Okpara, Godwin Chigozie (2012): Soundness and unsoundness of banking sector in Nigeria: a discriminant analytical approach. Unpublished.
Chen, Shiu-Sheng (2012): Bernanke Was Right: Currency Manipulation Policy in Emerging Foreign Exchange Markets. Unpublished.
Hein, Eckhard (2012): Finance-dominated capitalism, re-distribution and the financial and economic crises - a European perspective. Unpublished.
Belgodere, Antoine (2011): Niurong as the target for NGDP targeting: Mario Draghi's nightmare? Unpublished.
Horvath, Roman; Rusnak, Marek; Smidkova, Katerina and Zapal, Jan (2011): Dissent voting behavior of central bankers: what do we really know? Unpublished.
Aizenman, Joshua and Sengupta, Rajeswari (2011): The financial trilemma in China and a comparative analysis with India. Unpublished.
Wang, Gaowang and Zou, Heng-fu (2011): Mercantilism, Foreign Asset Accumulation and Macroeconomic Policy. Unpublished.
Ahmad, Usman (2011): Efficiency Analysis of Micro-finance Institutions in Pakistan. Forthcoming in:
Buncic, Daniel and Martin, Melecky (2011): Macroprudential stress testing of credit risk: A practical approach for policy makers. Unpublished.
Abdala Rioja, Yamile E (2011): All things considered: the interaction of the reasons for the financial crisis. Unpublished.
Yan, Isabel K. and Kumhof, Michael (2011): Too much of a good thing? on the effects of limiting foreign reserve accumulation. Unpublished.
Zhang, Zhichao; Shi, Nan and Zhang, Xiaoli (2011): China’s new exchange rate regime, optimal basket currency and currency diversification. Unpublished.
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 Unpublished.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 Unpublished.
Mandler, Martin (2011): Threshold effects in the monetary policy reaction function of the Deutsche Bundesbank. Unpublished.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.
Bojeşteanu, Elena and Manu, Ana Simona (2011): Analiza empirică a sincronizării ciclului de afaceri şi a similarităţii şocurilor între România şi zona euro. Unpublished.
Sulimierska, Malgorzata (2011): After ten years the Russian crisis how IMF intervention might be evaluated? Forthcoming in:
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.
Herro, Nicholas and Murray, James (2011): Dynamics of Monetary Policy Uncertainty and the Impact on the Macroeconomy. 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.
Golmohammadpoor Azar, Kamran and Mansoori, Masoud (2011): 2008 Economic Crisis Analysis. Published in:
Konchyn, Vadym (2011): European countries with a diagnosis of financial default: expectancy and fear of its announcement in Ukraine. Published in: The Economic Annals-XXI Journal (ISSN 1728-6220) No. Nr. 5-6, 2011 (June 2011): pp. 21-26.
Ahmad, Usman (2011): Financial Reforms and Banking Efficiency: Case of Pakistan. Forthcoming in:
Khan, Rana Ejaz Ali and Hye, Qazi Muhammad Adnan (2011): Financial Liberalization And Demand For Money: A Case of Pakistan. Published in:
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.
Smant, David / D.J.C. (2011): Real time data, regime shifts, and a simple but effective estimated Fed policy rule, 1969-2009. Unpublished.
Hasan, Zubair (2011): Money creation and control from Islamic perspective. Unpublished.
Harashima, Taiji (2011): A Mechanism of Inflation Differentials and Current Account Imbalances in the Euro Area. Unpublished.
Siregar, Reza and Lim, Vincent C.S. (2011): Living with Macro-financial Linkages: Policy Perspectives and Challenges for SEACEN Countries. 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.
Paradiso, Antonio and Rao, B. Bhaskara (2011): The effects of Minsky moment and stock prices on the US Taylor Rule. Unpublished.
Mohsin, Hasan Muhammad (2011): Impact of monetary policy on lending and deposit rates in Pakistan: Panel data analysis. Forthcoming in: Lahore Journal of Economics (2011)
Dai, Meixing and Sidiropoulos, Moïse (2011): Fiscal disciplining effect of central bank opacity: Stackelberg versus Nash equilibrium. Unpublished.
