Ok- | | Ja Yoon and Kyu-Ho Kang | Volatility Spillovers in Korean Financial Markets (The Bank of Korea Economic Papers 51, 13 Dec 2004) | Abstract Full text |
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| | Jaap H. Abbring , Jeffrey R. Campbell | A Structural Empirical Model of Firm Growth, Learning, and Survival (Chicago Fed Working papers WP-2003-11, Apr 2003) | Abstract Full text |
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| | Jaap H. Abbring, Jeffrey R. Campbell | Oligopoly Dynamics with Barriers to Entry (Chicago Fed Working papers WP-2006-29, Dec 2006) | Abstract Full text |
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| | Jaap H. Abbring, Jeffrey R. Campbell | Last-In First-Out Oligopoly Dynamics (Chicago Fed Working papers WP-2006-28, Dec 2006) | Abstract Full text |
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| | Jaap W. B. Bos and Heiko Schmiedel | Is there a single frontier in a single European banking market? (European Central Bank Working papers 0701, Dec 2006) | Full text |
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| Michael Koetter, | | Jaap W. B. Bos, Frank Heid, Clemens J. M. Kool, James W. Kolari, Daniel Porath | Accounting for distress in bank mergers (Deutsche Bundesbank Banking Supervision Discussion Papers 200509, Sep 2005) | Full text |
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| | Jaap W. B. Bos, Frank Heid, Michael Koetter, James W. Kolari, Clemens J. M. Kool | Inefficient or just different? Effects of heterogeneity on bank efficiency scores (Deutsche Bundesbank Banking Supervision Discussion Papers 200515, Nov 2005) | Full text |
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| | Jacek Krawczyk and Rishab Sethi | Satisficing Solutions for New Zealand Monetary Policy (Reserve Bank of New Zealand Discussion Papers DP2007/03, Mar 2007) | Abstract Full text |
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| Michal Brzoza-Brzezina, | | Jacek Socha | Downward nominal wage rigidity in Poland (National Bank of Poland Working papers 041, Jan 2007) | Full text |
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| James B. Bullard, and | | Jacek Suda | The Stability of Macroeconomic Systems with Bayesian Learners (St Louis Fed Working Papers 2008-043, Nov 2008) | Abstract Full text |
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| | Jack E. Triplett and Barry P. Bosworth | Productivity Measurement Issues in Services Industries: "Baumol's Disease" Has Been Cured (New York Fed Economic policy review 0309trip, Sep 2003) | Full text |
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| Randall Eberts, George Erickcek, and | | Jack Kleinhenz | Dashboard Indicators for the Northeast Ohio Economy: Prepared for the Fund for Our Economic Future (Cleveland Fed Working papers 0605, 2006) | Full text |
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| Jens D J Larsen and | | Jack McKeown | The informational content of empirical measures of real interest rate and output gaps for the United Kingdom (Bank of England Working papers 224, Aug 2004) | Abstract Full text |
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| Glenn Hoggarth, | | Jack Reidhill and Peter Sinclair | On the resolution of banking crises: theory and evidence (Bank of England Working papers 229, Sep 2004) | Abstract Full text |
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| Ramdane Djoudad, | | Jack Selody, and Carolyn Wilkins | Does Financial Structure Matter for the Information Content of Financial Indicators? (Bank of Canada Working papers 2005-33, Nov 2005) | Abstract Full text |
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Elijah III Brewer , William C. Hunter , William E. III | | Jackson | Deregulation and the Relationship Between Bank CEO Compensation and Risk Taking (Chicago Fed Working papers WP-2003-32, Apr 2003) | Abstract Full text |
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| Elijah III Brewer , William E. III | | Jackson | Inter-industry Contagion and the Competitive Effects of Financial Distress Announcements: Evidence from Commercial Banks and Life Insurance Companies (Chicago Fed Working papers WP-2002-23, Apr 2002) | Abstract Full text |
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| Eva Catarineu-Rabell, Patricia | | Jackson and Dimitrios P Tsomocos | Procyclicality and the new Basel Accord - banks' choice of loan rating system (Bank of England Working papers 181, Mar 2003) | Abstract Full text |
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| John P | | Jackson and Mark J Manning | Comparing the pre-settlement risk implications of alternative clearing arrangements (Bank of England Working papers 321, Jun 2007) | Abstract Full text |
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| John P. | | Jackson and Mark J. Manning | Central Bank intraday collateral policy and implications for tiering in RTGS payment systems (Netherlands Bank DNB Working Papers 129, Jan 2007) | Full text |
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| Elijah Brewer III, William Curt Hunter, and William E. | | Jackson III | Investment Opportunity Set, Product Mix, and the Relationship between Bank CEO Compensation and Risk-Taking (Atlanta Fed Working papers 2004-36, Dec 2004) | Abstract Full text |
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| Elijah Brewer III and William E. | | Jackson III | The "Risk-Adjusted" Price-Concentration Relationship in Banking (Atlanta Fed Working papers 2004-35, Dec 2004) | Abstract Full text |
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| Ben R. Craig, William E. | | Jackson III and James B. Thomson | SBA-Loan Guarantees and Local Economic Growth (Cleveland Fed Working papers 0503, Apr 2005) | Full text |
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| Ben R. Craig, William E. | | Jackson III, and James B. Thomson | SBA Guaranteed Lending and Local Economic Growth (Atlanta Fed Working papers 2005-28, Dec 2005) | Abstract Full text |
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| Elijah Brewer III, William E. | | Jackson III, and Julapa A. Jagtiani | Target's Corporate Governance and Bank Merger Payoff (Kansas City Fed Working Papers RWP07-13, Dec 2007) | Abstract Full text |
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| Elijah Brewer III, William E. | | Jackson III, and Larry D. Wall | When Target CEOs Contract with Acquirers: Evidence from Bank Mergers and Acquisitions (Atlanta Fed Working papers 2006-28, Dec 2006) | Abstract Full text |
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| William E. | | Jackson III, Todd M. Alessandri, and Sylvia Sloan Black | The Price of Corporate Social Responsibility: The Case of Black Economic Empowerment Transactions in South Africa (Atlanta Fed Working papers 2005-29, Dec 2005) | Abstract Full text |
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| Tracy Chan, Ramdane Djoudad, and | | Jackson Loi | Regime Shifts in the Indicator Properties of Narrow Money in Canada (Bank of Canada Working papers 2006-06, Mar 2006) | Abstract Full text |
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| Ben R. Craig, William E. | | Jackson, III, and James B. Thomson | Small Firm Credit Market Discrimination, SBA-Guaranteed Lending, and Local Market Economic Performance (Cleveland Fed Working papers 0613, 2006) | Full text |
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| Patricia | | Jackson, William Perraudin and Victoria Saporta | Regulatory and 'economic' solvency standards for internationally active banks (Bank of England Working papers 161, Aug 2002) | Abstract Full text |
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Michiel van Leuvensteijn, | | Jacob A. Bikker | A new approach to measuring competition in the loan markets of the euro area (European Central Bank Working papers 0768, Jun 2007) | Full text |
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| Michiel van Leuvensteijn, Christoffer Kok Sørensen, | | Jacob A. Bikker and Adrian van Rixtel | Impact of bank competition on the interest rate pass-through in the euro area (835 KB) (Bank of Spain Working Papers 0828, Dec 2008) | Abstract Full text |
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| | Jacob A. Bikker and Peter J.G. Vlaar | Conditional Indexation in Defined Benefit Pension Plans (Netherlands Bank DNB Working Papers 086, Feb 2006) | Full text |
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| Michiel van Leuvensteijn, | | Jacob A. Bikker, Adrian van Rixtel and Christoffer Kok-Sørensen | A new approach to measuring competition in the loan markets of the euro area (Bank of Spain Working Papers 0736, Nov 2007) | Abstract Full text |
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| | Jacob A. Bikker, Dirk W.G.A. Broeders, David A. Hollanders and Eduard H.M. Ponds | Pension funds' asset allocation and participant age: a test of the life-cycle model (Netherlands Bank DNB Working Papers 223, Oct 2009) | Full text |
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| | Jacob A. Bikker, Jan de Dreu | Pension fund efficiency: the impact of scale, governance and plan design (Netherlands Bank DNB Working Papers 109, Aug 2006) | Full text |
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| | Jacob A. Bikker, Laura Spierdijk and Paul Finniez | Stock market performance and pension fund investment policy: rebalancing, free float, or market timing? (Netherlands Bank DNB Working Papers 156, Nov 2007) | Full text |
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| | Jacob A. Bikker, Laura Spierdijk and Pieter Jelle van der Sluis | Cheap versus Expensive Trades: Assessing the Determinants of Market Impact Costs (Netherlands Bank DNB Working Papers 069, Dec 2005) | Full text |
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| Jan de Dreu and | | Jacob Bikker | Pension fund sophistication and investment policy (Netherlands Bank DNB Working Papers 211, Jun 2009) | Full text |
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| | Jacob Bikker | An extended gravity model with substitution applied to international trade (Netherlands Bank DNB Working Papers 215, Jul 2009) | Full text |
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| | Jacob Bikker and Janko Gorter | Performance of the Dutch non-life insurance industry: competition, efficiency and focus (Netherlands Bank DNB Working Papers 164, Jan 2008) | Full text |
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| | Jacob Bikker en Laura Spierdijk | How Banking competition Changed over Time (Netherlands Bank DNB Working Papers 167, Feb 2008) | Full text |
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| Michiel van Leuvensteijn, | | Jacob Bikker, Adrian van Rixtel and Christoffer Kok-Sorensen | A new approach to measuring competition in the loan markets of the euro area (Netherlands Bank DNB Working Papers 143, Aug 2007) | Full text |
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| | Jacob Bikker, Laura Spierdijk and Paul Finnie | Misspecifiation of the Panzar-Rosse Model: Assessing Competition in the Banking Industry (Netherlands Bank DNB Working Papers 114, Sep 2006) | Full text |
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| | Jacob Bikker, Laura Spierdijk, Roy Hoevenaars and Pieter Jelle van der Sluis | Forecasting Market Impact Costs and Identifying Expensive Trades (Netherlands Bank DNB Working Papers 095, Mar 2006) | Full text |
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| | Jacob Bikker, Sherrill Shaffer and Laura Spierdijk | Assessing Competition with the Panzar-Rosse Model: The Role of Scale, Costs, and Equilibrium (Netherlands Bank DNB Working Papers 225, Nov 2009) | Full text |
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| | Jacob Ejsing | The term structure of euro area break-even inflation rates: the impact of seasonality (European Central Bank Working papers 0830, Nov 2007) | Full text |
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| | Jacob Ejsing, Jukka Sihvonen | Liquidity premia in German government bonds (European Central Bank Working papers 1081, 24 Aug 2009) | Full text |
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| Eric Chan, Michael Davies and | | Jacob Gyntelberg | The role of government-supported housing finance agencies in Asia (Bank for International Settlements Quarterly Review 0612h, 06 Dec 2006) | Abstract
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| Jeffery D Amato and | | Jacob Gyntelberg | CDS index tranches and the pricing of credit risk correlations (Bank for International Settlements Quarterly Review 0503g, Mar 2005) | Abstract Full text |
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| | Jacob Gyntelberg and Eli M Remolona | Risk in carry trades: a look at target currencies in Asia and the Pacific (Bank for International Settlements Quarterly Review 0712h, 10 Dec 2007) | Abstract Full text |
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| | Jacob Gyntelberg and Eli M Remolona | Securitisation in Asia and the Pacific: implications for liquidity and credit risks (Bank for International Settlements Quarterly Review 0606f, 12 Jun 2006) | Abstract Full text |
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| Michael Davies, | | Jacob Gyntelberg and Eric Chan | Housing finance agencies in Asia (Bank for International Settlements Working papers 241, Dec 2007) | Abstract Full text |
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| Stephen G Cecchetti, | | Jacob Gyntelberg and Marc Hollanders | Central counterparties for over-the-counter derivatives (Bank for International Settlements Quarterly Review 0909f, 14 Sep 2009) | Abstract Full text |
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| Guy Debelle, | | Jacob Gyntelberg and Michael Plumb | Forward currency markets in Asia: lessons from the Australian experience (Bank for International Settlements Quarterly Review 0609g, 06 Sep 2006) | Abstract Full text |
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| | Jacob Gyntelberg and Philip Wooldridge | Interbank rate fixings during the recent turmoil (Bank for International Settlements Quarterly Review 0803g, 08 Mar 2008) | Abstract
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| | Jacob Gyntelberg, Alicia Herrero and Andrea Tesei | The Asian crisis: what did local stock markets expect? (Bank for International Settlements Working papers 261, Sep 2008) | Abstract Full text |
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| Allen Frankel, | | Jacob Gyntelberg, Kristian Kjeldsen, Mattias Persson | The Danish mortgage market (Bank for International Settlements Quarterly Review 0403h, Mar 2004) | Abstract Full text |
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| | Jacob Gyntelberg, Mico Loretan, Tientip Subhanij and Eric Chan | International portfolio rebalancing and exchange rate fluctuations in Thailand (Bank for International Settlements Working papers 287, Aug 2009) | Abstract Full text |
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| | Jacob Gyntelberg, Mico Loretan, Tientip Subhanij and Eric Chan | Private information, stock markets, and exchange rates (Bank for International Settlements Working papers 271, Feb 2009) | Abstract Full text |
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| | Jacob Gyntelberg,Guonan Ma,Eli M Remolona | Corporate bond markets in Asia (Bank for International Settlements Quarterly Review 0512g, Dec 2005) | Abstract Full text |
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| | Jacob W. Ejsing, Wolfgang Lemke, | The Janus-Headed Salvation: Sovereign and Bank Credit Risk Premia during 2008-09, (European Central Bank Working papers 1127, 11 Dec 2009) | Full text |
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Janko Gorter, Jan | | Jacobs and Jakob de Haan | Taylor Rules for the ECB using Consensus Data (Netherlands Bank DNB Working Papers 160, Dec 2007) | Full text |
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Jørn Inge Halvorsen and Dag Henning | | Jacobsen | Are bank lending shocks important for economic fluctuations? (Central Bank of Norway Working Papers 2009/27, 17 Dec 2009) | Abstract
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| Hilde C. Bjørnland and Dag Henning | | Jacobsen | The role of house prices in the monetary policy transmission mechanism in small open economies (Central Bank of Norway Working Papers 2009/06, 27 Apr 2009) | Abstract
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| Hilde C. Bjørnland and Dag Henning | | Jacobsen | The role of house prices in the monetary policy transmission mechanism in the U.S. (Central Bank of Norway Working Papers 2008/24, 12 Dec 2008) | Abstract
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Tor | | Jacobson | Firm Default and Aggregate Fluctuations (Philadelphia Fed Working Papers 08-21, Sep 2008) | Full text |
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| Tor | | Jacobson and Sune Karlsson | Finding Good Predictors for Inflation: A Bayesian Model Averaging Approach (Sveriges Riksbank Working Papers 138, 01 Aug 2002) | Abstract Full text |
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| Tor | | Jacobson , Jesper Lindé and Kasper Roszbach | Exploring Interactions between Real Activity and the Financial Stance (Sveriges Riksbank Working Papers 184, 16 May 2005) | Abstract Full text |
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| Tor | | Jacobson , Jesper Lindé and Kasper Roszbach | Credit Risk versus Capital Requirements under Basel II: Are SME Loans and Retail Credit Really Different? (Sveriges Riksbank Working Papers 162, 01 Apr 2004) | Abstract Full text |
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| Tor | | Jacobson , Jesper Lindé and Kasper Roszbach | Internal Ratings Systems, Implied Credit Risk and the Consistency of Banks' Risk Classification Policies (Sveriges Riksbank Working Papers 155, 01 Dec 2003) | Abstract Full text |
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| Kenneth Carling, Tor | | Jacobson , Jesper Lindé and Kasper Roszbach | Capital Charges under Basel II: Corporate Credit Risk Modelling and the Macro Economy (Sveriges Riksbank Working Papers 142, 01 Sep 2002) | Abstract Full text |
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| Tor | | Jacobson , Johan Lyhagen , Rolf Larsson and Marianne Nessén | Inflation, Exchange Rates and PPP in a Multivariate Panel Cointegration Model (Sveriges Riksbank Working Papers 145, 01 Dec 2002) | Abstract Full text |
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| Tor | | Jacobson , Per Jansson , Anders Vredin and Anders Warne | Identifying the Effects of Monetary Policy Shocks in an Open Economy (Sveriges Riksbank Working Papers 134, 01 May 2002) | Abstract Full text |
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| Louis S. | | Jacobson , Robert LaLonde , Daniel G. Sullivan | Should We Teach Old Dogs New Tricks? The Impact of Community College Retraining on Older Displaced Workers (Chicago Fed Working papers WP-2003-25, Apr 2003) | Abstract Full text |
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| Louis S. | | Jacobson , Robert LaLonde , Daniel G. Sullivan | Estimating the Returns to Community College Schooling for Displaced Workers (Chicago Fed Working papers WP-2002-31, Apr 2002) | Abstract Full text |
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| Tor | | Jacobson, Rikard Kindell, Jesper Lindé and Kasper Roszbach | Firm Default and Aggregate Fluctuations (Sveriges Riksbank Working Papers 226, 27 Oct 2008) | Abstract Full text |
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Jan | | Jacobs, Pieter Otter and Ard den Reijer | Information, data dimension and factor structure (Netherlands Bank DNB Working Papers 150, Oct 2007) | Full text |
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Luca Agnello, | | Jacopo Cimadomo | Discretionary Fiscal Policies over the Cycle: New Evidence based on the ESCB Disaggregated Approach (European Central Bank Working papers 1118, 25 Nov 2009) | Full text |
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| | Jacopo Cimadomo | Fiscal policy in real time (European Central Bank Working papers 0919, Jul 2008) | Full text |
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Michael J. Dueker, Stephen J. Spurr, Ada K. | | Jacox, and David E. Kalist | The Practice Boundaries of Advanced Practice Nurses: An Economic and Legal Analysis (St Louis Fed Working Papers 2005-071, Nov 2005) | Full text |
