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Content
2008
- 2008/124 Trends in Italy’s Nonprice Competitiveness
by Mr. Bogdan Lissovolik
- 2008/123 Mexico’s Integration into NAFTA Markets: A View from Sectoral Real Exchange Rates and Transaction Costs
by Luciana Juvenal & Mr. Rodolphe Blavy
- 2008/122 Government Size and Output Volatility: Should We Forsake Automatic Stabilization?
by Jean Pisani-Ferry & Mr. Xavier Debrun & André Sapir
- 2008/121 Fiscal and Monetary Anchors for Price Stability: Evidence from Sub-Saharan Africa
by International Monetary Fund
- 2008/120 Investment and Growth Dynamics: An Empirical Assessment Applied to Benin
by Issouf Samaké
- 2008/119 Central Bank Independence and Transparency: Evolution and Effectiveness
by Mr. Christopher W. Crowe & Ellen E. Meade
- 2008/118 The Choice of Monetary and Exchange Rate Arrangements for a Small, Open, Low-Income Economy: The Case of São Tomé and Príncipe
by Mr. Jian-Ye Wang & Nisreen H. Farhan & Amar Shanghavi & Mr. Márcio Valério Ronci & Ms. Misa Takebe
- 2008/117 Calculating Sustainable Non-mineral Balances as Benchmarks for Fiscal Policy: The Case of Botswana
by Mr. Jens R Clausen
- 2008/116 Accounting Challenges for Semi-Autonomous Revenue Agencies in Developing Countries
by Seth E. Terkper
- 2008/115 Impact of Government Expenditure on Growth: The Case of Azerbaijan
by International Monetary Fund
- 2008/114 Do IMF Programs Improve Economic Governance?
by Mr. Jiro Honda
- 2008/113 International Spillover of Labor Market Reforms
by Mai Dao
- 2008/112 Competitiveness in the Southern Euro Area: France, Greece, Italy, Portugal, and Spain
by Mr. Bogdan Lissovolik & Mr. Julio Escolano & Ms. Stefania Fabrizio & Mr. Werner Schule & Mr. Herman Z Bennett & Mr. Stephen Tokarick & Mr. Yuan Xiao & Ms. Marialuz Moreno Badia & Miss Eva Gutierrez & Mr. Iryna V. Ivaschenko
- 2008/111 Fiscal Coverage in the Countries of the Middle East and Central Asia: Current Situation and a Way Forward
by Ms. Daria V Zakharova
- 2008/110 Estimating Equilibrium Exchange Rates for Armenia and Georgia
by Shuang Ding & Omar Al Shehabi
- 2008/109 Is There a Novelty Premium on New Financial Instruments? The Argentine Experience with GDP-Indexed Warrants
by Mr. Luca A Ricci & Mr. Marcos d Chamon & Alejo Costa
- 2008/108 Reserve Requirements, the Maturity Structure of Debt, and Bank Runs
by Eza Ghassan Al-Zein
- 2008/106 Credit Booms and Lending Standards: Evidence From the Subprime Mortgage Market
by Mr. Giovanni Dell'Ariccia & Mr. Luc Laeven & Ms. Deniz O Igan
- 2008/105 Housing Finance and Mortgage-Backed Securities in Mexico
by Ms. Luisa Zanforlin & Marco A Espinosa-Vega
- 2008/104 International R&D Spillovers and Institutions
by Mr. Willy A Hoffmaister & Mr. David T. Coe & Mr. Elhanan Helpman
- 2008/103 The Capital Markets of Emerging Europe: Institutions, Instruments and Investors
by Ms. Li L Ong & Silvia Iorgova
- 2008/102 Measuring the Informal Economy in Latin America and the Caribbean
by Guillermo Javier Vuletin
- 2008/101 Welfare Gains of Aid Indexation in Small Open Economies
by Anubha Dhasmana
- 2008/100 External Shocks and Business Cycle Fluctuations in Mexico: How Important are U.S. Factors?
