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Content
2009
- 2009/234 Hybrid Inflation Targeting Regimes
by Carlos Garcia & Jorge Restrepo & Mr. Scott Roger
- 2009/233 Excessive Lending, Leverage, and Risk-Taking in the Presence of Bailout Expectations
by Mr. Andréas Georgiou
- 2009/232 Monetary Policy and the Lost Decade: Lessons from Japan
by Mr. Daniel Leigh
- 2009/231 Three Cycles: Housing, Credit, and Real Activity
by Ms. Natalia T. Tamirisa & Alain N. Kabundi & Ms. Deniz O Igan & Mr. Francisco d Nadal De Simone & Marcelo Pinheiro
- 2009/230 Global Market Conditions and Systemic Risk
by Ms. Brenda Gonzalez-Hermosillo & Mr. Heiko Hesse
- 2009/229 Macro-Hedging for Commodity Exporters
by Mr. Eduardo Borensztein & Mr. Damiano Sandri & Mr. Olivier D Jeanne
- 2009/228 The Liquidity and Liquidity Distribution Effects in Emerging Markets: The Case of Jordan
by Mr. Jerome Vandenbussche & Mr. Stanley B Watt & Szabolcs Blazsek
- 2009/227 Analyzing Fiscal Space Using the MAMS Model - An Application to Burkina Faso
by International Monetary Fund
- 2009/226 Unconventional Central Bank Measures for Emerging Economies
by Mr. Mark R. Stone & Mr. Etienne B Yehoue & Kotaro Ishi
- 2009/225 Revisiting the Determinants of Productivity Growth - What’s new?
by Mr. Boileau Loko & Mame Astou Diouf
- 2009/224 New Zealand Bank Vulnerabilities in International Perspective
by Rodrigo Cubero & Mr. R. Brooks
- 2009/223 Australian Bank and Corporate Sector Vulnerabilities: An International Perspective
by Elöd Takáts & Ms. Patrizia Tumbarello
- 2009/222 Euro Area Sovereign Risk During the Crisis
by Ms. Edda Zoli & Ms. Silvia Sgherri
- 2009/221 External Balance in Low Income Countries
by Lone Engbo Christiansen & Mr. Alessandro Prati & Mr. Luca A Ricci & Mr. Thierry Tressel
- 2009/220 Oil Prices and Bank Profitability: Evidence From Major Oil-Exporting Countries in the Middle East and North Africa
by Mr. Heiko Hesse & Mr. Tigran Poghosyan
- 2009/219 The Uncertainty Channel of Contagion
by Mr. Prakash Kannan & Fritzi Köhler-Geib
- 2009/218 Do Trading Partners Still Matter for Nigeria's Growth? A Contribution to the Debateon Decoupling and Spillovers
by Kingsley I. Obiora
- 2009/217 Access to Market Financing for IDA-eligible Countries—the Role of External Debt and IMF-Supported Programs
by Mr. Alun H. Thomas
- 2009/216 Determinants and Macroeconomic Impact of Remittances in Sub-Saharan Africa
by Mr. Raju J Singh & Kyung-woo Lee & Mr. Markus Haacker
- 2009/215 São Tomé and Príncipe: Domestic Tax System and Tax Revenue Potential
by Nisreen H. Farhan
- 2009/214 Constructing Forecast Confidence Bands During the Financial Crisis
by Kevin Clinton & Marianne Johnson & Huigang Chen & Mr. Ondrej Kamenik & Mr. Douglas Laxton
- 2009/213 What Determines Bond Market Development in Sub-Saharan Africa?