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Jeremy Lawson and | | Jacqueline Dwyer | Labour Market Adjustment in Regional Australia (Reserve Bank of Australia Research Discussion Papers RDP2002-04, Jun 2002) | Abstract Full text |
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| | Jacqueline Dwyer, Kenneth Leong | Changes in the Determinants of Inflation in Australia (Reserve Bank of Australia Research Discussion Papers RDP2001-02, May 2001) | Abstract Full text |
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Sabien Dobbelaere and | | Jacques Mairesse | Panel data estimates of the production function and product and labor market imperfections (European Central Bank Working papers 0782, Jul 2007) | Full text |
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| Gilbert Cette, Yusuf Kocoglu and | | Jacques Mairesse | Productivity Growth and Levels in France, Japan, the United Kingdom and the United States in the Twentieth Century (Bank of France Working Papers Nr 265, Jan 2010) | Abstract Full text |
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| Bronwyn H. Hall, Francesca Lotti and | | Jacques Mairesse | Innovation and productivity in SMEs. Empirical evidence for Italy (Banca d'Italia Working Papers 718, Jun 2009) | Abstract Full text |
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| Gilbert Cette, | | Jacques Mairesse and Yusuf Kocoglu | ICT Diffusion and Potential Output Growth (Bank of France Working Papers Nr 112, Apr 2004) | Abstract Full text |
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| | Jacques Miniane; John H. Rogers | Capital Controls and the International Transmission of U.S. Money Shocks (Federal Reserve Board International Financial Discussion Papers 2003-778, Oct 2003) | Abstract Full text |
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| Jérémi Montornès, | | Jacques-Bernard Sauner-Leroy | Wage-setting behavior in France: additional evidence from an ad-hoc survey (European Central Bank Working papers 1102, 29 Oct 2009) | Full text |
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Roland Straub and Pascal | | Jacquinot | Globalisation and the euro area: simulation based analysis using the New Area Wide Model. (European Central Bank Working papers 0907, Jun 2008) | Full text |
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Esteban | | Jadresic , Klaus Schmidt-Hebbel , Rodrigo Valdés | International Financial Crises, Lender of Last Resort and New International Financial Architecture (Central Bank of Chile Working Papers 212, Jun 2003) | Abstract Full text |
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| Esteban | | Jadresic, Jorge Selaive | Is The FX Derivatives Market Effective and Efficient in Reducing Currency Risk? (Central Bank of Chile Working Papers 325, Aug 2005) | Abstract Full text |
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Jane Dokko, Brian Doyle, Michael T. Kiley, Jinill Kim, Shane Sherlund, | | Jae Sim, and Skander Van den Heuvel | Monetary Policy and the Housing Bubble (Federal Reserve Board FEDS series 2009-49, Dec 2009) | Abstract Full text |
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| Eric French, | | Jae Song | The Effect of Disability Insurance Receipt on Labor Supply (Chicago Fed Working papers WP-2009-06, Oct 2009) | Abstract Full text |
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| | Jaerang Lee and Byung Chang Yi | Industry Level Real Effective Exchange Rates for Korea (The Bank of Korea Economic Papers 73, 08 Aug 2006) | Abstract Full text |
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Fabio Ghironi, | | Jaewoo Lee, and Alessandro Rebucci | The Valuation Channel of External Adjustment (Boston Fed Working papers 09-18, Dec 2009) | Abstract Full text |
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| | Jaewoon Koo and Ho-Seong Moon | Regional Segregation of Financial Markets in Korea (The Bank of Korea Economic Papers 46, 13 Dec 2004) | Abstract Full text |
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B. Douglas Bernheim, Katherine Grace Carman, | | Jagadeesh Gokhale, and Laurence J. Kotlikoff | The Mismatch Between Life Insurance Holdings and Financial Vulnerabilities: Evidence from the Survey of Consumer Finances (Cleveland Fed Working papers 0201, 2002) | Full text |
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| B. Douglas Bernheim, Solange Berstein, | | Jagadeesh Gokhale, Laurence J. Kotlikoff | Saving and Life Insurance Holdings at Boston University - A Unique Case Study (Central Bank of Chile Working Papers 161, Jun 2002) | Abstract Full text |
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| | Jagadeesh Gokhale, Laurence J. Kotlikoff and Alexi Sluchynsky | Does It Pay to Work? (Cleveland Fed Working papers 0206, 2002) | Full text |
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| Bo Becker and | | Jagadeesh Sivadasan | The effect of financial development on the investment cash flow relationship: cross-country evidence from Europe (European Central Bank Working papers 0689, Oct 2006) | Full text |
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Elijah Brewer III, William E. Jackson III, and Julapa A. | | Jagtiani | Target's Corporate Governance and Bank Merger Payoff (Kansas City Fed Working Papers RWP07-13, Dec 2007) | Abstract Full text |
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| Elijah Brewer III and Julapa | | Jagtiani | How Much Would Banks Be Willing to Pay to Become "Too-Big-to-Fail" and to Capture Other Benefits? (Kansas City Fed Working Papers RWP07-05, Jul 2007) | Abstract Full text |
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| Douglas D. Evanoff, Julapa | | Jagtiani, and Taisuke Nakata | The Potential Role of Subordinated Debt Programs In Enhancing Market Discipline in Banking (Kansas City Fed Working Papers RWP07-07, Sep 2007) | Abstract Full text |
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| Linda Allen, Julapa | | Jagtiani, Stavros Peristiani, and Anthony Saunders | The Role of Bank Advisors in Mergers and Acquisitions (New York Fed Staff reports 143, Feb 2002) | Abstract Full text |
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William C. Gruben, | | Jahyeong Koo and Eric Millis | How Much Does International Trade Affect Business Cycle Synchronization? (Dallas Fed Working Papers wp0203, 2002) | Full text |
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| | Jahyeong Koo and W. Michael Cox | An Economic Interpretation of Suicide Cycles in Japan (Dallas Fed Working Papers wp0603, Sep 2006) | Full text |
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| | Jaideep Bedi, Anthony Richards and Paul Tennant | The Characteristics and Trading Behaviour of Dual-listed Companies (Reserve Bank of Australia Research Discussion Papers RDP2003-06, Jun 2003) | Abstract Full text |
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| | Jaime C. Guajardo | Financial Frections and Business Cycles in Middle Income Countries (Central Bank of Chile Working Papers 444, Dec 2007) | Abstract Full text |
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| William L. Helkie, David Howard, and | | Jaime Marquez | International Economic Implications of the End of the Soviet Union (Federal Reserve Board International Financial Discussion Papers 2008-470, May 1994) | Abstract
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| Jane Ihrig, Steven B. Kamin, Deborah Lindner, and | | Jaime Marquez | Some Simple Tests of the Globalization and Inflation Hypothesis (Federal Reserve Board International Financial Discussion Papers 2007-891, Apr 2007) | Abstract Full text |
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| Charles P. Thomas and | | Jaime Marquez | Measurement Matters for Modeling U.S. Import Prices (Federal Reserve Board International Financial Discussion Papers 2006-883, Dec 2006) | Abstract Full text |
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| Jane Ihrig, | | Jaime Marquez | Modeling Direct Investment Valuation Adjustments and Estimating Quarterly Positions (Federal Reserve Board International Financial Discussion Papers 2006-857, Apr 2006) | Abstract Full text |
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| | Jaime Marquez | Estimating Elasticities for U.S. Trade in Services (Federal Reserve Board International Financial Discussion Papers 2005-836, Jul 2005) | Abstract Full text |
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| Jane Ihrig; | | Jaime Marquez | An Empirical Analysis of Inflation in OECD Countries (Federal Reserve Board International Financial Discussion Papers 2003-765, May 2003) | Abstract Full text |
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| | Jaime Marquez and John W. Schindler | Exchange-Rate Effects on China's Trade: An Interim Report (Federal Reserve Board International Financial Discussion Papers 2006-861, May 2006) | Abstract Full text |
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| Mario Marazzi; Nathan Sheets; Robert J. Vigfusson; and Jon Faust; Joseph E. Gagnon; | | Jaime Marquez; Robert F. Martin; Trevor A. Reeve; John H. Rogers | Exchange Rate Pass-through to U.S. Import Prices: Some New Evidence (Federal Reserve Board International Financial Discussion Papers 2005-833, Apr 2005) | Abstract Full text |
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| | Jaime Marquez; Shing-Yi B. Wang | IT Investment and Hicks' Composite-Good Theorem: The U.S. Experience (Federal Reserve Board International Financial Discussion Papers 2003-767, Jun 2003) | Abstract Full text |
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| Charles P. Thomas, | | Jaime Marquez, and Sean Fahle | Measuring U.S. International Relative Prices: A WARP View of the World (Federal Reserve Board International Financial Discussion Papers 2008-917, Jan 2008) | Abstract Full text |
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| | Jaime Reis | An "Art", not a "Science"? Central Bank Management in Portugal under the Gold Standard, 1854-1891 (Bank of Portugal Working papers 200206, May 2002) | Abstract Full text |
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| Rui Pedro Esteves, | | Jaime Reis, Fabiano Ferramosca | Market Integration in the Golden Periphery - the Lisbon/London Exchange, 1854-1891 (Bank of Portugal Working papers 200515, Dec 2005) | Abstract Full text |
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| Paulo Cox, Eric Parrado, | | Jaime Ruiz-Tagle | Distribution of Assets, Debt, and Income of Chilean Households (Central Bank of Chile Working Papers 388, Dec 2006) | Abstract Full text |
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| Marcelo Fuenzalida , | | Jaime Ruiz-Tagle, | Households' Financial Vulnerability (Central Bank of Chile Working Papers 540, Dec 2009) | Abstract
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Max Floetotto, Nir | | Jaimovich, and Seth Pruitt | Markup Variation and Endogenous Fluctuations in the Price of Investment Goods (Federal Reserve Board International Financial Discussion Papers 2009-968, Mar 2009) | Abstract Full text |
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| Nir | | Jaimovich, Seth Pruitt, and Henry E. Siu | The Demand for Youth: Implications for the Hours Volatility Puzzle (Federal Reserve Board International Financial Discussion Papers 2009-964, Jan 2009) | Abstract Full text |
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| | Jaine Marquez | Oil Prices Effects in Theory and Practice (Federal Reserve Board International Financial Discussion Papers 2008-237, Jan 1984) | Abstract
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Todd M. Gabe and | | Jaison R. Abel | Labor Market Pooling and Occupational Agglomeration (New York Fed Staff reports 392, Sep 2009) | Abstract Full text |
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| Richard Deitz and | | Jaison R. Abel | Have Amenities Become Relatively More Important Than Firm Productivity Advantages in Metropolitan Areas? (New York Fed Staff reports 344, Sep 2008) | Abstract Full text |
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| | Jaison R. Abel and Richard Deitz | New Measures of Economic Growth and Productivityin Upstate New York (New York Fed Current issues ci14-09, Dec 2008) | Abstract Full text |
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| | Jaison R. Abel and Richard Deitz | Do Colleges and Universities Increase Their Region's Human Capital? (New York Fed Staff reports 401, Oct 2009) | Abstract Full text |
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| | Jaison R. Abel and Todd M. Gabe | Human Capital and Economic Activity in Urban America (New York Fed Staff reports 332, Jul 2008) | Abstract Full text |
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Szilárd Benk - Zoltán M. | | Jakab - Gábor Vadas | Potential Output Estimations for Hungary: A Survey of Different Approaches (Magyar Nemzeti Bank Occasional papers 2005/43, 2005) | Abstract Full text |
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| Zoltán M. | | Jakab - Mihály András Kovács | Hungary in the NIGEM model (Magyar Nemzeti Bank Working papers 2002/03, 2002) | Abstract Full text |
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| Zoltán M. | | Jakab - Mihály András Kovács - Explaining the Exchange Rate Pass-Through in Hungary | Simulations with the NIGEM Model (Magyar Nemzeti Bank Working papers 2003/05, 2003) | Abstract Full text |
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| Zoltán M. | | Jakab-Balázs Világi | An estimated DSGE model of the Hungarian economy (Magyar Nemzeti Bank Working papers 2008/09, Dec 2008) | Abstract Full text |
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| Zoltán M. | | Jakab-Viktor Várpalotai-Balázs Vonnák | How does monetary policy affect aggregate demand? A multimodel approach for Hungary (Magyar Nemzeti Bank Working papers 2006/04, Jul 2006) | Abstract Full text |
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Karim Barhoumi, Gerhard Rünstler, Riccardo Cristadoro, Ard Den Reijer, Audrone | | Jakaitiene, Piotr Jelonek, Antonio Rua, Karsten Ruth, Szilard Benk and Christophe Van Nieuwenhuyze | Short-term forecasting of GDP using large monthly datasets: a pseudo real-time forecast evaluation exercise. (Bank of France Working Papers Nr 215, Jul 2008) | Abstract Full text |
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| Karim Barhoumi, Szilard Benk, Riccardo Cristadoro, Ard Den Reijer, Audrone | | Jakaitiene, Piotr Jelonek, António Rua, Gerhard Rünstler, Karsten Ruth and Christophe Van Nieuwenhuyze | Short-term forecasting of GDP using large monthly datasets: a pseudo real-time forecast evaluation exercise (European Central Bank Occasional papers 084, May 2008) | Full text |
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| K. Barhoumi, S. Benk, R. Cristadoro, A. Den Reijer, A. | | Jakaitiene, P. Jelonek, A. Rua, G. Rünstler, K. Ruth, C. Van Nieuwenhuyze | Short-term forecasting of GDP using large monthly datasets - A pseudo real-time forecast evaluation exercise (National Bank of Belgium Working Papers 133, 17 Jun 2008) | Abstract Full text |
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| Audrone | | Jakaitiene, Stéphane Dées | Forecasting the world economy in the short-term (European Central Bank Working papers 1059, 16 Jun 2009) | Full text |
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Braude | | Jakob | Generational Conflict? Some Cross-Country Evidence (Bank of Israel Research - Discussion Papers dp0106, 26 Jun 2001) | Abstract Full text |
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| Alan S. Blinder, Michael Ehrmann, | | Jakob de Haan | Central Bank communication and monetary policy: a survey of theory and evidence (European Central Bank Working papers 0898, May 2008) | Full text |
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| Guido Wolswijk and | | Jakob de Haan | Government debt management in the euro area - recent theoretical developments and changes in practices (European Central Bank Occasional papers 025, Mar 2005) | Full text |
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| Janko Gorter, Jan Jacobs and | | Jakob de Haan | Taylor Rules for the ECB using Consensus Data (Netherlands Bank DNB Working Papers 160, Dec 2007) | Full text |
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| David-Jan Jansen and | | Jakob de Haan | The Importance of Being Vigilant: Has ECB Communication Influenced Euro Area Inflation Expectations? (Netherlands Bank DNB Working Papers 148, Oct 2007) | Full text |
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| David-Jan Jansen and | | Jakob de Haan | Is a Word to the Wise Indeed Enough? ECB Statements and the Predictibility of Interest Rate Decisions (Netherlands Bank DNB Working Papers 075, Dec 2005) | Full text |
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| | Jakob de Haan and David-Jan Jansen | The communication policy of the European Central Bank: An overview of the first decade (Netherlands Bank DNB Working Papers 212, Jun 2009) | Full text |
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| Alan S. Blinder, Michael Ehrmann, Marcel Fratzscher, | | Jakob de Haan and David-Jan Jansen | Central Bank Communication and Monetary Policy: A Survey of Theory and Evidence (Netherlands Bank DNB Working Papers 170, Apr 2008) | Full text |
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| Hansen, | | Jakob Lage | What drives financial markets? Real-time macroeconomic indicators (Danmarks Nationalbank Working papers WP42/2006, 24 Oct 2006) | Abstract Full text |
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| Andersen, Allan Bødskov; Hansen, | | Jakob Lage | Risk and return in the bond markets - past developments and future prospects (Danmarks Nationalbank Working papers WP40/2006, 23 Jun 2006) | Abstract Full text |
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| Hansen, | | Jakob Lage | A risk index for euro-denominated assets (Danmarks Nationalbank Working papers WP36/2006, 08 May 2006) | Abstract Full text |
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| Braude | | Jakob, Menashe Yigal | Does the Capital Intensity of Structural Change Matter for Growth? (Bank of Israel Research - Discussion Papers dp0410, 12 Oct 2004) | Abstract Full text |
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| | Jalal Akhavein, W. Scott Frame, and Lawrence J. White | The Diffusion of Financial Innovations: An Examination of the Adoption of Small Business Credit Scoring by Large Banking Organizations (Atlanta Fed Working papers 2001-9, Apr 2001) | Abstract Full text |
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Jukka | | Jalava and Ilja Kristian Kavonius | The effect of durable goods and ICT on euro area productivity growth? (European Central Bank Working papers 0940, Sep 2008) | Full text |
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| Jukka | | Jalava and Ilja Kristian Kavonius | Durable goods and their effect on household saving ratios in the euro area (European Central Bank Working papers 0755, May 2007) | Full text |
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Karim Barhoumi and | | Jamel Jouini | Revisiting the Decline in the Exchange Rate Pass-Through: Further Evidence from Developing Countries. (Bank of France Working Papers Nr 213, Jul 2008) | Abstract Full text |
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Michael D. Bordo, Josef Christl, Christian Just and Harold | | James | Exchange Rate Regimes Past, Present and Future (Austrian National Bank Working Papers WP092, 03 Nov 2004) | Abstract Full text |
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| Yetman, | | James | Gaining Credibility for Inflation Targets (Bank of Canada Working papers 2001-11, Jul 2001) | Abstract Full text |
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| Ryan Stever and | | James A Wilcox | Regulatory discretion and banks' pursuit of "safety in similarity" (Bank for International Settlements Working papers 235, Aug 2007) | Abstract Full text |
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| David H. Small and | | James A. Clouse | The Scope of Monetary Policy Actions Authorized under the Federal Reserve Act (Federal Reserve Board FEDS series 2004-40, Aug 2004) | Abstract Full text |
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| | James A. Kahn | Productivity Swings and Housing Prices (New York Fed Current issues ci15-03, 09 Jul 2009) | Abstract Full text |
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| | James A. Kahn | What Drives Housing Prices? (New York Fed Staff reports 345, Sep 2008) | Abstract Full text |
