. Hui Tong
- 2010/277 Can Covered Bonds Resuscitate Residential Mortgage Finance in the United States?
by Jay Surti
- 2010/276 Monetary Policy, Leverage, and Bank Risk Taking
by Mr. Giovanni Dell'Ariccia & Mr. Robert Marquez & Mr. Luc Laeven
- 2010/275 The Chinese Corporate Savings Puzzle: A Firm-level Cross-country Perspective
by Mr. Hui Tong & Shang-Jin Wei & Mr. Tamim Bayoumi
- 2010/274 Are House Prices Rising Too Fast in China?
by Mr. Ashvin Ahuja & Lillian Cheung & Gaofeng Han & Mr. Nathan Porter & Wenlang Zhang
- 2010/273 Are House Prices Rising too Fast in Hong Kong SAR?
by International Monetary Fund
- 2010/272 A Status Update on Fiscal Exit Strategies
by International Monetary Fund
- 2010/271 When and Why Worry About Real Exchange Rate Appreciation? The Missing Link Between Dutch Disease and Growth
by International Monetary Fund
- 2010/270 The Transmission Mechanism in Armenia: New Evidence from a Regime Switching VAR Analysis
by International Monetary Fund
- 2010/269 Export Tax and Pricing Power: Two Hypotheses on the Cocoa Market in Côte d’Ivoire
by Mr. Alexei P Kireyev
- 2010/268 Inequality, Leverage and Crises
by Mr. Romain Ranciere & Mr. Michael Kumhof
- 2010/267 Growth and Crisis, Unavoidable Connection?
by Mr. Roberto Piazza
- 2010/266 Financial Innovation and Risk, the Role of Information
by Mr. Roberto Piazza
- 2010/265 What Caused the Global Financial Crisis: Evidenceon the Drivers of Financial Imbalances 1999: 2007
by Ouarda Merrouche & Erlend Nier
- 2010/264 Private Sector Consumption and Government Consumption and Debt in Advanced Economies: An Empirical Study
by Ms. Sanchita Mukherjee & Ms. Rina Bhattacharya
- 2010/263 A New Index of Currency Mismatch and Systemic Risk
by Mr. Romain Ranciere & Aaron Tornell & Mr. Athanasios Vamvakidis
- 2010/262 Emerging Asia’s Impact on Australian Growth: Some Insights From GEM
by Mr. Benjamin L Hunt
- 2010/261 Do Credit Shocks Matter? A Global Perspective
by Mr. Thomas Helbling & Mr. Ayhan Kose & Mr. Christopher Otrok & Raju Huidrom
- 2010/260 Government Involvement in Corporate Debt Restructuring: Case Studies from the Great Recession
by Mr. David A. Grigorian & Ms. Faezeh Raei
- 2010/259 Unemployment and Productivity in the Long Run: the Role of Macroeconomic Volatility
by Paolo Surico & Mr. Luca A Ricci & Pierpaolo Benigno
- 2010/258 On the Estimation of Term Structure Models and An Application to the United States
by International Monetary Fund
- 2010/257 Bilateral Financial Linkages and Global Imbalances: a View on The Eve of the Financial Crisis
by Mr. Gian M Milesi-Ferretti & Ms. Natalia T. Tamirisa & Mr. Francesco Strobbe
- 2010/256 Slowdown of Credit Flows in Jordan in the Wake of the Global Financial Crisis: Supply or Demand Driven?
by Mr. Tigran Poghosyan
- 2010/255 Determinants of the Foreign Exchange Risk Premium in Gulf Cooperation Council Countries
by Mr. Tigran Poghosyan
- 2010/254 Should Advanced Countries Adopt a Fiscal Responsibility Law?
