Content
December 2024, Volume 72, Issue 4
- 1279-1319 Tracking Foreign Capital: The Effect of Capital Inflows on Bank Lending in the UK
by Christiane Kneer & Alexander Raabe - 1320-1346 The Rest of the World’s Dollar-Weighted Return on U.S. Treasurys
by Zhengyang Jiang & Arvind Krishnamurthy & Hanno Lustig - 1347-1385 Inflation Surge and Sovereign Borrowing: The Role of Policy Practices in Strengthening Sovereign Resilience
by Joshua Aizenman & Huanhuan Zheng - 1386-1410 Systematizing Macroframework Forecasting: High-Dimensional Conditional Forecasting with Accounting Identities
by Sakai Ando & Taehoon Kim - 1411-1448 Multinationals and Services Imports from Havens: When Policies Stand in the Way of Tax Planning
by Joana Garcia - 1449-1501 Sovereign Default and International Trade
by Charles Serfaty - 1502-1519 The Travel Shock
by Gian Maria Milesi-Ferretti
September 2024, Volume 72, Issue 3
- 941-943 The Future of Macroeconomic Policy
by Juan Rubio-Ramirez & Stephanie Schmitt-Grohé - 944-990 The Role of International Financial Integration in Monetary Policy Transmission
by Jing Cynthia Wu & Yinxi Xie & Ji Zhang - 991-1041 Optimal Macroeconomic Policies in a Heterogeneous World
by James Bullard & Aarti Singh & Jacek Suda - 1042-1080 The Dollar in an Era of International Retrenchment
by Ryan Chahrour & Rosen Valchev - 1081-1124 Climate Policy and the Economy: Evidence from Europe’s Carbon Pricing Initiatives
by Diego R. Känzig & Maximilian Konradt - 1125-1151 Changing Global Input-Output Linkages and Demand Spillover
by Wataru Miyamoto & Thuy Lan Nguyen - 1152-1184 The Macroeconomic Effects of the Federal Reserve’s Conventional and Unconventional Monetary Policies
by Eric T. Swanson - 1185-1211 Tariffs and the Exchange Rate: Evidence from Twitter
by Dmitry Matveev & Francisco Ruge-Murcia - 1212-1237 The Effects of a Money-Financed Fiscal Stimulus in a Small Open Economy
by Eiji Okano & Masataka Eguchi - 1238-1277 Great Dilution: The Global Impact of the US Inflation Shock on Sovereign Debt
by Gautam Nair & Federico Sturzenegger
June 2024, Volume 72, Issue 2
- 509-553 Many Creditors, One Large Debtor: Understanding the Buildup of Global Stock Imbalances After the Global Financial Crisis
by Gian Maria Milesi-Ferretti - 554-610 The Internationalization of China’s Equity Markets
by Juan J. Cortina & Maria Soledad Martinez Peria & Sergio L. Schmukler & Jasmine Xiao - 611-652 International Economic Sanctions and Third-Country Effects
by Fabio Ghironi & Daisoon Kim & Galip Kemal Ozhan - 653-700 The Dollar’s Imperial Circle
by Ozge Akinci & Gianluca Benigno & Serra Pelin & Jon Turek - 701-772 Fiscal Consequences of Missing an Inflation Target
by Michele Andreolli & Hélène Rey - 773-819 Global Spillovers of the Fed Information Effect
by Marco Pinchetti & Andrzej Szczepaniak - 820-857 Tracking Global Economic Uncertainty: Implications for the Euro Area
by Alina Bobasu & Lucia Quaglietti & Martino Ricci - 858-901 Global Bank Lending Under Climate Policy
by Asli Demirgüç-Kunt & Alvaro Pedraza & Fredy Pulga & Claudia Ruiz-Ortega - 902-917 Inflation with Covid Consumption Baskets
by Alberto Cavallo - 918-939 An Economic Analysis of Debt-for-Climate Swaps
by Marcos Chamon & Erik Klok & Vimal Thakoor & Jeromin Zettelmeyer
March 2024, Volume 72, Issue 1
- 1-31 Global Liquidity: Drivers, Volatility and Toolkits
by Linda S. Goldberg - 32-57 Gambling to Preserve Price (and Fiscal) Stability
by Giancarlo Corsetti & Bartosz Maćkowiak - 58-115 The Impact of U.S. Monetary Policy on Foreign Firms
by Julian di Giovanni & John Rogers - 116-151 Disasters Everywhere: The Costs of Business Cycles Reconsidered
by Òscar Jordà & Moritz Schularick & Alan M. Taylor - 152-195 Currency Areas, Labor Markets, and Regional Cyclical Sensitivity
by Katheryn N. Russ & Jay C. Shambaugh & Sanjay R. Singh - 196-252 Uncovering CIP Deviations in Emerging Markets: Distinctions, Determinants, and Disconnect
by Eugenio Cerutti & Haonan Zhou - 253-291 Climate Disasters and Exchange Rates: Are Beliefs Keeping up with Climate Change?
