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JEL Classification: E52 - Monetary Policy (Targets, Instruments, and Effects)

Number of items at this level: 433.

Munir, Kashif and Qayyum, Abdul (2012): Measuring the effects of monetary policy in Pakistan: A factor augmented vector autoregressive approach. Unpublished.

ADESOYE, A. Bolaji; MAKU, Olukayode E. and ATANDA, Akinwande Abdulmaliq (2012): Is Monetary Policy a Growth Stimulant in Nigeria? A Vector Autoregressive Approach. Forthcoming in: : pp. 1-24.

ADESOYE, A. Bolaji and ATANDA, Akinwande Abdulmaliq (2012): Monetary Policy and Share Pricing Business in Nigeria. Forthcoming in: (2012): pp. 1-19.

Damian, Monica (2011): Implicații ale pierderii autonomiei politicii monetare asupra procesului inflaționist. Unpublished.

Aliyu, Shehu Usman Rano (2011): Reactions of stock market to monetary policy shocks during the global financial crisis: the Nigerian case. Unpublished.

Horvath, Roman; Rusnak, Marek; Smidkova, Katerina and Zapal, Jan (2011): Dissent voting behavior of central bankers: what do we really know? Unpublished.

Schüder, Stefan (2011): Monetary policy trade-offs in a portfolio model with endogenous asset supply. Published in: International Network for Economic Research Working Papers No. 2011.3 (11. November 2011): pp. 1-56.

Tierney, Heather L.R. (2011): Forecasting and tracking real-time data revisions in inflation persistence. Unpublished.

Aizenman, Joshua and Sengupta, Rajeswari (2011): The financial trilemma in China and a comparative analysis with India. Unpublished.

Gbaguidi, David Sedo (2011): Expectations impact on the effectiveness of the inflation-real activity trade-off. Unpublished.

Wang, Gaowang and Zou, Heng-fu (2011): Mercantilism, Foreign Asset Accumulation and Macroeconomic Policy. Unpublished.

Delis, Manthos D; Hasan, Iftekhar and Mylonidis, Nikolaos (2011): The risk-taking channel of monetary policy in the USA: Evidence from micro-level data. Unpublished.

Lorant, Kaszab (2011): Fiscal Multipliers Are Not Necessarily That Large: A Comment On Eggertsson (2010). Unpublished.

Juravle, Daniel (2011): Monetarism. Unpublished.

Abdala Rioja, Yamile E (2011): All things considered: the interaction of the reasons for the financial crisis. Unpublished.

Dewachter, Hans; Iania, Leonardo and Lyrio, Marco (2011): A New-Keynesian model of the yield curve with learning dynamics: A Bayesian evaluation. Unpublished.

Feige, Edgar L. and Cebula, Richard (2011): America’s unreported economy: measuring the size, growth and determinants of income tax evasion in the U.S. Forthcoming in: Crime, Law and Social Change No. April, 2012 (April 2012)

Feige, Edgar L. (2011): New estimates of U.S. currency abroad, the domestic money supply and the unreported Economy. Forthcoming in: Crime Law and Social Change No. April, 2012 (April 2012)

Ko, Jun-Hyung (2011): Optimal monetary policy with durable services: user cost versus purchase price. Unpublished.

Zagonov, Maxim (2011): Securitization and bank intermediation function. Unpublished.

Yan, Isabel K. and Kumhof, Michael (2011): Too much of a good thing? on the effects of limiting foreign reserve accumulation. Unpublished.

Zeng, Zhixiong (2011): A theory of the non-neutrality of money with banking frictions and bank recapitalization. Forthcoming in: Economic Theory

Balfoussia, Hiona; Brissimis, Sophocles and Delis, Manthos D (2011): The theoretical framework of monetary policy revisited. Unpublished.

Abad, José M; Loeffler, Axel and Zemanek, Holger (2011): TARGET2 Unlimited: Monetary Policy Implications of Asymmetric Liquidity Management within the Euro Area. Unpublished.

Jakas, Vicente (2011): Theory and empirics of an affine term structure model applied to European data. Published in: Aestimatio. The IEB International Journal of Finance No. 2 (July 2011): pp. 1-18.

Mandler, Martin (2011): Threshold effects in the monetary policy reaction function of the Deutsche Bundesbank. Unpublished.

Lizarazo, Sandra and Da-Rocha, Jose-Maria (2011): Optimal monetary policy and default. Unpublished.

Liu, Luke (2011): Monetary policy, bank size and bank lending: Evidence from Australia. Unpublished.

Dai, Meixing (2011): Les « hélicoptères » des banques centrales. Published in: Bulletin de l'Observatoire des Politiques Economiques en Europe , Vol. 24, No. 5 (June 2011): pp. 17-23.

Landais, Bernard (2011): Conduite et efficacité de la politique économique : les leçons de la crise. Unpublished.

Gasteiger, Emanuel (2011): Heterogeneous expectations, Taylor rules and the merit of monetary policy inertia. Unpublished.

Musgrave, Ralph S. (2011): Monetary and fiscal policy should be merged, which in turn changes the role of central banks. Unpublished.

Hutchison, Michael; Sengupta, Rajeswari and Singh, Nirvikar (2011): Dove or Hawk? characterizing monetary regime switches during financial liberalization in India. Unpublished.

Mukherjee, Sanchita (2011): Does the level of capital openness explain “fear of floating” amongst the inflation targeting countries? Unpublished.

Mukherjee, Sanchita (2011): The effects of capital market openness on exchange rate pass-through and welfare in an inflation targeting small open economy. Unpublished.

Gus, Garita and Chen, Zhou (2011): Averting Currency Crises: The Pros and Cons of Financial Openness. Unpublished.

Niyogi Sinha Roy, Tanima and Bhattacharya, Basabi (2011): Macroeconomic Stress Testing and the Resilience of the Indian Banking System: A Focus on Credit Risk. Unpublished.

Kuriyama, Akira (2011): A partial differential equation to express a business cycle :an implication for Japan's law interest policy. Unpublished.

Khan, Rana Ejaz Ali and Hye, Qazi Muhammad Adnan (2011): Financial Liberalization And Demand For Money: A Case of Pakistan. Published in:

Mylonidis, Nikolaos and Stamopoulou, Ioanna (2011): The role of monetary policy in managing the euro - dollar exchange rate. Unpublished.

Samano, Daniel (2011): In the quest of macroprudential policy tools. Unpublished.

Himmels, Christoph and Kirsanova, Tatiana (2011): Expectations Traps and Monetary Policy with Limited Commitment. Unpublished.

Bafile, Romina and Piergallini, Alessandro (2011): Firms’ Money Demand and Monetary Policy. Unpublished.

Nutahara, Kengo (2011): Asset Prices, Nominal Rigidities, and Monetary Policy: Role of Price Indexation. Unpublished.

Brissimis, Sophocles and Migiakis, Petros (2011): Inflation persistence and the rationality of inflation expectations. Unpublished.

Islas-Camargo, Alejandro and Cortez, Willy W. (2011): How relevant is monetary policy to explain Mexican unemployment fluctuations? Unpublished.

Elena, Gerko and Kirill, Sossounov (2011): Trend inflation and Monetary policy rules: Determinacy analyses in New Keynesian model with capital accumulation. Unpublished.

Fiodendji, Komlan (2011): Should Canadian Monetary Policy Respond to Asset Prices? Evidence from a Structural Model. Unpublished.

FIodendji, Komlan (2011): Should Canadian monetary policy respond to asset prices? Evidence from a structural model. Unpublished.

Paradiso, Antonio and Rao, B. Bhaskara (2011): The effects of Minsky moment and stock prices on the US Taylor Rule. Unpublished.

Abdul Majid, Muhamed Zulkhibri (2011): Predicting Output and Inflation in Less Developed Financial Markets Using the Yield Curve: Evidence from Malaysia. Unpublished.

Feige, Edgar L. and Cebula, Richard (2011): America’s Underground Economy: Measuring the Size, Growth and Determinants of Income Tax Evasion in the U.S. Unpublished.

Etem Hakan, Ergeç and Bengül Gülümser, Arslan (2011): Impact of Interest Rates on Islamic and Conventional Banks: The Case of Turkey. Unpublished.

Dai, Meixing and Sidiropoulos, Moïse (2011): Fiscal disciplining effect of central bank opacity: Stackelberg versus Nash equilibrium. Unpublished.