by Olatundun Janet Adelegan & Bozena Radzewicz-Bak
- 2009/212 Cointegrated TFP Processes and International Business Cycles
by Vicente Tuesta & Juan F. Rubio-Ramirez & Mr. Pau Rabanal
- 2009/211 Revised System for the Classification of Exchange Rate Arrangements
by Annamaria Kokenyne & Mr. Romain M Veyrune & Mr. Karl F Habermeier & Mr. Harald J Anderson
- 2009/210 Who Benefits from Capital Account Liberalization? Evidence from Firm-Level Credit Ratings Data
by Mr. Alessandro Prati & Mr. Martin Schindler & Mr. Patricio A Valenzuela
- 2009/209 International Risk Sharing During the Globalization Era
by Mr. Akito Matsumoto & Mr. Robert P Flood & Ms. Nancy P. Marion
- 2009/208 Controlling Capital? Legal Restrictions and the Asset Composition of International Financial Flows
by Mahir Binici & Michael M. Hutchison & Mr. Martin Schindler
- 2009/207 Accounting discretion of banks during a financial crisis
by Mr. Luc Laeven & Harry Huizinga
- 2009/206 The Effectiveness of Central Bank Interventions During the First Phase of the Subprime Crisis
by Mr. Heiko Hesse & Nathaniel Frank
- 2009/205 Commodity Terms of Trade: The History of Booms and Busts
by International Monetary Fund
- 2009/204 How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
by International Monetary Fund
- 2009/203 The Drivers of Housing Cycles in Spain
by Mr. Pau Rabanal & Oriol Aspachs-Bracons
- 2009/202 Benchmark Priors Revisited: On Adaptive Shrinkage and the Supermodel Effect in Bayesian Model Averaging
by Martin Feldkircher & Stefan Zeugner
- 2009/201 French Banks Amid the Global Financial Crisis
by Ms. Yingbin Xiao
- 2009/200 The Need for Special Resolution Regimes for Financial Institutions—The Case of the European Union
by Mr. Martin Cihak & Erlend Nier
- 2009/199 Modernizing Bank Regulation in Support of Financial Deepening: The Case of Uruguay
by Torsten Wezel & Mr. Mario Mansilla & Gustavo Adler
- 2009/198 The Real Effects of Financial Sector Risk
by Andrea M. Maechler & Alexander F. Tieman
- 2009/197 Frugality: Are We Fretting Too Much? Household Saving and Assets in the United States
by Mr. Evan C Tanner & Mr. Yasser Abdih
- 2009/196 The Derivatives Market in South Africa: Lessons for Sub-Saharan African Countries
by Olatundun Janet Adelegan
- 2009/195 Lebanon-Determinants of Commercial Bank Deposits in a Regional Financial Center
by Mr. Harald Finger & Mr. Heiko Hesse
- 2009/194 Political Risk Aversion
by Ms. Laura Valderrama
- 2009/193 Institutional Inertia
by Ms. Laura Valderrama
- 2009/192 The Gambia: Demand for Broad Money and Implications for Monetary Policy Conduct
by Mr. Subramanian S Sriram
- 2009/191 Monetary Policy and the Central Bank in Jordan
by Samar Maziad
- 2009/190 Fiscal Sustainability in Remittance-Dependent Economies
by Mr. Ralph Chami & Mr. Yasser Abdih & Mr. Amine Mati & Michael T. Gapen
- 2009/189 What Drives China’s Interbank Market?
by Mr. Nathan Porter & Ms. TengTeng Xu
- 2009/188 Search in the Labor Market under Imperfectly Insurable Income Risk
by Mr. Mauro F Roca
- 2009/187 How Good Are Ex Ante Program Evaluation Techniques? The Case of School Enrollment in PROGRESA
by Fabian Bornhorst
- 2009/186 One Money, One Market—A Revised Benchmark
by Christian Henn & Theo S. Eicher
- 2009/185 Euro Area Monetary Policy in Uncharted Waters
by Mr. Emil Stavrev & Mr. Thomas Harjes & Mr. Martin Cihak
- 2009/184 Establishing Conversion Values for New Currency Unions: Method and Application to the planned Gulf Cooperation Council (GCC) Currency Union
by Mr. Bassem M Kamar & Jean-Etienne Carlotti & Mr. Russell C Krueger
- 2009/183 International Evidence on Recovery from Recessions
by Ms. Valerie Cerra & Ms. Sweta Chaman Saxena & Ugo Panizza