by Mr. Ian Lienert
- 2010/253 IMF Applications of Purchasing Power Parity Estimates
by Mick Silver
- 2010/252 Post-Crisis Fiscal Policy Priorities for the ASEAN-5
by International Monetary Fund
- 2010/251 Riding the Roller Coaster: Fiscal Policies of Nonrenewable Resource Exporters in Latin America and the Caribbean
by Pablo Lopez Murphy & Mr. Mauricio Villafuerte & Mr. Rolando Ossowski
- 2010/250 Assessing the Risk of Private Sector Debt Overhang in the Baltic Countries
by Ms. Valerie Herzberg
- 2010/249 Asset Prices in Affine Real Business Cycle Models
by Maral Shamloo & Aytek Malkhozov
- 2010/248 Structural Breaks in Fiscal Performance: Did Fiscal Responsibility Laws Have Anything to Do with Them?
by Leandro Medina & Carlos Caceres & Ms. Ana Corbacho
- 2010/247 Bankers Without Borders? Implications of Ring-Fencing for European Cross-Border Banks
by Ms. Yuliya Makarova & Ms. Anna Ilyina & Mr. Christian Schmieder & Mr. Eugenio M Cerutti
- 2010/246 Forecasting U.S. Investment
by Mr. Pau Rabanal & Mr. Jaewoo Lee
- 2010/245 A Historical Public Debt Database
by International Monetary Fund
- 2010/244 After the Crisis: Assessing the Damage in Italy
by Ms. Silvia Sgherri & Mrs. Hanan Morsy
- 2010/243 Monetary and Fiscal Policy Interactions in the Post-war U.S
by Ms. Susan S. Yang & Ms. Nora Traum
- 2010/242 Crisis and Recovery: Role of the Exchange Rate Regime in Emerging Market Countries
by Mr. Charalambos G Tsangarides
- 2010/241 On the Distributive Effects of Terms of Trade Shocks: The Role of Non-tradable Goods
by International Monetary Fund
- 2010/240 Business Cycle Fluctuations, Large Shocks, and Development Aid: New Evidence
by Ms. Era Dabla-Norris & Ms. Camelia Minoiu & Luis-Felipe Zanna
- 2010/239 Deconstructing the International Business Cycle: Why does a U.S. sneeze give the rest of the world a cold?
by International Monetary Fund
- 2010/238 Spillovers From Europe Into Morocco and Tunisia
by Mr. Daniel Florea & Mr. Joël Toujas-Bernate & Mr. Reinout De Bock
- 2010/237 The Impact of the Great Recession on Emerging Markets
by Mr. Ferhan Salman & Miss Mali Chivakul & Mr. Ricardo Llaudes
- 2010/236 Financial Contagion Through Bank Deleveraging: Stylized Facts and Simulations Applied to the Financial Crisis
by Mr. Thierry Tressel
- 2010/235 International Capital Flows and Development: Financial Openness Matters
by Mr. Luca A Ricci & Mr. Thierry Tressel & Dennis B. S. Reinhardt
- 2010/234 Is Social Spending Procyclical?
by Mr. Sanjeev Gupta & Alejandro Hajdenberg & Mr. Javier Arze del Granado
- 2010/233 Bank Lending in Turkey: Effects of Monetary and Fiscal Policies
by Burcu Aydin & Ms. Deniz O Igan
- 2010/232 Restoring Debt Sustainability After Crises: Implications for the Fiscal Mix
by Mr. Emanuele Baldacci & Mr. Sanjeev Gupta & Mr. Carlos Mulas-Granados
- 2010/231 Financial Frictions, Investment, and Institutions
by Yishay Yafeh & Mr. Kenichi Ueda & Mr. Stijn Claessens
- 2010/230 Monetary Policy Matters: New Evidence Basedon a New Shock Measure
by Mr. Christopher W. Crowe & Mr. S. Mahdi Barakchian
- 2010/229 Government Investment and Fiscal Stimulus
by Ms. Susan S. Yang & Todd B. Walker & Eric M. Leeper
- 2010/228 Australian Banking System Resilience: What Should Be Expected Looking Forward? An International Perspective
by Pierluigi Bologna
- 2010/227 A Perspectiveon Predicting Currency Crises
by Mr. Robert P Flood & Juan Yepez & Ms. Nancy P. Marion
- 2010/226 The Euro’s Effecton Trade Imbalances
by Mr. Helge Berger & Volker Nitsch
- 2010/225 What Can International Cricket Teach Us About the Role of Luck in Labor Markets?