Hameed, Irfan and Ume, Amen (2011): Impact of monetary policy on gross domestic product (GDP). Published in: Interdisciplinary Journal of Contemporary Research in Business , Vol. 3, No. 1 (May 2011): pp. 1348-1361.

D'Agostino, Antonello; McQuinn, Kieran and O'Brien, Derry (2011): Nowcasting Irish GDP. Unpublished.

Dai, Meixing (2011): Quantitative and credit easing policies at the zero lower bound on the nominal interest rate. Unpublished.

Chen, Hung-Ju (2011): Social Status, Human Capital Formation and the Long-run Effects of Money. Unpublished.

Berg, Tim Oliver (2011): Technology news and the U.S. economy: Time variation and structural changes. Unpublished.

Javid, Muhammad and Munir, Kashif (2011): The price puzzle and monetary policy transmission mechanism in Pakistan: Structural vector autoregressive approach. Forthcoming in: The Pakistan Development Review , Vol. 49, No. 4 (2011)

Ojo, Marianne (2010): Preparing for Basel IV: why liquidity risks still present a challenge to regulators in prudential supervision. Unpublished.

Liebermann, Joelle (2010): Real-time nowcasting of GDP: Factor model versus professional forecasters. Unpublished.

Leung, Charles Ka Yui and Teo, Wing Leong (2010): Should the optimal portfolio be region-specific? A multi-region model with monetary policy and asset price co-movements. Unpublished.

Korobilis, Dimitris and Gilmartin, Michelle (2010): The dynamic effects of U.S. monetary policy on state unemployment. Unpublished.

Song, In Ho (2010): House Prices and Consumption. Unpublished.

Ojo, Marianne (2010): The role of monetary policy in matters relating to financial stability: Monetary policy responses adopted during the most recent Financial Crisis. Unpublished.

Tsyplakov, Alexander (2010): The links between inflation and inflation uncertainty at the longer horizon. Unpublished.

Mostafavi, Moeen; Shakouri G., Hamed and Fatehi, Ali-Reza (2010): Why the determinacy condition is a weak criterion in rational expectations models. Published in: Proceeding of 2010 International Conference on Information and Finance ( ICIF 2010) (26. November 2010): pp. 208-212.

Ben Ali, Samir (2010): A New Keynesian Phillips curve for Tunisia : Estimation and analysis of sensitivity. Unpublished.

D'Adamo, Gaetano (2010): Estimating Central Bank preferences in a small open economy: Sweden 1995-2009. Unpublished.

Rao, Nasir Hamid and Bukhari, Syed Kalim Hyder (2010): Asymmetric Shocks and Co-movement of Price Indices. Published in: State Bank of Pakistan Working Paper Sereis (04. February 2011): pp. 1-26.

Sunel, Enes (2010): On inflation, wealth inequality and welfare in emerging economies. Unpublished.

Trunin, Pavel; Knyazev, Dmitriy and Kudykina, Ekaterina (2010): Анализ факторов динамики обменного курса рубля. Published in: ИЭПП No. 144Р (November 2010)

Hirose, Yasuo (2010): Monetary policy and sunspot fluctuation in the U.S. and the Euro area. Unpublished.

Lucotte, Yannick (2010): The choice of adopting inflation targeting in emerging economies: Do domestic institutions matter? Unpublished.

Hassan, Rubina and Mirza, M. Shahzad (2010): The Reserve Equation and The Analytics of Pakistan's Monetary Policy. Published in: The Lahore Journal of Economics , Vol. 16, No. 1 (June 2011): pp. 111-142.

Pedro, Gomis-Porqueras; Benoit, Julien and Chengsi, Wang (2010): Optimal Monetary and Fiscal Policies In a Search-theoretic Model of Money and Unemployment. Unpublished.

Lambertini, Luisa; Mendicino, Caterina and Punzi, Maria Teresa (2010): Expectations-Driven Cycles in the Housing Market. Unpublished.

Mandler, Martin (2010): Explaining ECB and Fed interest rate correlation: Economic interdependence and optimal monetary policy. Unpublished.

Kobayashi, Teruyoshi (2010): Firm entry, credit availability and monetary policy. Unpublished.

Lluka, Valon (2010): Functions of Central Bank of Kosovo and the need for their advancement. Unpublished.

Abdul Karim, Zulkefly; Wan Ngah, Wan Azman Saini and Abdul Karim, Bakri (2010): Bank lending channel of monetary policy: dynamic panel data evidence from Malaysia. Unpublished.

Abdul Majid, Muhamed Zulkhibri (2010): Bank-characteristics, lending channel and monetary policy in Malaysia: evidence from bank-level data. Unpublished.

MEZUI-MBENG, Pamphile (2010): Tramsission de la politique monétaire: le cas des pays de la CEMAC. Forthcoming in: : pp. 1-34.

Zeng, Zhixiong (2010): A theory of the non-neutrality of money with banking frictions and bank recapitalization. Unpublished.

Dennis, Richard and Kirsanova, Tatiana (2010): Expectations Traps and Coordination Failures: Selecting among Multiple Discretionary Equilibria. Unpublished.

Zubairy, Sarah (2010): Deep Habits, Nominal Rigidities and Interest Rate Rules. Unpublished.

Mohamed, Issam A.W. (2010): Banks' Reserves' Restrictions and Economic Performance in Sudan (2007-2009). Unpublished.

Canale, Rosaria Rita (2010): Central bank reaction to public deficit and sound public finance: the case of the European Monetary Union. Published in: Journal of Advanced Studies in Finance , Vol. Volume 1,, No. Issue 1, Summer 2010 (August 2010): pp. 4-17.

Kadish, Peter (2010): Credit Monitoring in the USA and EU Countries. Unpublished.

Annicchiarico, Barbara; Pelloni, Alessandra and Lorenza, Rossi (2010): Endogenous Growth, Monetary Shocks and Nominal Rigidities. Unpublished.

Ege, Yazgan and Huseyin, Kaya (2010): Has inflation targeting increased predictive power of term structure about future inflation: evidence from an emerging market ? Unpublished.

Wolters, Maik Hendrik (2010): Estimating Monetary Policy Reaction Functions Using Quantile Regressions. Unpublished.

Dai, Meixing; Sidiropoulos, Moïse and Spyromitros, Eleftherios (2010): Fiscal policy, institutional quality and central bank transparency. Unpublished.

Dai, Meixing and Sidiropoulos, Moïse (2010): Monetary and fiscal policy interactions with central bank transparency and public investment. Unpublished.

Mykhaylova, Olena (2010): Optimal Monetary Policy with Non-Zero Net Foreign Wealth. Unpublished.

Merola, Rossana (2010): Financial frictions and the zero lower bound on interest rates: a DSGE analysis. Unpublished.

Bezemer, Dirk J and Gardiner, Geoffrey (2010): Innocent frauds meet Goodhart’s Law in monetary policy. Unpublished.

Sen Gupta, Abhijit (2010): Management of International Capital Flows: The Indian Experience. Unpublished.

Sircar, Jyotirmoy (2010): India’s Increased International Integration and the Financial Crisis: Has India Become More Prone to External Shocks? Unpublished.

Büyükkarabacak, Berrak and Mykhaylova, Olena (2010): Housing market dynamics and welfare. Unpublished.

Barnett, William A. and Chauvet, Marcelle (2010): How better monetary statistics could have signaled the financial crisis. Unpublished.

Drescher, Christian; Erler, Alexander and Krizanac, Damir (2010): The Fed's TRAP: A Taylor-type Rule with Asset Prices. Unpublished.

Lejour, Arjan; Lukkezen, Jasper and Veenendaal, Paul (2010): Sustainability of Government Debt in the EU. Forthcoming in:

Sonora, Robert (2010): Asymmetries in New Keynesian Phillips Curves: Evidence from US Cities. Unpublished.

Dai, Meixing (2010): Multiplicative uncertainty, central bank transparency and optimal degree of conservativeness. Published in: Economics Bulletin , Vol. Vol. 30 , No. no.3 (06. July 2010): pp. 1720-1726.

Gliksberg, Baruch (2010): The Role of Consumption-Labor Complementarity as a Source of Macroeconomic Instability. Unpublished.

Kobayashi, Teruyoshi and Muto, Ichiro (2010): A note on expectational stability under non-zero trend inflation. Unpublished.

Berg, Tim Oliver (2010): Do monetary and technology shocks move euro area stock prices? Unpublished.

Pang, Iris Ai Jao (2010): Comparisons of different monetary policies in China with yield curve information. Unpublished.

