Content
September 1995, Volume 42, Issue 3
- 608-641 Paradise Lost? Growth, Convergence, and Migration in the South Pacific
by Paul Cashin & Norman Loayza - 642-669 Disequilibrium in the Labor Market in South Africa
by Bankim Chadha - 670-700 Bank Lending Rates and Financial Structure in Italy: A Case Study
by Carlo Cottarelli & Giovanni Ferri & Andrea Generale
June 1995, Volume 42, Issue 2
- 237-269 Government Spending, Taxes, and Economic Growth
by Paul Cashin - 270-289 The Main Determinants of Inflation in Nigeria
by Gary G. Moser - 290-312 Devaluation, Relative Prices, and International Trade: Evidence from Developing Countries
by Carmen M. Reinhart - 313-343 Emerging Equity Markets in Middle Eastern Countries
by Mohamed A. El-Erian & Manmohan S. Kumar - 344-374 Asymmetric Effects of Economic Activity on Inflation: Evidence and Policy Implications
by Douglas Laxton & Guy Meredith & David Rose - 375-397 Household Saving in France: Stochastic Income and Financial Deregulation
by Jonathan D. Ostry & Joaquim Levy - 398-410 Demographic Dynamics and the Empirics of Economic Growth
by Michael Sarel - 411-430 The Equity Impact of the Value-Added Tax in Bangladesh
by Shahabuddin M. Hossain
March 1995, Volume 42, Issue 1
- 1-31 The Political Economy of Budget Deficits
by Alberto Alesina & Roberto Perotti - 32-48 Restraining Yourself: The Implications of Fiscal Rules for Economic Stabilization
by Tamim Bayoumi & Barry Eichengreen - 49-79 External Shocks, the Real Exchange Rate, and Tax Policy
by Stephen Tokarick - 80-107 Long-Run Determinants of the Real Exchange Rate: A Stock-Flow Perspective
by Hamid Faruqee - 108-133 Relative Prices and Economic Adjustment in the United States and the European Union: A Real Story about EMU
by Tamim Bayoumi & Alun Thomas - 134-157 Determining the Value of a Financial Unit of Account Based on Composite Currencies: The Case of the Private ECU
by David Folkerts-Landau & Peter M. Garber - 158-183 Supply-Side Effects of Disinflation Programs
by Jorge E. Roldós - 184-201 Establishing Monetary Control in Financial Systems with Insolvent Institutions
by Donald J. Mathieson & Richard D. Haas - 202-224 Use of Central Bank Credit Auctions in Economies in Transition
by Matthew I. Saal & Lorena M. Zamalloa & Martin I. Saal
December 1994, Volume 41, Issue 4
- 537-554 A Formal Model of Optimum Currency Areas
by Tamim Bayoumi - 555-586 Trade Reforms of Uncertain Duration and Real Uncertainty: A First Approximation
by Guillermo A. Calvo & Enrique G. Mendoza - 587-623 Financial Structure, Bank Lending Rates, and the Transmission Mechanism of Monetary Policy
by Carlo Cottarelli & Angeliki Kourelis - 624-642 Do Labor Market Rigidities Fulfill Distributive Objectives?: Searching for the Virtues of the European Model
by Gilles Saint-Paul - 643-674 Framework for the Analysis of Pension and Unemployment Benefit Reform in Poland
by William Perraudin & Thierry Pujol - 675-683 The Trade and Welfare Consequences of U.S. Export-Enhancing Tax Provisions
by Donald J. Rousslang & Stephen P. Tokarick
September 1994, Volume 41, Issue 3
- 383-410 Payments System Reforms and Monetary Policy in Emerging Market Economies in Central and Eastern Europe
by Tomás J. T. Baliño & Juhi Dhawan & V. Sundararajan - 411-434 Shortages under Free Prices: The Case of Ukraine in 1992
by Alexander Sundakov & Rolando Ossowski & Timothy D. Lane - 435-459 Realignment Expectations, Forward Rate Bias, and Intervention in an Optimizing Model of Exchange Rate Adjustment
by Peter Isard - 460-487 The "Hard" SDR: An Exploratory Analysis
by Subhash Thakur - 488-501 Long Memory Processes and Chronic Inflation: Detecting Homogeneous Components in a Linear Rational Expectations Model
by Fabio Scacciavillani - 502-516 Budget Deficits and the Public Debt in Sweden: The Case for Fiscal Consolidation
by Desmond Lachman - 517-525 The Use of Financial Spreads as Indicator Variables: Evidence for the United Kingdom and Germany
by E. P. Davis & S. G. B. Henry - 526-532 Drift in Producer Price Indices for the Former Soviet Union Countries
by François I. Lequiller & Kimberly D. Zieschang
June 1994, Volume 41, Issue 2
- 175-213 Commodity Prices: Cyclical Weakness or Secular Decline?
