Contact information of International Monetary Fund
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:imf:imfwpa. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Akshay Modi (email available below). General contact details of provider: https://edirc.repec.org/data/imfffus.html .
Content
2002
- 2002/066 The Boom, Bust and Restructuring of Indonesian Banks
by Mr. Mari Pangestu & Mr. Manggi Habir
- 2002/065 Reserve Requirementson Foreign Currency Deposits in Sub-Saharan Africa: Main Features and Policy Implications
by Mr. Arto Kovanen
- 2002/064 What Moves Capital to Transition Economies?
by Ms. Nada Mora & Ms. Ratna Sahay & Mr. Jeromin Zettelmeyer & Mr. Pietro Garibaldi
- 2002/063 Dread of Depreciation: Measuring Real Exchange Rate Interventions
by Ms. Jayasri Dutta
- 2002/062 Holding International Reserves in an Era of High Capital Mobility
by Mr. Robert P Flood & Ms. Nancy P. Marion
- 2002/061 Foreign Direct Investment in Africa—Some Case Studies
by Mr. Anupam Basu & Mr. Krishna Srinivasan
- 2002/060 Energy Sector Quasi-Fiscal Activities in the Countries of the Former Soviet Union
by Mr. Aleh Tsyvinski & Mr. Martin Petri & Mr. Günther Taube
- 2002/059 The Role of Corporate, Legal and Macroeconomic Balance Sheet Indicators in Crisis Detection and Prevention
by Mr. Manuel De la Rocha & Mr. Roberto Perrelli & Mr. Christian B. Mulder
- 2002/058 How Do Treasury Systems Operate in Sub-Saharan Francophone Africa?
by Mr. Luc E. Leruth & Mr. Dominique Bouley & Mr. Jerome Fournel
- 2002/057 Early Ideas on Sovereign Bankruptcy Reorganization: A Survey
by Mr. Kenneth Rogoff & Mr. Jeromin Zettelmeyer
- 2002/056 Banking Crises and Bank Resolution: Experiences in Some Transition Economies
by International Monetary Fund
- 2002/055 Systemic Risk and Financial Consolidation: Are they Related?
by Mr. Gianni De Nicolo & Mr. Myron L. Kwast
- 2002/054 The Transmission Mechanism of European Monetary Policy: Is There Heterogeneity? Is it Changing over Time?
by Mr. Matteo Ciccarelli & Mr. Alessandro Rebucci
- 2002/053 Credit Stagnation in Latin America
by Mr. Adolfo Barajas & Mr. Roberto Steiner
- 2002/052 Why White, Not Keynes? Inventing the Post-War International Monetary System
by Mr. James M. Boughton
- 2002/051 External Wealth, the Trade Balance, and the Real Exchange Rate
by Mr. Philip R. Lane & Mr. Gian M Milesi-Ferretti
- 2002/050 Primeron Reforms in a Second-Best Ambiguous Environment: A Case for Gradualism
by Mr. S. Nuri Erbas
- 2002/049 The Rule of Law and the Pattern of Environment Protection
by Mr. Muthukumara Mani & Mr. Per G. Fredriksson
- 2002/048 Candidate Entry, Screening, and the Political Budget Cycle
by Mr. Eric Le Borgne & Mr. Ben Lockwood
- 2002/047 Foreign Direct Investment in Emerging Markets: Income, Repatriations and Financial Vulnerabillities
by Mr. Alexander Lehmann
- 2002/046 Regulatory and Supervisory Independence and Financial Stability
by Mr. Michael W Taylor & Mr. Marc G Quintyn
- 2002/045 The Impact of Cyclical Factors on the U. S. Balance of Payments
by Mr. Joshua E. Greene & Ms. Magda E. Kandil
- 2002/044 Optimal Central Bank Conservatism and Monopoly Trade Unions
by Mr. Carsten Hefeker & Mr. Helge Berger & Mr. Ronnie Schlöb
- 2002/043 International Capital Crunches: The Time-Varying Role of Informational Asymmetries
by Mr. Ashoka Mody & Mr. Mark P. Taylor