Rageh, Rania (2010): Interest rate rule for the conduct of monetary policy: analysis for Egypt (1997:2007). Unpublished.

Trunin, Pavel; Knyazev, Dmitriy and Satdarov, Aleksander (2010): Анализ независимости центральных банков РФ, стран СНГ и Восточной Европы. Published in: ИЭПП

Mirdala, Rajmund (2010): Sources of exchange rate dynamics in the European transition economies. Published in: Journal of Advanced Studies in Finance , Vol. Volume Number 1, No. Issue Number 1 (June 2010): pp. 60-71.

Simwaka, Kisu and Mkandawire, Leslie (2010): Official intervention in Foreign Exchange Market in Malawi: A comparison of GARCH and Equilibrium Exchange Rate approaches. Forthcoming in: African Economic Research Consortium

Nutahara, Kengo (2010): Asset prices and monetary policy in a sticky-price economy with financial frictions. Unpublished.

Canale, Rosaria Rita and Napolitano, Oreste (2010): The recessive attitude of EMU policies: reflections on the italian experience, 1998–2008. Unpublished.

Mohamed, Issam A.W. (2010): Islamic Banks Financing and Poverty Alleviation in Sudan. Unpublished.

Petrella, Ivan and Santoro, Emiliano (2010): Optimal Monetary Policy with Durable Consumption Goods and Factor Demand Linkages. Unpublished.

Landais, Bernard (2010): The monetary origins of the financial and economic crisis. Unpublished.

Khiabani, Nasser (2010): How Important are Oil and Money Shocks in Explaining Housing Market Fluctuations in an Oil-exporting Country?: Evidence from Iran. Unpublished.

Hutchison, Michael; Sengupta, Rajeswari and Singh, Nirvikar (2010): Estimating a Monetary Policy Rule for India. Unpublished.

Mandler, Martin (2010): Regime-dependent effects of monetary policy shocks. Evidence from threshold vector autoregressions. Unpublished.

Gogas, Periklis and Pragkidis, Ioannis (2010): The interest rate spread as a forecasting tool of greek industrial production. Forthcoming in: International Journal of Business Policy and Economics

Spruk, Rok (2010): Iceland's Economic and Financial Crisis: Causes, Consequences and Implications. Published in: EEI Policy Paper , Vol. 1, No. 2010 (23. February 2010)

Dai, Meixing (2010): Financial volatility and optimal instrument choice: A revisit to Poole’s analysis. Published in: Economics Bulletin , Vol. Vol. 30, , No. no.1 (18. February 2010): pp. 605-613.

Levy, Daniel and Smets, Frank (2010): Price Setting and Price Adjustment in Some European Union Countries: Introduction to the Special Issue. Forthcoming in: Managerial and Decision Economics

Abdul Karim, Zulkefly (2010): Monetary policy and firms’ investment: Dynamic panel data evidence from Malaysia. Unpublished.

Zagaglia, Paolo (2010): Informed trading in the Euro money market for term lending. Unpublished.

Tierney, Heather L.R. (2010): Real-Time Data Revisions and the PCE Measure of Inflation. Unpublished.

Tierney, Heather L.R. (2010): Real-Time Data Revisions and the PCE Measure of Inflation. Unpublished.

Franke, Reiner and Sacht, Stephen (2010): Some observations in the high-frequency versions of a standard New-Keynesian model. Unpublished.

Drama, Bedi Guy Herve and Yao, Shen (2010): The Demand for Money in Cote d’Ivoire: Evidence from the Cointegration Test. Unpublished.

Shehu Usman Rano, Aliyu (2010): Does inflation has an Impact on Stock Returns and Volatility? Evidence from Nigeria and Ghana. Unpublished.

Delis, Manthos D and Kouretas, Georgios (2010): Interest rates and bank risk-taking. Unpublished.

Abdul Majid, Muhamed Zulkhibri (2010): Measuring Monetary Conditions in A Small Open Economy: The Case of Malaysia. Unpublished.

Waheed, Muhammad (2010): Foreign exchange intervention and sterilization: an investigation of State Bank of Pakistan’s Reaction Function. Unpublished.

Shaikh, Salman (2010): Monetary Policy & Monetary Regime in an Interest Free Economy: An Alternate Approach In Monetary Economics amidst Great Recession. Unpublished.

Kobayashi, Teruyoshi (2010): Policy irreversibility and interest rate smoothing. Unpublished.

Cinquegrana, Giuseppe and Sarno, Domenico (2010): The yield curve and the prediction on the business cycle: a VAR analysis for the European Union. Unpublished.

Sanusi, Aliyu Rafindadi (2010): An empirical analysis of the money supply process in Ghana: 1983-2006. Published in: Abuja Journal of Banking and Finance , Vol. 2, No. 1 (2010): pp. 115-128.

Annicchiarico, Barbara and Piergallini, Alessandro (2010): Country-Specific Risk Premium, Taylor Rules, and Exchange Rates. Unpublished.

Mendicino, Caterina; Lambertini, Luisa and Punzi, Maria Teresa (2010): Expectations-Driven Cycles in the Housing Market. Unpublished.

Ghosh, Saibal (2010): Firm Characteristics, Financial Composition and Response to Monetary Policy: Evidence from Indian Data. Published in: Journal of Indian Business Research , Vol. 2, (October 2010)

Eyler, Robert and Sonora, Robert (2010): Is a National Monetary Policy Optimal? Unpublished.

Liu, X (2010): Is Optimal Monetary and Fiscal Policy in a Small Open Economy Time Consistent? Unpublished.

Diego, Cerdeiro (2010): Measuring Monetary Policy in Open Economies. Unpublished.

Forte, Antonio (2010): Some empirical evidence of the euro area monetary policy. Unpublished.

Mallaye, Douzounet (2009): REFORMES MONÉTAIRES ET CROISSANCE ÉCONOMIQUE EN ZONE CEMAC. Unpublished.

John, Tatom (2009): U.S. Monetary Policy and Stock Prices: Should the Fed Attempt to Control Stock Prices? Unpublished.

Guillard, Michel and Sosa Navarro, Ramiro (2009): Fiscal Imbalances, Inflation and Sovereign Default Dynamics. Unpublished.

Da Silva Filho, Tito Nícias Teixeira and Figueiredo, Francisco Marcos Rodrigues (2009): Has core inflation been doing a good job in Brazil? Unpublished.

Canale, Rosaria Rita and Napolitano, Oreste (2009): The recessive attitude of EMU policies: reflections on the italian experience, 1998–2008. Unpublished.

Erler, Alexander and Krizanac, Damir (2009): Taylor-Regel und Subprime-Krise - Eine empirische Analyse der US-amerikanischen Geldpolitik. Unpublished.

Brzoza-Brzezina, Michal and Makarski, Krzysztof (2009): Credit Crunch in a Small Open Economy. Unpublished.

Ciżkowicz, Piotr; Hołda, Marcin and Rzońca, Andrzej (2009): Inflation and investment in monetary growth models. Unpublished.

Forte, Antonio (2009): The European Central Bank, the Federal Reserve and the Bank of England: is the Taylor Rule an useful benchmark for the last decade? Unpublished.

Siok Kun, Sek (2009): The impacts of economic structures on the performance of simple policy rules in a small open economy. Published in: VDM Verlag (2010)

Marattin, Luigi and Marzo, Massimiliano (2009): Fiscal rules in a highly distorted economy. Unpublished.

Przystupa, Jan (2009): Approaching a problem of the long-run real equilibrium exchange rate of Polish zloty while entering the ERM-2 and Euro zone. Published in: Discussion Papers of the Institute for Market, Consumption and Business Cycles Research , Vol. 99, No. Discussion Papers (04. December 2009): pp. 1-30.

Chirwa, Themba G. (2009): The role of real and nominal variables in defining business cycles: dynamic properties of a hybrid model - an alternative view. Unpublished.

Koop, Gary and Korobilis, Dimitris (2009): Bayesian Multivariate Time Series Methods for Empirical Macroeconomics. Unpublished.

Sustek, Roman (2009): Monetary Business Cycle Accounting. Unpublished.

Abo-Zaid, Salem (2009): Optimal Monetary Policy and Downward Nominal Wage Rigidity in Frictional Labor Markets. Unpublished.

Lunardelli, André (2009): Loss avoidance in nominal frames and fairness in downward nominal wage rigidity and disinflation. Unpublished.

Ono, Masanori (2009): Trading companies as financial intermediaries in Japan. Unpublished.