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| Steven J. Davis and | | James A. Kahn | Interpreting the Great Moderation: Changes in the Volatility of Economic Activity at the Macro and Micro Levels (New York Fed Staff reports 334, Jul 2008) | Abstract Full text |
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| | James A. Kahn | Durable Goods Inventories and the Great Moderation (New York Fed Staff reports 325, May 2008) | Abstract Full text |
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| | James A. Kahn and Margaret M. McConnell | Has Inventory Volatility Returned? A Look at the Current Cycle (New York Fed Current issues ci08-05, May 2002) | Abstract Full text |
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| | James A. Kahn and Robert Rich | Tracking the New Economy: Using Growth Theory to Detect Changes in Trend Productivity (New York Fed Staff reports 159, Jan 2003) | Abstract Full text |
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| | James A. Kahn and Robert W. Rich | Tracking Productivity in Real Time (New York Fed Current issues ci12-08, Nov 2006) | Abstract Full text |
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| | James A. Kahn, Margaret M. McConnell, and Gabriel Perez-Quiros | On the Causes of the Increased Stability of the U.S. Economy (New York Fed Economic policy review 0205kahn, May 2002) | Full text |
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| | James Bessen and Robert M. Hunt | An Empirical Look At Software Patents (Philadelphia Fed Working Papers wp03-17, 2003) | Full text |
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| | James Bullard | Near-rational exuberance (European Central Bank Working papers 0555, Nov 2005) | Full text |
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| | James Bullard and Eric Schaling | Monetary policy, determinacy, and learnability in the open economy (forthcoming) (European Central Bank Working papers 0611, Apr 2006) | Full text |
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| | James Bullard and Stefano Eusepi | Did the Great Inflation Occur Despite Policymaker Commitment to a Taylor Rule? (Atlanta Fed Working papers 2003-20, Oct 2003) | Abstract Full text |
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| Gaetano Antinolfi, Costas Azariadis, and | | James B. Bullard | The Optimal Inflation Target in an Economy with Limited Enforcement (St Louis Fed Working Papers 2007-037, Sep 2007) | Full text |
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| | James B. Bullard | Comments on Orphanides and Williams' (St Louis Fed Working Papers 2007-028, Jun 2007) | Full text |
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| | James B. Bullard and John Duffy | Learning and Structural Change in Macroeconomic Data (St Louis Fed Working Papers 2004-016, Aug 2004) | Full text |
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| | James B. Bullard, and Aarti Singh | Learning and the Great Moderation (St Louis Fed Working Papers 2007-027, Jun 2007) | Full text |
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| | James B. Bullard, and Aarti Singh | Worldwide Macroeconomic Stability and Monetary Policy Rules (St Louis Fed Working Papers 2006-040, Jun 2006) | Full text |
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| | James B. Bullard, and Eric Schaling | Monetary Policy, Determinacy, and Learnability in a Two-Block World Economy (St Louis Fed Working Papers 2006-038, May 2006) | Full text |
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| | James B. Bullard, and Jacek Suda | The Stability of Macroeconomic Systems with Bayesian Learners (St Louis Fed Working Papers 2008-043, Nov 2008) | Abstract Full text |
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| | James B. Bullard, and Stefano Eusepi | When Does Determinacy Imply Expectational Stability? (St Louis Fed Working Papers 2008-007, Feb 2008) | Full text |
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| | James B. Bullard, George W. Evans and Seppo Honkapohja | Near-Rational Exuberance (St Louis Fed Working Papers 2004-025, Oct 2004) | Full text |
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| Bruce Fallick, Charles A. Fleischman, and | | James B. Rebitzer | Job-Hopping in Silicon Valley: Some Evidence Concerning the Micro-Foundations of a High Technology Cluster (Federal Reserve Board FEDS series 2005-11, Mar 2005) | Abstract Full text |
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| Ben R. Craig, William E. Jackson III, and | | James B. Thomson | SBA Guaranteed Lending and Local Economic Growth (Atlanta Fed Working papers 2005-28, Dec 2005) | Abstract Full text |
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| C.N.V. Krishnan, Peter H. Ritchken, and | | James B. Thomson | On Forecasting the Term Structure of Credit Spreads (Cleveland Fed Working papers 0705, Apr 2007) | Full text |
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| Bruce Champ and | | James B. Thomson | National Bank Notes and Silver Certificates (Cleveland Fed Working papers 0622, 2006) | Full text |
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| Ben R. Craig, William E. Jackson, III, and | | James B. Thomson | Small Firm Credit Market Discrimination, SBA-Guaranteed Lending, and Local Market Economic Performance (Cleveland Fed Working papers 0613, 2006) | Full text |
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| Ben R. Craig, William E. Jackson III and | | James B. Thomson | SBA-Loan Guarantees and Local Economic Growth (Cleveland Fed Working papers 0503, Apr 2005) | Full text |
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| C. N. V. Krishnan, Peter H. Ritchken and | | James B. Thomson | On Credit Spread Slopes and Predicting Bank Risk (Cleveland Fed Working papers 0314, 2003) | Full text |
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| Rong Fan, Joseph G. Haubrich, Peter Ritchken and | | James B. Thomson | Getting the Most Out of a Mandatory Subordinated Debt Requirement (Cleveland Fed Working papers 0214, 2002) | Full text |
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| Pedro Amaral and | | James C MacGee | A Multi-Sectoral Approach to the U.S. Great Depression (Cleveland Fed Working papers 0911, Dec 2009) | Full text |
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| | James Chapman, Jonathan Chiu, and Miguel Molico | A Model of Tiered Settlement Networks (Bank of Canada Working papers 2008-12, May 2008) | Abstract Full text |
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| | James Costain and Anton Nakov | Price adjustments in a general model of state-dependent pricing (924 KB) (Bank of Spain Working Papers 0824, Nov 2008) | Abstract Full text |
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| | James Costain and Antón Nákov | Dynamics of the price distribution in a general model of state-dependent pricing (1.040 KB) (Bank of Spain Working Papers 0831, Jan 2008) | Abstract Full text |
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| | James Costain and Marcel Jansen | Employment fluctuations with downward wage rigidity: the role of moral hazard (Bank of Spain Working Papers 0632, Nov 2006) | Abstract Full text |
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| Kai Christoffel, | | James Costain, Gregory de Walque, Keith Kuester, Tobias Linzert, Stephen Millard, Olivier Pierrard | Inflation dynamics with labour market matching: assessing alternative specifications (National Bank of Belgium Working Papers 164, 19 May 2009) | Abstract
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| Kai Christoffel, | | James Costain, Gregory de Walque, Keith Kuester, Tobias Linzert, Stephen Millard, Olivier Pierrard | Inflation dynamics with labour market matching: assessing alternative specifications (European Central Bank Working papers 1053, 15 May 2009) | Full text |
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| Kai Christoffel, | | James Costain, Gregory de Walque, Keith Kuester, Tobias Linzert, Stephen Millard and Olivier Pierrard | Wage, inflation and employment dynamics with labour market matching (Bank of Spain Working Papers 0918, Aug 2009) | Abstract Full text |
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| Kai Christoffel, | | James Costain, Gregory de Walque, Keith Kuester, Tobias Linzert, Stephen Millard and Oilvier Pierrard | Inflation dynamics with labour market matching: assessing alternative specifications (Bank of England Working papers 375, Aug 2009) | Abstract Full text |
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| Kristin Aarland , | | James Davis , J Vernon Henderson , Yukako Ono | Spatial Organization of Firms (Chicago Fed Working papers WP-2003-30, Apr 2003) | Abstract Full text |
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| | James D. Hamilton, and Michael T. Owyang | The Propagation of Regional Recessions (St Louis Fed Working Papers 2009-013, Apr 2009) | Abstract Full text |
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| | James D. Hamilton, Daniel F. Waggoner, and Tao Zha | Normalization in Econometrics (Atlanta Fed Working papers 2004-13, Jun 2004) | Abstract Full text |
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| | James D. Hamilton, Seth Pruitt, and Scott C. Borger | The Market-Perceived Monetary Policy Rule (Federal Reserve Board International Financial Discussion Papers 2009-982, Oct 2009) | Abstract Full text |
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| | James Feigenbaum and Geng Li | Lifecycle Dynamics of Income Uncertainty and Consumption (Federal Reserve Board FEDS series 2008-27, Jun 2008) | Abstract Full text |
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| | James Foreman-Peck with a comment by Ivo Maes | Lessons from Italian Monetary Unification (Austrian National Bank Working Papers WP113, 23 Jan 2006) | Abstract Full text |
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| Dingle, | | James F. | The Elements of the Global Network for Large-Value Funds Transfers (Bank of Canada Working papers 2001-1, Feb 2001) | Abstract Full text |
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| | James Hansen | Australian House Prices: A Comparison of Hedonic and Repeat-sales Measures (Reserve Bank of Australia Research Discussion Papers RDP2006-03, May 2006) | Abstract Full text |
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| Carolyn L. Evans; | | James Harrigan | Distance, Time, and Specialization (Federal Reserve Board International Financial Discussion Papers 2003-766, May 2003) | Abstract Full text |
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| | James Harrigan and Philippe Martin | Terrorism and the Resilience of Cities (New York Fed Economic policy review 0211harr, Nov 2002) | Abstract Full text |
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| Christopher Kent, Kylie Smith and | | James Holloway | Declining Output Volatility: What Role for Structural Change? (Reserve Bank of Australia Research Discussion Papers RDP2005-08, Oct 2005) | Abstract Full text |
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| Kenneth N. Kuttner and | | James J. McAndrews | Personal On-Line Payments (New York Fed Economic policy review 0112kutt, Dec 2001) | Abstract Full text |
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| Todd Keister and | | James J. McAndrews | Why Are Banks Holding So Many Excess Reserves? (New York Fed Current issues ci15-08, 09 Dec 2009) | Abstract Full text |
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| Tobias Adrian, Christopher R. Burke and | | James J. McAndrews | The Federal Reserve's Primary Dealer Credit Facility (New York Fed Current issues ci15-04, 09 Aug 2009) | Abstract Full text |
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| | James J. McAndrews | Alternative Arrangements for the Distributionof Intraday Liquidity (New York Fed Current issues ci12-03, Apr 2006) | Abstract Full text |
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| | James J. McAndrews and Simon M. Potter | Liquidity Effects of the Events of September 11, 2001 (New York Fed Economic policy review 0211mcan, Nov 2002) | Abstract Full text |
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| Kurt Johnson, | | James J. McAndrews, and Kimmo Soramäki | Economizing on Liquidity with Deferred Settlement Mechanisms (New York Fed Economic policy review 0412mcan, Dec 2004) | Abstract Full text |
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| Mario J. Crucini and | | James Kahn | Tariffs and the Great Depression Revisited (New York Fed Staff reports 172, Sep 2003) | Abstract Full text |
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| Alan Greenspan and | | James Kennedy | Sources and Uses of Equity Extracted from Homes (Federal Reserve Board FEDS series 2007-20, Apr 2007) | Abstract Full text |
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| Alan Greenspan and | | James Kennedy | Estimates of Home Mortgage Originations, Repayments, and Debt on One-to-Four-Family Residences (Federal Reserve Board FEDS series 2005-41, Sep 2005) | Abstract Full text |
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| | James M Nason and Shaun P Vahey | The McKenna Rule and UK World War I Finance (Reserve Bank of New Zealand Discussion Papers DP2007/08, Apr 2007) | Abstract Full text |
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| Daniel Aaronson, Eric French, | | James MacDonald | The Minimum Wage, Restaurant Prices, and Labor Market Structure (Chicago Fed Working papers WP-2004-21, Nov 2004) | Abstract Full text |
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| Thorsten V. Koppl and | | James MacGee | Limited Enforcement and Efficient Interbank Arrangements (Minneapolis Fed Working Papers wp608, Jan 2001) | Abstract Full text |
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| | James McAndrews | Introduction (New York Fed Economic policy review 0809intro, Sep 2008) | Full text |
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| Antoine Martin and | | James McAndrews | An Economic Analysis of Liquidity-Saving Mechanisms (New York Fed Economic policy review 0809mcan, Sep 2008) | Abstract Full text |
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| Todd Keister, Antoine Martin, and | | James McAndrews | Divorcing Money from Monetary Policy (New York Fed Economic policy review 0809keis, Sep 2008) | Abstract Full text |
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| Olivier Armantier, Jeffrey Arnold, and | | James McAndrews | Changes in the Timing Distribution of Fedwire Funds Transfers (New York Fed Economic policy review 0809arma, Sep 2008) | Abstract Full text |
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| Todd Keister, Antoine Martin, and | | James McAndrews | Divorcing Money from Monetary Policy (New York Fed Economic policy review 0808keis, Aug 2008) | Abstract Full text |
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| Antoine Martin and | | James McAndrews | An Economic Analysis of Liquidity-Saving Mechanisms (New York Fed Economic policy review 0803mcan, Mar 2008) | Abstract Full text |
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| Olivier Armantier, Jeffrey Arnold, and | | James McAndrews | Changes in the Timing Distribution of Fedwire Funds Transfers (New York Fed Economic policy review 0802arma, Feb 2008) | Abstract Full text |
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| Olivier Armantier, Sandra Krieger, and | | James McAndrews | The Federal Reserve's Term Auction Facility (New York Fed Current issues ci14-05, Jul 2008) | Abstract Full text |
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| Todd Keister and | | James McAndrews | Why Are Banks Holding So Many Excess Reserves? (New York Fed Staff reports 380, Jul 2009) | Abstract Full text |
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| Antoine Martin and | | James McAndrews | Should There Be Intraday Money Markets? (New York Fed Staff reports 337, Jul 2008) | Abstract Full text |
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| Antoine Martin and | | James McAndrews | A Study of Competing Designs for a Liquidity-Saving Mechanism (New York Fed Staff reports 336, Jul 2008) | Abstract Full text |
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| Enghin Atalay, Antoine Martin, and | | James McAndrews | The Welfare Effects of a Liquidity-Saving Mechanism (New York Fed Staff reports 331, Jun 2008) | Abstract Full text |
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| Leonardo Bartolini, Spence Hilton, and | | James McAndrews | Settlement Delays in the Money Market (New York Fed Staff reports 319, Mar 2008) | Abstract Full text |
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| Antoine Martin and | | James McAndrews | Liquidity-Saving Mechanisms (New York Fed Staff reports 282, Apr 2007) | Abstract Full text |
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| | James McAndrews and Chris Stefanadis | The Consolidation of European Stock Exchanges (New York Fed Current issues ci08-06, Jun 2002) | Abstract Full text |
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| | James McAndrews and Zhu Wang | Microfoundations of Two-sided Markets: The Payment Card Example (Netherlands Bank DNB Working Papers 128, Jan 2007) | Full text |
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| | James McAndrews and Zhu Wang | The Economics of Two-Sided Payment Card Markets: Pricing, Adoption and Usage (Kansas City Fed Working Papers 08-12, Dec 2008) | Abstract Full text |
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| Adam Ashcraft, | | James McAndrews, and David Skeie | Precautionary Reserves and the Interbank Market (New York Fed Staff reports 370, May 2009) | Abstract Full text |
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| Charles M. Kahn, | | James McAndrews, and William Roberds | Money Is Privacy (Atlanta Fed Working papers 2004-18, Aug 2004) | Abstract Full text |
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| | James McAndrews, Asani Sarkar, and Zhenyu Wang | The Effect of the Term Auction Facilityon the London Inter-Bank Offered Rate (New York Fed Staff reports 335, Jul 2008) | Abstract Full text |
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| Michele Braun, | | James McAndrews, William Roberds,and Richard Sullivan | Understanding Risk Management in Emerging Retail Payments (New York Fed Economic policy review 0809brau, Sep 2008) | Abstract Full text |
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| Michele Braun, | | James McAndrews, William Roberds, and Richard Sullivan | Understanding Risk Management in Emerging Retail Payments (New York Fed Economic policy review 0711brau, Nov 2007) | Abstract Full text |
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| Troy Matheson, | | James Mitchell and Brian Silverstone | Nowcasting and predicting data revisions in real time using qualitative panel survey data (Reserve Bank of New Zealand Discussion Papers DP2007/02, Jan 2007) | Abstract Full text |
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| Ida Wolden Bache, Anne Sofie Jore, | | James Mitchell and Shaun P. Vahey | Combining VAR and DSGE forecast densities (Central Bank of Norway Working Papers 2009/23, 30 Nov 2009) | Abstract
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| Anne Sofie Jore, | | James Mitchell and Shaun P. Vahey | Combining forecast densities from VARs with uncertain instabilities (Central Bank of Norway Working Papers 2008/01, 24 Jan 2008) | Abstract
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| Anne Sofie Jore, | | James Mitchell and Shaun Vahey | Combining Forecast Densities from VARs and Uncertain Instabilities (Reserve Bank of New Zealand Discussion Papers DP2008/18, Dec 2008) | Abstract Full text |
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| Anthony Garratt, | | James Mitchell, and Shaun P. Vahey | Measuring Output Gap Uncertainty (Reserve Bank of New Zealand Discussion Papers DP2009/15, Dec 2009) | Full text |
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| Ida Wolden Bache, | | James Mitchell, Francesco Ravazzolo and Shaun P. Vahey. | Macro modelling with many models (Central Bank of Norway Working Papers 2009/15, 17 Aug 2009) | Abstract
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| | James Mitchell, Martin Weale | The rationality and reliability of expectations reported by British households: micro evidence from the British household panel survey (Deutsche Bundesbank Discussion Papers 200719, 21 Aug 2007) | Full text |