by Carmen M. Reinhart & Peter Wickham - 214-235 Export Instability and the External Balance in Developing Countries
by Atish R. Ghosh & Jonathan D. Ostry - 236-261 The Macroeconomic Determinants of Commodity Prices
by Eduardo Borensztein & Carmen M. Reinhart - 262-285 Expected Devaluation and Economic Fundamentals
by Alun H. Thomas - 286-313 Comparative Advantage, Exchange Rates, and Sectoral Trade Balances of Major Industrial Countries
by Stephen S. Golub - 314-349 Money Demand, Bank Credit, and Economic Performance in Former Socialist Economies
by Guillermo A. Calvo & Manmohan S. Kumar - 350-366 Testing the Credibility of Belgium's Exchange Rate Policy
by Ioannis Halikias - 367-379 The Structural Crisis in the Swedish Economy: Role of Labor Markets
by Ramana Ramaswamy
March 1994, Volume 41, Issue 1
- 1-29 Openness, Human Development, and Fiscal Policies: Effects on Economic Growth and Speed of Adjustment
by Delano Villanueva - 30-54 Collection Lags and the Optimal Inflation Tax: A Reconsideration
by Alex Mourmouras & José A. Tijerina - 55-75 The Parallel Market Premium: Is It a Reliable Indicator of Real Exchange Rate Misalignment in Developing Countries?
by Peter J. Montiel & Jonathan D. Ostry - 76-122 Exchange Rate Strategies and Fiscal Performance in Sub-Saharan Africa
by Karim Nashashibi & Stefania Bazzoni - 123-148 The Stabilizing Effect of the ERM on Exchange Rates and Interest Rates: Some Nonparametric Tests
by Michael J. Artis & Mark P. Taylor - 149-162 The Use of Foreign Exchange Swaps by Central Banks
by Catharina J. Hooyman - 163-170 Unification of Foreign Exchange Markets: A Comment on Agénor and Flood
by Ching-Chong Lai & Wen-Ya Chang - 171-172 Unification of Foreign Exchange Markets: A Rejoinder to Lai and Chang
by Pierre-Richard Agénor & Robert P. Flood
December 1993, Volume 40, Issue 4
- 711-743 Skill Levels and the Cyclical Variability of Employment, Hours, and Wages
by Michael Keane & Eswar Prasad - 744-780 Economic Restructuring, Unemployment, and Growth in a Transition Economy
by Bankim Chadha & Fabrizio Coricelli & Kornélia Krajnyák - 781-806 The Yield Curve and Real Activity
by Zuliu Hu - 807-828 A Primer on Tax Evasion
by Vito Tanzi & Parthasarathi Shome - 829-851 Real Exchange Rate Targeting under Imperfect Asset Substitutability
by J. Saul Lizondo - 852-864 Foreign Exchange Markets in Russia: Understanding the Reforms
by Linda S. Goldberg - 865-867 Formulating a Policy Response: Comment on Calvo, Leiderman, and Reinhart
by P. Nicholas Snowden - 868-870 Formulating a Policy Response: Reply to Snowden
by Guillermo A. Calvo & Leonardo Leiderman & Carmen M. Reinhart - 871-875 Output Fluctuations and Monetary Shocks in Colombia: Comment on Reinhart and Reinhart
by Maria E. GarcÃa - 876-877 Output Fluctuations and Monetary Shocks in Colombia: Reply to GarcÃa
by Carmen M. Reinhart & Vincent R. Reinhart
September 1993, Volume 40, Issue 3
- 485-511 Auctions: Theory and Applications
by Robert A. Feldman & Rajnish Mehra - 512-541 Testing the Neoclassical Theory of Economic Growth: A Panel Data Approach
by Malcolm Knight & Norman Loayza & Delano Villanueva - 542-566 Capital and Trade as Engines of Growth in France: An Application of Johansen's Cointegration Methodology