by Mr. Sebastian Sosa
- 2008/099 A Real Model of Transitional Growth and Competitiveness in China
by Mr. Leslie Lipschitz & Ms. Genevieve Verdier & Ms. Celine Rochon
- 2008/098 Global Aging and Declining World Interest Rates: Macroeconomic Insurance Through Pension Reform in Cyprus
by Mr. Willy A Hoffmaister & Mr. Jaime Guajardo & Mr. Mario Catalan
- 2008/097 A Simple Stochastic Approach to Debt Sustainability Applied to Lebanon
by Mr. E. H. Gardner & Mr. Julian Di Giovanni
- 2008/096 Accumulating Foreign Reserves Under Floating Exchange Rates
by Fernando M. Gonçalves
- 2008/095 Real and Financial Sector Linkages in China and India
by Mr. Jahangir Aziz
- 2008/094 Informality and Bank Credit: Evidence from Firm-Level Data
by Ms. Junko Koeda & Ms. Era Dabla-Norris
- 2008/093 The Anatomy of Banking Crises
by Rupa Duttagupta & Mr. Paul Cashin
- 2008/092 Current Account Developments in New Member States of the European Union: Equilibrium, Excess, and EU-Phoria
by Jesmin Rahman
- 2008/091 Corporate Governance Reforms in the EU: Do They Matter and How?
by Mr. Iryna V. Ivaschenko & Ms. Petya Koeva Brooks
- 2008/090 Price Dynamics in the Eastern Caribbean
by Rupa Duttagupta & Ms. Yan M Sun
- 2008/089 Factor Model for Stress-testing with a Contingent Claims Model of the Chilean Banking System
by Mr. Dale F Gray & Mr. James P Walsh
- 2008/088 Is Central Bank Intervention Effective Under Inflation Targeting Regimes? The Case of Colombia
by Herman Kamil
- 2008/087 A New Fiscal Rule: Should Israel “Go Swiss?”
by Mr. Steven A. Symansky & Mr. Xavier Debrun & Mr. Natan P. Epstein
- 2008/086 Business Cycles in Small Developed Economies: The Role of Terms of Trade and Foreign Interest Rate Shocks
by Mr. Jaime Guajardo
- 2008/085 Investors’ Risk Appetite and Global Financial Market Conditions
by Ms. Brenda Gonzalez-Hermosillo
- 2008/084 Striving to Be “Clearly Open” and “Crystal Clear”: Monetary Policy Communication of the CNB
by Mr. Aleš Bulíř & Ms. Katerina Smídková
- 2008/083 Exchange Rate Assessment in a Resource-Dependent Economy: The Case of Botswana
by Ms. Corinne C Delechat & Matthew Gaertner
- 2008/082 Breaking the Impediments to Budgetary Reforms: Evidence from Europe
by Mr. Ashoka Mody & Ms. Stefania Fabrizio
- 2008/081 High and Volatile Treasury Yields in Tanzania: The Role of Strategic Bidding and Auction Microstructure
by Mr. Yuri V Sobolev & Mr. S. M. Ali Abbas
- 2008/080 Are Diamonds Forever? Using the Permanent Income Hypothesis to Analyze Botswana’s Reliance on Diamond Revenue
by Olivier Basdevant
- 2008/079 Financial Development and Growth in India: A Growing Tiger in a Cage?
by Ms. Hiroko Oura
- 2008/078 Pass-Through of External Shocks to Inflation in Sri Lanka
by Ms. Nombulelo Braiton
- 2008/077 Corporate Income Tax Competition in the Caribbean
by Koffie Ben Nassar
- 2008/076 Does Money Matter for U.S. Inflation? Evidence from Bayesian VARs
by Pär Österholm & Mr. Helge Berger
- 2008/075 Testing for Structural Breaks in Small Samples
by Sergei Antoshin & Mr. Andrew Berg & Mr. Marcos R Souto
- 2008/074 The Reform of Italian Cooperative Banks: Discussion of Proposals
by Miss Eva Gutierrez
- 2008/073 The Monetary Model Strikes Back: Evidence from the World
by Ms. Valerie Cerra & Ms. Sweta Chaman Saxena
- 2008/072 Challenges to Monetary Policy in the Czech Republic—An Integrated Monetary and Fiscal Analysis
by Ms. Sònia Muñoz & Céline Allard
- 2008/071 Political Economy of Multi-Level Tax Assignments in Latin American Countries: Earmarked Revenue Versus Tax Autonomy
by Mr. Giorgio Brosio & Mr. Ehtisham Ahmad
- 2008/070 Japan’s Corporate Income Tax—Overview and Challenges
by Mr. Thomas Dalsgaard
- 2008/069 Achieving a Soft Landing: The Role of Fiscal Policy
by Mr. Daniel Leigh
- 2008/068 Trade in the WAEMU: Developments and Reform Opportunities
by Hans Weisfeld & Ms. Manuela Goretti
- 2008/067 Local Service Provision in Selected OECD Countries: Do Decentralized Operations Work Better?