Dai, Meixing (2011): Quantitative and credit easing policies at the zero lower bound on the nominal interest rate. Unpublished.
Boettke, Peter and Smith, Daniel (2011): Robust political economy and the Federal Reserve. Unpublished.
Turhan, Ibrahim M. and Kilinc, Zubeyir (2011): Turkey's response to the global economic crisis. Published in: Insight Turkey , Vol. 13, No. 1 (2011): pp. 37-45.
Borraz, Fernando and Gianelli, Diego (2010): Un Análisis de Comportamiento a Nivel de Agente de la Encuesta de Expectativas de Inflación del BCU. 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.
D'Adamo, Gaetano (2010): Estimating Central Bank preferences in a small open economy: Sweden 1995-2009. Unpublished.
Trabelsi, Emna (2010): Central bank communication: fragmentation as an engine for limiting the publicity degree of information. Unpublished.
Trunin, Pavel; Knyazev, Dmitriy and Kudykina, Ekaterina (2010): Анализ факторов динамики обменного курса рубля. Published in: ИЭПП No. 144Р (November 2010)
Ojo, Marianne (2010): Central banks and different policies implemented in response to the recent Financial Crisis. 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.
Gupta, Abhishek (2010): A Forecasting Metric for Evaluating DSGE Models for Policy Analysis. Unpublished.
Ojo, Marianne (2010): Redefining a role for central banks: The increased importance of central banks’ roles in the management of liquidity risks and macro prudential supervision in the aftermath of the Financial Crisis. Unpublished.
Mandler, Martin (2010): Explaining ECB and Fed interest rate correlation: Economic interdependence and optimal monetary policy. Unpublished.
Lluka, Valon (2010): Functions of Central Bank of Kosovo and the need for their advancement. Unpublished.
Pontines, Victor and Siregar, Reza Y. (2010): Fear of Appreciation in East and Southeast Asia: The Role of the Chinese Renminbi. Unpublished.
Ojo, Marianne (2010): Basel III and responding to the recent Financial Crisis: progress made by the Basel Committee in relation to the need for increased bank capital and increased quality of loss absorbing capital. 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.
Abdul Majid, Muhamed Zulkhibri (2010): Measuring Monetary Conditions in A Small Open Economy: The Case of Malaysia. Unpublished.
Ojo, Marianne (2010): Measures aimed at enhancing the loss absorbency of regulatory capital at the point of non viability. Published in: Bank for International Settlements (BIS) Publications (01. October 2010)
Pontines, Victor and Siregar, Reza Y. (2010): Exchange Rate Asymmetry and Flexible Exchange Rates under Inflation Targeting Regimes: Evidence from Four East and Southeast Asian Countries. 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.
Ojo, Marianne and Rodríguez-Miguez, Jose (2010): Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises (Part I). Unpublished.
Lucotte, Yannick (2010): Adoption of inflation targeting and tax revenue performance in emerging market economies: An empirical investigation. 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.
Hauskrecht, Andreas; Stuart, Bryan and Hankel, Wilhelm (2010): The Euro-Project at Risk. Unpublished.
Spehar, Ann / AOS (2010): The Collapse of Global Trade: What a Tangled Web We Weave. Forthcoming in: World Economics Journal , Vol. 11, No. 3
Dai, Meixing and Sidiropoulos, Moïse (2010): Monetary and fiscal policy interactions with central bank transparency and public investment. Unpublished.
Ojo, Marianne (2010): The role of central banks and competition policies in the rescue and recapitalisation of financial institutions during (and in the aftermath of) the Financial Crisis. 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.
Ojo, Marianne and Rodriguez-Miguez, Jose (2010): Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises. Unpublished.
Musgrave, Ralph S. (2010): Government borrowing is near pointless. 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.
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.
Honohan, Patrick; Donovan, Donal; Gorecki, Paul and Mottiar, Rafique (2010): The Irish Banking Crisis: Regulatory and Financial Stability Policy. 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
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
Mohamed, Issam A.W. (2010): Islamic Banks Financing and Poverty Alleviation in Sudan. Unpublished.
Landais, Bernard (2010): The monetary origins of the financial and economic crisis. Unpublished.