- 2009/182 Understanding the Growth of African Financial Markets
by Mihasonirina Andrianaivo & Charles Amo Yartey
- 2009/181 Putting the Parts Together: Trade, Vertical Linkages, and Business Cycle Comovement
by Mr. Andrei A Levchenko & Mr. Julian Di Giovanni
- 2009/180 Credit Growth in Sub-Saharan Africa—Sources, Risks, and Policy Responses
by Ms. May Y Khamis & Mr. Plamen K Iossifov
- 2009/179 Setting Up a Sovereign Wealth Fund: Some Policy and Operational Considerations
by Mr. Christian B. Mulder & Mr. Amadou N Sy & Miss Yinqiu Lu & Mr. Udaibir S Das
- 2009/178 Incorporating Market Information into the Construction of the Fan Chart
by Mr. Prakash Kannan & Mr. Selim A Elekdag
- 2009/177 Towards a Principal-Agent Based Typology of Risks in Public-Private Partnerships
by André De Palma & Guillaume Prunier & Mr. Luc E. Leruth
- 2009/176 Tourism Specialization and Economic Development: Evidence from the UNESCO World Heritage List
by John M. Piotrowski & Mr. Rabah Arezki & Reda Cherif
- 2009/175 India’s Experience with Fiscal Rules: An Evaluation and The Way Forward
by Mr. Alejandro Simone & Petia Topalova
- 2009/174 Fiscal Vulnerability and Sustainability in Oil-Producing Sub-Saharan African Countries
by Zaijin Zhan & Mr. Robert C York
- 2009/173 Counterparty Risk, Impacton Collateral Flows and Role for Central Counterparties
by James Aitken & Mr. Manmohan Singh
- 2009/172 Is China's Export-Oriented Growth Sustainable?
by Kai Guo & Mr. Papa M N'Diaye
- 2009/171 Interest Rate Liberalization in China
by Mr. Tarhan Feyzioglu & Mr. Nathan Porter & Elöd Takáts
- 2009/170 Does Good Financial Performance Mean Good Financial Intermediation in China?
by Mr. Tarhan Feyzioglu
- 2009/169 Employment Effects of Growth Rebalancing in China
by International Monetary Fund
- 2009/168 The Challenge of Enforcement in Securities Markets: Mission Impossible?
by Ana Carvajal & Ms. Jennifer A. Elliott
- 2009/167 Measures of Underlying Inflation in Sri Lanka
by Souvik Gupta & Mr. Magnus Saxegaard
- 2009/166 Spillovers of the U.S. Subprime Financial Turmoil to Mainland China and Hong Kong SAR: Evidence from Stock Markets
by Xiaojing Zhang & Tao Sun
- 2009/165 An Assessment of External Price Competitiveness for Mozambique
by Mr. Francis Vitek
- 2009/164 The Composition Matters: Capital Inflows and Liquidity Crunch During a Global Economic Crisis
by Mr. Hui Tong & Shang-Jin Wei
- 2009/163 Panacea, Curse, or Nonevent? Unconventional Monetary Policy in the United Kingdom
by Mr. Andre Meier
- 2009/162 Recent Advances in Credit Risk Modeling
by Jose Giancarlo Gasha & Mr. Andre O Santos & Mr. Jorge A Chan-Lau & Mr. Carlos I. Medeiros & Mr. Marcos R Souto & Christian Capuano
- 2009/161 Country Experiences with the Introduction and Implementation of Inflation Targeting
by Ms. Inci Ötker & Charles Freedman
- 2009/160 How Effective is Fiscal Policy Response in Systemic Banking Crises?
by Mr. Sanjeev Gupta & Mr. Carlos Mulas-Granados & Mr. Emanuele Baldacci
- 2009/159 Macroeconomic Fluctuations in the Caribbean: The Role of Climatic and External Shocks
by Mr. Sebastian Sosa & Mr. Paul Cashin
- 2009/158 Fiscal Cycles in the Caribbean
by Ms. Juliana Dutra Araujo
- 2009/157 Revenue Mobilization in Sub-Saharan Africa: Challenges from Globalization
by Mario Mansour & Mr. Michael Keen
- 2009/156 A Framework for Financial Market Development
by Mr. Ralph Chami & Mr. Sunil Sharma & Connel Fullenkamp
- 2009/155 Spillovers From the Rest of the World Into Sub-Saharan African Countries
by International Monetary Fund
- 2009/154 The Quality of Public Investment
by Mr. Shankha Chakraborty & Ms. Era Dabla-Norris
- 2009/153 Do Workers’ Remittances Promote Economic Growth?