by David T. Coe & Reza Moghadam - 567-583 French-German Interest Rate Differentials and Time-Varying Realignment Risk
by Francesco Caramazza - 584-621 Stabilization Programs and External Enforcement: Experience from the 1920s
by Julio A. Santaella - 622-637 Risk Taking and Optimal Taxation in the Presence of Nontradable Human Capital
by Zuliu Hu - 638-662 Cash-Flow Tax
by Parthasarathi Shome & Christian Schutte - 663-679 Portfolio Performance of the SDR and Reserve Currencies: Tests Using the ARCH Methodology
by Michael G. Papaioannou & Tugrul Temel - 680-696 Interenterprise Arrears in Transforming Economies: The Case of Romania
by Eric V. Clifton & Mohsin S. Khan - 697-707 The Budget Deficit in Transition: A Cautionary Note
by Vito Tanzi
June 1993, Volume 40, Issue 2
- 237-265 Wage and Public Debt Indexation
by Pablo E. Guidotti - 266-298 Interpreting the Cyclical Behavior of Prices
by Bankim Chadha & Eswar Prasad - 299-328 International Trade, Distortions, and Long-Run Economic Growth
by Jong-Wha Lee - 329-368 Optimal and Sustainable Exchange Rate Regimes: A Two-Country Game-Theoretic Approach
by Masahiro Kawai - 369-394 A Monetary Model of a Shortage Economy
by Shoukang Lin - 395-413 Endogenous Creditor Seniority and External Debt Values
by Michael Dooley & Mark R. Stone - 414-426 Money and Credit Under Currency Substitution
by Carlos Alfredo RodrÃguez - 427-450 Asymmetry in the ERM: A Case Study of French and German Interest Rates Before and After German Unification
by Edward H. Gardner & William R. M. Perraudin - 451-470 The Operation of the Estonian Currency Board
by Adam G. G. Bennett - 471-480 Fiscal Adjustment in Pakistan: Some Simulation Results
by Nadeem U. Haque & Peter J. Montiel
March 1993, Volume 40, Issue 1
- 1-31 An Empirical Analysis of the Output Declines in Three Eastern European Countries
by Eduardo Borensztein & Dimitri G. Demekas & Jonathan D. Ostry - 32-52 Output Collapse in Eastern Europe: The Role of Credit
by Guillermo A. Calvo & Fabrizio Coricelli - 53-88 Market Discipline
by Timothy D. Lane - 89-107 The Monetary Approach to the Exchange Rate: Rational Expectations, Long-Run Equilibrium, and Forecasting
by Ronald Macdonald & Mark P. Taylor - 108-151 Capital Inflows and Real Exchange Rate Appreciation in Latin America: The Role of External Factors
by Guillermo A. Calvo & Leonardo Leiderman & Carmen M. Reinhart - 152-177 Mineral Taxation, Market Failure, and the Environment
by Timothy R. Muzondo - 178-201 Contracts, Credibility, and Common Knowledge: Their Influence on Inflation Convergence
by Marcus Miller & Alan Sutherland - 202-216 Independent Currency Authorities: An Analytic Primer
by Kent Osband & Delano Villanueva - 217-225 Tax Farming: A Radical Solution for Developing Country Tax Problems?
by Peter Stella - 226-232 A Note on Burden Sharing among Creditors
by Michael Dooley & Richard D. Haas & Steven Symansky
December 1992, Volume 39, Issue 4
- 741-777 Stabilization and Reform in Eastern Europe: A Preliminary Evaluation
by Michael Bruno - 778-800 Bank Insolvency and Stabilization in Eastern Europe
by Daniel C. Hardy & Ashok Kumar Lahiri - 801-824 Does Sequencing of Privatization Matter in Reforming Planned Economies?