Hutchison, Michael; Sengupta, Rajeswari and Singh, Nirvikar (2010): Estimating a Monetary Policy Rule for India. Unpublished.
Farvaque, Etienne (2010): Back to the roots: On the origins of the Fed's independence. Unpublished.
Mandler, Martin (2010): Macroeconomic dynamics and inflation regimes in the U.S. Results from threshold vector autoregressions. Unpublished.
Mandler, Martin (2010): Regime-dependent effects of monetary policy shocks. Evidence from threshold vector autoregressions. Unpublished.
L'OEILLET, Guillaume and LICHERON, Julien (2010): The asymmetric relationship between oil prices and activity in the EMU: Does the ECB monetary policy play a role? Unpublished.
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.
Siregar, Reza Yamora and Lim, CS Vincent (2010): The Role of Central Banks in Sustaining Economic Recovery and in Achieving Financial Stability. Unpublished.
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
Hendrickson, Joshua (2010): An Overhaul of Fed Doctrine: Nominal Income and the Great Moderation. Unpublished.
Di Maggio, Marco (2010): The Political Economy of the Yield Curve. Unpublished.
Musgrave, Ralph S. (2010): Government borrowing is pointless where a government issues its own currency. Unpublished.
Kobayashi, Teruyoshi (2010): Policy irreversibility and interest rate smoothing. Unpublished.
Diego, Cerdeiro (2010): Measuring Monetary Policy in Open Economies. Unpublished.
Forte, Antonio (2010): Some empirical evidence of the euro area monetary policy. Unpublished.
Razzak, Weshah and Bentour, E M (2009): Real Interest Rates, Bubbles and Monetary Policy in the GCC countries. Unpublished.
John, Tatom (2009): U.S. Monetary Policy and Stock Prices: Should the Fed Attempt to Control Stock Prices? Unpublished.
Erler, Alexander and Krizanac, Damir (2009): Taylor-Regel und Subprime-Krise - Eine empirische Analyse der US-amerikanischen Geldpolitik. Unpublished.
Hanif, M. Nadim and Sheikh, Salman (2009): Central banking and monetary management in islamic financial environment. Forthcoming in: Journal of Independent Studies and Research , Vol. 8, No. 2 (July 2010)
Belongia, Michael (2009): Reforming the Fed: what would real change look like? 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)
Ryan, John (2009): China and the Reserve Currency Question. Unpublished.
Koop, Gary and Korobilis, Dimitris (2009): Bayesian Multivariate Time Series Methods for Empirical Macroeconomics. Unpublished.
Abo-Zaid, Salem (2009): Optimal Monetary Policy and Downward Nominal Wage Rigidity in Frictional Labor Markets. Unpublished.
Hoffmann, Andreas (2009): Fear of depression - Asymmetric monetary policy with respect to asset markets. Unpublished.
Siregar, Reza.Y. and Goo, Siwei (2009): Effectiveness and Commitment to Inflation Targeting Policy: Evidences from Indonesia and Thailand. Unpublished.
Ishak-Kasim, Syurkani and Ahmed, Abdullahi D. (2009): Inflation expectations formation and financial stability in Indonesia. Published in: The Empirical Economic Letters , Vol. 8, No. 9 (September 2009): pp. 833-842.
Mykhaylova, Olena (2009): Welfare implications of country size in a monetary union. Unpublished.
Lin, Hsin-Yi (2009): A Revisit of the Relation between Central Bank Independence and Inflation. Published in: The Empirical Economics Letters , Vol. 9, No. 2 (February 2010): pp. 139-143.
Kamgna, Severin Yves; Tinang, Nzesseu Jules and Tsombou, Kinfak Christian (2009): Macro-Prudential Monitoring Indicators for CEMAC Banking System. Unpublished.
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.
Kishor, N. Kundan (2009): Modeling Inflation in India: The Role of Money. Unpublished.
KAMGNA, Severin Yves; TINANG, Nzesseu Jules and TSOMBOU, Kinfak Christian (2009): Propositions d'indicateurs macroprudentiels pour le systeme bancaire de la CEMAC. 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.