- 2002/042 Wage Inequality in the United Kingdom, 1975–99
by Mr. Eswar S Prasad
- 2002/041 A Dynamic General Equilibrium Framework of Investment with Financing Constraint
by Danyang Xie & Chi-Wa Yuen
- 2002/040 Issues in Global Natural Gas: A Primer and Analysis
by Mr. Bright E Okogu
- 2002/039 Dornbusch’s Overshooting Model After Twenty-Five Years
by Mr. Kenneth Rogoff
- 2002/038 The Economic Consequences of HIV/AIDS in Southern Africa
by Mr. Markus Haacker
- 2002/037 On-the-Job Search and the Beveridge Curve
by Mr. Andrés Fuentes
- 2002/036 Columbia or High School? Understanding the Roles of Education in Development
by Mr. Rodney Ramcharan
- 2002/035 Social Sector Spending in a Panel of Countries
by Reza Baqir
- 2002/034 Monetary Rules for Emerging Market Economies
by Mr. Alessandro Rebucci & Mr. Fabio Ghironi
- 2002/033 Trust As a Means of Improving Corporate Governance and Efficiency
by Mr. Ralph Chami & Connel Fullenkamp
- 2002/032 Purchasing Power Parity and New Trade Theory
by Mr. Luca A Ricci & Mr. Ronald MacDonald
- 2002/031 A Model of Multiple Equilibria in Geographic Labor Mobility
by Mr. Luis Ubeda & Mr. Antonio Spilimbergo
- 2002/030 Nominal Exchange Rate Anchoring Under Inflation Inertia
by Mr. Guillermo Calvo & Mr. Michael Kumhof & Oya Celasun
- 2002/029 A Fiscal Theory of the Currency Risk Premium and of Sterilized Intervention
by Mr. Michael Kumhof & Stijn van Nieuwerburgh
- 2002/028 The Forward Premium Puzzle Revisited
by Mr. Guy M Meredith & Yue Ma
- 2002/027 Commodity Currencies and Empirical Exchange Rate Puzzles
by Mr. Kenneth Rogoff & Mr. Yu-chin Chen
- 2002/026 Growth and Convergence in a Two-Region Model: The Hypothetical Case of Korean Unification
by Mr. Michael Funke & Mr. Holger Strulik
- 2002/025 The Output Decline in Asian Crisis Countries: Investment Aspects
by Mr. Joshua E. Greene
- 2002/024 Assessing Accuracy and Reliability: A Note Basedon Approaches Used in National Accounts and Balance of Payments Statistics
by Mrs. Carol S Carson & Ms. Lucie Laliberté
- 2002/023 Why is Unemployment High in the Philippines?
by Mr. R. Brooks
- 2002/022 Budget System Reform in Transitional Economies: The Experience of Russia
by Mr. Jack Diamond
- 2002/021 The New Russian Budget System: A Critical Assessment and Future Reform Agenda
by Mr. Jack Diamond
- 2002/020 Lending Booms, Real Estate Bubbles and the Asian Crisis
by Mr. Abdelhak S Senhadji & Mr. Charles Collyns
- 2002/019 Debt, Deficits, and Age-Specific Mortality
by Mr. Hamid Faruqee
- 2002/018 A New Rule: The Swiss Debt Brake
by Mr. Stephan Danninger
- 2002/017 The Role of Affordable Mortgages in Improving Living Standards and Stimulating Growth: A Survey of Selected Mena Countries
by Mr. Frank E. Nothaft & Mr. S. Nuri Erbas
- 2002/016 Population Aging and its Macroeconomic Implications: A Framework for Analysis
by Mr. Hamid Faruqee
- 2002/015 Activation of a Modern Industry
by Danyang Xie & Ms. Ping Wang
- 2002/014 Exchange Market Pressure, Currency Crises, and Monetary Policy: Additional Evidence From Emerging Markets
by Mr. Evan C Tanner
- 2002/013 Sources of Economic Growth in East Asia: A Nonparametric Assessment
by Mr. Mohsin S. Khan & Mr. Shigeru Iwata & Mr. Hiroshi Murao
- 2002/012 Mexico: Experiences with Pro-Poor Expenditure Policies
by Ms. Ana Corbacho & Mr. Gerd Schwartz
- 2002/011 Capital Flows to Transition Economies: Master or Servant?