by Mr. Ehtisham Ahmad & Mr. Giorgio Brosio & Mr. Vito Tanzi
- 2008/066 Trade Creation and Diversion Revisited: Accounting for Model Uncertainty and Natural Trading Partner Effects
by Mr. Chris Papageorgiou & Christian Henn & Theo S. Eicher
- 2008/065 Regionalism or Multilateralism? A Political Economy Choice
by Ms. Giorgia Albertin
- 2008/064 A Small Structural Monetary Policy Model for Small Open Economies with Debt Accumulation
by Mr. Philippe D Karam & A. R. Pagan
- 2008/063 Analysis of the Efficiency and Profitability of the Japanese Banking System
by Ms. Elena Loukoianova
- 2008/062 Financial Development and Poverty Reduction: Can There Be a Benefit Without a Cost?
by Sylviane Guillaumont Jeanneney & Mr. Kangni R Kpodar
- 2008/061 Business Cycle Accounting For Chile
by Mr. Ludvig Söderling & Ina Simonovska
- 2008/060 Imperfect Central Bank Communication - Information versus Distraction
by Athanasios Orphanides & Spencer Dale & Pär Österholm
- 2008/059 What Makes Growth Sustained?
by Mr. Jonathan David Ostry & Mr. Andrew Berg & Mr. Jeromin Zettelmeyer
- 2008/058 A Stochastic Framework for Public Debt Sustainability Analysis
by Gabriel Di Bella
- 2008/057 Hong Kong SAR as a Financial Center for Asia: Trends and Implications
by Mr. Olaf Unteroberdoerster & Cynthia Leung
- 2008/056 Effective Average Tax Rates for Permanent Investment
by Mr. Alexander D Klemm
- 2008/055 Credit Cyclicality in Chile: A Cross-Country Analysis
by Mr. Ludvig Söderling
- 2008/054 India: Is the Rising Tide Lifting All Boats?
by Petia Topalova
- 2008/053 Does Money Growth Granger-Cause Inflation in the Euro Area? Evidence from Out-of-Sample Forecasts Using Bayesian VARs
by Pär Österholm & Mr. Helge Berger
- 2008/052 Tax and Welfare Reforms in the Czech Republic—Structural Implications and Challenges
by Mr. Thomas Dalsgaard
- 2008/051 The Landscape of Capital Flows to Low-Income Countries
by Mr. Thomas William Dorsey & Ms. Zuzana Brixiova & Sukhwinder Singh & Mr. Helaway Tadesse
- 2008/050 Central America’s Regional Trends and U.S. Cycles
by Mr. Shaun K. Roache
- 2008/049 Central Bank Financial Strength, Policy Constraints and Inflation
by Mr. Peter Stella
- 2008/048 A Bayesian-Estimated Model of Inflation Targeting in South Africa
by Mr. Thomas Harjes & Mr. Luca A Ricci
- 2008/047 Helping Hand or Grabbing Hand? Supervisory Architecture, Financial Structure and Market View
by Mr. Marc G Quintyn & Donato Masciandaro
- 2008/046 External Linkages and Economic Growth in Colombia: Insights from A Bayesian VAR Model
by Pär Österholm & Mr. Lisandro Abrego
- 2008/045 Aggregate Investment Expenditures on Tradable and Nontradable Goods
by Mr. Rudolfs Bems
- 2008/044 Debt Sustainability under Catastrophic Risk: The Case for Government Budget Insurance
by Eduardo A. Cavallo & Mr. Eduardo Borensztein & Mr. Patricio A Valenzuela
- 2008/043 Regional Wage Differentiation and Wage Bargaining Systems in the EU
by Mr. Athanasios Vamvakidis
- 2008/042 Budget Deficits and Interest Rates: A Fresh Perspective
by Mr. Ari Aisen & Mr. David Hauner
- 2008/041 International Reserve Trends in the South Caucasus and Central Asia Region
by Mr. Holger Floerkemeier & Mariusz A. Sumlinski
- 2008/040 A Risk-Based Debt Sustainability Framework: Incorporating Balance Sheets and Uncertainty
by Mr. Dale F Gray & Ms. Elena Loukoianova & Samuel W. Malone & Cheng Hoon Lim
- 2008/039 Big Government, High Debt, and Fiscal Adjustment in Small States
by Rui Ota & Ms. Stephanie C Medina Cas
- 2008/038 “Beneficial” Delays in Debt Restructuring Negotiations
by Ran Bi
- 2008/037 Issues in Central Bank Finance and Independence
by Åke Lönnberg & Mr. Peter Stella
- 2008/036 Terms of Trade Shocks and Economic Recovery
by Patrick A. Imam & Eleonara Granziera & Mr. Norbert Funke
- 2008/035 Importer and Producer Petroleum Taxation: A Geo-Political Model
by Mr. Jon Strand
- 2008/034 Where Did All the Aid Go? An Empirical Analysis of Absorption and Spending
by Mr. Shekhar Aiyar & Ummul Hasanath Ruthbah
- 2008/033 External Tariff Liberalization in CARICOM: A Commodity-Level Analysis
by Mr. Azim M Sadikov
- 2008/032 The Determinants of Stock Market Development in Emerging Economies: Is South Africa Different?