Mahmud, Hassan (2009): Oil Price Shocks and Monetary Policy Aggregates in Nigeria: A Structural VAR Approach. Unpublished.
Ojo, Marianne (2009): Central bank’s role and involvement in bank regulation: Lender of last resort arrangements and the Special Resolution Regime (SRR). Published in: FEN Subject Matter Journal : European Finance Working Paper Series (July 2009)
Ojo, Marianne (2009): Central bank’s role and involvement in bank regulation: Lender of last resort arrangements and the Special Resolution Regime (SRR). Unpublished.
Yilmazkuday, Hakan (2009): Is there a Role for International Trade Costs in Explaining the Central Bank Behavior? Unpublished.
Dai, Meixing and Sidiropoulos, Moïse (2009): Public investment, distortionary taxes and monetary policy transparency. Unpublished.
Delatte, Anne-Laure and Fouquau, Julien (2009): The Determinants of International Reserves in the Emerging Countries: a Non-Linear Approach. Unpublished.
Sinha, Pankaj; Taneja, Varundeep Singh and Gothi, Vineet (2009): Evaluation of riskiness of Indian Banks and probability of book value insolvency. Unpublished.
Alia, Didier Yelognisse; Tchakoua, Herviste; Ngwesse, Roland and Kamga, Severin Yves (2009): Demande de réserves et aléa moral dans une Union Monétaire. Unpublished.
Jambu, Marc-Antoine (2009): Une explication des motivations rationnelles de la Chine au surendettement de l'économie américaine. 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.
Hernandez-Verme, Paula and Wang, Wen-Yao (2009): Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy. Unpublished.
Ndjana, Willy Freddie; Alia, Didier Yélognissè and Mendo, Paulin (2009): Indépendance de la banque centrale et efficacité de la politique économique. Unpublished.
Tatom, John (2009): AIG and the Fed: Prologue to future financial regulation? Published in: Research Buzz , Vol. 5, No. 2 (28. February 2009): pp. 1-6.
Kitov, Ivan (2009): The anti-Phillips curve. Unpublished.
Dai, Meixing (2009): On the role of money growth targeting under inflation targeting regime. 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)
Chernykh, Lucy and Rebel, Cole (2009): Does Deposit Insurance Improve Financial Intermediation? Evidence from the Russian Experiment. Published in: Journal of Banking and Finance , Vol. 2, No. 35 (February 2011): pp. 388-402.
Omotor, Douglason G. (2009): The Nigerian economy and monetary policy: Some simple empirics. Unpublished.
Delfiner, Miguel and Pailhé, Cristina (2009): Técnicas cualitativas para la gestión del Riesgo Operacional. Published in: (05. January 2009)
Makochekanwa, Albert (2009): Clothed in rags by hyperinflation: the case of Zimbabwe. Unpublished.
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.
Ang, James (2009): Do Financial Sector Policies Promote Innovative Activity in Developing Countries? Evidence from India. Unpublished.
Ang, James (2009): Financial Liberalization Or Repression? Unpublished.
Ang, James (2009): Financial Reforms, Patent Protection and Knowledge Accumulation in India. Unpublished.
Ang, James (2009): Growth Volatility and Financial Repression: Time Series Evidence from India. Unpublished.
Strachman, Eduardo (2009): Implementing inflation targeting in Brazil: an institutional analysis. Unpublished.
Hasan, Zubair (2009): Profit sharing ratios in mudaraba contract revisited. Published in: International Journal of Banking and Finance , Vol. 7, No. 1 (2010): pp. 1-20.
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.
Canale, Rosaria Rita (2008): Equilibrium income and monetary policy strategy: teaching macroeconomics with the MP curve. Unpublished.
Piffaretti, Nadia F. (2008): Reshaping the International Monetary Architecture and Addressing Global Imbalances: Lessons from the Keynes Plan. Unpublished.
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.
Smith, Reginald; Zhu, Nan and Wang, Long (2008): China's Renminbi Currency Logistics Network: A Brief Introduction. Unpublished.
Smith, Reginald (2008): China's Renminbi Currency Logistics Network: A Brief Introduction. Unpublished.
Smith, Reginald (2008): China's Renminbi Currency Logistics Network: A Brief Introduction. Unpublished.