by Galina Hale - 292-334 Is to Forgive to Forget? Sovereign Risk in the Aftermath of Private or Official Debt Restructurings
by Silvia Marchesi & Tania Masi & Pietro Bomprezzi - 335-392 Foreign Vulnerabilities, Domestic Risks: The Global Drivers of GDP-at-Risk
by Simon Lloyd & Ed Manuel & Konstantin Panchev - 393-440 Public Employment Agency Reform, Matching Efficiency, and German Unemployment
by Christian Merkl & Timo Sauerbier - 441-486 The Incidence of Capital Flow Management Measures: Observations from a New Database
by Mahir Binici & Mitali Das & Evgenia Pugacheva - 487-507 Calamities, Debt, and Growth in Developing Countries
by Rachel Yuting Fan & Daniel Lederman & Ha Nguyen & Claudio J. Rojas
December 2023, Volume 71, Issue 4
- 817-851 Tariff Reductions, Heterogeneous Firms, and Welfare: Theory and Evidence for 1990–2010
by Lorenzo Caliendo & Robert C. Feenstra & John Romalis & Alan M. Taylor - 852-884 Foreign Exchange Intervention: A New Database
by Marcel Fratzscher & Tobias Heidland & Lukas Menkhoff & Lucio Sarno & Maik Schmeling - 885-906 Capital Controls Checkup: Cases, Customs, Consequences
by Stefan Goldbach & Volker Nitsch - 907-952 Inattentive Search for Currency Fundamentals
by Agnieszka P. Markiewicz & Ralph C. Verhoeks & Willem F. C. Verschoor & Remco C. J. Zwinkels - 953-999 Equity Home Bias in a Capital Market Union
by Markus Sihvonen - 1000-1024 Do Monetary Policy Frameworks Matter in Low-Income Countries?
by Alina Carare & Carlos Resende & Andrew T. Levin & Chelsea Zhang
September 2023, Volume 71, Issue 3
- 577-579 Transformational Recovery: Seizing Opportunities from the Crisis
by Kenza Benhima & Kerem Cosar - 580-610 Jobless and Stuck: Youth Unemployment and COVID-19 in India
by Swati Dhingra & Fjolla Kondirolli - 611-648 Calculating the Costs and Benefits of Advance Preparations for Future Pandemics
by Rachel Glennerster & Christopher M. Snyder & Brandon Joel Tan - 649-687 Trade Integration, Industry Reallocation, and Welfare in Colombia
by George Alessandria & Oscar Avila - 688-718 Projecting the Impact of Rising Temperatures: The Role of Macroeconomic Dynamics
by Gregory Casey & Stephie Fried & Ethan Goode - 719-758 Demographics and Current Account Imbalances: Accounting for the Full Age Distribution
by Miriam Koomen & Laurence Wicht - 759-790 Exchange Rate Policy and Firm Heterogeneity
by Masashige Hamano & Francesco Pappadà - 791-816 The Dominant Role of Large Firms in Profit Shifting
by Ludvig Wier & Hayley Erasmus
June 2023, Volume 71, Issue 2
- 369-414 Profit Shifting, Returns on Foreign Direct Investments and Investment Income Imbalances
by Vincent Vicard - 415-438 Text-Based Recession Probabilities
by Massimo Ferrari Minesso & Laura Lebastard & Helena Mezo - 439-473 A Manufacturing (Re)Naissance? Industrialization in the Developing World
by Hagen Kruse & Emmanuel Mensah & Kunal Sen & Gaaitzen Vries - 474-508 Social Distancing, Vaccination and Evolution of COVID-19 Transmission Rates in Europe
by Alexander Chudik & M. Hashem Pesaran & Alessandro Rebucci - 509-537 Macrofinancial Causes of Optimism in Growth Forecasts
by Yan Carrière-Swallow & José Marzluf - 538-573 When Does Monetary Policy Sway House Prices? A Meta-Analysis
by Dominika Ehrenbergerova & Josef Bajzik & Tomas Havranek - 574-575 Correction: Profit Shifting, Returns on Foreign Direct Investments and Investment Income Imbalances
by Vincent Vicard
March 2023, Volume 71, Issue 1
- 1-34 International Macroeconomics: From the Great Financial Crisis to COVID-19, and Beyond
by Pierre Olivier Gourinchas - 35-98 The Fiscal and Welfare Effects of Policy Responses to the Covid-19 School Closures