by Michael T. Gapen & Mr. Ralph Chami & Mr. Peter J Montiel & Mr. Adolfo Barajas & Connel Fullenkamp
- 2009/152 Why Are Canadian Banks More Resilient?
by Rocco Huang & Mr. Lev Ratnovski
- 2009/151 How the Financial Crisis Affects Pensions and Insurance and Why the Impacts Matter
by Ian Tower & Gregorio Impavido
- 2009/150 Development of the Commercial Banking System in Afghanistan: Risks and Rewards
by Mr. Joshua Charap & Jelena Pavlovic
- 2009/149 Requirements for Using Interest Rates As An Operating Target for Monetary Policy: The Case of Tunisia
by Alain Durré & Mr. Bernard J Laurens & Alexandre Chailloux
- 2009/148 In Search of Successful Inflation Targeting: Evidence From An Inflation Targeting Index
by Yanliang Miao
- 2009/147 Macroeconomic Fundamentals, Price Discovery and Volatility Dynamics in Emerging Markets
by International Monetary Fund
- 2009/146 Introducing the Euro as Legal Tender—Benefits and Costs of Eurorization for Cape Verde
by Patrick A. Imam
- 2009/145 Anatomy of Regional Disparities in the Slovak Republic
by Mariusz Jarmuzek & Mr. Biswajit Banerjee
- 2009/144 The Effects of the Financial Crisison Public-Private Partnerships
by International Monetary Fund
- 2009/143 Bank Competition, Risk, and Asset Allocations
by John H. Boyd & Mr. Gianni De Nicolo & Abu M. Jalal
- 2009/142 Will they Sing the Same Tune? Measuring Convergence in the new European System of Financial Supervisors
by Mr. Marc G Quintyn & Donato Masciandaro & Ms. María Nieto
- 2009/141 Banking Crises and Crisis Dating: Theory and Evidence
by Ms. Elena Loukoianova & Mr. Gianni De Nicolo & John H. Boyd
- 2009/140 The Effects of Economic News on Commodity Prices: Is Gold Just Another Commodity?
by Mr. Shaun K. Roache & Mr. Marco Rossi
- 2009/139 Regional Financial Integration in the Caribbean: Evidence From Financial and Macroeconomic Data
by Goohoon Kwon & Mr. Raphael A Espinoza
- 2009/138 International Risk Sharing: Through Equity Diversification or Exchange Rate Hedging?
by Mr. Akito Matsumoto & Mr. Charles Engel
- 2009/137 Optimal Monetary and Fiscal Policy with Limited Asset Market Participation
by Sven Jari Stehn
- 2009/136 Empirical Evidenceon the Effects of Tax Incentives
by Mr. Alexander D Klemm & Stefan van Parys
- 2009/135 Governance Practices At Financial Regulatory and Supervisory Agencies
by Alicia Novoa & Mr. Steven A. Seelig
- 2009/134 Balance of Payments Anti-Crises
by Isabel K. Yan & Mr. Michael Kumhof
- 2009/133 The Transmission of Financial Stress from Advanced to Emerging Economies
by Mr. Stephan Danninger & Ms. Irina Tytell & Mr. Ravi Balakrishnan & Mr. Selim A Elekdag
- 2009/132 Forecasting Inflation in Sudan
by Mr. Kenji Moriyama & Abdul Naseer
- 2009/131 Broad Money Demand and Asset Substitution in China
by Ge Wu
- 2009/130 Canadian Residential Mortgage Markets: Boring But Effective?
by Mr. John Kiff
- 2009/129 The Systemic Regulation of Credit Rating Agencies and Rated Markets
by Mr. Amadou N Sy
- 2009/128 External Debt Sustainability in HIPC Completion Point Countries: An Update
by Jie Yang & Dan Nyberg
- 2009/127 Current Accounts in a Currency Union
by Mr. Jörg Decressin & Mr. Emil Stavrev
- 2009/126 Fiscal Policy Rules for Oil-Producing Countries: A Welfare-Based Assessment
by Wojciech Maliszewski
- 2009/125 Decoupling from the East Toward the West? Analyses of Spillovers to the Baltic Countries
by International Monetary Fund
- 2009/124 Fiscal Incentive Effects of the German Equalization System
by Sven Jari Stehn & Ms. Annalisa Fedelino
- 2009/123 Modeling with Macro-Financial Linkages: Credit and Policy Shocks in Emerging Markets
by Mr. Jaromir Benes & Ms. Inci Ötker & David Vávra
- 2009/122 Where Does the Public Sector End and the Private Sector Begin?