by Charles Amo Yartey
- 2008/031 Canadian Firm and Job Dynamics
by Mr. Ravi Balakrishnan
- 2008/030 The Effects of Early Retirement on Youth Unemployment: The Case of Belgium
by Mr. Pierre Pestieau & Mathieu Lefèbvre & Mr. Alain Jousten & Sergio Perelman
- 2008/029 Remittances and Institutions: Are Remittances a Curse?
by Jihad Dagher & Mr. Ralph Chami & Mr. Peter J Montiel & Mr. Yasser Abdih
- 2008/028 Where Did All the Borrowing Go? A Forensic Analysis of the U.S. External Position
by Mr. Gian M Milesi-Ferretti & Mr. Philip R. Lane
- 2008/027 Addressing Korea’s Long-Term Fiscal Challenges
by Mr. Murtaza H Syed & Mr. Michael Skaarup & Mr. Tarhan Feyzioglu
- 2008/026 Foreign Direct Investment and Structural Reforms: Evidence from Eastern Europe and Latin America
by Yuko Kinoshita & Nauro F. Campos
- 2008/025 Why is Canada’s Price Level So Predictable?
by Mr. Vladimir Klyuev & Heesun Kiem & Mr. Ondrej Kamenik & Mr. Douglas Laxton
- 2008/024 Do Technology Shocks Lead to Productivity Slowdowns? Evidence from Patent Data
by Lone Engbo Christiansen
- 2008/023 Real Implications of Financial Linkages Between Canada and the United States
by Mr. Vladimir Klyuev
- 2008/022 Show Me the Money: Access to Finance for Small Borrowers in Canada
by Mr. Vladimir Klyuev
- 2008/021 Inflation Differentials in the EU: A Common (Factors) Approach with Implications for EU8 Euro Adoption Prospects
by International Monetary Fund
- 2008/020 Financial Frictions and Business Cycles in Middle-Income Countries
by Mr. Jaime Guajardo
- 2008/019 Microeconomic Implications of Remittances in an Overlapping Generations Model with Altruism and Self-Interest
by Tigran A. Melkonyan & Mr. David A. Grigorian
- 2008/018 Taylor Rule Under Financial Instability
by Mr. Martin Cihak & Mr. Aleš Bulíř & Sofía Bauducco
- 2008/017 Lebanon—Weathering the Perfect Storms
by Mr. Axel Schimmelpfennig & Mr. E. H. Gardner
- 2008/016 Islamic Banks and Financial Stability: An Empirical Analysis
by Mr. Martin Cihak & Mr. Heiko Hesse
- 2008/015 Trade Restrictiveness in the CEMAC Region: The Case of Congo
by Ms. Maria-Angels Oliva
- 2008/014 The Impact of Trade Liberalization on the Trade Balance in Developing Countries
by Mr. Yi Wu & Mr. Li Zeng
- 2008/013 Real Exchange Rates and Fundamentals: A Cross-Country Perspective
by Mr. Luca A Ricci & Mr. Jaewoo Lee & Mr. Gian M Milesi-Ferretti
- 2008/012 Capital Flows and Economic Fluctuations: The Role of Commercial Banks in Transmitting Shocks
by Yong Sarah Zhou
- 2008/011 International Reserves—Too Much of a Zipf’s Thing
by Mariusz A. Sumlinski
- 2008/010 Emerging Market Spread Compression: Is it Real or is it Liquidity?