by Aasim M. Husain & Ratna Sahay - 825-854 Household Demand for Money in Poland: Theory and Evidence
by Timothy D. Lane - 855-889 The Effects of Macroeconomic Shocks in a Basic Equilibrium Framework
by Enrique G. Mendoza - 890-922 Exchange Rate Flexibility, Volatility, and Domestic and Foreign Direct Investment
by Joshua Aizenman - 923-947 Unification of Foreign Exchange Markets
by Pierre-Richard Agénor & Robert P. Flood - 948-956 Assessing Eastern Europe's Capital Needs
by Anthony Boote - 957-966 Theory and Policy: A Comment on Dixit and on Current Tax Theory
by Vito Tanzi - 967-970 Theory and Policy: Reply to Tanzi
by Avinash Dixit
September 1992, Volume 39, Issue 3
- 465-494 Market Liberalization Policies in a Reforming Socialist Economy
by Elias Dinopoulos & Timothy D. Lane - 495-517 Private Saving and Terms of Trade Shocks: Evidence from Developing Countries
by Jonathan D. Ostry & Carmen M. Reinhart - 518-544 Dollarization in Latin America: Gresham's Law in Reverse?
by Pablo E. Guidotti & Carlos A. Rodriguez - 545-571 Testing for Credibility Effects
by Pierre-Richard Agénor & Mark P. Taylor - 572-595 Increasing Export Diversification in Commodity Exporting Countries: A Theoretical Analysis
by A. Derosa - 596-625 The Information Content of Prices in Derivative Security Markets
by Louis O. Scott - 626-695 Stopping High Inflation: An Analytical Overview
by Carlos A. Végh - 696-705 The Causes of Real Exchange Rate Variability: A Heretic View from the Interwar Period
by Anne-Marie Gulde & Holger C. Wolf - 706-717 Dynamic Capital Mobility in Pacific Basin Developing Countries: Estimation and Policy Implications
by Hamid Faruqee - 718-729 The Demand for Money in Europe: Comment on Kremers and Lane
by David Barr - 730-737 The Demand for Money in Europe: Reply to Barr
by Jeroen J. M. Kremers & Timothy D. Lane
June 1992, Volume 39, Issue 2
- 211-255 Key Questions in Considering a Value-Added Tax for Central and Eastern European Countries
by Sijbren Cnossen - 256-286 Forced Saving and Repressed Inflation in the Soviet Union, 1986-90: Some Empirical Results
by Carlo Cottarelli & Mario I. Blejer - 287-309 Index Number Biases during Price Liberalization
by Kent Osband - 310-329 Soft Budget Constraints, Firm Commitments, and the Social Safety Net
by Daniel C. Hardy - 330-356 The Effect of the ERM on Participating Economies
by Tamim Bayoumi - 357-394 Speculative Attacks and Models of Balance of Payments Crises
by Pierre-Richard Agénor & Jagdeep S. Bhandari & Robert P. Flood - 395-431 Models of Inflation and the Costs of Disinflation
by Bankim Chadha & Paul R. Masson & Guy Meredith - 432-461 The Forecasting Accuracy of Crude Oil Futures Prices
by Manmohan S. Kumar
March 1992, Volume 39, Issue 1
- 1-57 Exchange Rate Economics: A Survey
by Ronald Macdonald & Mark P. Taylor - 58-78 Real Exchange Rate Targeting under Capital Controls: Can Money Provide a Nominal Anchor?
by Peter J. Montiel & Jonathan D. Ostry - 79-100 Collapse of a Crawling Peg Regime in the Presence of a Government Budget Constraint
by Miguel A. Savastano - 101-120 Portfolio Preference Uncertainty and Gains from Policy Coordination
by Paul R. Masson - 121-147 Fisherian Transmission and Efficient Arbitrage under Partial Financial Indexation: The Case of Chile
by Enrique G. Mendoza - 148-174 The Cost of Export Subsidies: Evidence from Costa Rica
by Alexander Hoffmaister - 175-194 Restoration of Access to Voluntary Capital Market Financing: The Recent Latin American Experience
by Mohamed A. El-Erian - 195-202 The Derivation of the Liquidity Ratio in the EMS: Comment on Kremers and Lane
by Ivo J. M. Arnold - 203-207 The Derivation of the Liquidity Ratio in the EMS: Reply to Arnold
by Jeroen J. M. Kremers & Timothy D. Lane
December 1991, Volume 38, Issue 4
- 675-704 Welfare Costs of Inflation, Seigniorage, and Financial Innovation