Hoffmann, Andreas (2009): Fear of depression - Asymmetric monetary policy with respect to asset markets. Unpublished.

Scarlat, Valentin (2009): Monetary Policies and the Economic Growth. Published in: Sustainable development through education research and innovation (28. September 2009): pp. 192-199.

Siregar, Reza.Y. and Goo, Siwei (2009): Effectiveness and Commitment to Inflation Targeting Policy: Evidences from Indonesia and Thailand. Unpublished.

Kobayashi, Teruyoshi and Muto, Ichiro (2009): Expectational stability under non-zero trend inflation. Unpublished.

Sustek, Roman (2009): Nonconvex Margins of Output Adjustment and Aggregate Fluctuations. Unpublished.

Feige, Edgar L. (2009): New estimates of overseas U.S. currency holdings, the Underground economy and the "Tax Gap". Forthcoming in: Crime , Law and Social Change (2011)

Goo, Siwei and Siregar, Reza Y. Siregar (2009): Economic Shocks and Exchange Rate as a Shock Absorber in Indonesia and Thailand. Unpublished.

Rodríguez González, Guillermo (2009): El dilema de la política monetaria: Una trilogía en V partes. Unpublished.

Tierney, Heather L.R. (2009): Evaluating Exclusion-from-Core Measures of Inflation using Real-Time Data. Unpublished.

Tierney, Heather L.R. (2009): Examining the Ability of Core Inflation to Capture the Overall Trend of Total Inflation. Unpublished.

Zemanek, Holger (2009): Country Size and Labor Market Flexibility in the European Monetary Union: Why Small Countries Have more Flexible Labor Markets. Unpublished.

Das, Rituparna (2009): Indian G-Sec Market: How the Term Structure Reacts to Monetary Policy. Unpublished.

Kishor, N. Kundan (2009): Data Revisions in India and its Implications for Monetary Policy. Unpublished.

Mirdala, Rajmund (2009): Exchange rate pass-through to domestic prices in the Central European countries. Published in: Journal of Applied Economic Sciences , Vol. 4, No. 3 (September 2009): pp. 408-424.

KAMGNA, Severin Yves; NGUENANG, Christian; TALABONG, Hervé and OULD, Isselmou (2009): Fonction de reaction de la banque centrale et credibilite de la politique monétaire: Cas de la BEAC. Unpublished.

Gaetano, D'Adamo (2009): Measuring exchange rate flexibility in Europe. Unpublished.

Kishor, N. Kundan (2009): Modeling Inflation in India: The Role of Money. Unpublished.

Kishor, N. Kundan and Newiak, Monique (2009): The Instability in the Monetary Policy Reaction Function and the Estimation of Monetary Policy Shocks. Unpublished.

Bezemer, Dirk J (2009): Banks As Social Accountants: Credit and Crisis Through an Accounting Lens. Unpublished.

Naqvi, Bushra and Rizvi, Syed Kumail Abbas (2009): Inflation Targeting Framework: Is the story different for Asian Economies? Unpublished.

Yilmazkuday, Hakan (2009): Is there a Role for International Trade Costs in Explaining the Central Bank Behavior? Unpublished.

Landais, Bernard (2009): La politique monétaire et la crise. Unpublished.

Fujisaki, Seiya and Mino, Kazuo (2009): Long-Run Impacts of Inflation Tax in the Presence of Multiple Capital Goods. Unpublished.

Dai, Meixing and Sidiropoulos, Moïse (2009): Public investment, distortionary taxes and monetary policy transparency. Unpublished.

Mirdala, Rajmund (2009): Shocking aspects of monetary integration (SVAR approach). Published in: Journal of Applied Research in Finance , Vol. 1, No. 1 (July 2009): pp. 52-63.

Sasidharan, Anand (2009): Stock Market's Reaction to Monetary Policy Announcements in India. Unpublished.

Varma, Vijaya Krushna Varma (2009): Top tax system: a common taxation system for all nations. Unpublished.

Abdul Karim, Zulkefly; Md. Said, Fathin Faezah; Jusoh, Mansor and Md. Thahir, Md. Zyadi (2009): Monetary policy and inflation targeting in a small open-economy. Unpublished.

Bhattacharya, Sulagna (2009): Trickle-Down Effects of Changing Value of Euro on US Economy. Unpublished.

Korobilis, Dimitris (2009): Assessing the transmission of monetary policy shocks using dynamic factor models. Unpublished.

Przystupa, Jan and Wróbel, Ewa (2009): Asymmetry of the exchange rate pass-through: An exercise on the Polish data. Unpublished.

Belongia, Michael and Hinich, Melvin (2009): The evolving role and definition of the federal funds rate in the conduct of U.S. monetary policy. Unpublished.

Ziaei, Sayyed Mahdi (2009): Assess The Long Run Effects Of Monetary Policy On Bank lending,Foreign Asset and Liability In MENA Countries. Unpublished.

Setzer, Ralph and Wolff, Guntram B. (2009): Money demand in the euro area: new insights from disaggregated data. Unpublished.

Hernandez-Verme, Paula and Wang, Wen-Yao (2009): Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy. Unpublished.

Singh, Prakash and Pandey, Manoj K. (2009): Structural break, stability and demand for money in India. Unpublished.

Çelik, Sadullah and Deniz, Pınar (2009): Does Fed Funds Target Interest Rate Lead Bank of England’s Bank Rate and European Central Bank’s Key Interest Rate? Unpublished.

Kitov, Ivan (2009): The anti-Phillips curve. Unpublished.

Dai, Meixing (2009): On the role of money growth targeting under inflation targeting regime. Unpublished.

Abo-Zaid, Salem (2009): Sticky Wages, Incomplete Pass-Through and Inflation Targeting: What is the Right Index to Target? Unpublished.

Duduiala-Popescu, Lorena (2009): The role of compensation in money market and new money market instruments Open. Unpublished.

Hernandez Martinez, Fernando (2009): Efectos del incremento del precio del petróleo en la economía española: Análisis de cointegración y de la política monetaria mediante reglas de Taylor. Published in: FUNCAS Working Papers Series No. 1988-8767 (February 2009)

Mirdala, Rajmund (2009): Interest rate transmission mechanism of monetary policy in the selected EMU candidate countries. Published in: Panoeconomicus , Vol. 56, No. 3 (September 2009): pp. 359-377.

Gogas, Periklis and Kothroulas, George (2009): Two speed Europe and business cycle synchronization in the European Union: The effect of the common currency. Unpublished.

Tierney, Heather L.R. (2009): A Local Examination for Persistence in Exclusions-from-Core Measures of Inflation Using Real-Time Data. Unpublished.

Manzan, Sebastiano and Zerom, Dawit (2009): Are Macroeconomic Variables Useful for Forecasting the Distribution of U.S. Inflation? Unpublished.

Siregar, Reza (2009): Pursuing Inflation Targeting Policy Framework in the Midst of Inflationary Pressures and Fiscal Constraint in Indonesia. Unpublished.

Tatom, John (2009): The Superlative Recession and economic policies. Published in: Research Buzz , Vol. 5, No. 1 (January 2009): pp. 1-8.

Balogun, Emmanuel Dele (2009): Inflation differential in the West African Monetary Zone (WAMZ) area:Implications for unionization. Unpublished.

Barnett, William A. and He, Susan (2009): Existence of Singularity Bifurcation in an Euler-Equations Model of the United States Economy: Grandmont was Right. Unpublished.

Omotor, Douglason G. (2009): The Nigerian economy and monetary policy: Some simple empirics. Unpublished.

Makochekanwa, Albert (2009): Clothed in rags by hyperinflation: the case of Zimbabwe. Unpublished.

Tierney, Heather L.R. (2009): A Local Examination for Persistence in Exclusions-from-Core Measures of Inflation Using Real-Time Data. Unpublished.

Annicchiarico, Barbara; Giammarioli, Nicola and Piergallini, Alessandro (2009): Budgetary Policies in a DSGE Model with Finite Horizons. Unpublished.

Ghosh, Saibal (2009): Industry Effects of Monetary Policy: Evidence from India. Published in: Indian Economic Review , Vol. 44, No. 1 (January 2009): pp. 89-105.

Alper, Emre and Hatipoglu, Ozan (2009): The Conduct of Monetary Policy in Turkey in the Pre- and Post-crisis Period of 2001 in Comparative Perspective: a Case for Central Bank Independence. Published in: Turkey and the Global Economy: Neoliberal Restructuring and Integration in the Post-Crisis Era (October 2009): pp. 50-72.

