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Content
2010
- 2010/099 Collateral, Netting and Systemic Risk in the OTC Derivatives Market
by Mr. Manmohan Singh
- 2010/098 Regulatory Capital Charges for Too-Connected-to-Fail Institutions: A Practical Proposal
by Mr. Jorge A Chan-Lau
- 2010/097 Absorption Boom and Fiscal Stance: What Lies Ahead in Eastern Europe?
by Jesmin Rahman
- 2010/096 Growth Convergence and Spillovers among Indian States: What Matters? What Does Not?
by Piyaporn Sodsriwiboon & Sanjay Kalra
- 2010/095 Bank Efficiency amid Foreign Entry: Evidence from the Central American Region
by Torsten Wezel
- 2010/094 Boom-Bust Cycle, Asymmetrical Fiscal Response and the Dutch Disease
by Kareem Ismail & Mr. Rabah Arezki
- 2010/093 Determinants of China’s Private Consumption: An International Perspective
by Kai Guo & Mr. Papa M N'Diaye
- 2010/092 Beyond the Crisis: Revisiting Emerging Europe’s Growth Model
by Mr. Ruben V Atoyan
- 2010/091 Transparency and Monetary Policy with Imperfect Common Knowledge
by Mr. Mauro F Roca
- 2010/090 Regional Financial Integration in the GCC
by Mr. Raphael A Espinoza & Mr. Oral Williams & Mr. Ananthakrishnan Prasad
- 2010/089 Russia's Output Collapse and Recovery: Evidence from the Post-Soviet Transition
by Eteri Kvintradze
- 2010/088 Foreign Participation in Emerging Markets’ Local Currency Bond Markets
by Mr. Shanaka J Peiris
- 2010/087 The GCC Banking Sector: Topography and Analysis
by Ms. May Y Khamis & Abdullah Alhassan & Nada Oulidi
- 2010/086 The Embodiment of Intangible Investment Goods: a Q-Theory Approach
by Nazim Belhocine
- 2010/085 Monetary Policy Committees, Learning and Communication
by Miss Anke Weber
- 2010/084 Inflation Expectations and Monetary Policy in India: An Empirical Exploration
by Michael Debabrata Patra & Partha Ray
- 2010/083 Credit Conditions and Recoveries from Recessions Associated with Financial Crises
by Mr. Prakash Kannan
- 2010/082 Price Setting in a Model with Production Chains: Evidence from Sectoral Data
by Maral Shamloo
- 2010/081 Basel Core Principles and Bank Risk: Does Compliance Matter?
by Asli Demirgüç-Kunt & Ms. Enrica Detragiache
- 2010/080 Budget Institutions and Fiscal Performance in Low-Income Countries
by Sophia Gollwitzer & Eteri Kvintradze & Mr. Tej Prakash & Luis-Felipe Zanna & Ms. Era Dabla-Norris & Mr. Richard I Allen & Irene Yackovlev & Victor Duarte Lledo
- 2010/079 Fiscal Adjustment in Sudan Size, Speed, and Composition
by Mr. S. M. Ali Abbas & Mr. Kenji Moriyama & Abdul Naseer
- 2010/078 Spillovers of Domestic Shocks: Will They Counteract the “Great Moderation”?