by José De Gregorio - 705-735 Output Fluctuations and Monetary Shocks: Evidence from Colombia
by Carmen M. Reinhart & Vincent R. Reinhart - 736-750 Broad Money Growth and Inflation in the United States
by Liam P. Ebrill & Steven M. Fries - 751-788 Money and Inflation in Yugoslavia
by Ashok Kumar Lahiri - 789-827 International VAT Harmonization: Macroeconomic Effects
by Jacob A. Frenkel & Assaf Razin & Steven Symansky - 828-849 Market Valuation of Illiquid Debt and Implications for Conflicts among Creditors
by Leonardo Bartolini & Avinash Dixit - 850-871 Interest Rates in Mexico: The Role of Exchange Rate Expectations and International Creditworthiness
by Hoe E. Khor & Liliana Rojas-Suarez - 872-900 Macroeconomic Implications of Real Exchange Rate Targeting in Developing Countries
by Peter J. Montiel & Jonathan D. Ostry - 901-920 On Interpreting the Random Walk and Unit Root in Nominal and Real Exchange Rates
by Charles Adams & Bankim Chadha - 921-926 The Perils of Sterilization
by Guillermo A. Calvo
September 1991, Volume 38, Issue 3
- 447-479 Trade Liberalization in Developing Countries: Initial Trade Distortions and Imported Intermediate Inputs
by Jonathan D. Ostry - 480-505 Capital Controls and the Gains from Trade in a Business Cycle Model of a Small Open Economy
by Enrique G. Mendoza - 506-524 Fiscal Policy, the Real Exchange Rate, and Commodity Prices
by Carmen M. Reinhart - 525-559 Structural Models of the Dollar
by Charles Adams & Bankim Chadha - 560-581 Alternative Dual Exchange Market Regimes: Some Steady-State Comparisons
by J. Saúl Lizondo - 582-625 Financial Market Volatility: A Survey
by Louis O. Scott - 626-642 Stability of Velocity in the Major Industrial Countries: A Kalman Filter Approach
by Eduard J. Bomhoff - 643-654 The Optimal Mix of Inflationary Finance and Commodity Taxation with Collection Lags
by Avinash Dixit - 655-665 The Simplest Test of Target Zone Credibility
by Lars E. O. Svensson - 666-670 The 1990 Reform of U.K. Local Authority Finance: An Alternative Analysis: Comment on Bayoumi
by Richard R. Barnett & Peter Smith - 671-672 The 1990 Reform of U.K. Local Authority Finance: An Alternative Analysis: Reply to Barnett and Smith
by Tamim Bayoumi
June 1991, Volume 38, Issue 2
- 235-267 Transitional Arrangements for Trade and Payments among the CMEA Countries
by Peter B. Kenen - 268-299 From Centrally Planned to Market Economy: The Road from CPE to PCPE
by Guillermo A. Calvo & Jacob A. Frenkel - 300-326 Proposals for Privatization in Eastern Europe
by Eduardo Borensztein & Manmohan S. Kumar - 327-355 Taxation and the Cost of Capital in Hungary and Poland: A Comparison with Selected European Countries
by Krister Andersson - 356-373 Monetary Policy in an Emerging European Economic and Monetary Union: Key Issues
by Jacob A. Frenkel & Morris Goldstein - 374-398 Economic and Monetary Union in Europe and Constraints on National Budgetary Policies
by A. Lans Bovenberg & Jeroen J. M. Kremers & Paul R. Masson - 399-440 European Fiscal Harmonization and the French Economy
by W. R. M. Perraudin & T. Pujol
March 1991, Volume 38, Issue 1
- 1-32 Long-Run Money Demand in Large Industrial Countries
by James M. Boughton - 33-58 Private Investment in Developing Countries: An Empirical Analysis
by Joshua Greene & Delano Villanueva - 59-82 Wages, Profitability, and Growth in a Small Open Economy
by Bankim Chadha - 83-108 The Transmission Mechanism for Monetary Policy in Developing Countries
by Peter J. Montiel - 109-134 The Budgetary Control and Fiscal Impact of Government Contingent Liabilities
by Christopher M. Towe - 135-155 An Inflation-Proof Tax System?: Some Lessons from Israel
by Efraim Sadka - 156-183 Exchange Rate Expectations: A Survey of Survey Studies
by Shinji Takagi - 184-215 Currency Bands, Target Zones, and Price Flexibility
by Marcus Miller & Paul Weller - 216-228 The 1990 Reform of U.K. Local Authority Finance
