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Munich Personal RePEc Archive

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Number of items: 78.

A

Abdih, Yasser and Behar, Alberto and Cevik, Serhan and Chami, Ralph and Dougherty-Choux, Lisa and Furceri, Davide and Janus, Nick and Zimand, Paul (2012): A Template for Analyzing and Projecting Labor Market Indicators. Published in:

Adams, Charles and Coe, David T. (1989): A Systems Approach to Estimating the Natural Rate of Unemployment and Potential Output for the United States.

Al-Darwish, Ahmed and Cevik, Serhan and Chami, Ralph and Charap, Joshua and George, Susan and Gracia, Borja and Gray, Simon and Pattanayak, Sailendra (2012): Libya beyond the Revolution: Challenges and Opportunities. Published in:

Alvarez, Jorge and Benguria, Felipe and Engbom, Niklas and Moser, Christian (2017): Firms and the Decline in Earnings Inequality in Brazil. Published in: American Economic Journal: Macroeconomics , Vol. 1, No. 10 (January 2018): pp. 149-189.

Amaglobeli, David and Gu, Mengfei and Moszoro, Marian and Zhou, Yue and Escalante, Patricia (2023): Internet Adoption Trends during COVID-19. Published in: IMF Note No. 2023/001 (31 March 2023): pp. 1-10.

Arbelaez, Maria Angelica and Camacho, Carolina and Fajardo, Johanna (2011): Low-income housing finance in Colombia. Published in: IDB WORKING PAPER SERIES No. 256

Arezki, Rabah and Cherif, Reda and Piotrowski, John (2009): Tourism Specialization and Economic Development: Evidence from the UNESCO World Heritage List.

Arze del Granado, F. Javier and Martinez-Vazquez, Jorge and McNab, Robert M. (2012): Decentralized Governance and Preferences for Public Goods.

Asonuma, Tamon (2012): Serial default and debt renegotiation.

Asonuma, Tamon (2014): Sovereign defaults, external debt and real exchange rate dynamics.

Atolia, Manoj and Papageorgiou, Chris and Turnovsky, Stephen (2017): Private and Public Health Investment Decisions.

B

Bakker, Bas and Ghazanchyan, Manuk and Ho, Alex and Nanda, Vibha (2020): The Lack of Convergence of Latin-America Compared with CESEE: Is Low Investment to Blame?

Basak, Deepal and Murray, Alexander and Zhao, Yunhui (2017): Does Financial Tranquility Call for More Stringent Regulation?

Baum, Anja and Eyraud, Luc and Hodge, Andrew and Jarmuzek, Mariusz and Kim, Young and Mbaye, Samba and Ture, Elif (2018): How to calibrate fiscal rules : a primer. Published in: International Monetary Fund: How To Notes (March 2018)

Bayoumi, Tamim and Coe, David T. and Laxton, Douglas (1998): Liberating Supply: Fiscal Policy and Technological Innovation in a Multicountry Model.

Bespalova, Olga (2020): Towards A More Resilient Financial Sector. Published in: Panama: Selected Issues (IMF Staff Country Reports) , Vol. 2020, No. 125 (21 April 2020): pp. 27-45.

Betts, Caroline and Giri, Rahul and Verma, Rubina (2017): Trade, Reform and Structural Change in South Korea. Published in: IMF Economic Review No. forthcoming

Boer, Lukas and Pescatori, Andrea and Stuermer, Martin (2021): Energy Transition Metals.

Budina, Nina and Gracia, Borja and Hu, Xingwei and Saksonovs, Sergejs (2015): Recognizing the Bias: Financial Cycles and Fiscal Policy. Published in: IMF Working Paper No. 15/246 (24 November 2015)

C

Cai, Jie and Li, Nan (2012): Growth through Inter-sectoral Knowledge Linkages. Published in: Review of Economic Studies , Vol. 86, No. 5 (1 October 2019): pp. 1827-1866.

Calvo, Guillermo and Vegh, Carlos (1991): Exchange rate stabilization under imperfect credibility.

Cevik, Serhan and Ghazanchyan, Manuk (2020): Perfect Storm: Climate Change and Tourism.

Chakraborty, Shankha and Papageorgiou, Chris and Perez Sebastian, Fidel (2013): Health Cycles and Health Transitions. Forthcoming in: Macroeconomic Dynamics

Chakraborty, Shankha and Thompson, Jon and Yehoue, Etienne (2014): The Culture of Entrepreneurship.