by Mr. Ashoka Mody & Ms. Alina Carare
- 2010/077 Fiscal Objective in the Post IMF Program World: The Case of Albania
by Jiri Jonas
- 2010/076 Estimating The Inflation–Growth Nexus—A Smooth Transition Model
by Mr. Raphael A Espinoza & Mr. Ananthakrishnan Prasad & Mr. Gene L. Leon
- 2010/075 Economic Transition and Health Care Reform: The Experience of Europe and Central Asia
by Adam Leive
- 2010/074 Asset Securitization and Optimal Retention
by Mr. John Kiff & Michael Kisser
- 2010/073 Effects of Fiscal Stimulus in Structural Models
by Mr. Michael Kumhof & Mr. Dirk V Muir & Carlos de Resende & Jan in ‘t Veld & René Lalonde & Davide Furceri & Annabelle Mourougane & John Roberts & Stephen Snudden & Mathias Trabandt & Günter Coenen & Susanna Mursula & Christopher J. Erceg & Charles Freedman & Jesper Lindé & Werner Roeger & Mr. Douglas Laxton
- 2010/072 A Public Financial Management Framework for Resources-Producing Countries
by Jean-Luc Hélis & Ms. Teresa Daban Sanchez
- 2010/071 Tax Revenue Response to the Business Cycle
by Ms. Cemile Sancak & Jing Xing & Ricardo Velloso
- 2010/070 Crisis Management and Resolution for a European Banking System
by Alessandro Giustiniani & Mr. Wim Fonteyne & Wouter Bossu & Alessandro Gullo & Seán Kerr & Mr. Daniel C Hardy & Luis Cortavarria-Checkley
- 2010/069 Public Expenditures on Social Programs and Household Consumption in China
by Mr. Emanuele Baldacci & Ding Ding & Mr. David Coady & Giovanni Callegari & Pietro Tommasino & Jaejoon Woo & Mr. Manmohan S. Kumar
- 2010/068 The Cyclicality of Fiscal Policy in the Middle East and Central Asia: Is the Current Crisis Different?
by International Monetary Fund
- 2010/067 Competition and Firm Productivity: Evidence from Firm-Level Data
by Marc Schiffbauer & Sandra Ospina
- 2010/066 ICT Equipment Investment and Growth in Low- and Lower-Middle-Income Countries
by Mr. Markus Haacker
- 2010/065 The Short-Run Macroeconomics of Aid Inflows: Understanding the Interaction of Fiscal and Reserve Policy
by Luis-Felipe Zanna & Mr. Andrew Berg & Mr. Tokhir N Mirzoev & Mr. Rafael A Portillo
- 2010/064 Cross-country Consumption Risk Sharing, a Long-run Perspective
by Mr. Zhaogang Qiao
- 2010/063 Financial Liberalization, Structural Change, and Real Exchange Rate Appreciations
by Felipe Meza & Carlos Urrutia
- 2010/062 The Us Federal Debt Outlook: Reading the Tea Leaves
by Oya Celasun & Geoffrey N. Keim
- 2010/061 Oman: Banking Sector Resilience
by Mr. Ananthakrishnan Prasad & Pierluigi Bologna
- 2010/060 The Influence of “Big Brothers: ” How Important are Regional Factors for Uruguay?
by Mr. Sebastian Sosa
- 2010/059 Caribbean Bananas: The Macroeconomic Impact of Trade Preference Erosion
by Mr. Paul Cashin & Mr. Montfort Mlachila & Cleary Haines
- 2010/058 The Real Exchange Rate and Growth Revisited: The Washington Consensus Strikes Back?
by Mr. Andrew Berg & Yanliang Miao
- 2010/057 Asset Booms and Structural Fiscal Positions: The Case of Ireland
by Mr. Daniel S Kanda
- 2010/056 Structural Models in Real Time
by Kevin Clinton & Marianne Johnson & Mr. Jaromir Benes & Mr. Douglas Laxton & Mr. Troy D Matheson
- 2010/055 FX Swaps: Implications for Financial and Economic Stability
by Ms. Li L Ong & Ms. Bergljot B Barkbu
- 2010/054 Precautionary Reserves: An Application to Bolivia
by Mr. Fabian Valencia
- 2010/053 International Commodity Price Shocks, Democracy, and External Debt
by Markus Bruckner & Mr. Rabah Arezki
- 2010/052 Simulating Inflation Forecasting in Real-Time: How Useful Is a Simple Phillips Curve in Germany, the UK, and the US?