by Nicola Fuchs-Schündeln & Dirk Krueger & André Kurmann & Etienne Lalé & Alexander Ludwig & Irina Popova - 99-147 Macroeconomic Effects of COVID-19 Across the World Income Distribution
by Titan Alon & Minki Kim & David Lagakos & Mitchell Vuren - 148-169 COVID-19 Vaccines: A Shot in the Arm for the Economy
by Niels-Jakob H. Hansen & Rui C. Mano - 170-215 Supply Shocks in Supply Chains: Evidence from the Early Lockdown in China
by Raphael Lafrogne-Joussier & Julien Martin & Isabelle Mejean - 216-242 COVID-19 Vaccination and Financial Frictions
by Cristina Arellano & Yan Bai & Gabriel Mihalache - 243-299 A Macroeconomic Model of Healthcare Saturation, Inequality and the Output–Pandemia Trade-off
by Enrique G. Mendoza & Eugenio Rojas & Linda L. Tesar & Jing Zhang - 300-325 The Transmission Mechanisms of International Business Cycles: International Trade and the Foreign Effects of US Monetary Policy
by Falk Bräuning & Viacheslav Sheremirov - 326-368 The Expected, Perceived, and Realized Inflation of US Households Before and During the COVID19 Pandemic
by Michael Weber & Yuriy Gorodnichenko & Olivier Coibion
December 2022, Volume 70, Issue 4
- 625-667 Financial Crises, Macroprudential Policy and the Reliability of Credit-to-GDP Gaps
by Piergiorgio Alessandri & Pierluigi Bologna & Maddalena Galardo - 668-697 Measuring Financial Conditions using Equal Weights Combination
by Simone Arrigoni & Alina Bobasu & Fabrizio Venditti - 698-734 Financial Linkages and Sectoral Business Cycle Synchronization: Evidence from Europe
by Hannes Böhm & Julia Schaumburg & Lena Tonzer - 735-772 A Disaster Under-(Re)Insurance Puzzle: Home Bias in Disaster Risk-Bearing
by Hiro Ito & Robert N. McCauley - 773-807 Regional Integration and Decoupling in the Asia Pacific: A Bayesian Panel VAR Approach
by Sharada Nia Davidson - 808-830 Too Big to Fail and Moral Hazard: Evidence from an Epoch of Unregulated Commercial Banking
by Thomas Barnebeck Andersen & Peter Sandholt Jensen
September 2022, Volume 70, Issue 3
- 383-419 Export Prices, Imported Inputs, and Domestic Supply Networks
by Yusuf Emre Akgündüz & Salih Fendoğlu - 420-450 Fiscal Consolidation and Automatic Stabilization: New Results
by Mathias Dolls & Clemens Fuest & Andreas Peichl & Christian Wittneben - 451-486 The New Fama Puzzle
by Matthieu Bussière & Menzie Chinn & Laurent Ferrara & Jonas Heipertz - 487-519 Attention to the Tail(s): Global Financial Conditions and Exchange Rate Risks
by Fernando Eguren-Martin & Andrej Sokol - 520-559 For Whom the Levy Tolls: The Case of a Macroprudential Stability Levy in South Korea
by JaeBin Ahn & Youngju Kim & Hyunjoon Lim - 560-589 Who Bears the Brunt of Lockdown Policies? Evidence from Tele-workability Measures Across Countries
by Mariya Brussevich & Era Dabla-Norris & Salma Khalid - 590-623 Natural Disasters and the Reshaping of Global Value Chains
by Caroline Freund & Aaditya Mattoo & Alen Mulabdic & Michele Ruta
June 2022, Volume 70, Issue 2
- 185-211 International Trade and Letters of Credit: A Double-Edged Sword in Times of Crises
by Matthieu Crozet & Banu Demir & Beata Javorcik - 212-250 The Long Shadow of Public Interventions in the Financial Sector
by Giovanni Dell’Ariccia & Deniz Igan & Paolo Mauro & Hala Moussawi & Alexander F. Tieman & Aleksandra Zdzienicka - 251-251 Publisher Correction to: The Long Shadow of Public Interventions in the Financial Sector
by Giovanni Dell’Ariccia & Deniz Igan & Paolo Mauro & Hala Moussawi & Alexander F. Tieman & Aleksandra Zdzienicka - 252-299 Does the Relative Importance of the Push and Pull Factors of Foreign Capital Flows Vary Across Quantiles?