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| Mark Carlson and Kris | | James Mitchener | Branch Banking, Bank Competition, and Financial Stability (Federal Reserve Board FEDS series 2005-20, Apr 2005) | Abstract Full text |
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| Kris | | James Mitchener, and David C. Wheelock | Does the Structure of Banking Markets Affect Economic Growth? Evidence from U.S. State Banking Markets (St Louis Fed Working Papers 2010-004, Jan 2010) | Abstract Full text |
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| Gravelle, Toni, Maral Kichian, and | | James Morley | Shift Contagion in Asset Markets (Bank of Canada Working papers 2003-5, Feb 2003) | Abstract Full text |
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| | James Morley and Jeremy M. Piger | The Importance of Nonlinearity in Reproducing Business Cycle Features (St Louis Fed Working Papers 2004-032, Nov 2004) | Full text |
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| Chang-Jin Kim, | | James Morley and Jeremy M. Piger | A Bayesian Approach to Counterfactual Analysis with an Application to the Volatility Reduction in U.S. Real GDP (St Louis Fed Working Papers 2004-014, Jul 2004) | Full text |
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| | James Morley and Jeremy M. Piger | A Steady-State Approach to Trend/Cycle Decomposition (St Louis Fed Working Papers 2004-006, Mar 2004) | Full text |
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| Charles P. Himmelberg, | | James M. Mahoney, April Bang, and Brian Chernoff | Recent Revisions to Corporate Profits: What We Know and When We Knew It (New York Fed Current issues ci10-03, Mar 2004) | Abstract Full text |
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| Linda Goldberg, John Kambhu, | | James M. Mahoney, Lawrence Radecki, and Asani Sarkar | Securities Trading and Settlement in Europe: Issues and Outlook (New York Fed Current issues ci08-04, Apr 2002) | Abstract Full text |
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| Takashi Kano and | | James M. Nason | Business Cycle Implications of Internal Consumption Habit for New Keynesian Models (Atlanta Fed Working papers 2009-16, Jul 2009) | Abstract Full text |
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| Peter Reinhard Hansen, Asger Lunde, and | | James M. Nason | Model Confidence Sets for Forecasting Models (Atlanta Fed Working papers 2005-07, Mar 2005) | Abstract Full text |
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| Peter Reinhard Hansen, Asger Lunde, and | | James M. Nason | Testing the Significance of Calendar Effects (Atlanta Fed Working papers 2005-02, Jan 2005) | Abstract Full text |
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| Elizabeth C. Wakerly, Byron G. Scott, and | | James M. Nason | Common Trends and Common Cycles in Canada: Who Knew So Much Has Been Going On? (Atlanta Fed Working papers 2004-05, Feb 2004) | Abstract Full text |
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| Peter Reinhard Hansen, Asger Lunde, and | | James M. Nason | Choosing the Best Volatility Models: The Model Confidence Set Approach (Atlanta Fed Working papers 2003-28, Oct 2003) | Abstract Full text |
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| | James M. Nason and George A. Slotsve | Along the New Keynesian Phillips Curve with Nominal and Real Rigidities (Atlanta Fed Working papers 2004-09, Apr 2004) | Abstract Full text |
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| | James M. Nason and Gregor W. Smith | Great Moderations and U.S. Interest Rates: Unconditional Evidence (Atlanta Fed Working papers 2008-01, Jan 2008) | Abstract Full text |
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| | James M. Nason and Gregor W. Smith | Identifying the New Keynesian Phillips Curve (Atlanta Fed Working papers 2005-01, Jan 2005) | Abstract Full text |
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| | James M. Nason and John H. Rogers | Exchange Rates and Fundamentals: A Generalization (Federal Reserve Board International Financial Discussion Papers 2008-948, Sep 2008) | Abstract Full text |
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| | James M. Nason and John H. Rogers | Exchange Rates and Fundamentals: A Generalization (Atlanta Fed Working papers 2008-16, Jun 2008) | Abstract Full text |
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| | James M. Nason and John H. Rogers | The Present-Value Model of the Current Account Has Been Rejected: Round Up the Usual Suspects (Atlanta Fed Working papers 2003-7a, Oct 2003) | Abstract Full text |
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| | James M. Nason and John H. Rogers | The Present-Value Model of the Current Account Has Been Rejected: Round Up the Usual Suspects (Atlanta Fed Working papers 2003-7, Feb 2003) | Abstract Full text |
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| | James M. Nason and Shaun P. Vahey | U.K. World War I and Interwar Data for Business Cycle and Growth Analysis (Atlanta Fed Working papers 2009-18, Aug 2009) | Abstract Full text |
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| | James M. Nason and Shaun P. Vahey | The McKenna Rule and U.K. World War I Finance (Atlanta Fed Working papers 2007-03, Feb 2007) | Abstract Full text |
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| | James M. Nason and Shaun P. Vahey | Interwar U.K. Unemployment: The Benjamin and Kochin Hypothesis or the Legacy of "Just" Taxes? (Atlanta Fed Working papers 2006-04, May 2006) | Abstract Full text |
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| | James M. Nason; John H. Rogers | The Present-Value Model of the Current Account Has Been Rejected: Round Up the Usual Suspects (Federal Reserve Board International Financial Discussion Papers 2003-760, Feb 2003) | Abstract Full text |
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| Alastair Hall, Atsushi Inoue, | | James M. Nason, and Barbara Rossi | Information Criteria for Impulse Response FunctionMatching Estimation of DSGE Models (Atlanta Fed Working papers 2007-10, May 2007) | Abstract Full text |
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| William A. Brock, Steven N. Durlauf, | | James M. Nason, and Giacomo Rondina | Simple versus Optimal Rules as Guides to Policy (Atlanta Fed Working papers 2007-07, Apr 2007) | Abstract Full text |
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| | James M. Nason, Donald G. Paterson, and Ronald A. Shearer | Bulk Commodities and the Liverpool and London Markets of the Mid-19th Century (Atlanta Fed Working papers 2003-29, Oct 2003) | Abstract Full text |
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| Jon H. Fiva and Gisle | | James Natvik | Do re-election probabilities influence public investment? (Central Bank of Norway Working Papers 2009/13, 11 Aug 2009) | Abstract
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| Gisle | | James Natvik | The political economy of fiscal deficits and government production (Central Bank of Norway Working Papers 2009/07, 29 Apr 2009) | Abstract
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| Gisle | | James Natvik | Government Spending and the Taylor Principle (Central Bank of Norway Working Papers 2006/11, Dec 2006) | |
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| John Tschirhart, | | James O'Brien, Michael Moise, and Emily Yang | Bank Commercial Loan Fair Value Practices (Federal Reserve Board FEDS series 2007-29, Jul 2007) | Abstract Full text |
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| Jason Bram , Andrew Haughwout , and | | James Orr | Has September 11 Affected New York City's Growth Potential? (New York Fed Economic policy review 0211bram, Nov 2002) | Abstract Full text |
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| Jason Bram and | | James Orr | Taking the Pulse of the New York City Economy (New York Fed Current issues ci12-04, 00 May 6) | Abstract Full text |
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| Richard Deitz and | | James Orr | A Leaner, More Skilled U.S. Manufacturing Workforce (New York Fed Current issues ci12-02, 00 Feb 3) | Abstract Full text |
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| Ebiere Okah and | | James Orr | Subprime Mortgage Lending in New York City: Prevalence and Performance (New York Fed Staff reports 432, Feb 2010) | Abstract Full text |
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| | James Orr and Giorgio Topa | Challenges Facing the New York Metropolitan Area Economy (New York Fed Current issues ci12-01, Jan 2006) | Abstract Full text |
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| | James Orr and Rae D. Rosen | New York-New Jersey Job Expansion to Moderate in 2001 (New York Fed Current issues ci07-03, Mar 2001) | Abstract Full text |
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| | James Orr and Rae Rosen | New York and New Jersey Poised for Modest Job Growth in 2005 (New York Fed Current issues ci10-12, Dec 2004) | Abstract Full text |
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| | James Orr and Rae Rosen | Job Declines in New York-New Jersey Region to Slow in 2003; Modest Growth Seen for 2004 (New York Fed Current issues ci09-07, Jul 2003) | Abstract Full text |
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| Jason Bram , | | James Orr , and Carol Rapaport | Measuring the Effects of the September 11 Attack on New York City (New York Fed Economic policy review 0211rapa, Nov 2002) | Abstract Full text |
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| | James Orr , Robert Rich , and Rae Rosen | Leading Economic Indexes for New York State and New Jersey (New York Fed Economic policy review 0103orr, Mar 2001) | Abstract Full text |
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| Andrew Haughwout, | | James Orr, and David Bedoll | The Price of Land in the New York Metropolitan Area (New York Fed Current issues ci14-03, 00 Apr 5) | Abstract Full text |
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| Jason Bram, | | James Orr, and Rae Rosen | Employment in the New York-New Jersey Region:2008 Review and Outlook (New York Fed Current issues ci14-07, 0 Sep 10) | Abstract Full text |
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| Jason Bram, | | James Orr, and Rae Rosen | Job Growth in New York and New Jersey: Mid-2007 Review and Outlook (New York Fed Current issues ci13-07, Aug 2007) | Abstract Full text |
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| Jason Bram, Andrew Haughwout, | | James Orr, Robert Rich, | The Linkage between Regional Economic Indexes and Tax Bases: Evidence from New York (New York Fed Staff reports 188, Jun 2004) | Abstract Full text |
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| Jason Bram, | | James Orr, Robert Rich, Rae Rosen and Joseph Song | Is the Worst Over? Economic Indexes and the Course of the Recession in New York and New Jersey. (New York Fed Current issues ci15-05, 09 Sep 2009) | Abstract Full text |
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| | James Orr, Susan Wieler, and Joseph Pereira | The Foreign-Born Population in Upstate New York (New York Fed Current issues ci13-09, Oct 2007) | Abstract Full text |
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| Kosuke Aoki, | | James Proudman and Gertjan Vlieghe | House prices, consumption, and monetary policy: a financial accelerator approach (Bank of England Working papers 169, Dec 2002) | Abstract Full text |
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| Clare Lombardelli, | | James Proudman and James Talbot | Committees versus individuals: an experimental analysis of monetary policy decision-making (Bank of England Working papers 165, Sep 2002) | Abstract Full text |
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| Clare Lombardelli, | | James Proudman and James Talbot | Committees Versus Individuals: An Experimental Analysis of Monetary Policy Decision-Making (IJCB International Journal of Central Banking 05q2a5, May 2005) | Abstract Full text |
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| F. Thomas Juster, Joseph P. Lupton, | | James P. Smith, and Frank Stafford | The Decline in Household Saving and the Wealth Effect (Federal Reserve Board FEDS series 2004-32, Jun 2004) | Abstract Full text |
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| Bill B Francis – Iftekhar Hasan – | | James R Lothian – Xian Sun | The signalling hypothesis revisited: Evidence from foreign IPOs (Bank of Finland Discussion Papers 2008/10, 06 May 2008) | Abstract Full text |
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| Isabel Yi Zheng and | | James Rossiter | Using Monthly Indicators to Predict Quarterly GDP (Bank of Canada Working papers 2006-26, Aug 2006) | Abstract Full text |
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| | James Rossiter | Measurement Bias in the Canadian Consumer Price Index (Bank of Canada Working papers 2005-39, Dec 2005) | Abstract Full text |
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| | James R. Barth, Gerard Caprio Jr., Ross Levine | Financial Regulation And Performance: Cross-Country Evidence (Central Bank of Chile Working Papers 118, Nov 2001) | Abstract Full text |
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| Gerald P. Dwyer Jr. and | | James R. Lothian | The Economics of International Monies (Atlanta Fed Working papers 2003-37, Dec 2003) | Abstract Full text |
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| Gerald P. Dwyer Jr. and | | James R. Lothian | International Money and Common Currencies in Historical Perspective (Atlanta Fed Working papers 2002-7, Jun 2002) | Abstract Full text |
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| | James R. Markusen, Thomas F. Rutherford | Learning on the quick and cheap: gains from trade through imported expertise (Deutsche Bundesbank Discussion Papers 200514, 06 May 2005) | Full text |
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| | James Smith | That elusive elasticity and the ubiquitous bias: is panel data a panacea? (Bank of England Working papers 342, Apr 2008) | Abstract Full text |
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| Brian Bell and | | James Smith | Health, disability insurance and labour force participation (Bank of England Working papers 218, May 2004) | Abstract Full text |
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| Brian Bell and | | James Smith | On gross worker flows in the United Kingdom: evidence from the Labour Force Survey (Bank of England Working papers 160, Jul 2002) | Abstract Full text |
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| Jens Larsen, Ben May and | | James Talbot | Estimating real interest rates for the United Kingdom (Bank of England Working papers 200, Sep 2003) | Abstract Full text |
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| Clare Lombardelli, James Proudman and | | James Talbot | Committees versus individuals: an experimental analysis of monetary policy decision-making (Bank of England Working papers 165, Sep 2002) | Abstract Full text |
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| Clare Lombardelli, James Proudman and | | James Talbot | Committees Versus Individuals: An Experimental Analysis of Monetary Policy Decision-Making (IJCB International Journal of Central Banking 05q2a5, May 2005) | Abstract Full text |
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| Lucy F. Ackert, Bryan K. Church, | | James Tompkins, and Ping Zhang | What's in a Name? An Experimental Examination of Investment Behavior (Atlanta Fed Working papers 2003-12, Sep 2003) | Abstract Full text |
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| | James Twaddle; David Hargreaves; Tim Hampton | Other stabilisation objectives within an inflation targeting regime: Some stochastic simulation experiments (Reserve Bank of New Zealand Discussion Papers DP2006/04, May 2006) | Abstract Full text |
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| | James T. E. Chapman | Policy Coordination in an International Payment System (Bank of Canada Working papers 2008-17, May 2008) | Abstract Full text |
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| | James T. E. Chapman and Antoine Martin | Rediscounting Under Aggregate Risk with Moral Hazard (Bank of Canada Working papers 2007-51, Oct 2007) | Abstract Full text |
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| Morten Bech, | | James T. E. Chapman, and Rod Garratt | Which Bank is the "Central" Bank? An Application of Markov Theory to the Canadian Large Value Transfer System (Bank of Canada Working papers 2008-42, Oct 2008) | Abstract Full text |
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| Ana Aizcorbe, Martha Starr, and | | James T. Hickman | The Replacement Demand for Motor Vehicles: Evidence from the Survey of Consumer Finances (Federal Reserve Board FEDS series 2003-44, Aug 2003) | Abstract Full text |
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| | James T. Moser | The Immediacy Implications of Exchange Organization (Chicago Fed Working papers WP-2002-09, Apr 2002) | Abstract Full text |
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| Shawn Cole, Xavier Giné, Jeremy Tobacman, Petia Topalova, Robert Townsend, and | | James Vickery | Barriers to Household Risk Management:Evidence from India (New York Fed Staff reports 373, May 2009) | Abstract Full text |
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| Xavier Giné, Robert Townsend, and | | James Vickery | Patterns of Rainfall Insurance Participation in Rural India (New York Fed Staff reports 302, Sep 2007) | Abstract Full text |
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| | James Vickery | How and Why Do Small Firms Manage Interest Rate Risk?Evidence from Commercial Loans (New York Fed Staff reports 215, Aug 2005) | Abstract Full text |
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| Jaap W. B. Bos, Frank Heid, Michael Koetter, | | James W. Kolari, Clemens J. M. Kool | Inefficient or just different? Effects of heterogeneity on bank efficiency scores (Deutsche Bundesbank Banking Supervision Discussion Papers 200515, Nov 2005) | Full text |
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| Michael Koetter, Jaap W. B. Bos, Frank Heid, Clemens J. M. Kool, | | James W. Kolari, Daniel Porath | Accounting for distress in bank mergers (Deutsche Bundesbank Banking Supervision Discussion Papers 200509, Sep 2005) | Full text |
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| Devereux, Michael B. and | | James Yetman | Predetermined Prices and the Persistent Effects of Money on Output (Bank of Canada Working papers 2001-13, Aug 2001) | Abstract Full text |
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| | James Yetman | The credibility of the monetary policy "free lunch" (European Central Bank Working papers 0284, Nov 2003) | Full text |
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| | James Yetman | Discretionary Policy, Potential Output Uncertainty, and Optimal Learning (Reserve Bank of New Zealand Discussion Papers DP2005/07, Dec 2005) | Abstract Full text |
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| Michael B Devereux, Gregor W Smith and | | James Yetman | Consumption and real exchange rates in professional forecasts (Bank for International Settlements Working papers 295, Dec 2009) | Abstract Full text |
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| | Jamie Armour | An Evaluation of Core Inflation Measures (Bank of Canada Working papers 2006-10, Mar 2006) | Abstract Full text |
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| | Jamie Hall and Jarkko Jääskelä | Inflation Volatility and Forecast Accuracy (Reserve Bank of Australia Research Discussion Papers RDP2009-06, Oct 2009) | Abstract Full text |
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| Michael McMahon, Gabriel Sterne and | | Jamie Thompson | The role of ICT in the global investment cycle (Bank of England Working papers 257, Mar 2005) | Abstract Full text |
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| Hasan Bakhshi, Nicholas Oulton and | | Jamie Thompson | Modelling investment when relative prices are trending: theory and evidence for the United Kingdom (Bank of England Working papers 189, May 2003) | Abstract Full text |
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Bolder, David | | Jamieson | A Stochastic Simulation Framework for the Government of Canada's Debt Strategy (Bank of Canada Working papers 2003-10, Apr 2003) | Abstract Full text |