by Tamim Bayoumi - 229-231 Issues in Interest Rate Management and Liberalization: Comment on Leite and Sundararajan
by Stephen H. Axilrod
December 1990, Volume 37, Issue 4
- 735-752 Issues in Interest Rate Management and Liberalization
by Sérgio Pereira Leite & V. Sundararajan - 753-776 Interest Rate Policy in a Small Open Economy: The Predetermined Exchange Rates Case
by Guillermo A. Calvo & Carlos A. Végh - 777-805 Economic and Monetary Integration and the Aggregate Demand for Money in the EMS
by Jeroen J. M. Kremers & Timothy D. Lane - 806-824 Valuation of Interest Payment Guarantees on Developing Country Debt
by Eduardo Borensztein & George Pennacchi - 825-848 Monetary Indexation and Revenues from Money Creation: The Case of Iceland
by Peter K. Cornelius - 849-864 Labor Market Segmentation in a Two-Sector Model of an Open Economy
by Dimitri G. Demekas - 865-880 The Risk Premium on Italian Government Debt, 1976-88
by Carlo Cottarelli & Mauro Mecagni - 881-888 The Effect of Government Debt on Short-Term Real Interest Rates: Comment on Findlay
by Peter S. Spiro - 889-891 Budget Deficits and Interest Rates: Reply to Spiro
by David W. Findlay
September 1990, Volume 37, Issue 3
- 453-485 Macroeconomic Effects of Projected Population Aging in Industrial Countries
by Paul R. Masson & Ralph W. Tryon - 486-508 Trade Policy and Excess Capacity in Developing Countries
by Ratna Sahay - 509-536 Strategies for Financial Reforms: Interest Rate Policies, Stabilization, and Bank Supervision in Developing Countries
by Delano Villanueva & Abbas Mirakhor - 537-559 A Macroeconometric Model for Developing Countries
by Nadeem U. Haque & Kajal Lahiri & Peter J. Montiel - 560-592 Stabilization Policies in Developing Countries with a Parallel Market for Foreign Exchange: A Formal Framework
by Pierre-Richard Agénor - 593-611 Real Exchange Rate and Output Variability: The Role of Sticky Prices
by Bankim Chadha - 612-635 Credibility and Nominal Debt: Exploring the Role of Maturity in Managing Inflation
by Guillermo A. Calvo & Pablo E. Guidotti - 636-669 National and Personal Saving in the United States: Measurement and Analysis of Recent Trends
by A. Lans Bovenberg & Owen Evans - 670-699 Efficiency in Commodity Futures Markets
by Graciela Kaminsky & Manmohan S. Kumar - 700-725 Estimating Yen/Dollar and Mark/Dollar Purchasing Power Parities
by Kenichi Ohno - 726-730 Current Account Imbalances and Capital Formation in Industrial Countries: Comment on Penati and Dooley
by Atul A. Dar & Saleh Amirkhalkhali
June 1990, Volume 37, Issue 2
- 195-231 The Macroeconomic Effects of Fund-Supported Adjustment Programs
by Mohsin S. Khan - 232-293 A Systems Approach to Estimating the Natural Rate of Unemployment and Potential Output for the United States
by Charles Adams & David T. Coe - 294-310 Exchange Rate Fluctuations, Pass-Through, and Market Share
by Kenichi Ohno - 311-337 Optimal Taxation Policies in the EMS: A Two-Country Model of Public Finance
by Carlos A. Végh & Pablo E. Guidotti - 338-359 The Welfare Effects of Public Expenditure Programs Reconsidered
by Robert Holzmann - 360-387 Saving-Investment Correlations: Immobile Capital, Government Policy, or Endogenous Behavior?
by Tamim Bayoumi - 388-417 Growth, External Debt, and Sovereign Risk in a Small Open Economy
by Jagdeep S. Bhandari & Nadeem Ul Haque & Stephen J. Turnovsky - 418-432 Wealth, Financial Liberalization, and the Demand for Money in Japan
by Robert Corker - 433-439 Expectations and Long-Term Interest Rates: Comment on Bovenberg
by David W. Findlay - 440-445 Monetary Policy Strategies: A Correction: Comment on Flood and Isard
by Susanne Lohmann - 446-448 Monetary Policy Strategies: A Correction: Reply to Lohmann
by Robert P. Flood & Peter Isard
March 1990, Volume 37, Issue 1
- 1-70 Factors Affecting Saving, Policy Tools, and Tax Reform: A Review
by Roger S. Smith