by Xichen Wang & Cheng Yan - 300-337 Labor Market Policies and Business Cycles in Emerging Economies
by Ruy Lama & Gustavo Leyva & Carlos Urrutia - 338-381 Decomposing Multinational Corporations’ Declining Effective Tax Rates
by Javier Garcia-Bernardo & Petr Janský & Thomas Tørsløv
March 2022, Volume 70, Issue 1
- 1-3 Living in the Extreme: Economics of Pandemics, Climate Change and Tail Risks
by Emine Boz & Linda Tesar - 4-31 From Health Crisis to Financial Distress
by Carmen M. Reinhart - 32-67 Stock Prices and Economic Activity in the Time of Coronavirus
by Steven J. Davis & Dingqian Liu & Xuguang Simon Sheng - 68-104 Inequality in Life and Death
by Martin S. Eichenbaum & Sergio Rebelo & Mathias Trabandt - 105-138 Mobility Under the COVID-19 Pandemic: Asymmetric Effects Across Gender and Age
by Francesca Caselli & Francesco Grigoli & Damiano Sandri & Antonio Spilimbergo - 139-140 Correction to: Mobility Under the COVID-19 Pandemic: Asymmetric Effects Across Gender and Age
by Francesca Caselli & Francesco Grigoli & Damiano Sandri & Antonio Spilimbergo - 141-184 From Just-in-Time, to Just-in-Case, to Just-in-Worst-Case: Simple Models of a Global Supply Chain under Uncertain Aggregate Shocks
by Bomin Jiang & Daniel Rigobon & Roberto Rigobon
December 2021, Volume 69, Issue 4
- 597-623 Large Current Account Deficits and Neglected Vulnerabilities
by José Daniel Aromí - 624-655 De-Globalization, Welfare State Reforms and Labor Market Outcomes
by Hassan Molana & Catia Montagna & George E. Onwordi - 656-680 Supply Chain Fragmentation and the Global Trade Elasticity: A New Accounting Framework
by Marcel P. Timmer & Bart Los & Robert Stehrer & Gaaitzen J. Vries - 681-681 Correction to: Supply Chain Fragmentation and the Global Trade Elasticity: A New Accounting Framework
by Marcel P. Timmer & Bart Los & Robert Stehrer & Gaaitzen J. Vries - 682-720 Effect of Trade Liberalization on Gender Inequality: The Case of India
by Ashmita Gupta
September 2021, Volume 69, Issue 3
- 467-469 Economic Integration and Growth
by Shawn Cole & Silvana Tenreyo - 470-504 Infrastructure Investment and Labor Monopsony Power
by Wyatt J. Brooks & Joseph P. Kaboski & Illenin O. Kondo & Yao Amber Li & Wei Qian - 505-539 Trade Integration, Global Value Chains, and Capital Accumulation
by Michael Sposi & Kei-Mu Yi & Jing Zhang - 540-575 Entry and Exit of Informal Firms and Development
by Brian McCaig & Nina Pavcnik - 576-595 Social Norms as a Barrier to Women’s Employment in Developing Countries
by Seema Jayachandran
June 2021, Volume 69, Issue 2
- 275-324 Capital Controls and Electoral Cycles
by Nicolas Gavoille & Katharina Hofer - 325-356 The International Transmission of US Tax Shocks: A Proxy-SVAR Approach
by Luca Metelli & Filippo Natoli - 357-390 Understanding the New Normal: The Role of Demographics
by Etienne Gagnon & Benjamin K. Johannsen & David López-Salido - 391-426 Sovereign Default Risk, Macroeconomic Fluctuations and Monetary–Fiscal Stabilization
by Markus Kirchner & Malte Rieth - 427-465 IMF-Supported Programs and Sovereign Debt Crises
by Hippolyte Balima & Amadou Sy
March 2021, Volume 69, Issue 1
- 1-4 Debt: The Good. The Bad. The Ugly
by Emine Boz & Linda Tesar - 5-22 Can Policy Tame the Credit Cycle?