by Mr. Ian Lienert
- 2009/121 Competitiveness in Central-Europe: What Has Happened Since EU Accession?
by Céline Allard
- 2009/120 The Federal Reserve System Balance Sheet: What Happened and Why it Matters
by Mr. Peter Stella
- 2009/119 A Multi-industry Model of Growth with Financing Constraints
by Ms. Anna Ilyina & Roberto M. Samaniego
- 2009/118 Development Aid and Economic Growth: A Positive Long-Run Relation
by Sanjay Reddy & Ms. Camelia Minoiu
- 2009/117 Macroeconomic Responses to Terms-of-Trade Shocks: A Framework for Policy Analysis for the Argentine Economy
by Pelin Berkmen
- 2009/116 Out of the Box Thoughts about the International Financial Architecture
by Mr. Barry J. Eichengreen
- 2009/115 The Macroeconomics of Scaling Up Aid: The Gleneagles Initiative for Benin
by Mr. Joannes Mongardini & Issouf Samaké
- 2009/114 Sub-Saharan Africa's Integration in the Global Financial Markets
by Ms. Corinne C Delechat & Mr. John Wakeman-Linn & Ms. Smita Wagh & Mr. Gustavo Ramirez
- 2009/113 Financial Deepening in the CFA Franc Zone: The Role of Institutions
by Mr. Dhaneshwar Ghura & Mr. Kangni R Kpodar & Mr. Raju J Singh
- 2009/112 An Alternative Explanation for the Resource Curse: The Income Effect Channel
by Ali Alichi & Mr. Rabah Arezki
- 2009/111 Spillovers to Emerging Equity Markets: An Econometric Assessment
by Tao Sun & Ms. L. Effie Psalida
- 2009/110 Credit Risk Spreads in Local and Foreign Currencies
by Zvi Wiener & Dan Galai
- 2009/109 Estimating Default Frequencies and Macrofinancial Linkages in the Mexican Banking Sector
by Mr. Marcos R Souto & Mr. Rodolphe Blavy
- 2009/108 From Bear Stearns to Anglo Irish: How Eurozone Sovereign Spreads Related to Financial Sector Vulnerability
by Mr. Ashoka Mody
- 2009/107 Madagascar: A Competitiveness and Exchange Rate Assessment
by Mr. Luc Eyraud
- 2009/106 Fiscal Stimulus with Spending Reversals
by Gernot Müller & Giancarlo Corsetti & Mr. Andre Meier
- 2009/105 Financial Intermediation, Competition, and Risk: A General Equilibrium Exposition
by Mr. Gianni De Nicolo & Marcella Lucchetta
- 2009/104 Financial Spillovers to Emerging Markets During the Global Financial Crisis
by Nathaniel Frank & Mr. Heiko Hesse
- 2009/103 The Persistence of Capital Account Crises
by Mr. Mauro Mecagni & Mr. Ruben V Atoyan & Mr. David J Hofman
- 2009/102 Advanced Public Financial Management Reforms in South East Europe
by Mia Pavesic-Skerlep & Mr. Eivind Tandberg
- 2009/101 “What Should Inflation Targeting Countries Do When Oil Prices Rise and Drop Fast?”
by Nicoletta Batini & Eugen Tereanu
- 2009/100 Financial Stress, Downturns, and Recoveries
by Mr. Subir Lall & Mr. Roberto Cardarelli & Mr. Selim A Elekdag
- 2009/099 The Impact of the Regional Cross-Listing of Stocks on Firm Value in Sub-Saharan Africa
by Olatundun Janet Adelegan
- 2009/098 Understanding Inflation Inertia in Angola
by Mr. Alexander Y Kyei & Nir Klein
- 2009/097 Why Are Japanese Wages So Sluggish?