by Mr. Jens R Clausen & Bianca Clausen
- 2010/051 Yield Curve Dynamics and Spillovers in Central and Eastern European Countries
by Mr. Willy A Hoffmaister & Mr. Jorge Roldos & Ms. Anita Tuladhar
- 2010/050 On the Solvency of Nations: Are Global Imbalances Consistent with Intertemporal Budget Constraints?
by Mr. Enrique G. Mendoza & Mr. Marco Terrones & Ceyhun Bora Durdu
- 2010/049 Firm Productivity, innovation and Financial Development
by Ms. Genevieve Verdier & Erasmus Kersting & Ms. Era Dabla-Norris
- 2010/048 The Empirics of Exchange Rate Regimes and Trade: Words vs. Deeds
by Mahvash S Qureshi & Mr. Charalambos G Tsangarides
- 2010/047 Bank Credit During the 2008 Financial Crisis: A Cross-Country Comparison
by Mr. Ari Aisen & Michael Franken
- 2010/046 The Composition and Cyclical Behavior of Trade Flows in Emerging Economies
by Mr. Reinout De Bock
- 2010/045 Inflation Targeting and the Crisis: An Empirical Assessment
by Mr. Irineu E de Carvalho Filho
- 2010/044 Lessons and Policy Implications from the Global Financial Crisis
by Mr. Stijn Claessens & Mr. Luc Laeven & Ms. Deniz O Igan & Mr. Giovanni Dell'Ariccia
- 2010/043 Current Account Balance Estimates for Emerging Market Economies
by Jordi Prat & Leandro Medina & Mr. Alun H. Thomas
- 2010/042 Informal Labour and Credit Markets: A Survey
by Mr. Paul L Levine & Emanuela Lotti & Nicoletta Batini & Young-Bae Kim
- 2010/041 Bankruptcy and Firm Dynamics: The Case of the Missing Firms
by Jose Daniel Rodríguez-Delgado
- 2010/040 Risk and the Corporate Structure of Banks
by International Monetary Fund
- 2010/039 Do Currency Fundamentals Matter for Currency Speculators?
by Mr. Masahiro Nozaki
- 2010/038 Cross-Border Investment in Small International Financial Centers
by Mr. Philip R. Lane & Mr. Gian M Milesi-Ferretti
- 2010/037 Growth and Capital Flows with Risky Entrepreneurship
by Mr. Damiano Sandri
- 2010/036 Monetary Policy Transmission in Mauritius Using a VAR Analysis
by Mr. Charalambos G Tsangarides
- 2010/035 Spillovers to Central America in Light of the Crisis: What a Difference a Year Makes
by Mr. Andrew J Swiston
- 2010/034 The Global Integrated Monetary and Fiscal Model (GIMF) – Theoretical Structure
by Mr. Douglas Laxton & Susanna Mursula & Mr. Michael Kumhof & Mr. Dirk V Muir
- 2010/033 Evaluation of the Oil Fiscal Regime in Russia and Proposals for Reform
by Brenton Goldsworthy & Ms. Daria V Zakharova
- 2010/032 Optimal Monetary Policy with Overlapping Generations of Policymakers
by Maral Shamloo
- 2010/031 Constraints on Trade in the MENA region
by Hirut Wolde & Ms. Rina Bhattacharya
- 2010/030 Constraintson Growth in the MENA Region
by Ms. Rina Bhattacharya & Hirut Wolde
- 2010/029 Systemic Risks and the Macroeconomy
by Marcella Lucchetta & Mr. Gianni De Nicolo
- 2010/028 Fiscal Policy in Oil Producing Countries During the Recent Oil Price Cycle
by International Monetary Fund
- 2010/027 Recovery Determinants of Distressed Banks: Regulators, Market Discipline, or the Environment?
by Michael Koetter & Mr. Tigran Poghosyan & Thomas Kick
- 2010/026 International Pricing of Emerging Market Corporate Debt: Does the Corporate Matter?