by Ms. Laura E. Kodres & Kristian Hartelius & Kenichiro Kashiwase
- 2008/009 Evaluating Alternative Approaches to Poverty Alleviation: Rice Tariffs Versus Targeted Transfers in Madagascar
by Paul A. Dorosh & Mr. David Coady & Bart Minten
- 2008/008 Capital Flows and Demographics—An Asian Perspective
by Mr. Erik Lueth
- 2008/007 Tax Rate Cuts and Tax Compliance—The Laffer Curve Revisited
by Tamás K. Papp & Elöd Takáts
- 2008/006 Financial Instruments to Hedge Commodity Price Risk for Developing Countries
by Miss Yinqiu Lu & Salih N. Neftci
- 2008/005 The Role of Institutional Quality in a Currency Crisis Model
by Mr. Yi Wu
- 2008/004 Does Technological Diffusion Explain Australia’s Productivity Performance?
by Mr. Thierry Tressel
- 2008/003 Spillovers Across NAFTA
by Mr. Tamim Bayoumi & Mr. Andrew J Swiston
- 2008/002 Spillovers to Ireland
by Mr. Daniel S Kanda
- 2008/001 Optimal Capital Structure of Public-Private Joint Ventures
by Pawel Gasiorowski & Marian Moszoro
2007
- 2007/299 Energy Efficiency and Renewable Energy Supply for the G-7 Countries, with Emphasis on Germany
by Mr. Jon Strand
- 2007/298 How Has The Globalization of Labor Affected the Labor Income Share in Advanced Countries?
by Ms. Florence Jaumotte & Ms. Irina Tytell
- 2007/297 Sovereign Wealth Funds in the Pacific Island Countries: Macro-Fiscal Linkages
by Mr. Paulo A Medas & Mr. Eric Le Borgne
- 2007/296 Equilibrium Exchange Rates: Assessment Methodologies
by Mr. Peter Isard
- 2007/295 Modeling Inflation for Mali
by Mame Astou Diouf
- 2007/294 Is Brazil Different? Risk, Dollarization, and Interest Rates in Emerging Markets
by Márcio Holland & Edmar L. Bacha & Fernando M. Gonçalves
- 2007/293 Do Reserve Portfolios Respond to Exchange Rate Changes Using a Portfolio Rebalancing Strategy? An Econometric Study Using COFER Data
by Mr. Ewe-Ghee Lim
- 2007/292 Border and Behind-the-Border Trade Barriers and Country Exports
by Mr. Azim M Sadikov
- 2007/291 Use of Participatory Notes in Indian Equity Markets and Recent Regulatory Changes
by Mr. Manmohan Singh
- 2007/290 Stochastic Volatilities and Correlations, Extreme Values and Modeling the Macroeconomic Environment, Under Which Brazilian Banks Operate
by Mr. Marcos R Souto & Mr. Theodore M. Barnhill
- 2007/289 Government for the People: On the Determinants of the Size of U.S. Government
by Mr. Tamim Bayoumi & Fernando M. Gonçalves
- 2007/288 Equity and Private Debt Markets in Central America, Panama, and the Dominican Republic
by Mr. Hemant Shah & Mr. Jorge A Chan-Lau & Mr. Geoffrey J Bannister & Ana Carvajal & Mr. Ivan S Guerra
- 2007/287 Testing for Purchasing Power Parity in Cointegrated Panels
by Johan Lyhagen & Pär Österholm & Mikael Carlsson
- 2007/286 Buoyant Capital Spending and Worries over Real Appreciation: Cold Facts from Algeria
by Oumar Diallo & Mr. Boileau Loko & Mr. Kangni R Kpodar
- 2007/285 The Monetary Transmission Mechanism in Egypt
by Rania A. Al-Mashat & Mr. Andreas Billmeier
- 2007/284 Solving for Country Portfolios in Open Economy Macro Models
by Michael B. Devereux & Mr. Alan Sutherland
- 2007/283 Country Portfolio Dynamics
by Mr. Alan Sutherland & Michael B. Devereux
- 2007/282 An Estimated DSGE Model for Monetary Policy Analysis in Low-Income Countries
by Mr. Shanaka J Peiris & Mr. Magnus Saxegaard
- 2007/281 International Diversification Gains and Home Bias in Banking
by Ms. Alicia García-Herrero & Mr. Francisco F. Vazquez
- 2007/280 Changing Nature of North-South Linkages: Stylized Facts and Explanations
by Miss Cigdem Akin & Mr. Ayhan Kose
- 2007/279 Financial Globalization and Monetary Policy
by Michael B. Devereux & Mr. Alan Sutherland
- 2007/278 High Growth and Low Consumption in East Asia: How to Improve Welfare While Avoiding Financial Failures
by Ms. Celine Rochon & Mr. Andrew Feltenstein & Maral Shamloo
- 2007/277 Empirical Evidence on the New International Aid Architecture
by Danny Cassimon & Mr. Stijn Claessens & Bjorn Van Campenhout
- 2007/276 Estimating Iceland’s Real Equilibrium Exchange Rate
by Mr. Robert Tchaidze
- 2007/275 How Well Do Aggregate Bank Ratios Identify Banking Problems?