by Jeremy C. Stein - 23-89 Credit Disintermediation and Monetary Policy
by Nicolas Crouzet - 90-121 Exchange Rate Fluctuations and Firm Leverage
by Sebnem Kalemli-Ozcan & Xiaoxi Liu & Ilhyock Shim - 122-154 On Public Spending and Economic Unions
by Fernando Broner & Alberto Martin & Jaume Ventura - 155-196 Restructuring Sovereign Bonds: Holdouts, Haircuts and the Effectiveness of CACs
by Chuck Fang & Julian Schumacher & Christoph Trebesch - 197-229 $$r-g
by Paolo Mauro & Jing Zhou - 230-257 The Relationship Between Debt and Output
by Yun Jung Kim & Jing Zhang - 258-274 Discussion on Public Debt and Fiscal Policy
by Olivier Blanchard & Gita Gopinath & Kenneth Rogoff
December 2020, Volume 68, Issue 4
- 721-763 International Evidence on Shock-Dependent Exchange Rate Pass-Through
by Kristin Forbes & Ida Hjortsoe & Tsvetelina Nenova - 764-814 Peer Effects in Central Banking
by Roman Horvath - 815-847 Gains from Reducing the Implementation Delays in Public Investment
by Murat Ozbilgin - 848-874 Revenue Implications of Destination-Based Cash-Flow Taxation
by Shafik Hebous & Alexander Klemm & Saila Stausholm
September 2020, Volume 68, Issue 3
- 453-455 Current Policy Challenges Facing Emerging Markets
by Laura Alfaro & Enrique Mendoza - 456-508 Emerging Markets and the New Geography of Trade: The Effects of Rising Trade Barriers
by Ricardo Reyes-Heroles & Sharon Traiberman & Eva Van Leemput - 509-549 The Price of Capital Goods: A Driver of Investment Under Threat
by Weicheng Lian & Natalija Novta & Evgenia Pugacheva & Yannick Timmer & Petia Topalova - 550-583 The Impact of Industrialized Countries’ Monetary Policy on Emerging Economies
by Vincenzo Quadrini - 584-642 Relationship Networks in Banking Around a Sovereign Default and Currency Crisis
by Pablo D’Erasmo & Hernán Moscoso Boedo & María Pía Olivero & Máximo Sangiácomo - 643-692 The Determinants of China’s International Portfolio Equity Allocations
by Isha Agarwal & Grace Weishi Gu & Eswar Prasad - 693-719 Revisiting Exchange Rate Rules
by Kathryn M. E. Dominguez
June 2020, Volume 68, Issue 2
- 307-361 Systemic Banking Crises Database II
by Luc Laeven & Fabian Valencia - 362-389 A Decomposition of International Capital Flows
by Gao Meng & Eric Wincoop - 390-420 Welfare Multiplier of Public Investment
by Giovanni Ganelli & Juha Tervala - 421-451 Export Quality in Advanced and Developing Economies: Evidence from a New Data Set
by Christian Henn & Chris Papageorgiou & Jose Manuel Romero & Nikola Spatafora
March 2020, Volume 68, Issue 1
- 1-3 International Spillovers and Cooperation
by Emine Boz & Linda Tesar - 4-34 The Spillovers from Easy Liquidity and the Implications for Multilateralism
by Douglas W. Diamond & Yunzhi Hu & Raghuram G. Rajan - 35-65 US or Domestic Monetary Policy: Which Matters More for Financial Stability?