Claessens, Stijn and van Horen, Neeltje (2009): Being a foreigner among domestic banks: Asset or liability?

Coe, David T. (1989): Structural Determinants of the Natural Rate of Unemployment in Canada.

D

Debrun, Xavier and Gerard, Marc and Harris, Jason (2016): Fiscal Watchdogs and Sound Fiscal Policy: Is the Barking Loud Enough to Tame Politicians?

Dridi, Jemma and Nguyen, Anh D. M. (2017): Inflation Convergence In East African Countries.

Drummond, Paulo and Dhasmana, Anubha (2008): Foreign Reserve Adequacy in Sub-Saharan Africa. Published in: IMF Working Paper No. WP/08/150

de Carvalho Filho, Irineu (2011): 28 Months Later: How Inflation Targeters Outperformed Their Peers in the Great Recession.

de Carvalho Filho, Irineu and Colistete, Renato P. (2010): Education Performance: Was It All Determined 100 Years Ago? Evidence From São Paulo, Brazil.

de Carvalho Filho, Irineu and Monasterio, Leonardo M (2011): Immigration and the origins of regional inequality: Government-sponsored European migration to Southern Brazil before World War I.

E

Espinosa, Miguel and Rondon, Carlos and Romero, Mauricio (2012): The use of mathematics in economics and its effect on a scholar's academic career.

F

Fischer, Stanley and Sahay, Ratna and Vegh, Carlos (1998): How far is Eastern Europe from Brussels?

Fischer, Stanley and Sahay, Ratna and Vegh, Carlos (1996): Stabilization and growth in transition economies: The early experience.

Fischer, Stanley and Sahay, Ratna and Vegh, Carlos (1998): From transition to market: Evidence and growth prospects.

Furceri, Davide and Sacchi, Agnese and Salotti, Simone (2014): Can fiscal decentralization alleviate government consumption volatility?

G

Gao, Xu (2007): Business Cycle Accounting for the Chinese Economy.

Garcia-Escribano, Mercedes and Mogues, Tewodaj and Moszoro, Marian and Soto, Mauricio (2022): The Spending Challenge of Achieving the SDGs in South Asia: Lessons from India. Published in: South Asia Path to Resilient Growth, edited by Ranil M. Salgado and Rahul Anand. International Monetary Fund: Washington, DC. Chapter 2. (ISBN: 9798400228568, 344 pages) (December 2022): pp. 29-61.

García-Albán, Freddy and Gonzalez-Astudillo, Manuel and Vera-Albán, Cristhian (2020): Good Luck or Good Policy? An Analysis of the Effects of Oil Revenue and Fiscal Policy Shocks: The Case of Ecuador.

Ghazanchyan, Manuk (2014): Unraveling the Monetary Policy Transmission Mechanism in Sri Lanka. Published in:

Gieck, Jana and Traczyk, Adam (2013): Unconventional Monetary Policy and bank supervision.

Gottlieb, Daniel (1987): On the Determinants of a Country's Creditworthiness - The Case of Israel: 1971 to 1983. Published in: Journal of Economic Development , Vol. Volume, No. Number 1 (June 1989): pp. 65-91.

H

Han, Gaofeng and Miao, Hui and Wang, Yabin (2020): Liquidity of China’s Government Bond Market: Measures and Driving Forces.

He, Dong (2002): Resolving Non-performing Assets of the Indian Banking System. Published in: India: Selected Issues and Statistical Appendix No. IMF Country Report No. 02/193 (September 2002)

He, Dong (2003): Budget Formulation and Implementation in Korea: A Macroeconomic Perspective. Published in: Republic of Korea: Selected Issues No. IMF Country Report No. 03/80 (March 2003)

He, Dong and Tressel, Thierry (2004): A Family Divided-Labor Market Duality in Korea. Published in: Republic of Korea: Selected Issues No. IMF Country Report No. 04/45 (February 2004)

Hu, Arthur and Hu, Xingwei and Tong, Hui (2022): Globalization? Trade war? A counterbalance perspective.

Hu, Xingwei (2017): A Theory of Dichotomous Valuation with Applications to Variable Selection.

Hu, Xingwei (2018): A Dichotomous Analysis Of Unemployment Welfare.