by Mr. Leslie Lipschitz & Mr. Alex Mourmouras & Mr. Timothy D. Lane
- 2002/010 Impact of Structural Reformson Productivity Growth in Industrial Countries
by Mr. Ranil M Salgado
- 2002/009 Structural Vulnerabilities and Currency Crises
by Swart R. Ghosh & Mr. Atish R. Ghosh
- 2002/008 The Corporate Spread Curve and Industrial Production in the United States
by Mr. Jorge A Chan-Lau & Mr. Iryna V. Ivaschenko
- 2002/007 Predicting Emerging Market Currency Crashes
by Mr. W. R. M. Perraudin & Mr. Manmohan S. Kumar & Ms. Uma Moorthy
- 2002/006 Financial Reforms and Interest Rate Spreads in the Commercial Banking System in Malawi
by Mr. Ephraim W. Chirwa & Mr. Montfort Mlachila
- 2002/005 Fiscal Sustainability and Monetary Versus Fiscal Dominance: Evidence From Brazil, 1991-2000
by Mr. Evan C Tanner & Mr. Alberto M. Ramos
- 2002/004 Financial Crises, Poverty, and Income Distribution
by International Monetary Fund
- 2002/003 Currency Crises and Uncertainty About Fundamentals
by Mr. M. Sbracia & Mr. Alessandro Prati
- 2002/002 The Austrian Theory of Business Cycles: Old Lessons for Modern Economic Policy?
by Mr. S. E Oppers
- 2002/001 The Impact of Changes in Stock Prices and House Priceson Consumption in OECD Countries
by Mr. Alexander Ludwig & Mr. Torsten M Sloek
2001
- 2001/216 Import-Reducing Effect of Trade Barriers: A Cross-Country Investigation
by Mr. Qing Wang
- 2001/215 An Investigation of Output Variance Before and During Inflation Targeting
by Mr. Francisco d Nadal De Simone
- 2001/214 Pension Reform and the Fiscal Policy Stance
by Mr. Philip R. Gerson & Mr. George A Mackenzie & Mr. Peter S. Heller & Mr. Alfredo Cuevas
- 2001/213 A Model of the Joint Distribution of Banking and Exchange-Rate Crises
by Ms. Nancy P. Marion & Mr. Robert P Flood
- 2001/212 Legal Central Bank Independence and Inflation in Latin America During the 1990s
by Mr. Luis Ignacio Jácome
- 2001/211 Systemic Weaknesses of Budget Management in Anglophone Africa
by Mr. Ian Lienert & Mr. Feridoun Sarraf
- 2001/210 Convertibility Risk: The Precautionary Demand for Foreign Currency in a Crisis
by Mr. Alex Mourmouras & Mr. Stabley W. Black & Mr. Charalambos Christofides
- 2001/209 The Treatment of Nonperforming Loans in Macroeconomic Statistics
by Mr. Cornelis N Gorter & Mr. Adriaan M. Bloem
- 2001/208 Government Spending, Legislature Size, and the Executive Veto
by Reza Baqir
- 2001/207 Uncovered Interest Parity in Crisis: The Interest Rate Defense in the 1990s
by Mr. Andrew K. Rose & Mr. Robert P Flood
- 2001/206 Quantity Controls, License Transferability, and the Level of Investment
by Ms. Ling H Tan & Ms. Kala Krishna & Mr. Ram Ranjan
- 2001/205 Central Bank Independence and the Design of Fiscal Institutions
by Ms. Francesca Castellani & Mr. Xavier Debrun
- 2001/204 The Impact of Corporate Governance Structures on the Agency Cost of Debt
by Mr. Jorge A Chan-Lau
- 2001/203 Mind the Gap: What is the Best Measure of Slack in the Euro Area?
by Mr. Angel J. Ubide & Mr. Kevin Ross
- 2001/202 Corporate Restructuring in Japan: An Event-Study Analysis
by Mr. Jorge A Chan-Lau
- 2001/201 Financial Stability and Fiscal Crises in a Monetary Union
by Mr. Samir Jahjah
- 2001/199 Regional Disparities and Transfer Policies in Russia: Theory and Evidence
by Ms. Era Dabla-Norris & Mr. Shlomo Weber
- 2001/198 Sources of Inflation in Developing Countries
by Mr. Prakash Loungani & Mr. Phillip L Swagel
- 2001/197 Limiting Currency Volatility to Stimulate Goods Market Integration: A Price-Based Approach
by Mr. David C. Parsley & Shang-Jin Wei
- 2001/196 An Unbiased Appraisal of Purchasing Power Parity
by Mr. C. John McDermott & Mr. Paul Cashin
- 2001/195 Fiscal Expenditure Policy and Non-Oil Economic Growth: Evidence from GCC Countries
by Mr. Qing Wang & Mr. Ugo Fasano-Filho
- 2001/194 Exchange Rate Pass-Through to Domestic Prices: Does the Inflationary Environment Matter?