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| Bolder, David | | Jamieson | Towards a More Complete Debt Strategy Simulation Framework (Bank of Canada Working papers 2002-13, May 2002) | Abstract Full text |
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| Bolder, David | | Jamieson | Affine Term-Structure Models: Theory and Implementation (Bank of Canada Working papers 2001-15, Oct 2001) | Abstract Full text |
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| Bolder, David | | Jamieson and Scott Gusba | Exponentials, Polynomials, and Fourier Series: More Yield Curve Modelling at the Bank of Canada (Bank of Canada Working papers 2002-29, Oct 2002) | Abstract Full text |
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| David | | Jamieson Bolder | Modelling Term-Structure Dynamics for Risk Management: A Practitioner's Perspective (Bank of Canada Working papers 2006-48, Dec 2006) | Abstract Full text |
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| David | | Jamieson Bolder and Shudan Liu | Examining Simple Joint Macroeconomic and Term-Structure Models: A Practitioner's Perspective (Bank of Canada Working papers 2007-49, Oct 2007) | Abstract Full text |
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| David | | Jamieson Bolder and Tiago Rubin | Optimization in a Simulation Setting: Use of Function Approximation in Debt Strategy Analysis (Bank of Canada Working papers 2007-13, Feb 2007) | Abstract Full text |
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| David | | Jamieson Bolder and Yuliya Romanyuk | Combining Canadian Interest-Rate Forecasts (Bank of Canada Working papers 2008-34, Sep 2008) | Abstract Full text |
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Armour, | | Jamie, Ben Fung, and Dinah Maclean | Taylor Rules in the Quarterly Projection Model (Bank of Canada Working papers 2002-1, Jan 2002) | Abstract
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Julian | | Jamison and Jon Wegener | Multiple Selves in Intertemporal Choices (Boston Fed Working papers 09-17, Dec 2009) | Abstract Full text |
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| Julian | | Jamison, David Owens, and Glenn Woroch | Social and Private Learning with Endogenous Decision Timing (Boston Fed Working papers 09-11, Sep 2009) | Abstract Full text |
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Berndsen, | | Jan | Does duration extension enhance excess returns? (Danmarks Nationalbank Working papers WP10/2003, 11 Apr 2003) | Abstract Full text |
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| | Jan Annaert - Marc J.K. De Ceuster - Nico Valckx | Financial market volatility: informative in predicting recessions. (Bank of Finland Discussion Papers 2001/14, 09 Sep 2001) | Abstract
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| | Jan Babecký, Philip Du Caju, Theodora Kosma, Martina Lawless, Julián Messina, Tairi Rõõm | The margins of labour cost adjustment: Survey evidence from European firms (National Bank of Belgium Working Papers 183, 19 Nov 2009) | Abstract
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| | Jan Babecký, Philip Du Caju, Theodora Kosma, Martina Lawless, Julián Messina, Tairi Rõõm | Downward nominal and real wage rigidity: Survey evidence from European firms (National Bank of Belgium Working Papers 182, 19 Nov 2009) | Abstract
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| | Jan Babecký, Philip Du Caju, Theodora Theodora, Martina Lawless, Julián Messina, Tairi Rõõm | The Margins of Labour Cost Adjustment: Survey Evidence from European Firms (European Central Bank Working papers 1106, 12 Nov 2009) | Full text |
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| | Jan Babecký, Philip Du Caju, Theodora Kosma, Martina Lawless, Julián Messina, Tairi Rõõm | Downward Nominal and Real Wage Rigidity: Survey Evidence from European Firms (European Central Bank Working papers 1105, 12 Nov 2009) | Full text |
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| | Jan Babeck?, Philip Du Caju, Theodora Kosma, Martina Lawless, Juli?n Messina and Tairi R??m | The Margins of Labour Cost Adjustment:Survey Evidence from European Firms (Central Bank of Ireland Research Technical Papers 09/RT/12, Nov 2009) | Abstract Full text |
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| | Jan Babeck?, Philip Du Caju, Theodora Kosma, Martina Lawless, Juli?n Messina and Tairi R??m | Downward Nominal and Real Wage Rigidity:Survey Evidence from European Firms (Central Bank of Ireland Research Technical Papers 09/RT/11, Nov 2009) | Abstract Full text |
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| | Jan Bruha and Jirí Podpiera | Inquiries on dynamics of transition economy convergence in a two-country model (European Central Bank Working papers 0791, Aug 2007) | Full text |
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| | Jan Bruha and Jirí Podpiera | Transition economy convergence in a two-country model: implications for monetary integration (European Central Bank Working papers 0740, Mar 2007) | Full text |
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| | Jan Bruha, Jirí Podpiera and Stanislav Polák | The Convergence of a Transition Economy: The Case of the Czech Republic (Czech National Bank Working papers 2007/03, Sep 2007) | Abstract Full text |
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| Christiane Nickel, Philipp Rother, | | Jan C. Rülke | Fiscal variables and bond spreads: evidence from Eastern European countries and Turkey (European Central Bank Working papers 1101, 28 Oct 2009) | Full text |
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| Stefan Reitz, | | Jan C. Rülke, Georg Stadtmann | Are oil price forecasters finally right? Regressive expectations toward more fundamental values of the oil price (Deutsche Bundesbank Discussion Papers 200932, 08 Dec 2009) | Full text |
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| Jacob A. Bikker, | | Jan de Dreu | Pension fund efficiency: the impact of scale, governance and plan design (Netherlands Bank DNB Working Papers 109, Aug 2006) | Full text |
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| Vasso Ioannidou and | | Jan de Dreu | The Impact of Explicit Deposit Insurance on Market Discipline (Netherlands Bank DNB Working Papers 089, Feb 2006) | Full text |
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| | Jan de Dreu and Jacob Bikker | Pension fund sophistication and investment policy (Netherlands Bank DNB Working Papers 211, Jun 2009) | Full text |
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| | Jan De Wit | Exploring the CDS-Bond Basis (National Bank of Belgium Working Papers 104, 16 Nov 2006) | Abstract Full text |
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| | Jan Filácek | Why and How to Assess Inflation Target Fulfilment (Czech National Bank Working papers 2007/11, Jul 2007) | Abstract
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| | Jan Fredrik Qvigstad | Monetary policy in real time (Central Bank of Norway Working Papers 2001/01, Jan 2001) | |
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| | Jan F. Qvigstad | When does an interest rate path "look good"? Criteria for an appropriate future interest rate path (Central Bank of Norway Working Papers 2006/05, May 2006) | |
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| Amund Holmsen, | | Jan F. Qvigstad, Øistein Røisland and Kristin Solberg-Johansen | Communicating monetary policy intentions: The case of Norges Bank (Central Bank of Norway Working Papers 2008/20, 12 Dec 2008) | Abstract
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| | Jan Hagemejer, Marcin Kolasa | Internationalization and economic performance of enterprises: evidence from firm-level data (National Bank of Poland Working papers 051, Sep 2008) | Full text |
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| Zuzana Fungácová, | | Jan Hanousek | A castle built on sand: The effects of mass privatization on stock market creation in transition economies (Bank of Finland BOFIT Discussion Papers 2006/14, 15 Nov 2006) | Abstract Full text |
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| | Jan Hansen | Financial Cycles and Bankruptcies in the Nordic Countries (Sveriges Riksbank Working Papers 149, 01 Aug 2003) | Abstract Full text |
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| U. Michael Bergman and | | Jan Hansen | Financial Instability and Monetary Policy: The Swedish Evidence (Sveriges Riksbank Working Papers 137, 01 Jun 2002) | Abstract Full text |
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| Henrik Degrér , | | Jan Hansen and Peter Sellin | Evaluation of Exchange Rate Forecasts for the Krona's Nominal Effective Exchange Rate (Sveriges Riksbank Working Papers 133, 01 Dec 2001) | Abstract Full text |
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| | Jan Hendrik Fisch | Internalization and internationalization under competing real options (Deutsche Bundesbank Discussion Papers 200615, 23 May 2006) | Full text |
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| Anne Brunila - Marco Buti - | | Jan in't Veld | Cyclical stabilisation under the stability and growth pact: How effective are automatic stabilisers? (Bank of Finland Discussion Papers 2002/06, 02 Apr 2002) | Abstract Full text |
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| | Jan J J Groen and Akito Matsumoto | Real exchange rate persistence and systematic monetary policy behaviour (Bank of England Working papers 231, Oct 2004) | Abstract Full text |
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| | Jan J J Groen and Clare Lombardelli | Real exchange rates and the relative prices of non-traded and traded goods: an empirical analysis (Bank of England Working papers 223, Jun 2004) | Abstract Full text |
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| | Jan J J Groen and Haroon Mumtaz | Investigating the structural stability of the Phillips curve relationship (Bank of England Working papers 350, May 2008) | Abstract Full text |
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| | Jan J J Groen and Ravi Balakrishnan | Asset price based estimates of sterling exchange rate risk premia (Bank of England Working papers 250, Feb 2005) | Abstract Full text |
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| | Jan J J Groen, George Kapetanios and Simon Price | Multivariate methods for monitoring structural change (Bank of England Working papers 369, Jun 2009) | Abstract Full text |
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| Janko Gorter, | | Jan Jacobs and Jakob de Haan | Taylor Rules for the ECB using Consensus Data (Netherlands Bank DNB Working Papers 160, Dec 2007) | Full text |
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| | Jan Jacobs, Pieter Otter and Ard den Reijer | Information, data dimension and factor structure (Netherlands Bank DNB Working Papers 150, Oct 2007) | Full text |
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| David- | | Jan Jansen | Has the Clarity of Humphrey-Hawkins Testimonies Affected Volatility in Financial Markets? (Netherlands Bank DNB Working Papers 185, Nov 2008) | Full text |
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| Jakob de Haan and David- | | Jan Jansen | The communication policy of the European Central Bank: An overview of the first decade (Netherlands Bank DNB Working Papers 212, Jun 2009) | Full text |
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| Alan S. Blinder, Michael Ehrmann, Marcel Fratzscher, Jakob de Haan and David- | | Jan Jansen | Central Bank Communication and Monetary Policy: A Survey of Theory and Evidence (Netherlands Bank DNB Working Papers 170, Apr 2008) | Full text |
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| David- | | Jan Jansen and Jakob de Haan | The Importance of Being Vigilant: Has ECB Communication Influenced Euro Area Inflation Expectations? (Netherlands Bank DNB Working Papers 148, Oct 2007) | Full text |
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| David- | | Jan Jansen and Jakob de Haan | Is a Word to the Wise Indeed Enough? ECB Statements and the Predictibility of Interest Rate Decisions (Netherlands Bank DNB Working Papers 075, Dec 2005) | Full text |
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| | Jan J. J. Groen and George Kapetanios | Parsimonious Estimation with Many Instruments (New York Fed Staff reports 386, Aug 2009) | Abstract Full text |
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| | Jan J. J. Groen and George Kapetanios | Model Selection Criteria for Factor-Augmented Regressions (New York Fed Staff reports 363, Feb 2009) | Abstract Full text |
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| | Jan J. J. Groen and George Kapetanios | Revisiting Useful Approaches to Data-Rich Macroeconomic Forecasting (New York Fed Staff reports 327, May 2008) | Abstract Full text |
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| | Jan J. J. Groen and Paolo A. Pesenti | Commodity Prices, Commodity Currencies,and Global Economic Developments (New York Fed Staff reports 387, Aug 2009) | Abstract Full text |
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| | Jan J. J. Groen, Richard Paap and Francesco Ravazzolo | Real-time inflation forecasting in a changing world (Central Bank of Norway Working Papers 2009/16, 24 Aug 2009) | Abstract
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| | Jan J. J. Groen, Richard Paap, and Francesco Ravazzolo | Real-Time Inflation Forecasting in a Changing World (New York Fed Staff reports 388, Aug 2009) | Abstract Full text |
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| Leo de Haan and | | Jan Kakes | Momentum or Contrarian Investment Strategies:Evidence from Dutch institutional investors (Netherlands Bank DNB Working Papers 242, Feb 2010) | Full text |
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| Leo de Haan and | | Jan Kakes | Are non-risk based capital requirements for insurance companies binding? (Netherlands Bank DNB Working Papers 145, Aug 2007) | Full text |
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| | Jan Kakes | Financial behaviour of Dutch pension funds: a disaggregated approach (Netherlands Bank DNB Working Papers 108, Aug 2006) | Full text |
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| | Jan Kakes and Jasper de Winter | Preferences for redistribution in the Netherlands (Netherlands Bank DNB Working Papers 179, Sep 2008) | Full text |
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| João Valle e Azevedo, Siem | | Jan Koopman, António Rua | Tracking Growth and the Business Cycle: a Stochastic Common Cycle Model for the Euro Area (Bank of Portugal Working papers 200316, May 2003) | Abstract Full text |
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| | Jan Marc Berk and Beata Bierut | Communication in a monetary policy committee: a note (Netherlands Bank DNB Working Papers 226, Nov 2009) | Full text |
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| | Jan Marc Berk and Gerbert Hebbink | The anchoring of European inflation expectations (Netherlands Bank DNB Working Papers 116, Oct 2006) | Full text |
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| | Jan Marc Berk and Job Swank | Regional real exchange rates and Phillips curves in monetary unions - Evidence from the US and EMU (Netherlands Bank DNB Working Papers 147, Sep 2007) | Full text |
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| | Jan Marc Berk en Beata Bierut | Monetary Policy Committees: meetings and outcomes (Netherlands Bank DNB Working Papers 184, Nov 2008) | Full text |
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| | Jan Marc Berk, Beata K. Bierut | Monetary Policy Committees: meetings and outcomes (European Central Bank Working papers 1070, 16 Jul 2009) | Full text |
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| Cees Ullersma, | | Jan Marc Berk, Bryan Chapple | Money Rules (Netherlands Bank DNB Working Papers 096, Apr 2006) | Full text |
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| Olesen, | | Jan Overgaard | En forbrugsrelation for husholdningerne (Danmarks Nationalbank Working papers WP51/2008, 08 Apr 2008) | Abstract Full text |
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| Olesen, | | Jan Overgaard; Pedersen, Erik Haller | En opgørelse af boligformuen (Danmarks Nationalbank Working papers WP37/2006, 09 May 2006) | Abstract Full text |
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| Kamil Galušcák and | | Jan Pavel | Unemployment and Inactivity Traps in the Czech Republic: Incentive Effects of Policies (Czech National Bank Working papers 2007/09, Jul 2007) | Abstract
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| Michael Sturm, | | Jan Strasky, Petra Adolf and Dominik Peschel | The Gulf Cooperation Council countries - economic structures, recent developments and role in the global economy (European Central Bank Occasional papers 092, Jul 2008) | Full text |
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| Maurizio Michael Habib and | | Jan Stráský | Oil exporters: in search of an external anchor (European Central Bank Working papers 0958, Nov 2008) | Full text |
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| John Y. Campbell, Jens Hilscher, | | Jan Szilagyi | In search of distress risk (Deutsche Bundesbank Discussion Papers 200527, 12 Sep 2005) | Full text |
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| | Jan Toporowski | Open market operations: beyond the new consensus (Bank of Finland Discussion Papers 2006/14, 31 Jan 2006) | Abstract Full text |
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| Gunnar Bårdsen, Jurgen Doornik and | | Jan Tore Klovland | A European-type wage equation from an American-style labor market: Evidence from a panel of Norwegian manufacturing industries in the 1930s (Central Bank of Norway Working Papers 2004/04, Apr 2004) | |
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| Peter Heemeijer, Cars Hommes, Joep Sonnemans and | | Jan Tuinstra | Inflation Expectations and Stability in an Overlapping Generations Experiment with Money Creation (Netherlands Bank DNB Working Papers 241, Feb 2010) | Full text |
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| Ben Bode and | | Jan Van Dalen | The cost of private transportation in the Netherlands (European Central Bank Working papers 0134, Mar 2002) | Full text |
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| Kevin X.D. Huang and | | Jan Werner | Implementing Arrow-Debreu Equilibria by Trading Infinitely-Lived Securities (Kansas City Fed Working Papers RWP02-08, Dec 2002) | Abstract Full text |
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| | Jan Willem van den End | Liquidity Stress-Tester: A macro model for stress-testing banks' liquidity risk (Netherlands Bank DNB Working Papers 175, May 2008) | Full text |
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| | Jan Willem van den End | Indicator and boundaries of financial stability (Netherlands Bank DNB Working Papers 097, Apr 2006) | Full text |
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| | Jan Willem van den End and Mostafa Tabbae | When liquidity risk becomes a macro-prudential issue: Empirical evidence of bank behaviour (Netherlands Bank DNB Working Papers 230, Dec 2009) | Full text |
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| Loriano Mancini, Angelo Ranaldo and | | Jan Wrampelmeyer | Liquidity in the Foreign Exchange Market: Measurement, Commonality, and Risk Premiums (Swiss National Bank Working Papers 2010-03, 26 Feb 2010) | Full text |
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| Vladimír Benácek, Ladislav Prokop, | | Jan Á. Víšek | Determining factors of the Czech foreign trade balance: Structural Issues in Trade Creation (Czech National Bank Working papers 2003/03, 2003) | Abstract
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| | Jana Eklund and Sune Karlsson | Forecast combination and model averaging using predictive measures (Sveriges Riksbank Working Papers 191, 12 Oct 2005) | Abstract Full text |
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| Alastair Cunningham, | | Jana Eklund, Christopher Jeffery, George Kapetanios and Vincent Labhard | A state space approach to extracting the signal from uncertain data (Bank of England Working papers 336, Nov 2007) | Abstract Full text |
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| | Jana Eklund, Sune Karlsson | Computational Efficiency in Bayesian Model and Variable Selection (Central Bank of Iceland Working Papers 35, May 2007) | Abstract