Smith, Reginald (2008): China's Renminbi Currency Logistics Network: A Brief Introduction. Unpublished.
Barnett, William A. and Chauvet, Marcelle (2008): The End of the Great Moderation? Unpublished.
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.
Tatom, John (2008): The Fed’s new front in the financial crisis. Published in: Research Buzz , Vol. 4, No. 8 (31. October 2008): pp. 1-6.
Nikolsko-Rzhevskyy, Alex (2008): Monetary Policy Evaluation in Real Time: Forward-Looking Taylor Rules Without Forward-Looking Data. Unpublished.
Albulescu, Claudiu Tiberiu (2008): Assessing Romanian financial sector stability: the importance of the international economic climate. 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.
Harashima, Taiji (2008): A Microfounded Mechanism of Observed Substantial Inflation Persistence. Unpublished.
Bianchi, Francesco (2008): Regime switches, Agents’ Beliefs, and Post-World War II U.S. Macroeconomic Dynamics. Unpublished.
Pusch, Toralf and Heise, Arne (2008): Central Banks, Trade Unions and Reputation – Is there Room for an Expansionist Manoeuvre in the European Union? Unpublished.
Francesco, Guidi (2008): European Central Bank and Federal Reserve USA: monetary policy effects on the returns volatility of the Italian Stock Market Index Mibtel. Unpublished.
Melecky, Ales and Melecky, Martin (2008): From Inflation to Exchange Rate Targeting: Estimating the Stabilization Effects. Unpublished.
Tatom, John (2008): Imbalances in China and U.S. Capital Flows. 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.
Mejeha, Remy O. and Nwachukwu, Ifeanyi N. (2008): Microfinance Institutions in Nigeria. Unpublished.
Barnett, William A. and Chauvet, Marcelle (2008): International Financial Aggregation and Index Number Theory: A Chronological Half-Century Empirical Overview. Unpublished.
Yue, Eddie and He, Dong (2008): The Future of the Renminbi and Its Impact on the Hong Kong Dollar. Published in: Cato Journal , Vol. 28, No. 2 (Spring/Summer 2008) (August 2008): pp. 197-203.
Brzoza-Brzezina, Michal and Kot, Adam (2008): The Relativity Theory Revisited: Is Publishing Interest Rate Forecasts Really so Valuable? Unpublished.
Melecky, Martin and Najdov, Evgenij (2008): Comparing Constraints to Economic Stabilization in Macedonia and Slovakia: Macro Estimates with Micro Narratives. 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.
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.
Albulescu, Claudiu Tiberiu (2008): La dynamique de la stabilité du système financier roumain : une analyse en terme d’indice agrégé de stabilité. 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 Criteria and Optimal Monetary and Fiscal Policy Mix for the EMU Accession Countries. Unpublished.
Weise, Charles L (2008): Political constraints on monetary policy during the Great Inflation. Unpublished.
Matu, Jeffrey Ben (2008): Attracting Microfinance Investment Funds: Promoting Microfinance Growth through Increased Investments in Kenya. Unpublished.
Gaiotti, Eugenio (2008): Has globalisation changed the Phillips curve? Firm-level evidence on the effect of activity on prices. Unpublished.
Hasan, Zubair (2008): Islamic banks:Profit sharing, equity, leverage lure, and credit control. Published in: JKAU: Islamic Economics , Vol. 23, No. 1 (January 2010): pp. 129-146.
Tatom, John (2008): The Federal Reserve in crisis. Published in: Research Buzz , Vol. 4, No. 3 (31. March 2008): pp. 1-9.
Mundaca, Gabriela (2008): Monitoring, Liquidity and Financial Crises. Unpublished.
Murray, Christian; Nikolsko-Rzhevskyy, Alex and Papell, David (2008): Inflation Persistence and the Taylor Principle. Unpublished.
Albulescu, Claudiu Tiberiu (2008): Central banks and asset prices: the role of the interest rate in volatility correction in the Romanian case. Unpublished.
Albulescu, Claudiu Tiberiu (2008): Central Bank or Single Financial Supervision Authority: The Romanian Case. 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.