Dumitru, Ionut (2009): Adoptarea euro in Romania. Unpublished.

Annicchiarico, Barbara and Piergallini, Alessandro (2009): Country-Specific Risk Premium, Taylor Rules, and Exchange Rates. Unpublished.

Craigwell, Roland; Greenidge, Kevin and Maynard, Tracy (2009): Exchange rate regimes and monetary autonomy: Empirical evidence from selected Caribbean countries. Published in: Central Bank of Barbados Economic Review , Vol. 36, No. 2 (2009): pp. 22-36.

Strachman, Eduardo (2009): Implementing inflation targeting in Brazil: an institutional analysis. Unpublished.

Yilmazkuday, Hakan (2009): Inflation Targeting and Inflation Convergence within Turkey. Unpublished.

Jean Louis, Rosmy; Balli, Faruk and Osman, Mohammad (2009): Is the US dollar a suitable anchor for the newly proposed GCC currency? Published in: THe World Economy , Vol. 33, No. 12 (December 2010): pp. 1898-1922.

Omer, Muhammad (2009): Stability of money demand function in Pakistan. Published in: SBP Research Bulletin , Vol. 6, No. 2 (2010)

Matić, Branko (2009): Suvremeni kovinski novac i njemu slični kovinski objekti. Published in: Numizmatičke vijesti No. 62 (2009): pp. 169-182.

Levent, Korap (2009): The search for co-integration between money, prices and income: low frequency evidence from the Turkish economy. Published in: panoeconomicus , Vol. LVI, No. 1 (2009): pp. 55-72.

Mierzejewski, Fernando (2008): The optimal liquidity principle with restricted borrowing. Unpublished.

Tatom, John (2008): Is the financial crisis causing a recession? Published in: Research Buzz , Vol. 4, No. 10 (19. December 2008): pp. 1-5.

Dai, Meixing; Sidiropoulos, Moïse and Spyromitros, Eleftherios (2008): Monetary policy transparency and inflation persistence in a small open economy. Unpublished.

Dai, Meixing (2008): Public debt and currency crisis: how central bank opacity can make things bad? Published in: Economics Bulletin , Vol. 29, No. 1 (February 2009): pp. 190-198.

Barnett, William A. and Chauvet, Marcelle (2008): The End of the Great Moderation? Unpublished.

Barnett, William A. (2008): What broke the bubble? Unpublished.

Kelly, Logan J (2008): The Stock of Money and Why You Should Care. Unpublished.

Haider, Adnan and Khan, Safdar Ullah (2008): A Small Open Economy DSGE Model for Pakistan. Unpublished.

Popa, Catalin C. (2008): A functional overview of financial crises development and propagation. Published in: Knowledge Based Organization 2008 International Conference, November 2008, Sibiu, Romania , Vol. 3, No. ISSN 1843-6722 (15. November 2008): pp. 278-282.

Popa, Catalin C. (2008): Banca Centrala Europeana si Politicile Monetare in Zona Euro. Published in: Naval Academy Publishing House No. ISBN 978-973-1870-06-9 (01. November 2008)

Boermans, Martijn Adriaan and Moore, Basil J (2008): Locked-in and Sticky Textbooks: Mainstream Teaching of the Money Supply Process. Unpublished.

Douch, Mohamed and Essadam, Naceur (2008): Monetary policy conduct: A hybrid framework. Unpublished.

Balogun, Emmanuel Dele (2008): An alternative reconsideration of macroeconomic convergence criteria for West African Monetary Zone. Unpublished.

Nikolsko-Rzhevskyy, Alex (2008): Monetary Policy Evaluation in Real Time: Forward-Looking Taylor Rules Without Forward-Looking Data. Unpublished.

Makochekanwa, Albert (2008): Measuring the Welfare Cost of Inflation in Zimbabwe. Unpublished.

Nunes, Ricardo (2008): Delegation and Loose Commitment. Unpublished.

Tatom, John (2008): The continuing foreclosure crisis: new institutions and risks. Published in: Research Buzz , Vol. 4, No. 7 (30. September 2008): pp. 1-6.

Tanya, Molodtsova; Nikolsko-Rzhevskyy, Alex and Papell, David (2008): Taylor Rules and the Euro. Unpublished.

van den Hauwe, Ludwig (2008): Free Banking, the Real-Balance Effect, and Walras´ Law. Unpublished.

van den Hauwe, Ludwig (2008): Free Banking, the Real-Balance Effect, and Walras´ Law. Unpublished.

van den Hauwe, Ludwig (2008): Free Banking, the Real-Balance Effect, and Walras´ Law. Unpublished.

van den Hauwe, Ludwig (2008): Free Banking, the Real-Balance Effect, and Walras´ Law. Unpublished.

Sinigaglia, Daniel (2008): Stabilizing Inflation under Heterogeneity: a welfare-based measure on what to target. Unpublished.

Pereira, Manuel C (2008): Empirical evidence on the stabilizing role of fiscal and monetary policies in the US. Unpublished.

Melecky, Ales and Melecky, Martin (2008): From Inflation to Exchange Rate Targeting: Estimating the Stabilization Effects. Unpublished.

Baldursson, Fridrik M. and Hall, Axel (2008): Out of reach? Convergence to an inflation target in the Central Bank of Iceland's macroeconomic model. Published in: Timarit um vidskipti og efnahagsmal No. Special issue 2008 : pp. 83-106.

Naqvi, Bushra and Rizvi, Syed Kumail Abbas (2008): What Does Pakistan Have to Join Inflation Targeters Club, A Royal Flush or A Seven-Deuce Offsuit? Unpublished.

Barnett, William A. and Chauvet, Marcelle (2008): International Financial Aggregation and Index Number Theory: A Chronological Half-Century Empirical Overview. Unpublished.

Eo, Yunjong (2008): Bayesian Analysis of DSGE Models with Regime Switching. Unpublished.

Brzoza-Brzezina, Michal and Kot, Adam (2008): The Relativity Theory Revisited: Is Publishing Interest Rate Forecasts Really so Valuable? Unpublished.

Mukherjee, Deepraj and Kemme, David (2008): Evaluating inflation forecast models for Poland: Openness matters, money does not (but its cost does). Unpublished.

Ghosh, Saibal (2008): Capital requirements, bank behavior and monetary policy: A theoretical analysis with an empirical application to India. Published in: Indian Economic Review , Vol. 43, No. 2 (July 2008): pp. 205-338.

Zarate, Cristina A. (2008): Una Nota sobre Reserva Óptima y Riesgo Soberano: el caso Argentino 1997-2007. Unpublished.

KAMGNA, Severin Yves and Ndambendia, Houdou (2008): Excès de liquidité systémique et effectivité de la politique monétaire : cas des pays de la CEMAC. Unpublished.

Barnett, William A.; Jones, Barry E. and Nesmith, Travis D. (2008): Divisia Second Moments: An Application of Stochastic Index Number Theory. Unpublished.

Marinas, Marius and Zoican, Marius Andrei (2008): Optimality, rational expectations and time inconsistency applied to inflation targeting strategy. Published in: Theoretical and Applied Economics , Vol. 10(527) 2008, No. 10(527) October (October 2008): pp. 17-30.

Saqib, Omar F and Omer, Muhamad (2008): Monetary Targeting in Pakistan: A Skeptical Note. Unpublished.

Papadamou, Stephanos and Siriopoulos, Costas (2008): Does the ECB Care about Shifts in Investors’ Risk Appetite? Unpublished.

Simwaka, Kisu and Mkandawire, Leslie (2008): The efficacy of foreign exchange market intervention in Malawi. Published in: African Journal of Economic Policy , Vol. AJEP, Vol.15, No.1 June 2008, No. ISSN 1166-4875 (01. June 2008): pp. 1-38.

Dai, Meixing and Sidiropoulos, Moise (2008): Fiscal Policy in a Monetary Union in the Presence of Uncertainty about the Central Bank Preferences. Unpublished.

Lipinska, Anna (2008): The Maastricht Convergence Criteria and Monetary Regimes for the EMU Accession Countries. Unpublished.

Lipinska, Anna (2008): The Maastricht Criteria and Optimal Monetary and Fiscal Policy Mix for the EMU Accession Countries. Unpublished.

Erdemlioglu, Deniz M and Xiao, Wei (2008): Indeterminate Equilibria in New Keynesian DSGE Model: An Application to the US Great Moderation. Unpublished.

