Content
2013, Volume 9, Issue 1
- 1-4 Introduction
by Francesco Giavazzi & Kenneth D. West - 7-42 Capital Account Policies and the Real Exchange Rate
by Olivier Jeanne - 43-48 Comment
by Javier Bianchi - 49-54 Comment
by Lars E. O. Svensson - 55-97 Taylor Rule Exchange Rate Forecasting during the Financial Crisis
by Tanya Molodtsova & David H. Papell - 98-105 Comment
by Michael W. McCracken - 106-116 Comment
by Barbara Rossi - 119-166 Global House Price Fluctuations: Synchronization and Determinants
by Hideaki Hirata & M. Ayhan Kose & Christopher Otrok & Marco E Terrones - 167-173 Comment
by Kirstin Hubrich - 174-179 Comment
by Leonardo Melosi - 181-213 Banks, Sovereign Debt, and the International Transmission of Business Cycles
by Luca Guerrieri & Matteo Iacoviello & Raoul Minetti - 214-218 Comment
by Knut Anton Mork - 219-222 Comment
by Marius Jurgilas - 225-260 Time to Ship during Financial Crises
by Nicolas Berman & José de Sousa & Philippe Martin & Thierry Mayer - 261-263 Comment
by Hélène Rey - 264-267 Comment
by Cédric Tille - 269-291 Sovereign Bailouts and Senior Loans
by Christophe Chamley & Brian Pinto - 292-297 Comment
by Jayasri Dutta & Herakles Polemarchakis - 298-302 Comment
by Gisle James Natvik - 305-331 The Geography of the Great Recession
by Alessandra Fogli & Enoch Hill & Fabrizio Perri - 332-335 Comment
by Karen Helene Ulltveit-Moe - 336-343 Comment
by Jonas D. M. Fisher - 345-404 Structural and Cyclical Forces in the Labor Market during the Great Recession: Cross-Country Evidence
by Luca Sala & Ulf Söderström & Antonella Trigari - 405-414 Comment
by Fabrizio Perri - 415-424 Comment
by Alejandro Justiniano
2012, Volume 8, Issue 1
- 1-7 Introduction
by Jeffrey Frankel & Christopher Pissarides - 11-46 Long-Term Barriers to the International Diffusion of Innovations
by Enrico Spolaore & Romain Wacziarg - 47-52 Comment
by L. Rachel Ngai - 53-55 Comment
by Linda Tesar - 57-86 Firm Heterogeneity, Endogenous Entry, and the Business Cycle
by Gianmarco I. P. Ottaviano - 87-89 Comment
by Charles Engel - 90-95 Comment
by Paolo Pesenti - 97-151 The Risk Content of Exports: A Portfolio View of International Trade
by Julian di Giovanni & Andrei A. Levchenko - 152-157 Comment
by Sebnem Kalemli-Ozcan - 158-166 Comment
by Assaf Razin - 169-235 The Cyclical Behavior of Equilibrium Unemployment and Vacancies in the United States and Europe
by Alejandro Justiniano & Claudio Michelacci - 236-240 Comment
by Marcus Hagedorn - 241-247 Comment
by Steinar Holden - 249-284 Toward a Political Economy of Macroeconomic Thinking
by Gilles Saint-Paul - 249-300 Comment
by Enrico Spolaore - 285-293 Comment
by Allan Drazen - 301-342 The Fiscal Stimulus of 2009-2010: Trade Openness, Fiscal Space, and Exchange Rate Adjustment
by Joshua Aizenman & Yothin Jinjarak - 343-347 Comment
by Menzie Chinn - 348-350 Comment