Adamcik, Santiago (2008): Efectos de la Globalizacion sobre la Inflacion y la politica Monetaria Domestica. Unpublished.
Kv, Bhanu Murthy and Deb, Ashis Taru (2008): Operationalizing and Measuring Competition: Determinants of Competition in Private Banking Industry in India. Unpublished.
Kv, Bhanu Murthy and Deb, Ashis Taru (2008): Theoretical Framework Of Competition As Applied To Banking Industry. Unpublished.
Farvaque, Etienne; Héricourt, Jérôme and Lagadec, Gaël (2008): Central bank independence and ageing. Unpublished.
Qayyum, Abdul (2008): Does Monetary Policy Play Effective Role in Controlling Inflation in Pakistan. 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.
Sánchez-Fung, José R. (2008): The day-to-day interbank market, volatility, and central bank intervention in a developing economy. Unpublished.
Tatom, John (2007): The foreclosure crisis: a two-pronged attack on the U.S. economy. Published in: Research Buzz , Vol. 3, No. 6 (31. December 2007): pp. 1-10.
van den Hauwe, Ludwig (2007): Gary Becker on Free Banking. Unpublished.
van den Hauwe, Ludwig (2007): Professor Becker on Free Banking: A Comment. Unpublished.
Alpanda, Sami and Honig, Adam (2007): Political Monetary Cycles and a New de facto Ranking of Central Bank Independence. Unpublished.
Kai, Guo and Conlon, John R. (2007): WHY BUBBLE-BURSTING IS UNPREDICTABLE: WELFARE EFFECTS OF ANTI-BUBBLE POLICY WHEN CENTRAL BANKS MAKE MISTAKES. Unpublished.
Schnabl, Gunther and Hoffmann, Andreas (2007): Monetary Policy, Vagabonding Liquidity and Bursting Bubbles in New and Emerging Markets - An Overinvestment View. Published in: CESifo Working Paper , Vol. 2100, (September 2007)
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.
Uhlig, Harald (2007): Monetary policy in Europe vs the US: what explains the difference? Unpublished.
Tatom, John (2007): China currency dispute: is a rise in the yuan inevitable, necessary or desirable? Unpublished.
Barnett, William A.; Chauvet, Marcelle and Tierney, Heather L. R. (2007): Measurement Error in Monetary Aggregates: A Markov Switching Factor Approach. Unpublished.
Travaglini, Guido (2007): The U.S. Dynamic Taylor Rule With Multiple Breaks, 1984-2001. Unpublished.
Acocella, Nicola; Di Bartolomeo, Giovanni and Pauwels, Wilfried (2007): Is there any scope for corporatism in stabilization policies? Unpublished.
Genberg, Hans; He, Dong and Leung, Frank (2007): RECENT PERFORMANCE OF THE HONG KONG DOLLAR LINKED EXCHANGE RATE SYSTEM. Unpublished.
Acocella, Nicola and Di Bartolomeo, Giovanni (2007): The Cost of Social Pacts. Unpublished.
Dai, Meixing (2007): The design of a ‘two-pillar’ monetary policy strategy. Unpublished.
Pavasuthipaisit, Robert (2007): Optimal exchange rate policy in a low interest rate environment. Unpublished.
Lahiri, Soumitra (2007): WORLD WAR III A TECHNO ECONOMIC INTROSPECTION. Unpublished.
Chauvet, Marcelle and Tierney, Heather L. R. (2007): Real Time Changes in Monetary Policy. Unpublished.
Pusch, Toralf (2007): Verteilungskampf und geldpolitische Sanktion. Unpublished.
Mandler, Martin (2007): The Taylor rule and interest rate uncertainty in the U.S. 1970-2006. Unpublished.
Adenutsi, Deodat E. and Yartey, Charles A. (2007): Financial sector development and the macrodynamics of ‘de facto’ dollarisation in developing countries: the case of Ghana. Published in: West African Journal of Monetary and Economic Integration , Vol. 7, No. 2 : pp. 49-90.
Brzoza-Brzezina, Michal; Chmielewski, Tomasz and Niedźwiedzińska, Joanna (2007): Substitution between domestic and foreign currency loans in Central Europe. Do central banks matter? Unpublished.