by Stephen G. Cecchetti & Tommaso Mancini-Griffoli & Machiko Narita & Ratna Sahay - 66-107 The Role of US Monetary Policy in Banking Crises Across the World
by C. Bora Durdu & Alex Martin & Ilknur Zer - 108-162 Implementable Rules for International Monetary Policy Coordination
by Michael B. Devereux & Charles Engel & Giovanni Lombardo - 163-194 On the Welfare Losses from External Sovereign Borrowing
by Mark Aguiar & Manuel Amador & Stelios Fourakis - 195-229 Local Fiscal Multipliers and Fiscal Spillovers in the USA
by Alan Auerbach & Yuriy Gorodnichenko & Daniel Murphy - 230-267 The Economics and Politics of Revoking NAFTA
by Raphael A. Auer & Barthélémy Bonadio & Andrei A. Levchenko - 268-306 At a Cost: The Real Effects of Transfer Pricing Regulations
by Ruud Mooij & Li Liu
December 2019, Volume 67, Issue 4
- 703-745 The Great Recession and a Missing Generation of Exporters
by William F. Lincoln & Andrew H. McCallum & Michael Siemer - 746-790 On the Link Between the Volatility and Skewness of Growth
by Geert Bekaert & Alexander Popov - 791-823 Saving Rates in Latin America: A Neoclassical Perspective
by Andrés Fernández & Ayşe İmrohoroğlu & Cesar E. Tamayo - 824-851 Triffin: Dilemma or Myth?
by Michael D. Bordo & Robert N. McCauley
September 2019, Volume 67, Issue 3
- 421-423 The Euro at 20
by Sebnem Kalemli-Ozcan & Philippe Martin - 424-442 Macrofinancial Stability and the Euro
by Philip R. Lane - 443-495 Channels of Risk Sharing in the Eurozone: What Can Banking and Capital Market Union Achieve?
by Mathias Hoffmann & Egor Maslov & Bent E. Sørensen & Iryna Stewen - 496-527 The Procyclicality of Banking: Evidence from the Euro Area
by Harry Huizinga & Luc Laeven - 528-572 Immigrants, Labor Market Dynamics and Adjustment to Shocks in the Euro Area
by Gaetano Basso & Francesco D’Amuri & Giovanni Peri - 573-617 Fiscal Stimulus in a Monetary Union: Evidence from Eurozone Regions
by Maria Coelho - 618-656 Does Austerity Go Along with Internal Devaluations?
by Luisa Lambertini & Christian Proebsting - 657-683 Revisiting the Economic Case for Fiscal Union in the Euro Area
by Helge Berger & Giovanni Dell’Ariccia & Maurice Obstfeld - 684-702 Fiscal Policy, Potential Output, and the Shifting Goalposts
by Antonio Fatás
June 2019, Volume 67, Issue 2
- 261-287 Debt Redemption and Reserve Accumulation
by Laura Alfaro & Fabio Kanczuk - 288-314 Capital Controls and the Cost of Debt
by Eugenia Andreasen & Martin Schindler & Patricio Valenzuela - 315-348 Domestic and International Effects of the Eurosystem Expanded Asset Purchase Programme: A Structural Model-Based Analysis
by Pietro Cova & Patrizio Pagano & Massimiliano Pisani - 349-394 Saving China’s Stock Market?
by Yi Huang & Jianjun Miao & Pengfei Wang - 395-419 Financial Development and Technology Diffusion
by Diego Comin & Ramana Nanda
March 2019, Volume 67, Issue 1
- 1-3 The Global Financial Cycle
by Emine Boz & Linda Tesar - 4-23 Trade Policy and the Macroeconomy
by Barry Eichengreen - 24-60 How Important is the Global Financial Cycle? Evidence from Capital Flows
by Eugenio Cerutti & Stijn Claessens & Andrew K. Rose - 61-108 International Bank Flows and the Global Financial Cycle
by Mary Amiti & Patrick McGuire & David E. Weinstein - 109-150 Global Financial Cycles and Risk Premiums
by Òscar Jordà & Moritz Schularick & Alan M. Taylor & Felix Ward - 151-173 The Dollar Exchange Rate as a Global Risk Factor: Evidence from Investment
by Stefan Avdjiev & Valentina Bruno & Catherine Koch & Hyun Song Shin - 174-214 Positive and Normative Implications of Liability Dollarization for Sudden Stops Models of Macroprudential Policy
by Enrique G. Mendoza & Eugenio Rojas - 215-260 Global Price of Risk and Stabilization Policies
by Tobias Adrian & Daniel Stackman & Erik Vogt
December 2018, Volume 66, Issue 4
- 617-664 Linking Bank Crises and Sovereign Defaults: Evidence from Emerging Markets
by Irina Balteanu & Aitor Erce - 665-693 Dealing with Systemic Sovereign Debt Crises: Fiscal Consolidation, Bail-Ins, or Bail-Outs?