J

Johnson, Paul and Papageorgiou, Chris (2018): What Remains of Cross-Country Convergence? Forthcoming in: Journal of Economic Literature

K

Kandil, Magda and Shahbaz, Muhammad and Nasreen, Samia (2013): The Interaction between Globalization and Financial Development: New Evidence from Panel Co-integration and Causality Analysis.

Kilic Celic, Sinem and Kose, M. Ayhan and Ohnsorge, Franziska (2023): Potential Growth Prospects: Risks, Rewards, and Policies.

Kilic Celik, Sinem and Kose, Ayhan M. and Ohnsorge, Franziska and Ruch, Franz (2023): Potential Growth: A Global Database.

L

Liu, Kai and Poplawski-Ribeiro, Marcos (2015): Short- and Long-Run Fiscal Elasticities: International Evidence.

N

Nakatani, Ryota (2023): Food Companies’ Productivity Dynamics: Exploring the Role of Intangible Assets. Forthcoming in: Agribusiness

Nakatani, Ryota (2023): Revenue Decentralization and the Probability of a Fiscal Crisis: Is There a Tipping Point for Adverse Effects?

Nakatani, Ryota and Zhang, Qianqian and Garcia Valdes, Isaura (2023): Health Expenditure Decentralization and Health Outcomes: The Importance of Governance. Forthcoming in: Publius: The Journal of Federalism

Nakatani, Ryota (2021): Fiscal Rules for Natural Disaster- and Climate Change-Prone Small States.

Nakatani, Ryota (2023): Debt Maturity and Firm Productivity—The Role of Intangibles. Forthcoming in: Research in Economics

Nakatani, Ryota (2022): Productivity drivers of infrastructure companies: network industries to maximize economies of scale in the digital era. Forthcoming in: Annals of Public and Cooperative Economics

Nakatani, Ryota (2020): Macroprudential Policy and the Probability of a Banking Crisis.

Nakatani, Ryota (2018): Adjustment to Negative Price Shocks by a Commodity Exporting Economy: Does Exchange Rate Flexibility Resolve a Balance of Payments Crisis?

Nakatani, Ryota (2018): Output Costs of Currency Crises: Shocks, Policies and Cycles.

Nakatani, Ryota (2017): Real and Financial Shocks, Exchange Rate Regimes and the Probability of a Currency Crisis.

O

Otterson, James (2024): On Principal-Agent Problems, Rogue Agencies and Systemic Government Failure: A Case Study.

P

Papageorgiou, Chris and Razak, Nor Azam Abdul (2009): Inequality, Human Capital and Development: Making the Theory Face the Facts.

R

Reinhart, Carmen (1988): Real Exchange Rate and Commodity Prices in a Neoclassical Model.

S

Saab, Samer and Vacher, Jerome (2007): Banking Sector Integration and Competition in CEMAC.

Singh, Bhupal (2006): Cross-border workers’ remittances: Transmission channels and measurement issues in India.

Stuermer, Martin (2022): Non-Renewable Resource Extraction over the Long Term: Empirical Evidence from Global Copper Production.

V

Vazquez, Francisco (2020): Credit Reversals.

Verdugo-Yepes, Concepción and Pedroni, Peter and Hu, Xingwei (2015): Crime and the Economy in Mexican States : Heterogeneous Panel Estimates (1993-2012). Published in: IMF Working Paper No. 15/121

W

Wu, Ji and Jeon, Bang Nam and Luca, Alina (2009): Foreign bank penetration, resource allocation and economic growth: evidence from emerging economies. Published in: Journal of Economic Integration , Vol. 25, No. 1 (1 March 2010): pp. 167-193.

Wu, Ji and Jeon, Bang Nam and Luca, Alina C. (2010): Does Distance Affect the Performance of Foreign Banks? Evidence from Multinational Banking in Developing Countries. Published in: International Finance Review , Vol. 11, No. 1 (1 March 2011): pp. 580-603.

Y

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

Z

Zhang, Zhongxia and Svirydzenka, Katsiaryna (2020): Unintended Consequences of Foreign Exchange Reserve Movements? Financial Dollarization in Emerging Market Economies.

Zhao, Yunhui (2016): Got Hurt for What You Paid? Revisiting Government Subsidy in the U.S. Mortgage Market.

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