by Mr. Shekhar Aiyar & Mr. Rodney Ramcharan
- 2010/224 Nonperforming Loans in the GCC Banking System and their Macroeconomic Effects
by Mr. Raphael A Espinoza & Mr. Ananthakrishnan Prasad
- 2010/223 Monetary Transmission in Low Income Countries
by Mr. Peter J Montiel & Mr. Antonio Spilimbergo & Ms. Prachi Mishra
- 2010/222 How Commodity Price Curves and Inventories React to a Short-Run Scarcity Shock
by Ms. Nese Erbil & Mr. Shaun K. Roache
- 2010/221 Price Dynamics in China
by International Monetary Fund
- 2010/220 Macroprudential Regulation Under Repo Funding
by Ms. Laura Valderrama
- 2010/219 Recent Credit Stagnation in the Mena Region: What to Expect? What Can Be Done?
by Mr. Ralph Chami & Mr. Raphael A Espinoza & Mr. Adolfo Barajas & Mr. Heiko Hesse
- 2010/218 Factor Immobility and Regional Impacts of Trade Liberalization Evidenceon Poverty From India
by Petia Topalova
- 2010/217 Performance of Fiscal Accounts in South Africa in a Cross-Country Setting
by Burcu Aydin
- 2010/216 Cyclicality of Revenue and Structural Balances in South Africa
by Burcu Aydin
- 2010/215 International Reserve Adequacy in the Gambia
by Eugen Tereanu
- 2010/214 Monetary Transmission of Global Imbalances in Asian Countries
by Mr. Il Houng Lee & Woon Gyu Choi
- 2010/213 Adjustment Under a Currency Peg: Estonia, Latvia and Lithuania During the Global Financial Crisis 2008-09
by Miss Catriona Purfield & Mr. Christoph B. Rosenberg
- 2010/212 Cyclical Behavior of Inventories and Growth Projections Recent Evidence From Europe and the United States
by Mr. Willy A Hoffmaister & Mr. Jens R Clausen
- 2010/211 Protection for Free? the Political Economy of U.S. Tariff suspensions
by Ms. Prachi Mishra & Rodney D. Ludema & Anna Maria Mayda
- 2010/210 Mother, Can I Trust the Government? Sustained Financial Deepening: A Political Institutionsview
by Mr. Marc G Quintyn & Ms. Genevieve Verdier
- 2010/209 Commodity Windfalls, Polarization, and Net Foreign Assets: Panel Data Evidenceon the Voracity Effect
by Markus Bruckner & Mr. Rabah Arezki
- 2010/208 Bank Capital and Uncertainty
by Mr. Fabian Valencia
- 2010/207 Investment: Specific Technology Shocks and International Business Cycles: An Empirical Assessment
by International Monetary Fund
- 2010/206 Why Does Bad News Increase Volatility and Decrease Leverage?
by Ms. Ana L Fostel & Mr. John Geanakoplos
- 2010/205 The End of An Era? the Medium- and Long-Term Effects of the Global Crisison Growth in Low-Income Countries
by Mr. Chris Papageorgiou & Mr. Andrew Berg & Ms. Catherine A Pattillo & Mr. Nikola Spatafora
- 2010/204 Information Content of DQAF Indicators: Empirical Entropy Analysis
by Mr. Mico Mrkaic
- 2010/203 Data Dissemination Standards and the Statistical Quality of the IMF’s World Economic Outlook Forecasts
by Mr. Mico Mrkaic
- 2010/202 The Unequal Benefits of Fuel Subsidies: A Review of Evidence for Developing Countries
by Mr. David Coady & Mr. Javier Arze del Granado
- 2010/201 The Effects of the Global Crisison Islamic and Conventional Banks: A Comparative Study
by Mr. Jemma Dridi & Maher Hasan
- 2010/200 Optimal Price Indices for Targeting Inflation Under Incomplete Markets
by Rahul Anand & Mr. Eswar S Prasad
- 2010/199 To Starve or Not to Starve the Beast?