by Ms. Dalia S Hakura & Ehsan U. Choudhri
- 2001/193 Stock Market Liberalizations: Financial and Macroeconomic Implications
by Mr. Norbert Funke & Ms. Nicola Fuchs-Schündeln
- 2001/192 Capital Flows and Their Macroeconomic Effects in India
by Ms. Renu Kohli
- 2001/191 Foreign Currency Credit Ratings for Emerging Market Economies
by Mr. Roberto Perrelli & Mr. Christian B. Mulder
- 2001/190 Exchange Rates and Capital Flows
by Mr. Robin Brooks & Mr. Torsten M Sloek & Mr. Manmohan S. Kumar & Ms. Hali J Edison
- 2001/189 Speculative Attacks in the Asian Crisis
by Mr. Zhiwei Zhang
- 2001/188 Measuring Statistical Capacity Building: A Logical Framework Approach
by Mr. Thomas K. Morrison & Mr. Sarmad Khawaja
- 2001/187 The Effects of Capital Controls on Exchange Rate Volatility and Output
by Mr. Christiane Nickel & Mr. Günter Schmidt & Mr. Georg Stadtmann & Mr. Michael Frenkel
- 2001/186 The Zero Interest Rate Floor (ZIF) and its Implications for Monetary Policy in Japan
by Mr. Douglas Laxton & Mr. Benjamin L Hunt
- 2001/185 Hedging Government Oil Price Risk
by Mr. James Daniel
- 2001/184 Implications of Globalization for Monetary Policy
by Mr. Helmut Wagner
- 2001/183 Manuals on Macroeconomic Statistics: A Stocktaking to Guide Future Work
by Mrs. Carol S Carson & Ms. Lucie Laliberté
- 2001/182 An Attempt to Profile the Finances of China’s Enterprise Sector
by Mr. Cem Karacadag & Mr. Paul J. Heytens
- 2001/181 Tax Incentives in The Philippines: A Regional Perspective
by Mr. Nigel A Chalk
- 2001/180 A Simple Measure of the Intensity of Capital Controls
by Mr. Francis E. Warnock & Ms. Hali J Edison
- 2001/179 Euro Area Money Demand: Measuring the Opportunity Costs Appropriately
by Mr. Joaquim Vieira Ferreira Levy & Mr. Alessandro Calza & Mr. Dieter Gerdesmeier
- 2001/178 Is Fiscal Policy Coordination in EMU Desirable?
by Mr. Roel M. W. J. Beetsma & Mr. Xavier Debrun & Mr. Franc Klaassen
- 2001/177 Monetary Policy and Corporate Liquid Asset Demand
by Woon Gyu Choi & Mr. Yungsan Kim
- 2001/176 The Art of Making Everybody Happy: How to Prevent a Secession
by Mr. Michel Le Breton & Mr. Shlomo Weber
- 2001/175 Determinants of, and the Relation Between, Foreign Direct Investment and Growth: A Summary of the Recent Literature
by Mr. Ewe-Ghee Lim
- 2001/174 The Law of One Price Over 700 Years
by Mr. Kenneth Rogoff & Mr. Kenneth Froot & Mr. Michael Kim
- 2001/173 Economic Data Dissemination: What Influences Country Performanceon Frequency and Timiliness?
by Mr. Mehmet Agça & Mr. Peter Allum
- 2001/172 Short- and Long-Term Poverty and Social Policy in a “Snakes and Ladders” Model of Growth
by Mr. Alfredo Cuevas
- 2001/171 Key Features of Australian Business Cycles
by Mr. Paul Cashin & Mr. Sam Ouliaris
- 2001/170 Post-Crisis Exchange Rate Policy in Five Asian Countries: Filling in the "Hollow Middle"?
by Mr. Leonardo Hernández & Mr. Peter J Montiel
- 2001/169 The Russian Financial Crisis and its Consequences for Central Asia
by Mr. Gonzalo C Pastor Campos & Ms. Tatiana Damjanovic
- 2001/168 Inflation Dynamics in Madagascar, 1971-2000
by Mr. Emilio Sacerdoti & Mr. Yuan Xiao
- 2001/167 How Volatile and Unpredictable Are Aid Flows, and What Are the Policy Implications?