Levy, Daniel; Müller, Georg; Chen, Haipeng (Allan); Bergen, Mark and Dutta, Shantanu (2008): Holiday Price Rigidity and Cost of Price Adjustment. Unpublished.

Arato, Hiroki (2008): Optimal operational monetary policy rules in an endogenous growth model: a calibrated analysis. Unpublished.

Gaiotti, Eugenio (2008): Has globalisation changed the Phillips curve? Firm-level evidence on the effect of activity on prices. Unpublished.

Berriel, Tiago and Sinigaglia, Daniel (2008): Optimal Fiscal and Monetary Policy under Sectorial Heterogeneity. Unpublished.

Berriel, Tiago and Sinigaglia, Daniel (2008): Technical Appendix to "Optimal Fiscal and Monetary Policy under Sectorial Heterogeneity". Unpublished.

Turhan, Ibrahim M. (2008): Why did it work this time: a comparative analysis of transformation of Turkish economy after 2002. Published in: Asian-African Journal of Economics and Econometrics , Vol. 8, No. 2 (2008): pp. 255-280.

Tatom, John (2008): The Federal Reserve in crisis. Published in: Research Buzz , Vol. 4, No. 3 (31. March 2008): pp. 1-9.

Dressler, Scott (2008): Economies of scale in banking, indeterminacy, and monetary policy. Unpublished.

van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design. Unpublished.

van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design. Unpublished.

van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design. Unpublished.

Mandler, Martin (2008): Decomposing Federal Funds Rate forecast uncertainty using real-time data. Unpublished.

Qayyum, Abdul (2008): Does Monetary Policy Play Effective Role in Controlling Inflation in Pakistan. Unpublished.

Tweneboah, George and Adam, Anokye M. (2008): Implications of Oil Price Shocks for Monetary Policy in Ghana: A Vector Error Correction Model. Unpublished.

Melecky, Martin; Rodrıguez Palenzuela, Diego and Soderstrom, Ulf (2008): Inflation Target Transparency and the Macroeconomy. Unpublished.

Sek, Siok Kun (2008): Interactions between monetary policy and exchange rate in inflation targeting emerging countries: the case of three East Asian countries. Unpublished.

Bhattacharya, Jyotirmoy (2008): Oil Shocks: How Destabilizing are they? Unpublished.

Berardi, Michele (2008): Should monetary policy respond to private sector expectations? Forthcoming in: Central Banking and Globalization

Mierzejewski, Fernando (2007): A Model of Monetary Equilibrium with Random Output and Restricted Borrowing. Unpublished.

Holtemöller, Oliver (2007): The Effects of Joining a Monetary Union on Output and Inflation Variability in Accession Countries. Unpublished.

Arend, Mario (2007): An Analytical Solution for the Interest Rate Reaction Function in a Neo- Keynesian Economy Using the Undetermined Coefficients Method. Unpublished.

Wang, Vey; Lai, Chung-Hui; Hu, Shih-Wen and Cheng, Chia-Hui (2007): 股票政策宣告對農產品價格與股票價格的動態影響. Published in: Agriculture and Economics , Vol. 39, (December 2007): pp. 1-43.

D'Agostino, A and Whelan, K (2007): Federal Reserve Information During the Great Moderation. Forthcoming in: Journal of the European Economic Association

Louis, Rosmy; Osman, Mohammad and Balli, FAruk (2007): On The Road to Monetary Union – Do Arab Gulf Cooperation Council Economies React in the same way to United States' Monetary Policy Shocks? Unpublished.

Alpanda, Sami and Honig, Adam (2007): Political Monetary Cycles and a New de facto Ranking of Central Bank Independence. Unpublished.

Muñoz, Jorge; Recabal, Claudio and Acuña, Andrés (2007): La política monetaria y su impacto sobre los retornos reales del mercado bursátil chileno. Published in: Horizontes Empresariales , Vol. 6(2), (December 2007): pp. 9-29.

Bokor, László (2007): Optimality criteria of hybrid inflation-price level targeting (outdated version). Unpublished.

Arslan, Mesut Murat (2007): Dynamics of Sticky Information and Sticky Price Models in a New Keynesian DSGE Framework. Unpublished.

Uhlig, Harald (2007): Monetary policy in Europe vs the US: what explains the difference? Unpublished.

Barnett, William A.; Chauvet, Marcelle and Tierney, Heather L. R. (2007): Measurement Error in Monetary Aggregates: A Markov Switching Factor Approach. Unpublished.

Dai, Meixing (2007): The design of a ‘two-pillar’ monetary policy strategy. Unpublished.

Mierzejewski, Fernando (2007): The Money Demand with Random Output and Limited Access to Debt. Unpublished.

Pavasuthipaisit, Robert (2007): Optimal exchange rate policy in a low interest rate environment. Unpublished.

Schnabl, Gunther and Hoffmann, Andreas (2007): Geldpolitik, vagabundierende Liquidität und platzende Blasen in neuen und Aufstrebenden Märkten. Published in: Wirtschaftsdienst No. April 2007 (April 2007): pp. 220-224.

Chauvet, Marcelle and Tierney, Heather L. R. (2007): Real Time Changes in Monetary Policy. Unpublished.

Gomes, Orlando (2007): Stability analysis in a monetary model with a varying intertemporal elasticity of substitution. Unpublished.

Ghent, Andra (2007): Why do markets react badly to good news? Evidence from Fed Funds Futures. Unpublished.

Mierzejewski, Fernando (2007): An actuarial approach to short-run monetary equilibrium. Published in: Proceedings of the 5th Actuarial and Financial Mathematics Day (2007): pp. 67-76.

Hatipoglu, Ozan and Alper, C. Emre (2007): Estimating Central Bank Behavior in Emerging Markets: The Case of Turkey. Unpublished.

Rossi, Lorenza and Mattesini, Fabrizio (2007): Productivity Shock and Optimal Monetary Policy in a Unionized Labor Market. Forthcoming: The Manchester School. Unpublished.

Brzoza-Brzezina, Michal; Chmielewski, Tomasz and Niedźwiedzińska, Joanna (2007): Substitution between domestic and foreign currency loans in Central Europe. Do central banks matter? Unpublished.

Levent, Korap (2007): Turkish money demand, revisited: some implications for inflation and currency substitution under structural breaks. Published in: Boğaziçi Journal, Review of Social, Economic and Administrative Studies , Vol. 21, No. 1-2 (2007): pp. 107-127.

Dai, Meixing (2006): Independent inflation-targeting regime versus monetary union: An analysis of dynamic stability under endogenous inflation expectations. Unpublished.

Nicolau, Mihaela (2006): Romanian banking system evolution and Basel II requirements. Published in: The Annals of Dunarea de Jos University of Galati No. 12 (December 2006): pp. 95-102.

Mierzejewski, Fernando (2006): Liquidity preference as rational behaviour under uncertainty. Unpublished.

Tatom, John (2006): Money Growth Has Slowed Sharply—Should Anybody Care? Published in: Research Buzz , Vol. 2, No. 10 (30. November 2006): pp. 1-3.

Horvath, Roman (2006): Financial Accelerator Effects in the Balance Sheets of Czech Firms. Unpublished.

Blake, Andrew P. and Kirsanova, Tatiana (2006): Discretionary Policy and Multiple Equilibria in LQ RE Models. Unpublished.

Ghosh, Saibal (2006): Monetary policy and bank behavior: Empirical evidence from India. Published in: Economic and Political Weekly , Vol. 41, No. 10 (November 2006): pp. 853-856.

Horvath, Roman (2006): Real-Time Time-Varying Equilibrium Interest Rates: Evidence on the Czech Republic. Unpublished.

Martin, Chris and Milas, Costas (2006): Testing the Opportunistic Approach to Monetary Policy. Unpublished.

Hernández Monsalve, Mauricio Alberto and Mesa Callejas, Ramón Javier (2006): El efecto de las intervenciones cambiarias: la experiencia colombiana 2004-2006. Published in: Borradores del CIE No. 24 (October 2006): pp. 1-29.

Gomes, Orlando (2006): Monetary policy and economic growth: combining short and long run macro analysis. Unpublished.

Filacek, Jan; Horvath, Roman and Skorepa, Michal (2006): Monetary Policy before Euro Adoption: Challenges for EU New Members. Unpublished.

Chmielewski, Tomasz and Kot, Adam (2006): Impact of globalisation? Changes in the MTM in Poland. Unpublished.

Basci, Erdem; Erdogan, Ayse M. and Saglam, Ismail (2006): Money, Tobin Effect, and Incerasing Returns. Unpublished.