by Mr. Michael Kumhof & Mr. Daniel Leigh & Mr. Douglas Laxton
- 2010/198 Sustainable Real Exchange Rates in the New Eu Member States: What Did the Great Recession Change?
by Ms. Katerina Smídková & Jan Babecky & Mr. Aleš Bulíř
- 2010/197 Estimates of the Output Gap in Armenia with Applications to Monetary and Fiscal Policy
by International Monetary Fund
- 2010/196 Can Global Liquidity Forecast Asset Prices?
by Mr. Reginald Darius
- 2010/195 Islamic Banking: How Has it Diffused?
by Patrick A. Imam & Mr. Kangni R Kpodar
- 2010/194 Measuring Financial Barriers Among East African Community Countries
by Yi David Wang
- 2010/193 The Effectiveness of Macroeconomic Commitment in Weak(er) Institutional Environments
by Mr. Marc G Quintyn & Sophia Gollwitzer
- 2010/192 The Dynamic Effects of Commodity Prices on Fiscal Performance in Latin America
by Leandro Medina
- 2010/191 A Macro Model of the Credit Channel in a Currency Union Member: The Case of Benin
by Issouf Samaké
- 2010/190 Price of Risk: Recent Evidence From Large Financials
by Mr. Manmohan Singh & Karim Youssef
- 2010/189 Still Minding the Gap—Inflation Dynamics during Episodes of Persistent Large Output Gaps
by Mr. Andre Meier
- 2010/188 Dedollarization
by Annamaria Kokenyne & Mr. Jeremy Ley & Mr. Romain M Veyrune
- 2010/187 Determinants of Foreign Direct Investment: A Sectoral and Institutional Approach
by Jiangyan Yu & Mr. James P Walsh
- 2010/186 Peaks, Spikes, and Barrels: Modeling Sharp Movements in Oil Prices
by Ms. Malika Pant & Mr. Martin Mühleisen & Mr. Alun H. Thomas
- 2010/185 Output and Unemployment Dynamics during the Great Recession: A Panel Unobserved Components Analysis
by Mr. Francis Vitek
- 2010/184 Fiscal Deficits, Public Debt, and Sovereign Bond Yields
by Mr. Manmohan S. Kumar & Mr. Emanuele Baldacci
- 2010/183 A Monetary Policy Model Without Money for India
by Muneesh Kapur & Michael Debabrata Patra
- 2010/182 Is Exchange Rate Stabilization an Appropriate Cure for the Dutch Disease?