by Mr. A. J Hamann & Mr. Aleš Bulíř
- 2001/166 Inflation Targeting and the Unemployment-Inflation Trade-off
by Mr. Chorng-Huey Wong & Mr. Eric V. Clifton & Mr. Gene L. Leon
- 2001/165 Emerging Market Bond Spreads and Sovereign Credit Ratings: Reconciling Market Views with Economic Fundamentals
by Mr. Amadou N Sy
- 2001/164 Private Costs and Public Infrastructure: The Mexican Case
by Mr. Russell D. Murphy & Mr. Andrew Feltenstein
- 2001/163 Trade in the Mashreq: An Empirical Examination
by Mr. Rodolphe Blavy
- 2001/162 Systemic Financial Crises, Balance Sheets, and Model Uncertainity
by Mr. Melvyn Weeks & Mr. Mark R. Stone
- 2001/161 Inflation Targeting Under Asymmetric Preferences
by Mr. Francisco Javier Ruge-Murcia
- 2001/160 Financial Development and Poverty Alleviation: Issues and Policy Implications for Developing and Transition Countries
by Mr. Vassili Prokopenko & Mr. Paul Holden
- 2001/159 Should Banks Be Narrowed?
by Mr. Biaggio Bossone
- 2001/158 Corporate Bond Risk and Real Activity: An Empirical Analysis of Yield Spreads and Their Systematic Components
by Mr. Iryna V. Ivaschenko & Mr. Jorge A Chan-Lau
- 2001/157 Cost and Effectiveness of Banking Sector Restructuring in Transition Economies
by Ms. Edda Zoli
- 2001/156 Econometric Analysis of Discrete Reforms
by Mr. Alexei P Kireyev
- 2001/155 Why Has the Euro Been so Weak?
by Mr. Guy M Meredith
- 2001/154 From Crisis to Recovery in Korea: Strategy, Achievements, and Lessons
by Mr. Kenneth H Kang & Ms. Hong Liang & Mr. Henry Ma & Mr. Anthony J. Richards & Mr. Ajai Chopra & Ms. Meral Karasulu
- 2001/153 Economic and Environmental Benefits of Eliminating Log Export Bans—The Case of Costa Rica
by Mr. Nalin M. Kishor & Mr. Muthukumara Mani & Mr. Luis F. Constantino
- 2001/152 Characterizing Exchange Rate Regimes in Post-Crisis East Asia
by Mr. Taimur Baig
- 2001/151 Monetary Policy with a touch of Basel
by Mr. Ralph Chami & Mr. Thomas F. Cosimano
- 2001/150 Trade Integration and Political Turbulence: Environmental Policy Consequences
by Mr. Muthukumara Mani & Mr. Per G. Fredriksson
- 2001/149 Implementation of Monetary Policy and the Central Bank's Balance Sheet
by Ms. Andrea Schaechter
- 2001/148 What Does South Africa's Pattern of Trade Say About its Labor Markets?
by Mr. Arvind Subramanian & Mr. Trevor Serge Coleridge Alleyne
- 2001/147 Asset Securitization and Structured Financing: Future Prospects and Challenges for Countries in Emerging Markets
by Mr. Lakshman Alles
- 2001/146 Real Convergence to EU Income Levels: Central Europe From 1990 to the Long Term
by Mr. Guorong Jiang & Mr. Peter Doyle & Louis Kuijs
- 2001/145 Fiscal Rules: Useful Policy Framework or Unnecessary Ornament?