by Mr. Martin Cihak & Mr. Klaus Schaeck
- 2007/274 Tax Policy: Recent Trends and Coming Challenges
by Tehmina S. Khan & Mr. John Norregaard
- 2007/273 Do Remittances to Latin America Depend on the U.S. Business Cycle?
by Mrs. Ewa Gradzka & Mr. Shaun K. Roache
- 2007/272 Does the Bank Lending Channel of Monetary Transmission Work in Turkey?
by Ms. Petya Koeva Brooks
- 2007/271 Simple Monetary Rules Under Fiscal Dominance
by Mr. Michael Kumhof & Mr. Ricardo C Nunes & Mrs. Irina Yakadina
- 2007/270 Effect of Corruption on Tax Revenues in the Middle East
by Patrick A. Imam & Ms. Davina F. Jacobs
- 2007/269 Is Inflation in India an Attractor of Inflation in Nepal?
by Mr. Edimon Ginting
- 2007/268 What Explains India’s Real Appreciation?
by Ms. Renu Kohli & Sudip Mohapatra
- 2007/267 Estimating Spillover Risk Among Large EU Banks
by Ms. Li L Ong & Mr. Martin Cihak
- 2007/266 China’s Changing Trade Elasticities
by Mr. Jahangir Aziz & Ms. Xiangming Li
- 2007/265 The Optimal Level of Foreign Reserves in Financially Dollarized Economies: The Case of Uruguay
by Fernando M. Gonçalves
- 2007/264 The Use of Encompassing Tests for Forecast Combinations
by Turgut Kisinbay
- 2007/263 Education and Health in G7 Countries: Achieving Better Outcomes with Less Spending
by Ms. Victoria Gunnarsson & Stéphane Carcillo & Marijn Verhoeven
- 2007/262 Financial Linkages Between the U.S. and Latin America: Evidence from Daily Data
by Mr. Srideep D Ganguly & Roberto Benelli
- 2007/261 Effect of IMF Structural Adjustment Programs on Expectations: The Case of Transition Economies
by Patrick A. Imam
- 2007/260 EU Framework for Safeguarding Financial Stability: Towards an Analytical Benchmark for Assessing its Effectiveness
by Ms. María Nieto & Mr. Garry J. Schinasi
- 2007/259 Strengths and Weaknesses in Securities Market Regulation: A Global Analysis
by Ms. Jennifer A. Elliott & Ana Carvajal
- 2007/258 The Duration of Capital Account Crises—An Empirical Analysis
by Mr. David J Hofman & Mr. Ruben V Atoyan & Dimitri Tzanninis & Mr. Mauro Mecagni
- 2007/257 Can Domestic Policies Influence Inflation?