by Ms. Sonja Keller & Mr. Ashoka Mody
- 2010/025 A Model for Full-Fledged Inflation Targeting and Application to Ghana
by Kevin Clinton & Jihad Dagher & Mr. Ondrej Kamenik & Mr. Douglas Laxton & Ali Alichi & Marshall Mills
- 2010/024 The Global Financial Crisis and Workers' Remittances to Africa: What's the Damage?
by Mr. Ralph Chami & Mr. Adolfo Barajas & Anjali Garg & Connel Fullenkamp
- 2010/023 Financial Shocks and TFP L4318Growth
by Tiago Severo & Mr. Marcello M. Estevão
- 2010/022 The Location of Domestic and Foreign Production Affiliates by French Multinational Firms
by Ms. Isabelle Mejean & Thierry Mayer & Benjamin Nefussi
- 2010/021 An Estimated Model with Macrofinancial Linkages for India
by Mr. Magnus Saxegaard & Rahul Anand & Mr. Shanaka J Peiris
- 2010/020 Dissecting Taylor Rules in a Structural VAR
by Woon Gyu Choi & Yi Wen
- 2010/019 The Outlook for Financing Japan's Public Debt
by Kiichi Tokuoka
- 2010/018 Responding to Banking Crises: Lessons From Cross-Country Evidence
by Ms. Enrica Detragiache & Giang Ho
- 2010/017 Inflation in Tajikistan: Forecasting Analysis and Monetary Policy Challenges
by Svetlana Vtyurina & Fahad Alturki
- 2010/016 China: Does Government Health and Education Spending Boost Consumption?
by Mr. Steven A Barnett & Mr. R. Brooks
- 2010/015 Estimating Poland's Potential Output: A Production Function Approach
by Mr. Natan P. Epstein & Corrado Macchiarelli
- 2010/014 Are Financial Crises Alike?
by Chrismin Tang & Mr. Mardi Dungey & Mr. Vance Martin & Ms. Brenda Gonzalez-Hermosillo & Ms. Renee Fry
- 2010/013 Canada's Potential Growth: Another Victim of the Crisis?
by Mr. Marcello M. Estevão & Ms. Evridiki Tsounta
- 2010/012 Exchange Rate Choices of Microstates
by Patrick A. Imam
- 2010/011 After the Crisis: Lower Consumption Growth But Narrower Global Imbalances?
by Ms. Franziska L Ohnsorge & Mr. Ashoka Mody
- 2010/010 Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets
by Mr. Udaibir S Das & Mr. Michael G. Papaioannou & Christoph Trebesch
- 2010/009 Macrofinancial Linkages of the Strategic Asset Allocation of Commodity-Based Sovereign Wealth Funds
by Aaron Howard Clifford Brown & Mr. Michael G. Papaioannou & Iva Petrova
- 2010/008 The Spillover Effects of the Global Crisison Economic Activity in Mena Emerging Market Countries: An Analysis Using the Financial Stress Index
by Mr. Kenji Moriyama
- 2010/007 What Level of Public Debt Could India Target?
by Petia Topalova & Dan Nyberg
- 2010/006 Correlations in Emerging Market Bonds: The Role of Local and Global Factors
by Mr. A. J Hamann & Irina Bunda & Mr. Subir Lall
- 2010/005 The Impact of the Global Crisis on Canada—What Do Macro-Financial Linkages Tell Us?
by Rupa Duttagupta & N. Barrera
- 2010/004 Inherited or Earned? Performance of Foreign Banks in Central and Eastern Europe
by Ms. Emilia M Jurzyk & Olena Havrylchyk
- 2010/003 Investment by Large Firms in Argentina
by Mr. Alvaro Piris Chavarri
- 2010/002 Public Debt Sustainability and Management in a Compound Option Framework
by Mr. Jorge A Chan-Lau & Mr. Andre O Santos
- 2010/001 Post-Crisis Bank Behavior: Lessons From Mercosur
by Sarah Sanya & Mr. Montfort Mlachila
2009