by Francesco Giavazzi - 353-391 Flexing Your Muscles: Abandoning a Fixed Exchange Rate for Greater Flexibility
by Barry Eichengreen & Andrew K. Rose - 392-399 Comment
by Jorge Braga de Macedo - 400-401 Comment
by Kenneth D. West - 403-466 Traded and Nontraded Goods Prices, and International Risk Sharing: An Empirical Investigation
by Giancarlo Corsetti & Luca Dedola & Francesca Viani - 467-469 Comment
by Richard H. Clarida - 470-476 Comment
by Mario J. Crucini
2011, Volume 7, Issue 1
- 1-6 Introduction
by Richard H. Clarida & Francesco Giavazzi - 7-30 Fiscal Policy and Interest Rates: The Role of Sovereign Default Risk
by Thomas Laubach - 31-36 Comment
by Carlo Favero - 37-40 Comment
by Martin Feldstein - 41-76 Technology-Hours Redux: Tax Changes and the Measurement of Technology Shocks
by Karel Mertens & Morten O. Ravn - 77-86 Comment
by Michael McMahon - 87-94 Comment
by Tommaso Monacelli - 95-136 Asymmetric Shocks in a Currency Union with Monetary and Fiscal Handcuffs
by Christopher J. Erceg & Jesper Lindé - 137-142 Comment
by Bianca De Paoli - 143-152 Comment
by Hans-Helmut Kotz - 153-182 Evolving Perceptions of Central Bank Credibility: The European Central Bank Experience
by Linda S. Goldberg & Michael W. Klein - 183-186 Comment
by Richard H. Clarida - 187-192 Comment
by Veronica Guerrieri - 193-234 Pigou Cycles in Closed and Open Economies with Matching Frictions
by Wouter J. Den Haan & Matija Lozej - 235-240 Comment
by Paul Beaudry - 241-244 Comment
by Guido Lorenzoni - 245-286 Globalization, the Business Cycle, and Macroeconomic Monitoring
by S. Borağan Aruoba & Francis X. Diebold & M. Ayhan Kose & Marco E. Terrones - 287-298 Comment
by Lucrezia Reichlin - 299-302 Comment
by Kenneth D. West - 303-344 Financial Cycles: What? How? When?
by Stijn Claessens & M. Ayhan Kose & Marco E. Terrones - 345-350 Comment
by Stephen G. Cecchetti - 351-356 Comment
by Jeffrey A. Frankel - 357-388 Currency Carry Trades
by Travis Berge & Òscar Jordà & Alan M. Taylor - 389-394 Comment
by Robert E. Cumby
2010, Volume 6, Issue 1
- 1-1 Abstracts
by Journal Office - 1-4 Introduction
by Lucrezia Reichlin & Kenneth D. West - 7-39 Free Flows, Limited Diversification: Openness and the Fall and Rise of Stock Market Correlations, 1890-2001
by Dennis Quinn & Hans-Joachim Voth - 40-47 Comment
by Huw Pill - 48-52 Comment
by John C. Williams - 53-92 The End of Gatekeeping: Underwriters and the Quality of Sovereign Bond Markets, 1815-2007
by Marc Flandreau & Juan H. Flores & Norbert Gaillard & Sebastián Nieto-Parra - 93-97 Comment
by Vincent Reinhart - 98-100 Comment
by Albrecht Ritschl - 103-117 The Feldstein-Horioka Fact
by Domenico Giannone & Michele Lenza - 118-121 Comment
by Richard H. Clarida - 122-124 Comment
by Philip R. Lane - 125-173 Can Parameter Instability Explain the Meese-Rogoff Puzzle?