by Mr. George Kopits
- 2001/144 Debt Relief Under the HIPC Initiative: Context and Outlook for Debt Sustainability and Resource Flow
by Ms. Doris C Ross & Mr. Lisandro Abrego
- 2001/143 Reserve Adequacy in Emerging Market Economics
by International Monetary Fund
- 2001/142 IMF Conditionality and Country Ownership of Programs
by Mr. Mohsin S. Khan & Mr. Sunil Sharma
- 2001/141 Financial Sector Evolution in the Central European Economies: Challenges in Supporting Macroeconomic Stability and Sustainable Growth
by Ms. Nancy L Wagner & Ms. Dora M Iakova
- 2001/140 A Model of Exchange Rate Regime Choice in the Transitional Economies of Central and Eastern Europe
by Mr. Vladimir Klyuev
- 2001/139 A Primeron Mineral Taxation
by Mr. Thomas Baunsgaard
- 2001/138 Bank Reform and Bank Efficiency in Pakistan
by International Monetary Fund
- 2001/137 International Financial Contagion and the IMF: A Theoretical Framework
by Mr. Peter B. Clark & Mr. Haizhou Huang
- 2001/136 Rationing Rules and Outcomes: The Experience of Singapore’s Vehicle Quota System
by Ms. Ling H Tan
- 2001/135 Macroeconomic Policies and Poverty Reduction: Stylized Facts and an Overview of Research
by Mr. Paul Cashin & Ms. Catherine A Pattillo & Ms. Ratna Sahay & Mr. Paolo Mauro
- 2001/134 Pure Contagion and Investors Shifting Risk Appetite: Analytical Issues and Empirical Evidence
by Mr. Manmohan S. Kumar & Mr. Avinash Persaud
- 2001/133 Returns to Human Capital and Investment in New Technology
by Mr. Rodolfo Luzio & Mr. Steven V Dunaway & Mr. Martin D Kaufman
- 2001/132 Statistical Treatment of Accrual of Intereston Debt Securities
by Mr. Chris Wright & Mr. John Joisce
- 2001/131 Policies and Prospects in Japan and the Implications for the Asia-Pacific Region
by Mr. Tim Callen & Warwick J. McKibbin
- 2001/130 The New International Financial Architecture and Africa
by Mr. Saleh M. Nsouli & Ms. Françoise Le Gall
- 2001/129 Real Estate Market Developments and Financal Sector Soundness
by Mr. Paul Louis Ceriel Hilbers & Ms. Lisbeth S Zacho & Mr. Qin Lei
- 2001/128 Migration, Human Capital, and Poverty in a Dual-Economy Model of a Developing Country
by Mr. Paul R Masson
- 2001/127 Public Spending on Health Care and the Poor
by Marijn Verhoeven & Mr. Sanjeev Gupta & Mr. Erwin H Tiongson
- 2001/126 Subsidy Reforms and Poverty Alleviation
by Mr. Chandra Prakash Bhambhri & Mr. Parkash Chander
- 2001/125 Pension Reform in India
by Mr. Robert Gillingham & Mr. Daniel S Kanda
- 2001/124 Convergence of Relative Prices and Inflation in Central and Eastern Europe
by Mr. Tomás Holub & Mr. Martin Cihak
- 2001/123 Financial System Soundness in the Caribbean: An Initial Assessment
by Mr. Desiree Cherebin & Mr. Rupert D Worrell & Ms. Tracy Polius
- 2001/122 Has Inventory Investment Been Liquidity-Constrained? Evidence From U.S. Panel Data
by Mr. Yungsan Kim & Woon Gyu Choi
- 2001/121 Is Foreign Debt Portfolio Management Efficient in Emerging Economies?
by Mr. Khaled Hussein
- 2001/120 Czech Koruna and Polish Zloty: Spot and Currency Option Volatility Patterns
by Mr. Armando Méndez Morales
- 2001/119 The Impact of U.S. Economic Growthon the Rest of the World: How Much Does it Matter?
by Mr. Athanasios Vamvakidis & Mr. Vivek Arora
- 2001/118 Financial Liberalization, Money Demand, and Inflation in Uganda
by Mr. Jean-Claude Nachega
- 2001/117 Agents’ Preferences, the Equity Premium, and the Consumption-Saving Trade-Off: An Application to French Data
by Ms. Aude Pommeret & Ms. Anne Epaulard
- 2001/116 Who Can Explain The Mauritian Miracle: Meade, Romer, Sachs or Rodrik?