by Damiano Sandri - 694-731 Effects of Fiscal Consolidations in Latin America
by André Diniz - 732-762 Effects of Fed Announcements on Emerging Markets: What Determines Financial Market Reactions?
by Prachi Mishra & Papa N’Diaye & Lam Nguyen - 763-793 Globalization and Social Change: Gender-Specific Effects of Trade Liberalization in Indonesia
by Krisztina Kis-Katos & Janneke Pieters & Robert Sparrow
September 2018, Volume 66, Issue 3
- 415-417 Globalization in the Aftermath of the Crisis
by Fabio Ghironi & Andrei Levchenko - 418-439 Two Great Trade Collapses: The Interwar Period and Great Recession Compared
by Kevin Hjortshøj O’Rourke - 440-479 The Slowdown in Global Trade: A Symptom of a Weak Recovery?
by Aqib Aslam & Emine Boz & Eugenio Cerutti & Marcos Poplawski-Ribeiro & Petia Topalova - 480-526 Financial Frictions and Trade Dynamics
by Paul Bergin & Ling Feng & Ching-Yi Lin - 527-563 Benchmarking Portfolio Flows
by John D. Burger & Francis E. Warnock & Veronica Cacdac Warnock - 564-601 The Changing Structure of Immigration to the OECD: What Welfare Effects on Member Countries?
by Michał Burzyński & Frédéric Docquier & Hillel Rapoport - 602-616 Trade Policy Toward Supply Chains After the Great Recession
by Chad P. Bown
June 2018, Volume 66, Issue 2
- 223-225 Macroeconomics After the Great Recession, II
by Emine Boz & Linda Tesar - 226-250 Secular Stagnation and Macroeconomic Policy
by Lawrence H. Summers - 251-286 Moral Hazard Misconceptions: The Case of the Greenspan Put
by Gideon Bornstein & Guido Lorenzoni - 287-332 ECB Interventions in Distressed Sovereign Debt Markets: The Case of Greek Bonds
by Christoph Trebesch & Jeromin Zettelmeyer - 333-374 Managing Capital Outflows with Limited Reserves
by Suman S. Basu & Atish R. Ghosh & Jonathan D. Ostry & Pablo E. Winant - 375-413 On the Optimal Speed of Sovereign Deleveraging with Precautionary Savings
by Thomas Philippon & Francisco Roldán
March 2018, Volume 66, Issue 1
- 1-4 Macroeconomics After the Great Recession
by Emine Boz & Linda Tesar - 5-30 Investment Hollowing Out
by Lewis Alexander & Janice Eberly - 31-69 The Effects of Labor and Product Market Reforms: The Role of Macroeconomic Conditions and Policies
by Romain Duval & Davide Furceri - 70-115 The Trade offs in Leaning Against the Wind
by François Gourio & Anil K. Kashyap & Jae W. Sim - 116-143 Government Guarantees, Transparency, and Bank Risk Taking
by Tito Cordella & Giovanni Dell’Ariccia & Robert Marquez - 144-188 Is it the “How” or the “When” that Matters in Fiscal Adjustments?
by Alberto Alesina & Gualtiero Azzalini & Carlo Favero & Francesco Giavazzi & Armando Miano - 189-222 The External Wealth of Nations Revisited: International Financial Integration in the Aftermath of the Global Financial Crisis
by Philip R. Lane & Gian Maria Milesi-Ferretti
November 2017, Volume 65, Issue 4
- 675-703 Government Debt Bias
by Michael Kumhof & Irina Yakadina - 704-744 Fiscal Discoveries and Yield Decouplings
by Luis Catão & Ana Fostel & Romain Ranciere - 745-791 Trade, Reform, and Structural Transformation in South Korea
by Caroline Betts & Rahul Giri & Rubina Verma - 792-815 Inequality and Unsustainable Growth: Two Sides of the Same Coin?
by Andrew G. Berg & Jonathan D. Ostry
August 2017, Volume 65, Issue 3
- 467-470 Exchange Rates and External Adjustment
by Pierre-Olivier Gourinchas & Pau Rabanal