by Philippe Bacchetta & Eric van Wincoop & Toni Beutler - 174-179 Comment
by Menzie D. Chinn - 180-190 Comment
by Domenico Giannone - 193-221 International Reserves and Underdeveloped Capital Markets
by Kathryn M. E. Dominguez - 222-226 Comment
by Philippe Martin - 227-249 The Nontradable Goods' Real Exchange Rate Puzzle
by Lukasz A. Drozd & Jaromir B. Nosal - 250-260 Comment
by Jonathan Eaton - 261-264 Comment
by Jean Imbs - 265-322 External Balance in Low-Income Countries
by Lone Christiansen & Alessandro Prati & Luca Antonio Ricci & Thierry Tressel - 323-328 Comment
by Nicolas Coeurdacier - 329-332 Comment
by Michael W. Klein - 335-345 Monetary Policy in a Low-Interest-Rate Environment: A Checklist
by Huw Pill - 346-353 Monetary Policy in a Low-Interest-Rate Environment
by Vincent Reinhart - 354-366 Quantitative Easing: A Rationale and Some Evidence from Japan
by Volker Wieland - 367-375 The Zero Lower Bound: Lessons from the Past Decade
by John C. Williams
2009, Volume 5, Issue 1
- 1-6 Introduction
by Jeffrey Frankel & Christopher Pissarides - 9-62 Capital Flow Bonanzas: An Encompassing View of the Past and Present
by Carmen M. Reinhart & Vincent R. Reinhart - 63-64 Comment
by Francesco Giavazzi - 65-66 Comment
by Sebnem Kalemli‐Ozcan - 67-109 Current Account Sustainability and Relative Reliability
by Stephanie E. Curcuru & Charles P. Thomas & Francis E. Warnock - 110-112 Comment
by Michael P. Dooley - 113-120 Comment
by Daniel Gros - 121-141 Reflections on Monetary Policy in the Open Economy
by Richard H. Clarida - 142-148 Comment
by Paolo Pesenti - 149-154 Comment
by Frank Smets - 157-193 Real Variables, Nonlinearity, and European Real Exchange Rates
by Mark P. Taylor & Hyeyoen Kim - 194-196 Comment
by Charles Engel - 197-200 Comment
by Kenneth D. West - 201-227 Exchange Rate Regimes and the Extensive Margin of Trade
by Paul R. Bergin & Ching‐Yi Lin - 228-237 Comment
by George M. von Furstenberg - 238-240 Comment
by Stephen J. Redding - 243-272 Plant Size Distribution and Cross‐Country Income Differences
by Laura Alfaro & Andrew Charlton & Fabio Kanczuk - 273-278 Comment
by John Haltiwanger - 279-284 Comment
by Jeffrey Frankel - 285-305 Regional Difference‐in‐Differences in France Using the German Annexation of Alsace‐Moselle in 1870–1918
by Matthieu Chemin & Etienne Wasmer - 306-309 Comment
by John M. Abowd - 310-314 Comment
by Christopher A. Pissarides
2007, Volume 2007, Issue 1
- 1-5 Introduction
by Richard Clarida & Francesco Giavazzi - 9-62 Interest Rate Signals and Central Bank Transparency [with Comments]
by Pierre Gosselin & Aileen Lotz & Charles Wyplosz & Charles Bean & Michael Woodford - 65-129 The Simple Geometry of Transmission and Stabilization in Closed and Open Economies [with Comments]
by Giancarlo Corsetti & Paolo Pesenti & Richard Clarida & Jeffrey Frankel - 131-172 Expectations, Monetary Policy, and the Misalignment of Traded Goods Prices [with Comments]
by Michael B. Devereux & Charles Engel & Gianluca Benigno & Argia M. Sbordone - 175-229 Capital Flows and Asset Prices [with Comments]
by Kosuke Aoki & Gianluca Benigno & Nobuhiro Kiyotaki & Andrew G. Haldane & Sebnem Kalemli-Ozcan - 231-281 International Portfolios with Supply, Demand, and Redistributive Shocks [with Comments]
by Nicolas Coeurdacier & Robert Kollmann & Philippe Martin & Fabio Ghironi & Refet S. Gürkaynak - 283-322 On the Welfare Implications of Financial Globalization without Financial Development [with Comments]
by Enrique G. Mendoza & Vincenzo Quadrini & José-Víctor Ríos-Rull & Giancarlo Corsetti & Memet Yorukoglu - 325-400 Financial Integration within E.U. Countries: The Role of Institutions, Confidence, and Trust [with Comments]
by Mehmet Fatih Ekinci & Şebnem Kalemli-Özcan & Bent E. Sørensen & Philip R. Lane & Enrique G. Mendoza
2006, Volume 2006, Issue 1
- 1-5 Introduction
by Lucrezia Reichlin - 9-63 The Consumption-Tightness Puzzle [with Comments]