by Mr. Arvind Subramanian & Mr. Devesh Roy
- 2001/115 Multiple Avenues of Intermediation, Corporate Finance and Financial Stability
by E. P. Davis
- 2001/114 Institutional Reform in Transition Economies: How Far Have they Come
by Ms. Beatrice Weder
- 2001/113 The New Basel Capital Accord: The Devil Is in the (Calibration) Details
by Mr. Paul H. Kupiec
- 2001/112 Economic Growth and Poverty Reduction in Sub-Saharan Africa
by Mr. Gary G. Moser & Mr. Toshihiro Ichida
- 2001/111 The Asset Allocation of Emerging Market Mutual Funds
by Mr. Piti Disyatat & Mr. Gaston Gelos
- 2001/110 Injury Investigations in anti-Dumping and the Super-Additivity Effect: A Theoretical Explanation
by Mrs. Poonam Gupta & Mr. Arvind Panagariya
- 2001/109 Short-Term Forecasting: Projecting Italian GDPone Quarter to Two Years Ahead
by Mr. Matteo Iacoviello
- 2001/108 Transitional Growth with Increasing Inequality and Financial Deepening
by Mr. Kenichi Ueda
- 2001/107 Long-Term Capital Movements
by Mr. Philip R. Lane & Mr. Gian M Milesi-Ferretti
- 2001/106 The Impact of Public Education Expenditure on Human Capital, Growth, and Poverty in Tanzania and Zambia: A General Equilibrium Approach
by Mr. Erik Thorbecke & Mr. Hong-Sang Jung
- 2001/105 A Statistical Analysis of Banking Performance in the Eastern Caribbean Currency Union in the 1990s
by Mr. V. Hugo Juan-Ramon & Mrs. Ruby Randall & Mr. Oral Williams
- 2001/104 Reserve Pooling in the Eastern Caribbean Currency Union and the CFA Franc Zone: A Comparative Analysis
by Mr. Hazel Selvon & Ms. Tracy Polius & Mr. Oral Williams
- 2001/103 Financial Repression and Exchange Rate Management in Developing Countries: Theory and Empirical Evidence for India
by Ms. Renu Kohli & Kenneth Kletzer
- 2001/102 Monetary Policy Under EMU: Differences in the Transmission Mechanism?
by Mr. Benedict J. Clements & Mr. Zenon Kontolemis & Mr. Joaquim Vieira Ferreira Levy
- 2001/101 The Imf and the Ruble Area, 1991-1993
by Mr. John C. Odling-Smee & Mr. Gonzalo C Pastor Campos
- 2001/100 The Two Monetary Approaches to the Balance of Payments: Keynesian and Johnsonian
by J. J. Polak
- 2001/099 Philippines: Preparations for Inflation Targeting
by Ms. Piyabha Kongsamut
- 2001/098 “Big Bang” Versus Gradualism in Economic Reforms: An Intertemporal Analysis with an Application to China
by Mr. Andrew Feltenstein & Mr. Saleh M. Nsouli
- 2001/097 Can Inheritances Alleviate the Demographic Burden?
by Mr. Erik Lueth
- 2001/096 Districting and Government Overspending
by Reza Baqir
- 2001/095 Globalization and Firms' Financing Choices: Evidence From Emerging Economies
by Mr. Sergio L. Schmukler & Mr. Esteban Vesperoni
- 2001/094 The Gender Gap in Education in Eritrea in 1991-1998: A Missed Opportunity?
by Mr. Joshua Comenetz & Mr. Aleš Bulíř & Ms. Zuzana Brixiova
- 2001/093 Consumption-Based Interest Rate and the Present-Value Model of the Current Account—Evidence from Nigeria
by Mr. Olumuyiwa S Adedeji
- 2001/092 Bond Restructuring and Moral Hazard: Are Collective Action Clauses Costly?
by Mr. Torbjorn I. Becker & Mr. Anthony J. Richards & Mr. Yunyong Thaicharoen
- 2001/091 An Assessment of Fiscal Rules in the United Kingdom
by Mr. Michael Kell
- 2001/090 Investment Banking and Security Market Development: Does Finance Follow Industry?
by Mr. Bharat Narendra Anand & Mr. Alexander Galetovic P.
- 2001/089 Productivity in the OECD Countries: A Critical Appraisal of the Evidence
by Mr. César Calderón
- 2001/088 Stress Testing of Financial Systems: An Overview of Issues, Methodologies, and FSAP Experiences
by Maria Soledad Martinez Peria & Mr. Giovanni Majnoni & Mr. Matthew T Jones & Mr. Winfrid Blaschke
- 2001/087 The Size and Sustainability of Nigerian Current Account Deficits
by Mr. Olumuyiwa S Adedeji
- 2001/086 Resources and Incentives to Reform: A Model and Some Evidence on Sub-Saharan African Countries
by Mr. Guido De Blasio & Mr. A. Dalmazzo
- 2001/085 Beyond Balanced Growth
by Mr. Sergio Rebelo & Ms. Piyabha Kongsamut & Danyang Xie
- 2001/084 The Impact of the EMUon the Structure of European Equity Returns: An Empirical Analysis of the First 21 Months
by Mr. Thomas Kraus