Gachet, Ivan; Girjalva, Diego; Rivadeneira, Ana and Uribe, Carlos (2007): Un Marco de Consistencia Macroeconómica para la Economía Ecuatoriana: Un Regreso a los Fundamentos. Published in: Cuestiones Económicas , Vol. 23, No. 3 (2007): pp. 5-65.
Dai, Meixing (2006): Independent inflation-targeting regime versus monetary union: An analysis of dynamic stability under endogenous inflation expectations. Unpublished.
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.
Blake, Andrew P. and Kirsanova, Tatiana (2006): Discretionary Policy and Multiple Equilibria in LQ RE Models. Unpublished.
Horvath, Roman (2006): Real-Time Time-Varying Equilibrium Interest Rates: Evidence on the Czech Republic. 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.
Filacek, Jan; Horvath, Roman and Skorepa, Michal (2006): Monetary Policy before Euro Adoption: Challenges for EU New Members. Unpublished.
Leon, Costas (2006): The Taylor rule: can it be supported by the data? Unpublished.
Dawid, Żochowski and Sławomir, Zajączkowski (2006): The Distribution and Dispersion of Debt Burden Ratios Among Households in Poland and its Implications for Financial Stability. Unpublished.
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.
Voicu, Ionut Cristian and Constantin, Floricel (2006): Romania: From the quantitative monetary aggregates to inflation targeting. Unpublished.
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.
Rena, Ravinder (2006): Historical Development of Money and Banking in Eritrea from the Axumite Kingdom to the Present. Published in: African and Asian Studies , Vol. 6, No. 1-2 (10. June 2007): pp. 135-153.
Horvath, Roman (2006): Modelling Central Bank Intervention Activity under Inflation Targeting. 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.
Mico, Apostolov (2005): "The monetary policy of the European Central Bank is too conservative.” Discussion. Published in:
Amstad, Marlene and Hildebrand, Philipp (2005): The oil price and monetary policy – a new paradigm. Published in: Swiss National Bank, Quarterly Bulletin No. 3 (October 2005): pp. 62-80.
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.
da Silva Filho, Tito Nícias Teixeira (2005): Is there too much certainty when measuring uncertainty. Unpublished.
Bacha, Obiyathulla I. (2004): Lessons from East Asia's Crisis and Recovery. Published in: Asia - Pacific Development Journal , Vol. 11, No. 2 (December 2004): pp. 81-102.
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)
Quader, Syed Manzur (2004): Floating Exchange Rate Regime. Published in: The South Asian Journal No. 23 (2009)
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.
Hanif, Muhammad Nadim (2002): Yes, we need a central bank. Unpublished.
Hanif, Muhammad N. (2002): Restructuring of Financial Sector in Pakistan. Published in: The Journal of the Institute of Bankers in Pakistan (January 2003): pp. 43-74.
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.
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.
Bartsch, Klaus; Hein, Eckhard and Truger, Achim (2001): Zur Interdependenz von Geld- und Lohnpolitik: Makroökonometrische Ex-post und Ex-ante Simulationen verschiedener Szenarien für die Bundesrepublik Deutschland. Published in: WSI Diskussionspapiere No. 100
Hein, Eckhard (2001): Institutions and Macroeconomic Performance: Central Bank Independence, Labour Market Institutions and the Perspectives for Inflation and Employment in the European Monetary Union. Published in: WSI Diskussionspapiere No. 95 (June 2001)
Ferro, Gustavo (2001): De bancos centrales, juntas monetarias y dolarización. Unpublished.
Matić, Branko (2001): Commemorative Metal Money and Monetary Economy. Published in: Proceedings of the 3rd International Numismatic Congress in Croatia (2002): pp. 179-187.
Reinhart, Carmen and Calvo, Guillermo (2001): Fixing for your life. Published in: Susan Collins and Dani Rodrik, eds., Brookings Trade Forum 2000 Washington, DC: Brookings Institution (2000): pp. 1-39.
Reinhart, Carmen (2001): Fundamental determinants of the Asian crisis: The role of financial fragility and external imbalances (a comment). Published in: Regional and Global Capital Flows: Macroeconomic Causes and Consequences (2001): pp. 42-45.