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| | Jana Eklund, Sune Karlsson | An Embarrassment of Riches: Forecasting Using Large Panels (Central Bank of Iceland Working Papers 34, May 2007) | Abstract
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| Gabor P. Kiss, Tomasz Jedrzejowicz, | | Jana Jirsakova | How to measure tax burden in an internationally comparable way? (National Bank of Poland Working papers 056, Mar 2009) | Full text |
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| | Jana Kremer, Claudia Rodrigues Braz, Teunis Brosens, Geert Langenus, Sandro Momigliano, Mikko Spolander | A disaggregated framework for the analysis of structural developments in public finances (Deutsche Bundesbank Discussion Papers 200605, 21 Feb 2006) | Full text |
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| | Jana Kremer, Cláudia Braz, Teunis Brosens, Geert Langenus, Sandro Momigliano, Mikko Spolander | A disaggregated framework for the analysis of structural developments in public finances (Bank of Portugal Working papers 200607, Feb 2006) | Abstract Full text |
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| | Jana Kremer, Cláudia Rodrigues Braz, Teunis Brosens, Geert Langenus | A disaggregated framework for the analysis of structural developments in public finances (European Central Bank Working papers 0579, Jan 2006) | Full text |
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| Richard Morris, Francisco de Castro Fernández, Steven Jonk, | | Jana Kremer, Suzanne Linehan, Maria Rosaria Marino, Christophe Schalck, Olegs Tkacevs, | Explaining government revenue windfalls and shortfalls: an analysis for selected EU countries, (European Central Bank Working papers 1114, 30 Nov 2009) | Full text |
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Ivan Baboucek and Martin | | Jancar | Effects of Macroeconomic Shocks to the Quality of the Aggregate Loan Portfolio (Czech National Bank Working papers 2005/01, 2005) | Abstract
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Thomas Breuer, Martin | | Jandacka, Klaus Rheinberger and Martin Summer | How to find plausible, severe, and useful stress scenarios (Austrian National Bank Working Papers WP150, 05 Feb 2009) | Abstract Full text |
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| by Thomas Breuer, Martin | | Jandacka, Klaus Rheinberger, and Martin Summer | How to Find Plausible, Severe, and Useful Stress Scenarios (IJCB International Journal of Central Banking 09q3a7, Sep 2009) | Abstract Full text |
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| Thomas Breuer, Martin | | Jandacka, Klaus Rheinberger, Martin Summer | Regulatory capital for market and credit risk interaction: is current regulation always conservative? (Deutsche Bundesbank Banking Supervision Discussion Papers 200814, Jun 2008) | Full text |
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| | Jane Dokko, Brian Doyle, Michael T. Kiley, Jinill Kim, Shane Sherlund, Jae Sim, and Skander Van den Heuvel | Monetary Policy and the Housing Bubble (Federal Reserve Board FEDS series 2009-49, Dec 2009) | Abstract Full text |
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| | Jane E. Ihrig; Mario Marazzi; Alexander D. Rothenberg | Exchange-Rate Pass-Through in the G-7 Countries (Federal Reserve Board International Financial Discussion Papers 2006-851, Jan 2006) | Abstract Full text |
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| | Jane Haltmaier | Predicting Cycles in Economic Activity (Federal Reserve Board International Financial Discussion Papers 2008-926, Apr 2008) | Abstract Full text |
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| Scott Baier, Mark Clements, Charles Griffiths, and | | Jane Ihrig | Biofuels Impact on Crop and Food Prices: Using an Interactive Spreadsheet (Federal Reserve Board International Financial Discussion Papers 2009-967, Mar 2009) | Abstract
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| | Jane Ihrig; David Prior | The Effect of Exchange Rate Fluctuations on Multinationals' Returns (Federal Reserve Board International Financial Discussion Papers 2003-782, Oct 2003) | Abstract Full text |
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| | Jane Ihrig; Jaime Marquez | An Empirical Analysis of Inflation in OECD Countries (Federal Reserve Board International Financial Discussion Papers 2003-765, May 2003) | Abstract Full text |
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| | Jane Ihrig, Jaime Marquez | Modeling Direct Investment Valuation Adjustments and Estimating Quarterly Positions (Federal Reserve Board International Financial Discussion Papers 2006-857, Apr 2006) | Abstract Full text |
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| | Jane Ihrig, Steven B. Kamin, Deborah Lindner, and Jaime Marquez | Some Simple Tests of the Globalization and Inflation Hypothesis (Federal Reserve Board International Financial Discussion Papers 2007-891, Apr 2007) | Abstract Full text |
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| Katharine Bradbury and | | Jane Katz | Trends in U.S. Family Income Mobility, 1967-2004 (Boston Fed Working papers 09-07, Sep 2009) | Abstract Full text |
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| Katharine Bradbury and | | Jane Katz | The Responsiveness of Married Women's Labor Force Participation to Income and Wages: Recent Changes and Possible Explanations (Boston Fed Working papers 08-07, Dec 2008) | Abstract Full text |
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| | Jane K. Dokko | The Effect of Taxation on Lifecycle Labor Supply: Results from a Quasi-Experiment (Federal Reserve Board FEDS series 2008-24, May 2008) | Abstract Full text |
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| Michael S. Barr and | | Jane K. Dokko | Paying to Save: Tax Withholding and Asset Allocation Among Low- and Moderate-Income Taxpayers (Federal Reserve Board FEDS series 2008-11, Mar 2008) | Abstract
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| | Jane K. Dokko | Does the NEA Crowd Out Private Charitable Contributions to the Arts? (Federal Reserve Board FEDS series 2008-10, Mar 2008) | Abstract
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| Michael S. Barr, | | Jane K. Dokko, and Benjamin J. Keys | And Banking for All? (Federal Reserve Board FEDS series 2009-34, Aug 2009) | Abstract Full text |
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| Björn Hagströmer, Richard G. Anderson, | | Jane M. Binner, and Birger Nilsson | Dynamics in Systematic Liquidity (St Louis Fed Working Papers 2009-025, May 2009) | Abstract Full text |
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| | Jane M. Binner, Peter Tino, Jonathan Tepper, Richard G. Anderson, Barry Jones, and Graham Kendall | Does Money Matter in Inflation Forecasting? (St Louis Fed Working Papers 2009-030, Jun 2009) | Abstract Full text |
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| Björn Hagströmer, Richard G. Anderson, | | Jane M. Binner, Thomas Elger, and Birger Nilsson | Mean-Variance vs. Full-Scale Optimization: Broad Evidence for the UK (St Louis Fed Working Papers 2007-016, Apr 2007) | Full text |
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| | Jane T. Haltmaier, Shaghil Ahmed, Brahima Coulibaly, Ross Knippenberg, Sylvain Leduc, Mario Marazzi, and Beth Anne Wilson | The Role of China in Asia: Engine, Conduit, or Steamroller? (Federal Reserve Board International Financial Discussion Papers 2007-904, Sep 2007) | Abstract Full text |
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Stefan Gerlach and | | Janet Kong | Money and Inflation in China (Hong Kong Monetary Authority Working Papers RM2005-04, Mar 2005) | Full text |
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| Hans Degryse, Nancy Masschelein, | | Janet Mitchell | Staying, dropping, or switching: the impacts of bank mergers on small firms (National Bank of Belgium Working Papers 179, 23 Oct 2009) | Abstract
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| Ingo Fender, | | Janet Mitchell | Incentives and trance retention in securitisation: a screening model (National Bank of Belgium Working Papers 177, 16 Oct 2009) | Abstract
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| Johan Devriese and | | Janet Mitchell | Liquidity risk in securities settlement (National Bank of Belgium Working Papers 072, 26 Jul 2005) | Abstract Full text |
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| | Janet Mitchell | Financial Intermediation Theory and Implications for the Sources of Value in Structured Finance Markets (National Bank of Belgium Working Papers 071, 26 Jul 2005) | Abstract Full text |
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| Hans Degryse, Nancy Masschelein and | | Janet Mitchell | SMEs and Bank Lending Relationships: the Impact of Mergers (National Bank of Belgium Working Papers 046, May 2004) | Full text |
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| Ingo Fender and | | Janet Mitchell | The future of securitisation: how to align incentives? (Bank for International Settlements Quarterly Review 0909e, 14 Sep 2009) | Abstract Full text |
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| Ingo Fender and | | Janet Mitchell | Structured finance: complexity, risk and the use of ratings (Bank for International Settlements Quarterly Review 0506f, Jun 2005) | Abstract Full text |
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| Ingo Fender and | | Janet Mitchell | Incentives and tranche retention in securitisation: a screening model (Bank for International Settlements Working papers 289, Sep 2009) | Abstract Full text |
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| | Janet Mitchell, Patrick Van Roy | Failure prediction models: performance, disagreements, and internal rating systems (National Bank of Belgium Working Papers 123, 13 Dec 2007) | Abstract Full text |
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Jacob Bikker and | | Janko Gorter | Performance of the Dutch non-life insurance industry: competition, efficiency and focus (Netherlands Bank DNB Working Papers 164, Jan 2008) | Full text |
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| | Janko Gorter and Paul Schilp | Determinants of consumer financial risktaking:Evidence from deductible choice (Netherlands Bank DNB Working Papers 238, Jan 2010) | Full text |
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| | Janko Gorter, Jan Jacobs and Jakob de Haan | Taylor Rules for the ECB using Consensus Data (Netherlands Bank DNB Working Papers 160, Dec 2007) | Full text |
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Eugene Amromin, Carrie | | Jankowski, Richard Porter | Transforming Payment Choices by Doubling Fees on the Illinois Tollway (Chicago Fed Working papers WP-2006-16, Nov 2006) | Abstract Full text |
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Stephan | | Jank, Michael Wedow | Sturm und Drang in money market funds: when money market funds cease to be narrow (Deutsche Bundesbank Banking Supervision Discussion Papers 200820, Dec 2008) | Full text |
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Damgaard, | | Jannick and Laursen, Mathies Lau Friis and Wederkinck, Robert | Forecasting Direct Investment Equity Income for the Danish Balance of Payments (Danmarks Nationalbank Working papers WP65/2010, 12 Feb 2010) | Abstract Full text |
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Marcio M. | | Janot, Márcio G. P. Garcia and Walter Novaes | Balance Sheet Effects in Currency Crises: Evidence from Brazil (Central Bank of Brazil Working Papers 162, Apr 2008) | Abstract Full text |
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Eilev S. | | Jansen | Modelling inflation in the euro area (European Central Bank Working papers 0322, Mar 2004) | Full text |
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| Christopher Bowdler and Eilev S. | | Jansen | A markup model of inflation for the euro area (European Central Bank Working papers 0306, Feb 2004) | Full text |
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| David-Jan | | Jansen | Has the Clarity of Humphrey-Hawkins Testimonies Affected Volatility in Financial Markets? (Netherlands Bank DNB Working Papers 185, Nov 2008) | Full text |
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| Jakob de Haan and David-Jan | | Jansen | The communication policy of the European Central Bank: An overview of the first decade (Netherlands Bank DNB Working Papers 212, Jun 2009) | Full text |
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| Alan S. Blinder, Michael Ehrmann, Marcel Fratzscher, Jakob de Haan and David-Jan | | Jansen | Central Bank Communication and Monetary Policy: A Survey of Theory and Evidence (Netherlands Bank DNB Working Papers 170, Apr 2008) | Full text |
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| Henrik Andersen, Sigbjørn Atle Berg and Eilev S. | | Jansen | The dynamics of operating income in the Norwegian banking sector (Central Bank of Norway Working Papers 2008/13, 21 Aug 2008) | Abstract
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| Eilev S. | | Jansen | Modelling inflation in the Euro Area (Central Bank of Norway Working Papers 2004/10, Sep 2004) | |
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| Christopher Bowdler and Eilev S. | | Jansen | Testing for a time-varying price-cost markup in the Euro area inflation process (Central Bank of Norway Working Papers 2004/09, Aug 2004) | |
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| James Costain and Marcel | | Jansen | Employment fluctuations with downward wage rigidity: the role of moral hazard (Bank of Spain Working Papers 0632, Nov 2006) | Abstract Full text |
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| W. Jos | | Jansen and Ad C.J. Stokman | Foreign direct investment and international business cycle comovement (European Central Bank Working papers 0401, Oct 2004) | Full text |
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| David-Jan | | Jansen and Jakob de Haan | The Importance of Being Vigilant: Has ECB Communication Influenced Euro Area Inflation Expectations? (Netherlands Bank DNB Working Papers 148, Oct 2007) | Full text |
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| David-Jan | | Jansen and Jakob de Haan | Is a Word to the Wise Indeed Enough? ECB Statements and the Predictibility of Interest Rate Decisions (Netherlands Bank DNB Working Papers 075, Dec 2005) | Full text |
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| Juan J. Dolado, Marcel | | Jansen and Juan F. Jimeno | On the job search in a matching model with heterogeneous jobs and workers (698 KB (Bank of Spain Working Papers 0813, Jul 2008) | Abstract Full text |
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| Juan J. Dolado, Marcel | | Jansen and Juan F. Jimeno | Dual employment protection legislation: a framework for analysis (Bank of Spain Working Papers 0510, May 2005) | Abstract Full text |
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| Gunnar Bårdsen, Eilev S. | | Jansen and Ragnar Nymoen | Testing the new Keynesian Phillips curve (Central Bank of Norway Working Papers 2002/05, May 2002) | |
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Mikael Apel and Per | | Jansson | Some Further Evidence on Interest-Rate Smoothing: The Role of Measurement Errors in the Output Gap (Sveriges Riksbank Working Papers 178, 01 Mar 2005) | Abstract Full text |
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| Claes Berg , Per | | Jansson and Anders Vredin | How Useful are Simple Rules for Monetary Policy? The Swedish Experience (Sveriges Riksbank Working Papers 169, 01 Aug 2004) | Abstract Full text |
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| Per | | Jansson and Anders Vredin | Forecast-based monetary policy in Sweden 1992-1998: A view from within (Sveriges Riksbank Working Papers 120, 01 Feb 2001) | Abstract Full text |
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| Tor Jacobson , Per | | Jansson , Anders Vredin and Anders Warne | Identifying the Effects of Monetary Policy Shocks in an Open Economy (Sveriges Riksbank Working Papers 134, 01 May 2002) | Abstract Full text |
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| Jesper Hansson, Per | | Jansson , Mårten Löf | Business Survey Data: Do They Help in Forecasting the Macro Economy? (Sveriges Riksbank Working Papers 151, 01 Sep 2003) | Abstract Full text |
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Martin Brown, Tullio | | Jappelli and Marco Pagano | Information Sharing and Credit: Firm-Level Evidence from Transition CountriesForthcoming in: Journal of Financial Intermediation (Swiss National Bank Working Papers 2007-15, 2007) | Abstract
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Valentín Délano, Felipe | | Jaque | Sovereign Spreads: Do International Investors Differenciate among Emerging Markets? (Central Bank of Chile Working Papers 332, Sep 2005) | Abstract Full text |
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| José De Gregorio, Hermann González, Felipe | | Jaque | US Dollar Fluctuations, Copper Price and Terms of Trade (Central Bank of Chile Working Papers 310, Feb 2005) | Abstract Full text |
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| Felipe | | Jaque | Emerging Market Economies: The Aftermath of Volatility Contagion in a Selection of Three Financial Crises (Central Bank of Chile Working Papers 305, Dec 2004) | Abstract Full text |
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| | Jaqueline Terra Moura Marins and Eduardo Saliby | Credit Risk Monte Carlos Simulation Using Simplified Creditmetrics' Model: the joint use of importance sampling and descriptive sampling (Central Bank of Brazil Working Papers 132, Mar 2007) | Abstract Full text |
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| | Jaqueline Terra Moura Marins, Eduardo Saliby and Joséte Florencio do Santos | Out-Of-The_Money Monte Carlo Simulation Option Pricing: the join use of Importance Sampling and Descriptive Sampling (Central Bank of Brazil Working Papers 116, Sep 2006) | Abstract Full text |
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Rodrigo Alfaro, Helmut Franken, Carlos García, Alejandro | | Jara | Bank Lending Channel and the Monetary Transmission Mechanism: the Case of Chile (Central Bank of Chile Working Papers 223, Aug 2003) | Abstract Full text |
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| Rodrigo Fuentes, Alejandro | | Jara , Klaus Schmidt-Hebbel, Matías Tapia, Erika Arraño | Effects of the Nominalization of Monetary Policy in Chile (Central Bank of Chile Working Papers 197, Jan 2003) | Abstract Full text |
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Patricio | | Jaramillo | Estimación de Var Bayesianos para la Economía Chilena (Central Bank of Chile Working Papers 508, Dec 2008) | Abstract Full text |
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| Rodrigo Aranda; Patricio | | Jaramillo | Nonlinear Dynamic in the Chilean Stock Market: Evidence from Returns and Trading Volume (Central Bank of Chile Working Papers 463, Apr 2008) | Abstract Full text |
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| Sergio Lehmann, David Moreno, Patricio | | Jaramillo | China, Commoditie Prices and Latin American Performance:A Few Stylized Facts (Central Bank of Chile Working Papers 424, Aug 2007) | Abstract Full text |
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| Roberto Álvarez; Patricio | | Jaramillo; Jorge Selaive | Exchange Rate Pass-Through into Import Prices: The Case of Chile (Central Bank of Chile Working Papers 465, Apr 2008) | Abstract Full text |
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| Patricio | | Jaramillo; Juan Carlos Piantini | Multimodality Test and Mixture Distributions: An Application to the Central Bank Expectation Surve (Central Bank of Chile Working Papers 489, Oct 2008) | Abstract Full text |
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| Carlos García, Patricio | | Jaramillo, Jorge Selaive | Stylized Facts of International Business Cycle Relevant for the Chilean Economy (Central Bank of Chile Working Papers 392, Dec 2006) | Abstract Full text |
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| Patricio | | Jaramillo, Jorge Selaive | Speculative Activity and Copper Price (Central Bank of Chile Working Papers 384, Dec 2006) | Abstract Full text |
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Alejandro | | Jara, Ramon Moreno and Camilo E Tovar | The global crisis and Latin America: financial impact and policy responses (Bank for International Settlements Quarterly Review 0906f, 08 Jun 2009) | Abstract Full text |