by Juan Pablo Medina Guzman & Mr. Ruy Lama
- 2010/181 A New Framework to Estimate the Risk-Neutral Probability Density Functions Embedded in Options Prices
by Mr. Kevin C Cheng
- 2010/180 A Method for Calculating Export Supply and Import Demand Elasticities
by Mr. Stephen Tokarick
- 2010/179 Resource Windfalls and Emerging Market Sovereign Bond Spreads: The Role of Political Institutions
by Mr. Rabah Arezki & Markus Bruckner
- 2010/178 Consensus Forecasts and Inefficient Information Aggregation
by Mr. Christopher W. Crowe
- 2010/177 Some Uncomfortable Arithmetic Regarding Europe’s Public Finances
by Mrs. Delia Velculescu
- 2010/176 Sudden Stops, Output Drops, and Credit Collapses
by Jihad Dagher
- 2010/175 Public Capital and Growth
by Mr. Serkan Arslanalp & Fabian Bornhorst & Mr. Sanjeev Gupta & Ms. Elsa Sze
- 2010/174 Public Debt and Growth
by Jaejoon Woo & Mr. Manmohan S. Kumar
- 2010/173 Democracy and Reforms: Evidence from a New Dataset
by Mr. Antonio Spilimbergo & Ms. Paola Giuliano & Ms. Prachi Mishra
- 2010/172 The (Sizable) Role of Rehypothecation in the Shadow Banking System
by Mr. Manmohan Singh & James Aitken
- 2010/171 The Cross-Country Incidence of the Global Crisis
by Mr. Gian M Milesi-Ferretti & Mr. Philip R. Lane
- 2010/170 The Dark Side of Bank Wholesale Funding
by Mr. Lev Ratnovski & Rocco Huang
- 2010/169 Peru: Drivers of De-dollarization
by Ms. Mercedes Garcia-Escribano
- 2010/168 Does Procyclical Fiscal Policy Reinforce Incentives to Dollarize Sovereign Debt?
by Ms. Anna Ilyina & Ms. Anastasia Guscina & Herman Kamil
- 2010/167 Local Housing Market Cycle and Loss Given Default: Evidence from Sub-Prime Residential Mortgages
by Yanan Zhang & Lu Ji & Fei Liu
- 2010/166 How do International Financial Flows to Developing Countries Respond to Natural Disasters?
by Mr. Antonio David
- 2010/165 China’s Economic Growth: International Spillovers
by Mr. Athanasios Vamvakidis & Mr. Vivek Arora
- 2010/164 Financial Innovation, the Discovery of Risk, and the U.S. Credit Crisis
by Mr. Enrique G. Mendoza & Ms. Emine Boz
- 2010/163 Budget Consolidation: Short-Term Pain and Long-Term Gain
by Mr. Douglas Laxton & Susanna Mursula & Kevin Clinton & Mr. Michael Kumhof
- 2010/162 Exchange Rate Assessment for Sub-Saharan Economies
by Burcu Aydin
- 2010/161 World Food Prices and Monetary Policy
by Roberto Chang & Mr. Luis Catão
- 2010/160 The Macroeconomics of Medium-Term Aid Scaling-Up Scenarios
by Mr. Rafael A Portillo & Mr. Andrew Berg & Jan Gottschalk & Luis-Felipe Zanna
- 2010/159 Inflation and Conflict in Iraq: The Economics of Shortages Revisited
by Udo Kock & Mr. David A. Grigorian
- 2010/158 External Finance, Sudden Stops, and Financial Crisis: What is Different This Time?
by Gülçin Özkan & Ms. Filiz D Unsal
- 2010/157 Should African Monetary Unions Be Expanded? An Empirical Investigation of the Scope for Monetary Integration in Sub-Saharan Africa
by Mr. Xavier Debrun & Ms. Catherine A Pattillo & Mr. Paul R Masson
- 2010/156 Of Runes and Sagas: Perspectives on Liquidity Stress Testing Using an Iceland Example
by Mr. Martin Cihak & Ms. Li L Ong
- 2010/155 Automatic Stabilizers and the Size of Government: Correcting a Common Misunderstanding
by Mr. Carlo Cottarelli & Ms. Annalisa Fedelino
- 2010/154 The Impact of Capital and Foreign Exchange Flowson the Competitiveness of Developing Countries
by Mr. Bassem M Kamar & Damyana Bakardzhieva & Sami Ben Naceur & Sami Ben Naceur
- 2010/153 The Fundamental Determinants of Credit Default Risk for European Large Complex Financial Institutions
by Jiri Podpiera & Ms. Inci Ötker
- 2010/152 Monetary Policy Analysis and Forecasting in the Group of Twenty: A Panel Unobserved Components Approach
by Mr. Francis Vitek
- 2010/151 Currency Hedging for International Portfolios
by Jochen M. Schmittmann
- 2010/150 Procyclicality in Central Bank Reserve Management: Evidence from the Crisis
by Jukka Pihlman & Han van der Hoorn
- 2010/149 Vietnam: Bayesian Estimation of Output Gap
by Wojciech Maliszewski
- 2010/148 Balance Sheet Vulnerabilities of Mauritius During a Decade of Shocks
by Patrick A. Imam & Rainer Koehler
- 2010/147 Subnational Health Spending and Soft Budget Constraints in OECD Countries
by Ernesto Crivelli & Adam Leive & Mr. Thomas Stratmann
- 2010/146 Resolution of Banking Crises: The Good, the Bad, and the Ugly
by Mr. Luc Laeven & Mr. Fabian Valencia
- 2010/145 Can You Map Global Financial Stability?