Matić, Branko (2000): Numismatic and Monetary Aspects of Introducing the Uniform European Union Currency. Published in: Proceedings of the 2nd International Numismatic Congress in Croatia (2000): pp. 227-233.
Hein, Eckhard (1999): Zentralbank-Politik und makroökonomische Ergebnisse: eine sozio-institutionelle Interpretation. Published in: WSI Diskussionspapiere No. 73 (August 1999)
Van Els, Peter and Peeters, Marga (1999): De baten van een gemeenschappelijke Europese munt. Published in: Tijdschrift voor Politieke Economie (Journal of Political Economy) , Vol. 2, No. 21 (1999): pp. 48-65.
Dai, Meixing (1998): Les effets stabilisants de la zone-cible du taux d’inflation. Unpublished.
Grande, Giuseppe (1997): Properties of the monetary conditions index. Published in: Temi di discussione (Economic working papers) , Vol. 324, (December 1997)
Dragomir, Georgeta and Nicolau, Mihaela (1997): Monetary structures: evaluations and signification. A comparative study Romania - France. Published in: The Annals of Dunarea de Jos University of Galati , Vol. 1, No. 4 (December 1998): pp. 18-23.
Nandwa, Boaz and Mohan, Ramesh (2007): A Monetary Approach to Exchange Rate Dynamics in Low-Income Countries: Evidence from Kenya. Unpublished.
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.
Dura, Codruta and Driga, Imola (2007): Coordonatele auditului in marketingul financiar-bancar - situatia din Romania. Unpublished.
Saab, Samer and Vacher, Jerome (2007): Banking Sector Integration and Competition in CEMAC. Unpublished.
Balogun, Emmanuel Dele (2007): Banking sector reforms and the Nigerian economy: performance, pitfalls and future policy options. Unpublished.
Qayyum, Abdul and Khan, Arshad (2003): Capital Flows and Money Supply: The Degree of Sterilisation in Pakistan. Published in: The Pakistan Development Review , Vol. 42, No. 4 (2003): pp. 975-985.
Waheed, Muhammad (2007): Central bank intervention, sterilization and monetary independence: the case of Pakistan. Unpublished.
TUYSUZ, Sukriye (2007): Central Bank transparency and the U.S. interest rates level and volatility response to U.S. news. Unpublished.
Cappiello, Antonio (2006): I currency board come strumento di stabilizzazione economica: come funzionano e dove sono adottati. Published in: Quaderni di Studi Europei (2006): pp. 41-63.
Horvath, Roman and Komarek, Lubos (2006): Equilibrium Exchange Rates in EU New Members: Applicable for Setting the ERM II Central Parity? Unpublished.
Harashima, Taiji (2007): Hyperinflation, disinflation, deflation, etc.: A unified and micro-founded explanation for inflation. Unpublished.
Zammit, Robert (2006): Japanese quantitative easing: The effects and constraints of anti-deflationary monetary expansions. Unpublished.
Qayyum, Abdul (2002): Monetary Conditions Index: A Composite Measure of Monetary Policy in Pakistan. Published in: The Pakistan Development Review , Vol. 41, No. 4 (2002): pp. 551-566.
Nunes, Mauricio and Da Silva, Sergio (2005): Política Monetária e Relação entre PIB Real e Mercado de Ações na Economia Brasileira. Published in: Indicadores Economicos FEE , Vol. 33, No. 1 (June 2005): pp. 215-230.
Pavasuthipaisit, Robert (2007): Monetary policy responses amid credit and asset booms and busts. 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.
Canale, Rosaria Rita; Foresti, Pasquale; Marani, Ugo and Napolitano, Oreste (2007): On Keynesian effects of (apparent) non-Keynesian fiscal policies. Unpublished.
Levy, Daniel (2007): Price Rigidity and Flexibility: New Empirical Evidence. 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.
Simwaka, Kisu (2006): The effectiveness of official intervention in foreign exchange market in Malawi. Forthcoming in:
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.
Harashima, Taiji (2007): Why should central banks be independent? Unpublished.