by Morten O. Ravn & Kai Christoffel & Julio J. Rotemberg - 65-114 Cyclical Wages in a Search-and-Bargaining Model with Large Firms [with Comment]
by Julio J. Rotemberg & Antonella Trigari - 117-194 Productivity, External Balance, and Exchange Rates: Evidence on the Transmission Mechanism among G7 Countries [with Comments]
by Giancarlo Corsetti & Luca Dedola & Sylvain Leduc & Susanto Basu & Robert Kollmann - 195-238 Production Sharing and Business Cycle Synchronization in the Accession Countries [with Comments]
by Linda L. Tesar & Paul Bergin & Aurelijus Dabusinskas - 241-344 Pension Systems and the Allocation of Macroeconomic Risk [with Comments]
by Lans Bovenberg & Harald Uhlig & Henning Bohn & Philippe Weil - 345-391 Endogenous Monetary Policy Regime Change [with Comments]
by Troy Davig & Eric M. Leeper & Richard H. Clarida & Jesper Lindé - 393-439 Inflation Implications of Rising Government Debt [with Comments]
by Chryssi Giannitsarou & Andrew Scott & Eric M. Leeper
2005, Volume 2005, Issue 1
- 1-7 Introduction
by Jeffrey A. Frankel - 11-64 Macroeconomic Derivatives: An Initial Analysis of Market-Based Macro Forecasts, Uncertainty, and Risk [with Comments]
by Refet S. Gürkaynak & Justin Wolfers & Christopher D. Carroll & Adam Szeidl - 65-123 The Roots of Low European Employment: Family Culture? [with Comments]
by Yann Algan & Pierre Cahuc & Tito Boeri & Alessandra Fogli - 125-170 Shadow Sorting [with Comments]
by Tito Boeri & Pietro Garibaldi & Robert E. Hall & Christopher A. Pissarides - 171-203 Globalization and Equilibrium Inflation-Output Tradeoffs [with Comments]
by Assaf Razin & Prakash Loungani & Robert G. King & Kenneth D. West - 207-259 Fiscal Externalities and Optimal Taxation in an Economic Community [with Comments]
by Marianne Baxter & Robert G. King & Pierpaolo Benigno & Francesco Giavazzi - 261-313 Fiscal Divergence and Business Cycle Synchronization: Irresponsibility Is Idiosyncratic [with Comments]
by Zsolt Darvas & Andrew K. Rose & György Szapáry & Roberto Rigobon & Lucrezia Reichlin - 315-355 Dual Inflation and the Real Exchange Rate in New Open Economy Macroeconomics [with Comments]
by Balázs Világi & Richard H. Clarida & Refet S. Gürkaynak - 357-402 Trade Invoicing in the Accession Countries: Are They Suited to the Euro? [with Comments]
by Linda S. Goldberg & Charles Engel & Richard Portes
2004, Volume 2004, Issue 1
- 1-13 Introduction
by Richard H. Clarida - 17-73 The Source of Historical Economic Fluctuations: An Analysis using Long-Run Restrictions [with Comments]
by Neville Francis & Valerie A. Ramey & Harald Uhlig & Susanto Basu - 75-144 Optimal Monetary and Fiscal Policy in a Liquidity Trap [with Comments]
by Gauti B. Eggertsson & Michael Woodford & Tor Einarsson & Eric M. Leeper - 145-195 Rule-Based Monetary Policy under Central Bank Learning [with Comments]
by Kosuke Aoki & Kalin Nikolov & Fabio Canova & V. V. Chari - 197-237 The Comovement of Returns and Investment within the Multinational Firm [with Comments]
by Mihir A. Desai & C. Fritz Foley & José Manuel Campa & Evi Pappa - 241-325 How Do Monetary and Fiscal Policy Interact in the European Monetary Union? [with Comments]
by Matthew B. Canzoneri & Robert E. Cumby & Behzad T. Diba & Gauti B. Eggertsson & Carlo A. Favero - 327-370 Does it Cost to be Virtuous? The Macroeconomic Effects of Fiscal Constraints [with Comments]
by Fabio Canova & Evi Pappa & Kenneth D. West & Gylfi Zoega - 371-411 Can Endogenous Changes in Price Flexibility Alter the Relative Welfare Performance of Exchange Rate Regimes? [with Comments]
by Ozge Senay & Alan Sutherland & Gianluca Benigno & Matthew B. Canzoneri - 413-457 Saving and Cohabitation: The Economic Consequences of Living with One's Parents in Italy and the Netherlands [with Comments]
by Rob Alessie & Agar Brugiavini & Guglielmo Weber & Mihir A. Desai & Michael McMahon - 459-533 Is Poland the Next Spain? [with Comments]
by Francesco Caselli & Silvana Tenreyro & Jeffrey A. Frankel & Richard H. Clarida