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Caroline | | JARDET | Term Structure Anomalies: Term Premium or Peso problem? (Bank of France Working Papers Nr 143, May 2006) | Abstract Full text |
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| Julien Idier, caroline | | Jardet and Aymeric de Loubens | Determinants of long-term interest rates in the United States and the euro area: A multivariate approach (Bank of France Working Papers Nr 170, Jun 2007) | Abstract Full text |
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| Caroline | | Jardet and Gaëlle Le Fol | Euro money market interest rates dynamics and volatility: How they respond to recent changes in the operational framework. (Bank of France Working Papers Nr 167, May 2007) | Abstract Full text |
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| Caroline | | Jardet, Alain Monfort and Fulvio Pegoraro | New Information Response Functions. (Bank of France Working Papers Nr 235, Jun 2009) | Abstract Full text |
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| Caroline | | Jardet, Alain Monfort et Fulvio Pegoraro | No-arbitrage Near-Cointegrated VAR(p) Term Structure Models, Term Premia and GDP Growth. (Bank of France Working Papers Nr 234, Jun 2009) | Abstract Full text |
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| Sanvi Avouyi-Dovi, Mireille Bardos, Caroline | | Jardet, Ludovic Kendaoui and Jérémy Moquet | Macro stress testing with a macroeconomic credit risk model: Application to the French manufacturing sector. (Bank of France Working Papers Nr 238, Jun 2009) | Abstract Full text |
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| | Jared J Enzler, Christopher W Murphy, Ng Heng Tiong, Angela Phang and Edward Robinson | Two Decades of Macromodelling at the MAS (Monetary Authority of Singapore Staff Papers No. 39, Jul 2005) | Abstract Full text |
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Jamie Hall and | | Jarkko Jääskelä | Inflation Volatility and Forecast Accuracy (Reserve Bank of Australia Research Discussion Papers RDP2009-06, Oct 2009) | Abstract Full text |
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| | Jarkko Jääskelä | More Potent Monetary Policy? Insights from a Threshold Model (Reserve Bank of Australia Research Discussion Papers RDP2007-07, Jul 2007) | Abstract Full text |
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| | Jarkko Jääskelä and Kristoffer Nimark | A Medium-scale Open Economy Model of Australia (Reserve Bank of Australia Research Discussion Papers RDP2008-07, Dec 2008) | Abstract Full text |
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| | Jarkko Jääskelä and Mariano Kulish | The Butterfly Effect of Small Open Economies (Reserve Bank of Australia Research Discussion Papers RDP2007-06, Jun 2007) | Abstract Full text |
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| Charlotta Groth, | | Jarkko Jääskelä and Paolo Surico | Fundamental inflation uncertainty (Bank of England Working papers 309, Oct 2006) | Abstract Full text |
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| Almut Balleer, Ramón Gómez-Salvador, | | Jarkko Turunen | Labour force participation in the euro area: a cohort based analysis (European Central Bank Working papers 1049, 11 May 2009) | Full text |
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| Guido Schwerdt and | | Jarkko Turunen | Growth in euro area labour quality (European Central Bank Working papers 0575, Jan 2006) | Full text |
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| Anna Sanz de Galdeano and | | Jarkko Turunen | Real wages and local unemployment in the euro area (European Central Bank Working papers 0471, Apr 2005) | Full text |
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| Tobias Blattner, Marco Catenaro, Michael Ehrmann, Rolf Strauch and | | Jarkko Turunen | The predictability of monetary policy (European Central Bank Occasional papers 083, Mar 2008) | Full text |
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| Ramon Gomez-Salvador, Alberto Musso, Marc Stocker and | | Jarkko Turunen | Labour productivity developments in the euro area (European Central Bank Occasional papers 053, Oct 2006) | Full text |
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| William T. Dickens, Lorenz Goette, Erica L. Groshen, Steinar Holden, Julian Messina, Mark E. Schweitzer, | | Jarkko Turunen, and Melanie E. Ward | How Wages Change: Micro Evidence from the International Wage Flexibility Project (Cleveland Fed Working papers 0620, 2006) | Full text |
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| William T. Dickens, Lorenz Goette, Erica L. Groshen, Steinar Holden, Julian Messina, Mark E. Schweitzer, | | Jarkko Turunen, Melanie E. Ward | How wages change: micro evicence from the International Wage Flexibility Project (National Bank of Belgium Working Papers 096, 12 Oct 2006) | Abstract Full text |
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| Julián Messina, Chiara Strozzi, | | Jarkko Turunen,, Journal of Economic Dynamics and Control (forthcoming) | Real wages over the business cycle: OECD evidence from the time and frequency domains (European Central Bank Working papers 1003, 19 Feb 2009) | Full text |
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Mikael Bask - | | Jarko Fidrmuc | Fundamentals and technical trading: behaviour of exchange rates in the CEECs (Bank of Finland Discussion Papers 2006/10, 31 Jan 2006) | Abstract Full text |
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| | Jarko Fidrmuc and Iikka Korhonen | The impact of the global financial crisis on business cycles in Asian emerging economies (Bank of Finland BOFIT Discussion Papers 2009/11, 03 Sep 2009) | Abstract Full text |
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| Matthieu Bussière, | | Jarko Fidrmuc, Bernd Schnatz | Trade Integration of Central and Eastern European Countries:Lessons from a Gravity Model (Austrian National Bank Working Papers WP105, 25 Oct 2005) | Abstract Full text |
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| | Jarko Fidrmuc, Iikka Korhonen | A meta-analysis of business cycle correlation between the euro area and CEECs: What do we know - and who cares? (Bank of Finland BOFIT Discussion Papers 2004/20, 05 Dec 2004) | Abstract Full text |
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| | Jarko Fidrmuc, Iikka Korhonen and Ivana Bátorová | China in the world economy: Dynamic correlation analysis of business cycles (Bank of Finland BOFIT Discussion Papers 2008/07, 15 Jun 2008) | Abstract Full text |
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Mark E. Doms, Ron S. | | Jarmin and Shawn D. Klimek | IT Investment and Firm Performance in U.S. Retail Trade (San Francisco Fed Working Papers 2003-19, Nov 2003) | Full text |
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| | Jarmo Pesola | Financial fragility, macroeconomic shocks and banks' loan losses: evidence from Europe (Bank of Finland Discussion Papers 2007/15, 09 Oct 2007) | Abstract Full text |
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| | Jarmo Pesola | Banking fragility and distress: An econometric study of macroeconomic determinants (Bank of Finland Discussion Papers 2005/13, 28 Sep 2005) | Abstract Full text |
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| | Jarmo Pesola | The role of macroeconomic shocks in banking crises. (Bank of Finland Discussion Papers 2001/06, 09 Sep 2001) | Abstract
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Marek | | Jarocinski | Responses to Monetary Policy Shocks in the East and the West of Europe: A Comparison (Austrian National Bank Working Papers WP124, 17 May 2006) | Abstract Full text |
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| Marek | | Jarocinski | Responses to monetary policy shocks in the east and the west of Europe: a comparison (European Central Bank Working papers 0970, Nov 2008) | Full text |
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| Antonio Ciccone and Marek | | Jarocinski | Determinants of economic growth: will data tell? (European Central Bank Working papers 0852, Jan 2008) | Full text |
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| Marek | | Jarocinski and Frank Smets | House Prices and the stance of Monetary Policy. (European Central Bank Working papers 0891, Apr 2008) | Full text |
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| | Jaromír Beneš and David Vávra | Eigenvalue filtering in VAR models with application to the Czech business cycle (European Central Bank Working papers 0549, Nov 2005) | Full text |
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| | Jaromír Beneš, Andrew Binning and Kirdan Lees | Incorporating judgement with DSGE models (Reserve Bank of New Zealand Discussion Papers DP2008/10, Jun 2008) | Abstract Full text |
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| | Jaromír Beneš, David Vávra | Eigenvalue decomposition of time series with application to the Czech business cycle (Czech National Bank Working papers 2004/08, 2004) | Abstract
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| | Jaromír Beneš, Tibor Hlédik, Michael Kumhof and David Vávra | An Economy in Transition and DSGE: What the Czech National Bank's New Projection Model Needs (Czech National Bank Working papers 2005/12, Dec 2005) | Abstract Full text |
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| Martin Cincibuch, Tomáš Holub, | | Jaromír Hurník | Central bank losses and economic convergence (Czech National Bank Working papers 2008/03, Oct 2008) | Abstract
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| Aleš Bulír and | | Jaromír Hurník | The Maastricht Inflation Criterion: 'Saints" and 'Sinners" (Czech National Bank Working papers 2006/08, 2006) | Abstract
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| Kamil Dybczak, Vladislav Flek, Dana Hájková and | | Jaromír Hurník | Supply-Side Performance and Structure in the Czech Republic (1995-2005) (Czech National Bank Working papers 2006/04, 2006) | Abstract
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| Katerina Arnoštová, | | Jaromír Hurník | The monetary transmission mechanism in the Czech Republic (evidence from VAR analysis) (Czech National Bank Working papers 2005/04, Dec 2005) | Abstract Full text |
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Arantxa | | Jarque | Repeated Moral Hazard with Effort Persistence (Richmond Fed Working Papers 08-04, Aug 2008) | Abstract Full text |
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| Hugo Hopenhayn, Arantxa | | Jarque | Moral Hazard and Persistence (Richmond Fed Working Papers 07-07, Dec 2007) | Abstract Full text |
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| | Jason Allen and Darcey McVanel | Price Movements in the Canadian Residential Mortgage Market (Bank of Canada Working papers 2009-13, Apr 2009) | Abstract Full text |
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| | Jason Allen and Ying Liu | Efficiency and Economies of Scale of Large Canadian Banks (Bank of Canada Working papers 2005-13, May 2005) | Abstract Full text |
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| | Jason Allen, Allan W. Gregory, and Katsumi Shimotsu | Empirical Likelihood Block Bootstrapping (Bank of Canada Working papers 2008-18, Jun 2008) | Abstract Full text |
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| | Jason Allen, Robert Amano, David P. Byrne, and Allan W. Gregory | Canadian City Housing Prices and Urban Market Segmentation (Bank of Canada Working papers 2006-49, Dec 2006) | Abstract Full text |
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| | Jason Allen, Robert Clark, and Jean-François Houde | Market Structure and the Diffusion of E-Commerce: Evidence from the Retail Banking Industry (Bank of Canada Working papers 2008-32, Sep 2008) | Abstract Full text |
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| | Jason Allen, Walter Engert, and Ying Liu | Are Canadian Banks Efficient? A Canada-U.S. Comparison (Bank of Canada Working papers 2006-33, Sep 2006) | Abstract Full text |
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| | Jason Bram | New York City's Economy before and after September 11 (New York Fed Current issues ci09-02, Feb 2003) | Abstract Full text |
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| | Jason Bram and Alisdair McKay | The Evolution of Commuting Patterns in the New York City Metro Area (New York Fed Current issues ci11-10, Oct 2005) | Abstract Full text |
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| | Jason Bram and James Orr | Taking the Pulse of the New York City Economy (New York Fed Current issues ci12-04, 00 May 6) | Abstract Full text |
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| | Jason Bram and Michael Anderson | Declining Manufacturing Employment in the New York-New Jersey Region: 1969-99 (New York Fed Current issues ci07-01, Jan 2001) | Abstract Full text |
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| | Jason Bram , Andrew Haughwout , and James Orr | Has September 11 Affected New York City's Growth Potential? (New York Fed Economic policy review 0211bram, Nov 2002) | Abstract Full text |
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| | Jason Bram , James Orr , and Carol Rapaport | Measuring the Effects of the September 11 Attack on New York City (New York Fed Economic policy review 0211rapa, Nov 2002) | Abstract Full text |
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| | Jason Bram, Andrew Haughwout, James Orr, Robert Rich, | The Linkage between Regional Economic Indexes and Tax Bases: Evidence from New York (New York Fed Staff reports 188, Jun 2004) | Abstract Full text |
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| | Jason Bram, Francisco E. Martínez, and Charles Steindel | Trends and Developments in the Economy of Puerto Rico (New York Fed Current issues ci14-02, Mar 2008) | Abstract Full text |
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| | Jason Bram, James Orr, and Rae Rosen | Employment in the New York-New Jersey Region:2008 Review and Outlook (New York Fed Current issues ci14-07, 0 Sep 10) | Abstract Full text |
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| | Jason Bram, James Orr, and Rae Rosen | Job Growth in New York and New Jersey: Mid-2007 Review and Outlook (New York Fed Current issues ci13-07, Aug 2007) | Abstract Full text |
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| | Jason Bram, James Orr, Robert Rich, Rae Rosen and Joseph Song | Is the Worst Over? Economic Indexes and the Course of the Recession in New York and New Jersey. (New York Fed Current issues ci15-05, 09 Sep 2009) | Abstract Full text |
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| Darrel Cohen and | | Jason Cummins | A Retrospective Evaluation of the Effects of Temporary Partial Expensing (Federal Reserve Board FEDS series 2006-19, Apr 2006) | Abstract Full text |
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| R. | | Jason Faberman | Revisiting the Role of Home Production in Life-Cycle Labor Supply (Philadelphia Fed Working Papers 10-3:, Feb 2010) | Full text |
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| R. | | Jason Faberman | Quits, Worker Recruitment, and Firm Growth: Theory and Evidence (Philadelphia Fed Working Papers 08-13, Sep 2008) | Full text |
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| R. | | Jason Faberman | Job Flows, Jobless Recoveries, and the Great Moderation (Philadelphia Fed Working Papers 08-11, Sep 2008) | Full text |
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| R. | | Jason Faberman | The Relationship Between the Establishment Age Distribution and Urban Growth (Philadelphia Fed Working Papers wp07-18, Aug 2007) | Full text |
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| Sarawan Angklomkliew, | | Jason George and Frank Packer | Issues and developments in loan loss provisioning: the case of Asia (Bank for International Settlements Quarterly Review 0912h, 07 Dec 2009) | Abstract Full text |
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| Stephen R. Bond and | | Jason G. Cummins | Uncertainty and Investment: An Empirical Investigation Using Data on Analysts' Profits Forecasts (Federal Reserve Board FEDS series 2004-20, Apr 2004) | Abstract Full text |
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| | Jason G. Cummins | A New Approach to the Valuation of Intangible Capital (Federal Reserve Board FEDS series 2004-17, Apr 2004) | Abstract Full text |
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| | Jason G. Cummins and Giovanni L. Violante | Investment-Specific Technical Change in the US (1947-2000): Measurement and Macroeconomic Consequences (Federal Reserve Board FEDS series 2002-10, Jan 2002) | Abstract Full text |
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| | Jason G. Cummins and Ingmar Nyman | The Dark Side of Competitive Pressure (Federal Reserve Board FEDS series 2002-43, Sep 2002) | Abstract Full text |
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| | Jason Henderson and Sean Moore | The Impact of Wildlife Recreation on Farmland Values (Kansas City Fed Working Papers RWP05-10, Dec 2005) | Abstract Full text |
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| Hui Guo, and | | Jason Higbee | Market Timing with Aggregate and Idiosyncratic Stock Volatilities (St Louis Fed Working Papers 2005-073, Dec 2005) | Full text |
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| Jian Wang and | | Jason J. Wu | The Taylor Rule and Interval Forecast for Exchange Rates (Federal Reserve Board International Financial Discussion Papers 2009-963, Jan 2009) | Abstract Full text |
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| | Jason Kotter and Ugur Lel | Friends or Foes? The Stock Price Impact of Sovereign Wealth Fund Investments and the Price of Keeping Secrets (Federal Reserve Board International Financial Discussion Papers 2008-940, Aug 2008) | Abstract Full text |
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| Khor Hoe Ee, Edward Robinson and | | Jason Lee | Managed Floating and Intermediate Exchange Rate Systems: The Singapore Experience (Monetary Authority of Singapore Staff Papers No. 37, Dec 2004) | Abstract Full text |
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| Linda S. Goldberg, Craig Kennedy, and | | Jason Miu | Central Bank Dollar Swap Lines and Overseas Dollar Funding Costs (New York Fed Staff reports 429, Jan 2010) | Abstract Full text |
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| Kabir Dutta and | | Jason Perry | 06-13 (Boston Fed Working papers 06-13, Jul 2006) | Abstract Full text |
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| Mark Carlson and | | Jason Steinman | Market Conditions and Hedge Fund Survival (Federal Reserve Board FEDS series 2008-28, Jun 2008) | Abstract Full text |
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| Charles Engel, Jian Wang and | | Jason Wu | Can Long-Horizon Forecasts Beat the Random Walk Under the Engel-West Explanation? (Dallas Fed Institute Working Papers 0036, Sep 2009) | Full text |
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Jan Kakes and | | Jasper de Winter | Preferences for redistribution in the Netherlands (Netherlands Bank DNB Working Papers 179, Sep 2008) | Full text |
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Aart Kraay, Norman Loayza, Luis Servén, | | Jaume Ventura | Country portfolios (Central Bank of Chile Working Papers 091, Apr 2001) | Abstract Full text |
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Subhayu Bandyopadhyay, and | | Javed Younas | Does Democracy Reduce Terrorism in Developing Nations? (St Louis Fed Working Papers 2009-023, May 2009) | Abstract Full text |
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| Subhayu Bandyopadhyay, Todd Sandler, and | | Javed Younas | Foreign Aid as Counterterrorism Policy (St Louis Fed Working Papers 2009-021, Apr 2009) | Abstract Full text |
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| | Javier Andrés and Fernando Restoy | Macroeconomic modelling in EMU (Bank of Spain Working Papers 0718, Jul 2007) | Abstract Full text |
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| | Javier Andrés and Rafael Doménech | Automatic stabilizers, fiscal rules and macroeconomic stability (Bank of Spain Working Papers 0314, 2003) | Abstract Full text |