by Mr. Martin Sommer
- 2009/096 The Challenge of Reforming Budgetary Institutions in Developing Countries
by Mr. Richard I Allen
- 2009/095 Ponzi Schemes in the Caribbean
by Ana Carvajal & Mr. Hunter K Monroe & Ms. Catherine A Pattillo & Brian Wynter
- 2009/094 Inflation Targeting Under Imperfect Policy Credibility
by International Monetary Fund
- 2009/093 Global Relative Poverty
by Lynge Nielsen
- 2009/092 The Size of Government and U.S.-European Differences in Economic Performance
by Mr. Gerwin Bell & Norikazu Tawara
- 2009/091 Remittances: An Automatic Output Stabilizer?
by Ms. Dalia S Hakura & Mr. Ralph Chami & Mr. Peter J Montiel
- 2009/090 Inflation Hedging for Long-Term Investors
by Mr. Shaun K. Roache & Alexander P. Attie
- 2009/089 Global Imbalances and Petrodollars
by Fuad Hasanov & Mr. Rabah Arezki
- 2009/088 Chile’s Structural Fiscal Surplus Rule: A Model-Based Evaluation
by Mr. Michael Kumhof & Mr. Douglas Laxton
- 2009/087 It Framework Design Parameters
by Mr. Douglas Laxton & Charles Freedman
- 2009/086 Why Inflation Targeting?
by Charles Freedman & Mr. Douglas Laxton
- 2009/085 Adding Latin America to the Global Projection Model
by International Monetary Fund
- 2009/084 Accrual Budgeting and Fiscal Policy
by Mr. Marc Robinson
- 2009/083 Hold Your Nose and Vote: Why Do Some Democracies Tolerate Corruption?
by Mr. Marco Pani
- 2009/082 Determinants of Inflation in GCC
by Ms. Magda E. Kandil & Mrs. Hanan Morsy
- 2009/081 Exchange Rate Assessment for Oil Exporters
by Mr. Klaus-Stefan Enders
- 2009/080 The Crisis: Basic Mechanisms and Appropriate Policies
by Mr. Olivier J Blanchard
- 2009/079 Exposure to Real Estate Losses: Evidence from the US Banks
by Marcelo Pinheiro & Ms. Deniz O Igan
- 2009/078 Assessing Exchange Rate Competitiveness in the Eastern Caribbean Currency Union
by Emilio Pineda & Mr. Paul Cashin & Ms. Yan M Sun
- 2009/077 Optimal Reserves in the Eastern Caribbean Currency Union
by Mr. Wendell A. Samuel & Emilio Pineda & Mr. Mario Dehesa
- 2009/076 Simple, Implementable Fiscal Policy Rules
by Mr. Michael Kumhof & Mr. Douglas Laxton
- 2009/075 Grants, Remittances, and the Equilibrium Real Exchange Rate in Sub-Saharan African Countries
by Mr. Joannes Mongardini & Brett Rayner
- 2009/074 Limited Information Bayesian Model Averaging for Dynamic Panels with Short Time Periods
by Mr. Alin T Mirestean & Mr. Charalambos G Tsangarides & Huigang Chen
- 2009/073 A Coincident Indicator of the Gulf Cooperation Council (GCC) Business Cycle
by Abdullah Alhassan
- 2009/072 The Missing Link Between Financial Constraints and Productivity
by Ms. Marialuz Moreno Badia & Veerle Slootmaekers
- 2009/071 ECCU Business Cycles: Impact of the U.S
by Ms. Yan M Sun & Mr. Wendell A. Samuel
- 2009/070 Financial Stability Frameworks and the Role of Central Banks: Lessons From the Crisis
by Erlend Nier
- 2009/069 From Subprime Loans to Subprime Growth? Evidence for the Euro Area
by Mr. Martin Cihak & Ms. Petya Koeva Brooks
- 2009/068 Five Years After: European Union Membership and Macro-Financial Stability in the New Member States
by Mr. Martin Cihak & Mr. Wim Fonteyne
- 2009/067 Accounting for Output Drops in Latin America
by Mr. Ruy Lama
- 2009/066 A New Keynesian Model of the Armenian Economy
by Ara Stepanyan & Ms. Era Dabla-Norris & Ashot Anatolii Mkrtchyan
- 2009/065 Developing a Structured Forecasting and Policy Analysis System to Support Inflation-Forecast Targeting (IFT)
by Mr. Douglas Laxton & Mr. Alasdair Scott & David Rose
- 2009/064 Global Imbalances: The Role of Emerging Asia
by Massimiliano Pisani & Pietro Cova & Mr. Alessandro Rebucci
- 2009/063 Global Imbalances: The Role of Non-Tradabletotal Factor Productivity in Advanced Economies
by Mr. Alessandro Rebucci & Nicoletta Batini & Pietro Cova & Massimiliano Pisani
- 2009/062 The Use (and Abuse) of CDS Spreads During Distress
by Carolyne Spackman & Mr. Manmohan Singh
- 2009/061 Universal Health Care 101: Lessons for the Eastern Caribbean and Beyond
by Ms. Evridiki Tsounta
- 2009/060 Targeting Social Transfers to the Poor in Mexico
by Mr. David Coady & Susan Parker
- 2009/059 Monetary and Fiscal Policy Options for Dealing with External Shocks - Insights from the GIMF for Colombia
by Enrique Flores & Mr. Daniel Leigh & Mr. Benedict J. Clements
- 2009/058 Social Security Reforms in Colombia: Striking Demographic and Fiscal Balances
by Sergio Clavijo
- 2009/057 Irrational Exuberance in the U.S. Housing Market: Were Evangelicals Left Behind?