Basci, Erdem; Erdogan, Ayse M. and Saglam, Ismail (2006): Money, Tobin Effect, and Increasing Returns. Unpublished.

Abbritti, Mirko; Boitani, Andrea and Damiani, Mirella (2006): Unemployment, Inflation and Monetary Policy in a Dynamic New Keynesian Model with Hiring Costs. Published in: HEI Working Paper No. 07/2007 (January 2007): pp. 1-33.

Goyal, Ashima (2006): Macroeconomic policy and the exchange rate: working together? Published in: India Development Report 2007 (2007): pp. 96-111.

Sidiropoulos, Moïse and Diana, Giuseppe (2006): Robust Control and Monetary Policy Delegation. Published in: Massimo Salzano and David Colander (ed.): “Complexity Hints for Economic Policy”, Springer-Verlag Publisher, 2007 (2007): pp. 303-310.

Omay, Tolga Omay and Hasanov, Mubariz (2006): Türkiye için reaksiyon fonksiyonunun doğrusal olmayan modelle tahmin edilmesi. Unpublished.

Vitek, Francis (2006): Measuring the Stance of Monetary Policy in a Closed Economy: A Dynamic Stochastic General Equilibrium Approach. Unpublished.

Vitek, Francis (2006): Measuring the Stance of Monetary Policy in a Small Open Economy: A Dynamic Stochastic General Equilibrium Approach. Unpublished.

Mattesini, Fabrizio and Rossi, Lorenza (2006): Productivity shocks and Optimal Monetary Policy in a Unionized Labor Market Economy. Forthcoming in: The Manchester School

Tatom, John (2006): Inflation Targeting is Neither Necessary Nor Sufficient. Published in: Research Buzz , Vol. 2, No. 5 (31. May 2006): pp. 1-2.

Akyazi, Haydar and Artan, Seyfettin (2006): Reflections of the New Economy on the monetary policy and central banking. Unpublished.

Haydar, Akyazi and Seyfettin, Artan (2006): The reflections of new economy on monetary policy and central banking. Unpublished.

Horvath, Roman (2006): Modelling Central Bank Intervention Activity under Inflation Targeting. Unpublished.

Nachane, Dilip; Ghosh, Saibal and Ray, Partha (2006): Basel II and bank lending behavior: some likely implications for monetary policy. Published in: Economic and Political Weekly , Vol. 41, (18. March 2006): pp. 1053-1058.

Vitek, Francis (2006): Monetary Policy Analysis in a Closed Economy: A Dynamic Stochastic General Equilibrium Approach. Unpublished.

Vitek, Francis (2006): Monetary Policy Analysis in a Small Open Economy: A Dynamic Stochastic General Equilibrium Approach. Unpublished.

Ielpo, Florian and Guégan, Dominique (2006): An econometric specification of monetary policy dark art. Unpublished.

Ielpo, Florian and Guégan, Dominique (2006): An econometric specification of monetary policy dark art. Unpublished.

Kapstein, Ethan and Converse, Nathan (2006): The Economics of Young Democracies: Policies and Performance. Unpublished.

Mandler, Martin (2006): Are there gains from including monetary aggregates and stock market indices in the monetary policy reaction function? A simulation study of recent U.S. monetary policy. Unpublished.

Zangeneh, Hamid (2006): Economic Stability and the Central Bank: Rule or Discretion. Published in: Iranian Economic review , Vol. 11, No. 16 (2006): pp. 165-175.

Dumitru, Ionut (2006): Tintirea directa a inflatiei in Romania – provocari si perspective. Unpublished.

Arend, Mario (2005): Efectos de una nueva medida de shock monetario bajo el esquema de metas de inflación en Chile. Unpublished.

Malik, Hamza (2005): Monetary-Exchange Rate Policy and Current Account Dynamics. Unpublished.

Huaita, Franklin (2005): Dinero como indicador de la inflación en Chile. Unpublished.

Malik, Hamza and Scarth, William (2005): Is Price Flexibility De-Stabilizing? A Reconsideration. Unpublished.

Hossain, Monzur (2005): Financial Deregulation and Crisis:An ‘Agency-conflict’ Case of Japan. Unpublished.

Dai, Meixing and Sidiropoulos, Moïse (2005): Flexibility in inflation targeting, financial markets and macroeconomic stability. Unpublished.

Ajluni, Jarir (2005): Monetary Policy Shocks in a Small Open Economy: Assessing the 'Puzzles' of Monetary Policy by SVAR. Unpublished.

Malik, Hamza (2005): Price Level vs. Nominal Income Targeting: Aggregate Demand Shocks and the Cost Channel of Monetary Policy Transmission. Unpublished.

Peeters, Marga (2005): What about monetary transmission in Albania? Is the exchange rate pass-through (still) the main channel? Unpublished.

Belongia, Michael (2005): Where simple sum and Divisia monetary aggregates part: illustrations and evidence for the United States. Unpublished.

Dibartolomeo, Giovanni; Rossi, Lorenza and Tancioni, Massimiliano (2004): Monetary Policy under Rule-of-Thumb Consumers and External Habits: An International Empirical Comparison. Unpublished.

Dibartolomeo, Giovanni; Rossi, Lorenza and Tancioni, Massimiliano (2004): Monetary Policy under Rule-of-Thumb Consumers and External Habits: An International Empirical Comparison. Unpublished.

Simatele, Munacinga C H (2004): Financial sector reforms and monetary policy reforms in Zambia. Published in: University of Gothernburg PhD Series (February 2004)

Luís, Pacheco (2004): Asset Prices and Monetary Policy in the Euro Area: a tentative model. Published in: Current Issues in European Integration (2004)

Mallick, Indrajit (2004): Strategic Allocation of Liquidity in the InterBank Money Market. Published in: ACTA Press No. 2004 (2004)

Eruygur, Aysegul (2004): The impact of foreign interest rate on the macroeconomic performance of Turkey. Unpublished.

Dai, Meixing (2003): Une note sur la règle du taux d’intérêt et le rôle de la courbe LM. Unpublished.

Dai, Meixing and Sidiropoulos, Moïse (2003): Inflation Targeting, Capital Mobility and Macroeconomic Stability. Unpublished.

Dai, Meixing and Sidiropoulos, Moïse (2003): Les prix des actifs et la stratégie de politique monétaire de la BCE. Unpublished.

Grech, Aaron George (2003): The Framework of Monetary Policy in Malta. Unpublished.

Dumitru, Ionut (2002): Money Demand in Romania. Published in: (15. June 2002)

Munro, John H. (2002): Gold, guilds, and government: the impact of monetary and labour policies on the Flemish cloth industry, 1390-1435. Published in: Jaarboek voor middeleeuwse geschiedenis , Vol. 5, No. 1 (2002): pp. 153-205.

Mesa Callejas, Ramon Javier (2002): Reflexiones sobre el cambio de moneda en Colombia. Published in: Perfil de Coyuntura Economica No. Marzo de 2002 (01. March 2002): pp. 40-55.

Dai, Meixing and Sidiropoulos, Moïse (2002): Règle du taux d'intérêt optimale, prix des actions et taux d'inflation anticipé : une étude de la stabilité macroéconomique. Published in: Économie Appliquée , Vol. 4, No. 6 (December 2003): pp. 115-140.

Goyal, Ashima (2002): Coordinating monetary and fiscal policies: a role for rules? Published in: India Development Report (2002)

Novak, Branko and Matić, Branko (2002): STRUKTURELLE VERÄNDERUNGEN IN DER WIRTSCHAFT DER REPUBLIKEN KRAOATIEN UND BUNDESREPUBLIK DEUTSCHLAND. Published in: XXIII. Wissenschaftliches Symposium, Strukturelle Veränderungen in der Wirtschaft der Republiken Kroatien und Bundesrepublik Deutschland (10. October 2002): pp. 31-51.

Bose, Sukanya (2001): Monetary Policy and the Credit Channel: Evidence from India. Unpublished.

Reinhart, Carmen and Calvo, Guillermo (2001): Reflections on Dollarization. Published in: in Alberto Alesina and Robert Barro (eds.), Currency Unions (Stanford: Hoover Institute Press, 2001) (2001): pp. 39-47.

Ayub, Mehar (2000): Stock market consequences of macro economic fundamentals. Published in: Conference Proceedings, Montreal: McGill University, (Canadian Economic Association) , Vol. 1, No. 2001 (2002): pp. 1-17.