by Jaume Puig-Forne & Mr. Ken Miyajima & Rebecca McCaughrin & Mr. Peter Dattels
- 2010/144 Inflation Dynamics in Yemen: An Empirical Analysis
by Abdullah Almounsor
- 2010/143 Treasury Single Account: Concept, Design and Implementation Issues
by Israel Fainboim Yaker & Sailendra Pattanayak
- 2010/142 Demand Spillovers and the Collapse of Trade in the Global Recession
by Kei-Mu Yi & Mr. Rudolfs Bems & Robert C. Johnson
- 2010/141 Fire Sales and the Financial Accelerator
by Woon Gyu Choi & Mr. David Cook
- 2010/140 Beyond Aid: How Much Should African Countries Pay to Borrow?
by Cheikh A. Gueye & Mr. Amadou N Sy
- 2010/139 Current Account Imbalances in the Southern Euro Area
by Ms. Florence Jaumotte & Piyaporn Sodsriwiboon
- 2010/138 Tax Revenue Downturns: Anatomy and Links to Imports
by Kun Li & Pablo Lopez Murphy
- 2010/137 In Search of Lost Revenue: Why Restoring Fiscal Soundness After a Crisis is Harder Than it Looks
by Masato Miyazaki
- 2010/136 Banking Efficiency and Financial Development in Sub-Saharan Africa
by Sandrine Kablan
- 2010/135 Commodity Prices and Inflation in the Middle East, North Africa, and Central Asia
by International Monetary Fund
- 2010/134 On the Optimal Adherence to Money Targets in a New-Keynesian Framework: An Application to Low-Income Countries
by Mr. Andrew Berg & Ms. Filiz D Unsal & Mr. Rafael A Portillo
- 2010/133 How Expensive is Norway? New International Relative Price Measures
by Ms. Kornelia Krajnyak & Mr. Volodymyr Tulin
- 2010/132 FDI Flows to Low-Income Countries: Global Drivers and Growth Implications
by International Monetary Fund
- 2010/131 U.S. Bank Behavior in the Wake of the 2007–2009 Financial Crisis
by Ms. Dalia S Hakura & Mr. Ralph Chami & Mr. Thomas F. Cosimano & Mr. Adolfo Barajas
- 2010/130 The Credit Boom in the EU New Member States: Bad Luck or Bad Policies?
by International Monetary Fund
- 2010/129 What Explains the Rise in Food Price Volatility?
by Mr. Shaun K. Roache
- 2010/128 The Potential Contribution of Fiscal Policy to Rebalancing and Growth in New Zealand
by Mr. Werner Schule
- 2010/127 Potential Growth of Australia and New Zealand in the Aftermath of the Global Crisis
by Ms. Yan M Sun
- 2010/126 Mining Taxation: An Application to Mali
by Mr. Saji Thomas
- 2010/125 Dynamic Loan Loss Provisions in Uruguay: Properties, Shock Absorption Capacity and Simulations Using Alternative Formulas
by Torsten Wezel
- 2010/124 International Transmission of Bank and Corporate Distress
by Mr. Papa M N'Diaye & Mr. Dale F Gray & Ms. Natalia T. Tamirisa & Ms. Hiroko Oura & Qianying Chen
- 2010/123 Fiscal Stimulus and Credibility in Emerging Countries
by Ms. Magda E. Kandil & Mrs. Hanan Morsy
- 2010/122 Recoveries in the Middle East, North Africa, and Pakistan: Have Macroeconomic Policies Been Effective?