by Mr. Christopher W. Crowe
- 2009/056 A Primeron Fiscal Analysis in Oil-Producing Countries
by Mr. Paulo A Medas & Ms. Daria V Zakharova
- 2009/054 Foreign Banks in the CESE Countries: In for a Penny, in for a Pound?
by Ms. Li L Ong & Andrea M. Maechler
- 2009/053 Credit Market in Morocco: A Disequilibrium Approach
by Nada Oulidi & Laurence Allain
- 2009/052 Global Liquidity, Risk Premiums and Growth Opportunities
by Mr. Gianni De Nicolo & Mr. Iryna V. Ivaschenko
- 2009/051 Forces Driving Inflation in the New EU10 Members
by Mr. Emil Stavrev
- 2009/050 Fiscal and Monetary Policy During Downturns: Evidence From the G7
by Sven Jari Stehn & Mr. Daniel Leigh
- 2009/049 In Search of a Dramatic Equilibrium: Was the Armenian Dram Overvalued?
by Nienke Oomes & Vahram Stepanyan & Gohar Minasyan & Ara Stepanyan
- 2009/048 International Currency Portfolios
by Mr. Michael Kumhof
- 2009/047 The Italian Labor Market: Recent Trends, Institutions, and Reform Options
by Mr. Martin Schindler
- 2009/046 Sovereign Default, Private Sector Creditors and the IFIs
by Ms. Emine Boz
- 2009/045 Competition in the Financial Sector: Overview of Competition Policies
by Mr. Stijn Claessens
- 2009/044 Exchange Rates and Wages in an Integrated World
by Mr. Antonio Spilimbergo & Ms. Prachi Mishra
- 2009/043 The Second Transition: Eastern Europe in Perspective
by Mr. Daniel Leigh & Ms. Stefania Fabrizio & Mr. Ashoka Mody
- 2009/042 Deleveraging After Lehman: Evidence From Reduced Rehypothecation
by James Aitken & Mr. Manmohan Singh
- 2009/041 Commodity Price Volatility, Cyclical Fluctuations, and Convergence: What is Ahead for Inflation in Emerging Europe?
by Ms. Edda Zoli
- 2009/040 Capital Inflows: Macroeconomic Implications and Policy Responses
by Mr. Selim A Elekdag & Mr. Ayhan Kose & Mr. Roberto Cardarelli
- 2009/039 Procyclicality and Fair Value Accounting
by Ms. Jodi G Scarlata & Mr. Juan Sole & Alicia Novoa
- 2009/038 Can the Eastern Caribbean Currency Union Afford to Grow Old?
by Mr. Hunter K Monroe
- 2009/037 Dedollarization in Liberia-Lessons From Cross-Country Experience
by Jeta Menkulasi & Lodewyk Erasmus & Jules Leichter
- 2009/036 The Macroeconomic Impact of Scaled-Up Aid: The Case of Niger
by Mr. Emilio Sacerdoti & Mr. Gonzalo Salinas & Abdikarim Farah