Dai, Meixing and Sidiropoulos, Moïse (1999): Politiques économiques et dynamiques du taux de change et du prix des actions avec effets de “pass-through”. Published in: Économie Appliquée , Vol. 1 , No. LV (2002): pp. 195-221.

Choy, Marylin (1999): Monetary policy operating procedures: the Peruvian case. Published in: BIS Policy Papers , Vol. March N° 5, No. BIS Policy Papers (March 1999): pp. 186-202.

Dai, Meixing (1998): Les effets stabilisants de la zone-cible du taux d’inflation. Unpublished.

Douven, Rudy and Peeters, Marga (1998): GDP-spillovers in multi-country models. Published in: Economic Modelling No. 15 : pp. 163-195.

Kohnert, Dirk (1998): Der Euro, ein Segen für Afrika? Folgen der Anbindung der afrikanischen Franc-Zone an den Euro. Published in: Afrika-Jahrbuch No. 1997 (1998): pp. 59-70.

Grande, Giuseppe (1997): Properties of the monetary conditions index. Published in: Temi di discussione (Economic working papers) , Vol. 324, (December 1997)

Jackson, Michael (1995): A Water Monetary Standard: An Economic Thesis. Unpublished.

Albu, Lucian-Liviu and Ivan-Ungureanu, Clementina (1994): Coût ou bénéfice de la transition. Published in: L’Observateur de la Recherche Économique Roumaine No. 3 : pp. 5-17.

Balogun, Emmanuel Dele (2007): A review of Soludo's perspective of banking sector reforms in Nigeria. Unpublished.

Ongan, Tevfik Hakan and Karabulut, Gökhan (2004): A Simple Model Of Currency Crises And Budget Deficits: The Case Of Turkey. Published in: Maliye Araştırma Konferansları , Vol. 46, (2004): pp. 206-225.

Cadet, Raulin Lincifort (2006): A Theory of Linkage between Monetary Policy and Banking Failure in Developing Countries. Unpublished.

Souza-Sobrinho, Nelson (2003): Uma Avaliação do Canal de Crédito no Brasil. Published in: 25o. Prêmio BNDES de Economia (2003)

Adebiyi, Michael Adebayo (2007): An Evaluation of Foreign Exchange Intervention and Monetary Aggregates in Nigeria (1986- 2003). Unpublished.

Chmielewski, Tomasz (2005): Bank risks, risk preferences and lending. Unpublished.

Balogun, Emmanuel Dele (2007): Banking sector reforms and the Nigerian economy: performance, pitfalls and future policy options. Unpublished.

Assenza, Tiziana (2007): Borrowing Constraints, Multiple Equilibria and Monetary Policy. Unpublished.

Nachane, D M; Ray, P and Ghosh, S (2001): Does monetary policy have differential state-level effects? an empirical evaluation. Published in: Economic and Political Weekly , Vol. 36, (23. November 2001)

Kitov, Ivan (2007): Exact prediction of inflation and unemployment in Germany. Unpublished.

Gottlieb, Daniel (2000): Globalization and World financial Turmoil - A Test for Israel's Economic Policy. Published in: Small Economies Adjustment to global Tendencies (2000): pp. 213-244.

Gottlieb, Daniel (1990): Inflation and Policy Response - The Israeli Case: 1970-1989. Published in: Price Dynamics (December 1992): pp. 71-91.

Pontiggia, Dario (2007): Inflation persistence and optimal positive long-run inflation. Unpublished.

Veloso, Thiago; Meurer, Roberto and Da Silva, Sergio (2007): Inflation targeting and optimal control theory. Unpublished.

Qayyum, Abdul; Khan, Sajawal and Khawaja, Idrees (2005): Interest Rate Pass-through in Pakistan: Evidence from Transfer Function Approach. Published in: The Pakistan Development Review , Vol. 44, No. 4 (2005): pp. 975-1001.

Chmielewski, Tomasz (2003): Interest rate pass-through in the Polish banking sector and bank-specific financial disturbances. Unpublished.

Rhodes, James and Yoshino, Naoyuki (2005): Japan's monetary policy transition, 1955-2004. Unpublished.

Shelley, Gary and Wallace, Frederick (2006): Long run effects of money on real consumption and investment in the U.S. Published in: International Journal of Applied Economics , Vol. 1, No. 3 (March 2006): pp. 71-88.

Wallace, Fred and Cabrera-Castellanos, Luis F. (2006): Neutralidad monetaria a Largo plazo: El caso de Guatemala. Published in: Revista Perspectivas , Vol. Vol. II, No. No. 2 (January 2007): pp. 112-133.

Lupia, Arthur; Grafstrom, Cassandra; Krupnikov, Yanna; Levine, Adam Seth; MacMillan, William and McGovern, Erin (2007): Loonies Under Your Bed: Misdirected Attention and the Diluted Value of Stock Market Reports. Unpublished.

Kiaee, Hasan (2007): Monetary Policy In Islamic Economic Framework: Case of Islamic Republic of Iran. Unpublished.

Cifter, Atilla and Ozun, Alper (2007): Monetary Transmission Mechanism in the New Economy: Evidence from Turkey (1997-2006). Unpublished.

Abbas, Kalbe and Fazal, Husain (2006): Money, Income and Prices in Pakistan: A Bi-variat and Tri-varate Causility. Published in: South Asia Economic Journal , Vol. 7, No. 1 (March 2006): pp. 55-65.

Dramani, Latif (2007): Modèle multi pays dans les pays de la zone franc. Unpublished.

Gomes, Orlando (2006): Nonlinear inflation expectations and endogenous fluctuations. Unpublished.

Canale, Rosaria Rita; Foresti, Pasquale; Marani, Ugo and Napolitano, Oreste (2007): On Keynesian effects of (apparent) non-Keynesian fiscal policies. Unpublished.

Guo, Shen (2007): Optimal Monetary Policy and Expectation Driven Business Cycles. Unpublished.

Rossi, Lorenza and Mattesini, Fabrizio (2007): Optimal Monetary Policy in a Dual Labor Market Economy. Unpublished.

Rossi, Lorenza and Mattesini, Fabrizio (2007): Optimal Monetary Policy in a Dual Labor Market Economy. Unpublished.

Canale, Rosaria Rita (2006): Positive effects of fiscal expansions on growth and debt. Unpublished.

Levy, Daniel (2007): Price Rigidity and Flexibility: New Empirical Evidence. Unpublished.

Levy, Daniel (2007): Price Rigidity and Flexibility: Recent Theoretical Developments. Unpublished.

Mattesini, Fabrizio and Rossi, Lorenza (2005): Productivity shocks and Optimal Monetary Policy in a Unionized Labor Market Economy. Unpublished.

Mattesini, Fabrizio and Rossi, Lorenza (2006): Productivity shocks and Optimal Monetary Policy in a Unionized Labor Market Economy. Unpublished.

Mattesini, Fabrizio and Rossi, Lorenza (2006): Productivity shocks and Optimal Monetary Policy in a Unionized Labor Market Economy. Unpublished.

Sfia, Mohamed Daly (2007): Régimes de change: Le chemin vers la flexibilité. Unpublished.

Eagle, David (2007): Revealing the naked truth behind price determinacy, infinite-horizon rational expectations, and inflation targeting. Unpublished.

Eagle, David (2007): Revealing the naked truth behind price determinacy, infinite-horizon rational expectations, and inflation targeting. Unpublished.

Bonini, Patricia and Da Silva, Sergio (2007): Staggered wages, inflation, and discounting. Unpublished.

Kalbe, Abbas (1992): The effcts of Rate And variability of Inflation on Output Growth Variability: Evidence from selected Countries. Published in: Pakistan Development Review , Vol. 31, No. 4 (1992): pp. 771-777.

Eagle, David (2006): The Eventual Failure and Price Indeterminacy of Inflation Targeting. Unpublished.

Eagle, David (2006): The eventual failure and price indeterminacy of inflation targeting. Unpublished.

Lipinska, Anna (2006): The Maastricht convergence criteria and optimal monetary policy for the EMU accession countries. Unpublished.

Alam, Tasneem and Waheed, Muhammad (2006): The monetary transmission mechanism in Pakistan: a sectoral analysis. Unpublished.

Thams, Andreas (2007): The Relevance of the fiscal Theory of the Price Level revisited. Unpublished.

Harashima, Taiji (2007): Why should central banks be independent? Unpublished.

This list was generated on Wed Feb 8 22:42:25 2012 CET.
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