by Mr. Francesco Grigoli & Ms. Dalia S Hakura
- 2010/121 Fiscal Policy and the Current Account
by International Monetary Fund
- 2010/120 Sovereign Spreads: Global Risk Aversion, Contagion or Fundamentals?
by Miguel A. Segoviano & Carlos Caceres & Vincenzo Guzzo
- 2010/119 Investigating growth spillovers from Europe
by Sanjay Kalra
- 2010/118 The Linkage between the Oil and Non-oil Sectors: A Panel VAR Approach
by Nir Klein
- 2010/117 Determinants of Investment Grade Status in Emerging Markets
by Laura Jaramillo
- 2010/116 Oil Windfalls in Ghana: A DSGE Approach
by Jihad Dagher & Jan Gottschalk & Mr. Rafael A Portillo
- 2010/115 Short-Versus Long-Term Credit and Economic Performance: Evidence from the WAEMU
by Kodzo Gbenyo & Mr. Kangni R Kpodar
- 2010/114 Managing the Exit: Lessons from Japan's Reversal of Unconventional Monetary Policy
by Mr. Murtaza H Syed & Hiromi Yamaoka
- 2010/113 Important Elements for Inflation Targeting for Emerging Economies
by Ms. Inci Ötker & Charles Freedman
- 2010/112 Equity and Fiscal Policy: The Income Distribution Effects of Taxation and Social Spending in Central America
by Rodrigo Cubero & Ivanna Vladkova Hollar
- 2010/111 Fiscal Policy and Macroeconomic Stability: Automatic Stabilizers Work, Always and Everywhere
by Mr. Xavier Debrun & Radhicka Kapoor
- 2010/110 Public Investment as a Fiscal Stimulus: Evidence from Japan’s Regional Spending During the 1990s
by Ms. Anita Tuladhar & Markus Bruckner
- 2010/109 Power Laws in Firm Size and Openness to Trade: Measurement and Implications
by Mr. Andrei A Levchenko & Mr. Julian Di Giovanni & Mr. Romain Ranciere
- 2010/108 The Global Financial Crisis and its Impact on the Chilean Banking System
by Mr. Jorge A Chan-Lau
- 2010/107 Balance Sheet Network Analysis of Too-Connected-to-Fail Risk in Global and Domestic Banking Systems
by Mr. Jorge A Chan-Lau
- 2010/106 Implementing Official Dollarization
by Åke Lönnberg & Mr. Luis Ignacio Jácome
- 2010/105 Cross-Border Financial Surveillance: A Network Perspective
by Mr. Juan Sole & Marco A Espinosa-Vega
- 2010/104 House Price Determinants in Selected Countries of the Former Soviet Union
by Vahram Stepanyan & Mr. Tigran Poghosyan & Aidyn Bibolov
- 2010/103 The Structural Manifestation of the ‘Dutch Disease’: The Case of Oil Exporting Countries
by Kareem Ismail
- 2010/102 The Global Credit Crunch and Foreign Banks’ Lending to Emerging Markets: Why Did Latin America Fare Better?
by Kulwant Rai & Herman Kamil
- 2010/101 Development Accounting and the Rise of TFP
by Reda Cherif & Mr. Rabah Arezki
- 2010/100 Quantitative properties of sovereign default models: solution methods matter
by Mr. Leonardo Martinez & Horacio Sapriza & Juan Carlos Hatchondo