by Mr. Ashoka Mody & Ms. Franziska L Ohnsorge
- 2007/256 Local Currency Debt Markets in the West African Economic and Monetary Union
by Mr. Amadou N Sy
- 2007/255 Mainstreaming Statistics in the Poverty Reduction Strategy Approach to Provide for More Effective Technical Assistance: Some Experience at the IMF
by Mr. Robin D Kibuka
- 2007/254 Consistent Quantitative Operational Risk Measurement and Regulation: Challenges of Model Specification, Data Collection and Loss Reporting
by Andreas Jobst
- 2007/253 Optimal Taxation in the Forestry Sector in the Congo Basin: The Case of Gabon
by Mr. Oscar E Melhado Orellana
- 2007/252 Why Focus on Spending Needs Factors? The Political Economy of Fiscal Transfer Reforms in Mexico
by Mr. Ehtisham Ahmad & Ms. Mercedes Garcia-Escribano & José Antonio González Anaya & Mr. Ernesto Revilla & Mr. Giorgio Brosio & Mr. Ben Lockwood
- 2007/251 Capital Account Convertibility and Risk Management in India
by Mr. Amadou N Sy
- 2007/250 The Markets in Financial Instruments Directive: Banking on Market and Supervisory Efficiency
by François Haas
- 2007/249 GCC Monetary Union and the Degree of Macroeconomic Policy Coordination
by Mr. Bassem M Kamar & Sami Ben Naceur
- 2007/248 Decomposing Financial Risks and Vulnerabilities in Eastern Europe
by Mr. Rupert D Worrell & Andrea M. Maechler & Ms. Srobona Mitra
- 2007/247 Policy Challenges of Population Aging in Ireland
by Ms. Dora M Iakova & Mr. Dennis P Botman
- 2007/246 Benchmarking the Efficiency of Public Expenditure in the Russian Federation
by Mr. David Hauner
- 2007/245 Financial Development in Emerging Europe: The Unfinished Agenda
by Ms. Edda Zoli
- 2007/244 Finance and Convergence: What’s Ahead for Emerging Europe?
by Mr. Philip Schellekens & Mr. Rudolfs Bems
- 2007/243 Implications of Oil Inflows for Savings and Reserve Management in the Cemac
by International Monetary Fund
- 2007/242 A Markov-Switching Approach to Measuring Exchange Market Pressure
by Mr. Francis Y Kumah
- 2007/241 Alternative Fiscal Rules for Norway
by Mr. Daniel Leigh & Mr. Etibar Jafarov
- 2007/239 Operational Risk: The Sting is Still in the Tail But the Poison Dependson the Dose
by Andreas Jobst
- 2007/238 How Does Financial Globalization Affect Risk Sharing? Patterns and Channels
by Mr. Marco Terrones & Mr. Ayhan Kose & Mr. Eswar S Prasad
- 2007/237 Sukuk vs. Eurobonds: Is There a Difference in Value-at-Risk?
by Ms. Faezeh Raei & Mr. Selim Cakir
- 2007/236 Vulnerabilities in Emerging Southeastern Europe—How Much Cause for Concern?
by International Monetary Fund
- 2007/235 Toward a Robust Fiscal Framework for Iceland: Motivation and Practical Suggestions
by Mr. Anthony M Annett
- 2007/234 Hedonic Imputation versus Time Dummy Hedonic Indexes
by W. E. Diewert & Mick Silver & Saeed Heravi
- 2007/233 Measuring Sovereign Risk in Turkey: An Application of the Contingent Claims Approach
by Mr. Christian Keller & Mr. Peter J Kunzel & Mr. Marcos R Souto
- 2007/232 Fiscal Reaction Functions in the CFA Zone: An Analytical Perspective
by Mr. Oral Williams & Mr. Olumuyiwa S Adedeji
- 2007/231 Overcoming Barriers to Reform: On Incentive-Compatible International Assistance
by Mr. Wolfgang Mayer & Mr. Alex Mourmouras
- 2007/230 The Equity Premium Puzzle, Ambiguity Aversion, and Institutional Quality
by Mr. Abbas Mirakhor & Mr. S. Nuri Erbas
- 2007/229 Capital Market Development in a Small Country: The Case of Slovenia
by Mr. Jochen R. Andritzky
- 2007/228 The Determinants of Corporate Risk in Emerging Markets: An Option-Adjusted Spread Analysis
by Eduardo A. Cavallo & Mr. Patricio A Valenzuela
- 2007/227 Public Financial Institutions in Developed Countries—Organization and Oversight
by Mr. Lev Ratnovski & Mr. Aditya Narain
- 2007/226 The Health Sector in the Slovak Republic: Efficiency and Reform
by Ms. Victoria Gunnarsson & Sergio Lugaresi & Marijn Verhoeven
- 2007/225 Sri Lanka’s Sources of Growth
by Ms. Nombulelo Braiton
- 2007/224 Wild or Tamed?: India’s Potential Growth
by Ms. Hiroko Oura