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| | Javier Andrés and Óscar Arce | Banking competition, housing prices and macroeconomic stability (948 KB) (Bank of Spain Working Papers 0830, Jan 2008) | Abstract Full text |
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| | Javier Andrés, Eva Ortega and Javier Vallés | Market structure and inflation differentials in the European Monetary Union (Bank of Spain Working Papers 0301, 2003) | Abstract Full text |
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| | Javier Andrés, J. David López-Salido and Edward Nelson | Money and the natural rate of interest: structural estimates for the United States and the euro area (1.238 KB (Bank of Spain Working Papers 0805, Mar 2008) | Abstract Full text |
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| | Javier Andrés, J. David López-Salido and Edward Nelson | Sticky-Price Models and the Natural Rate Hypothesis (Bank of Spain Working Papers 0521, Aug 2005) | Abstract Full text |
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| | Javier Andrés, J. David López-Salido and Edward Nelson | Tobin´s imperfect asset substitution in optimizing general equilibrium (Bank of Spain Working Papers 0409, 2004) | Abstract Full text |
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| | Javier Andrés, J. David López-Salido and Javier Vallés | Money in an Estimated Business Cycle Model of the Euro Area (Bank of Spain Working Papers 0121, 2001) | Full text |
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| | Javier Andrés, J. David López-Salido, and Edward Nelson | Sticky-Price Models and the Natural Rate Hypothesis (St Louis Fed Working Papers 2005-018, Mar 2005) | Full text |
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| | Javier Andrés, J. David López-Salido and Edward Nelson | Tobin's Imperfect Asset Substitution in Optimizing General Equilibrium (St Louis Fed Working Papers 2004-003, Feb 2004) | Full text |
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| | Javier Andrés, Pablo Burriel and Ángel Estrada | BEMOD: a DSGE model for the Spanish economy and the rest of the Euro area (Bank of Spain Working Papers 0631, Dec 2006) | Abstract Full text |
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| | Javier Andrés, Rafael Doménech and Antonio Fatás | The stabilizing role of government size (Bank of Spain Working Papers 0710, May 2007) | Abstract Full text |
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| | Javier Andrés, Samuel Hurtado, Eva Ortega and Carlos Thomas | a general equilibrium analysis (Bank of Spain Working Papers 0927, Dec 2009) | Abstract Full text |
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| | Javier Andrés, Óscar Arce and Carlos Thomas | Banking competition, collateral constraints and optimal monetary policy (Bank of Spain Working Papers 1001, Feb 2010) | Abstract Full text |
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| | Javier Bianchi | Overborrowing and Systemic Externalities in the Business Cycle (Atlanta Fed Working papers 2009-24, Sep 2009) | Abstract Full text |
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| | Javier Coto-Martínez, Carlos Garriga, and Fernando Sánchez-Losada | Optimal Taxation with Imperfect Competition and Aggregate Returns to Specialization (St Louis Fed Working Papers 2007-036, Aug 2007) | Full text |
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| Andrew Benito, Francisco | | Javier Delgado and Jorge Martínez Pagés | A synthetic indicator of financial pressure for spanish firms (Bank of Spain Working Papers 0411, 2004) | Abstract Full text |
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| | Javier Delgado, Ignacio Hernando and María J. Nieto | Do european primarily internet banks show scale and experience efficiencies? (Bank of Spain Working Papers 0412, 2004) | Abstract Full text |
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| | Javier Delgado, Vicente Salas and Jesús Saurina | The joint size and ownership specialization in banks' lending (Bank of Spain Working Papers 0606, Apr 2006) | Abstract Full text |
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| | Javier Días-Giménez, Giorgia Giovannetti, Ramon Marimon, Pedro Teles | Nominal Debt as a Burden on Monetary Policy (Bank of Portugal Working papers 200606, Feb 2006) | Abstract Full text |
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| Carmen Broto, | | Javier Díaz-Cassou and Aitor Erce-Domínguez | Measuring and explaining the volatility of capital flows towards emerging countries (621 KB) (Bank of Spain Working Papers 0817, Sep 2008) | Abstract Full text |
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| | Javier Díaz-Cassou, Alicia García-Herrero and Luis Molina | What kind of capital flows does the IMF catalyze and when? (Bank of Spain Working Papers 0617, Aug 2006) | Abstract Full text |
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| | Javier Díaz-Giménez, Giorgia Giovannetti, Ramon Marimon, Pedro Teles | Nominal Debt as a Burden on Monetary Policy (Chicago Fed Working papers WP-2004-10 , Aug 2004) | Abstract Full text |
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| | Javier Huerga and Lucia Steklacova | An application of index numbers theory to interest rates (European Central Bank Working papers 0939, Sep 2008) | Full text |
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| Martín Redrado, Jorge Carrera, Diego Bastourre, | | Javier Ibarlucia | The economic policy of foreign reserve accumulation: new international evidence. (Central Bank of Argentina Working Papers 2006/13, Dec 2006) | Full text |
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| Martín Redrado, Jorge Carrera, Diego Bastourre, | | Javier Ibarlucía . | Financialization of Commodity Markets: Nonlinear (Central Bank of Argentina Working Papers 2009/44, Nov 2009) | Full text |
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| Joan Paredes, Diego J. Pedregal, | | Javier J. Pérez, | A quarterly fiscal database for the euro area based on intra-annual fiscal information, (European Central Bank Working papers 1132, 11 Dec 2009) | Full text |
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| Pablo Burriel, Francisco de Castro Fernández, Daniel Garrote, Esther Gordo, Joan Paredes, | | Javier J. Pérez, | Fiscal policy shocks in the euro area and the US: an empirical assessment, (European Central Bank Working papers 1133, 11 Dec 2009) | Full text |
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| Diego J. Pedregal and | | Javier J. Pérez | Should quarterly government finance statistics be used for fiscal surveillane in Europe? (European Central Bank Working papers 0937, Sep 2008) | Full text |
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| Teresa Leal, | | Javier J. Pérez | Fiscal forecasting: lessons from the literature and challenges (European Central Bank Working papers 0843, Dec 2007) | Full text |
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| | Javier J. Pérez | Early-warning tools to forecast general government deficit in the euro area: the role of intra-annual fiscal indicators (European Central Bank Working papers 0497, Jun 2005) | Full text |
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| | Javier J. Pérez and Paul Hiebert | Identifying endogenous fiscal policy rules for macroeconomic models (European Central Bank Working papers 0156, Jul 2002) | Full text |
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| | Javier J. Pérez, Jesús Sánchez, | Is there a signalling role for public wages? Evidence for the euro area based on macro data, (European Central Bank Working papers 1148, 21 Jan 2010) | Full text |
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| Gonzalo Fernàndez-de-Córdoba, | | Javier J. Pérez, José L. Torres | Public and private sector wages interactions in a general equilibrium model (European Central Bank Working papers 1099, 14 Oct 2009) | Full text |
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| Joan Paredes, Diego J. Pedregal and | | Javier J. Pérez | A quarterly fiscal database for the euro area based on intra-annual fiscal information (Bank of Spain Working Papers 0935, Jan 2009) | Abstract Full text |
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| Teresa Leal, Diego J. Pedregal and | | Javier J. Pérez | Short-term monitoring of the Spanish Government balance with mixed-frequencies models (Bank of Spain Working Papers 0931, Jan 2009) | Abstract Full text |
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| Pablo Burriel, Francisco de Castro, Daniel Garrote, Esther Gordo, Joan Paredes and | | Javier J. Pérez | an empirical assessment (Bank of Spain Working Papers 0930, Dec 2009) | Abstract Full text |
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| | Javier J. Pérez and A. Jesús Sánchez | Is there a signalling role for public wages? Evidence for the euro area based on macro data (Bank of Spain Working Papers 0934, Jan 2009) | Abstract Full text |
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| Gonzalo Fernández-de-Córdoba, | | Javier J. Pérez and José L. Torres | Public and private sector wages interactions in a general equilibrium mode (Bank of Spain Working Papers 0924, Oct 2009) | Abstract Full text |
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| Gabriel Jiménez and | | Javier Mencía | Modeling the distribution of credit losses with observable and latent factors (Bank of Spain Working Papers 0709, Apr 2007) | Abstract Full text |
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| | Javier Mencía and Enrique Sentana | Multivariate location-scale mixtures of normals and mean-variance-skewness portfolio allocation (1.129 KB) (Bank of Spain Working Papers 0909, Jun 2009) | Abstract Full text |
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| Ángel León, | | Javier Mencía and Enrique Sentana | Parametric properties of semi-nonparametric distributions, with applications to option valuation (Bank of Spain Working Papers 0707, Mar 2007) | Abstract Full text |
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| | Javier Mencía | Assessing the risk-return trade-off in loans portfolios (566 KB) (Bank of Spain Working Papers 0911, Jun 2009) | Abstract Full text |
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| | Javier Mencía and Enrique Sentana | Distributional tests in multivariate dynamic models with Normal and Student t innovations (Bank of Spain Working Papers 0929, Dec 2009) | Abstract Full text |
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| Alicia García Herrero, | | Javier Santillán, Sonsoles Gallego, Lucía Cuadro and Carlos Egea: | Latin American Financial Development in Perspective (Bank of Spain Working Papers 0216, 2002) | Full text |
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| Jordi Gali; J. David Lopez-Salido; | | Javier Valles | Understanding the Effects of Government Spending on Consumption (Federal Reserve Board International Financial Discussion Papers 2004-805, Apr 2004) | Abstract Full text |
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| Jordi Galí, David López-Salido and | | Javier Vallés | Understanding the effects of government spending on consumption (European Central Bank Working papers 0339, Apr 2004) | Full text |
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| J. David López Salido, Fernando Restoy and | | Javier Vallés | Inflation differentials in EMU: the Spanish case (Bank of Spain Working Papers 0514, Jun 2005) | Abstract Full text |
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| Robert-Paul Berben, Alberto Locarno, Julian Morgan and | | Javier Vallés | Cross-country differences in monetary policy transmission (Bank of Spain Working Papers 0502, Feb 2005) | Abstract Full text |
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| Jordi Galí , J. David López Salido and | | Javier Vallés | Understanding the effects of government spending on consumption (Bank of Spain Working Papers 0321, 2003) | Abstract Full text |
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| Jordi Galí , J. David López Salido and | | Javier Vallés | Rule-of-thumb consumers and the design of interest rate rules (Bank of Spain Working Papers 0320, 2003) | Abstract Full text |
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| Javier Andrés, Eva Ortega and | | Javier Vallés | Market structure and inflation differentials in the European Monetary Union (Bank of Spain Working Papers 0301, 2003) | Abstract Full text |
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| Javier Andrés, J. David López-Salido and | | Javier Vallés | Money in an Estimated Business Cycle Model of the Euro Area (Bank of Spain Working Papers 0121, 2001) | Full text |
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Owen F. Humpage and | | Javiera Ragnartz | Swedish Intervention and the Krona Float, 1993-2002 (Sveriges Riksbank Working Papers 192, 31 Mar 2006) | Abstract Full text |
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Matthew J. Clayton, | | Jay C. Hartzell, and Joshua V. Rosenberg | The Impact of CEO Turnover on Equity Volatility (New York Fed Staff reports 166, May 2003) | Abstract Full text |
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| | Jay Hong and José-Victor Ríos-Rull | Life Insurance and Household Consumption (Philadelphia Fed Working Papers wp04-10, Sep 2004) | Full text |
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| | Jay H. Bryson | Macroeconomic Stabilization through Monetary and Fiscal Policy Coordination: Implications for European Monetary Unions (Federal Reserve Board International Financial Discussion Papers 2008-453, Sep 1993) | Abstract
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| Yongsung Chang and | | Jay H. Hong | Do Technological Improvements in the Manufacturing Sector Raise or Lower Employment? (Philadelphia Fed Working Papers wp05-05, Mar 2005) | Full text |
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| Yongsung Chang, | | Jay H. Hong | Do Technological Improvements in the Manufacturing Sector Raise or Lower Employment? (Richmond Fed Working Papers 05-02, Apr 2005) | Abstract Full text |
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| Yongsung Chang, | | Jay H. Hong | On the Employment Effect of Technology: Evidence from U.S. Manufacturing for 1958-1996 (Richmond Fed Working Papers 03-06, Jul 2003) | Abstract Full text |
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| Raymond Kan, Cesare Robotti, and | | Jay Shanken | Pricing Model Performance and the Two-Pass Cross-Sectional Regression Methodology (Atlanta Fed Working papers 2009-11, Mar 2009) | Abstract Full text |
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Lucy F. Ackert, Bryan K. Church, and Narayanan | | Jayaraman | Circuit Breakers with Uncertainty about the Presence of Informed Agents: I Know What You Know . . . I Think (Atlanta Fed Working papers 2002-25, Dec 2002) | Abstract Full text |
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John T. Cuddington, Rodney Ludema, Shamila A | | Jayasuriya | Prebisch-Singer Redux (Central Bank of Chile Working Papers 140, Feb 2002) | Abstract Full text |
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Dong-Wook Yang and Seung- | | Je Hong | Bank Consolidation and Monetary Policy (The Bank of Korea Economic Papers 47, 13 Dec 2004) | Abstract Full text |
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| Seung- | | Je Hong and JeongHo Hahm | An Analysis of the Effect of North Korea's International and Inter-Korean Trade on Its Economic Growth (The Bank of Korea Economic Papers 61, 05 Sep 2005) | Abstract Full text |
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Farès, | | Jean | Does Micro Evidence Support the Wage Phillips Curve in Canada? (Bank of Canada Working papers 2002-4, Feb 2002) | Abstract
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| Farès, | | Jean and Gabriel Srour | The Monetary Transmission Mechanism at the Sectoral Level (Bank of Canada Working papers 2001-27, Dec 2001) | Abstract Full text |
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| Farès, | | Jean and Terence Yuen | Technological Change and the Education Premium in Canada: Sectoral Evidence (Bank of Canada Working papers 2003-18, Jul 2003) | Abstract Full text |
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| | Jean Barthélemy, Laurent Clerc and Magali Marx | A Two-Pillar DSGE Monetary Policy Model for the Euro Area. (Bank of France Working Papers Nr 219, Jul 2008) | Abstract Full text |
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| | Jean Barthélemy, Magali Marx and Aurélien Poissonnier | Trends and Cycles : an Historical Review of the Euro Area. (Bank of France Working Papers Nr 258, Nov 2009) | Abstract Full text |
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| | Jean Boivin and Marc Giannoni | Assessing Changes in the Monetary Transmission Mechanism: A VAR Approach (New York Fed Economic policy review 0205boiv, May 2002) | Full text |
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| | Jean Boivin and Marc Giannoni | Has Monetary Policy Become Less Powerful? (New York Fed Staff reports 144, Mar 2002) | Abstract Full text |
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| | Jean Boivin and Marc P. Giannoni | DSGE Models in a Data-Rich Environment (Bank of France Working Papers Nr 162, Jan 2007) | Abstract Full text |
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| | Jean Boivin and Serena Ng | Understanding and Comparing Factor-Based Forecasts (IJCB International Journal of Central Banking 05q4a4, Dec 2005) | Abstract Full text |
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| Ben S. Bernanke, | | Jean Boivin, and Piotr Eliasz | Measuring the Effects of Monetary Policy: A Factor-Augmented Vector Autoregressive (FAVAR) Approach (Federal Reserve Board FEDS series 2004-3, Jan 2004) | Abstract Full text |
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| | Jean Helwege and Frank Packer | Private matters (Bank for International Settlements Working papers 266, Dec 2008) | Abstract Full text |
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| | Jean Helwege and Nellie Liang | Initial Public Offerings in Hot and Cold Markets (Federal Reserve Board FEDS series 2003-4, Feb 2003) | Abstract Full text |
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| | Jean Helwege, Samuel Maurer, Asani Sarkar, and Yuan Wang | Credit Default Swap Auctions (New York Fed Staff reports 372, May 2009) | Abstract Full text |
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| Marcel Fratzscher and | | Jean Imbs | Risk sharing, finance and institutions in international portfolios (European Central Bank Working papers 0826, Oct 2007) | Full text |
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| | Jean Imbs | Aggregating Phillips curves (European Central Bank Working papers 0785, Jul 2007) | Full text |
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| Natalie Chen, | | Jean Imbs, Andrew Scott | The dynamics of trade and competition (National Bank of Belgium Working Papers 091, 12 Oct 2006) | Abstract Full text |
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| | Jean Marc Israël and Carlos Sánchez Muñoz | Towards harmonised balance of payments and international investment position statistics - the experience of the European compilers (European Central Bank Occasional papers 067, Jul 2007) | Full text |
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| | Jean Tay, Saktiandi Supaat, Shivani Tharmaratnam and Edward Robinson | Singapore's Balance of Payments, 1965 to 2003: An Analysis (Monetary Authority of Singapore Staff Papers No. 33, Aug 2004) | Abstract Full text |
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| Jean-Charles Rochet and | | Jean Tirole | Must-Take Cards and the Tourist Test (Netherlands Bank DNB Working Papers 127, Jan 2007) | Full text |
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Philippe | | Jeanfils | Imperfect exchange rate pass-through: the role of distribution services and variable demand elasticity (National Bank of Belgium Working Papers 135, 18 Aug 2008) | Abstract Full text |
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| Philippe | | Jeanfils | A guided tour of the world of rational expectations models and optimal policies (National Bank of Belgium Working Papers 016, Jun 2001) | Full text |
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| Philippe | | Jeanfils and Koen Burggraeve | Noname - A new quarterly model for Belgium (National Bank of Belgium Working Papers 068, 25 May 2005) | Abstract Full text |
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Fabrizio Balassone, Jorge Cunha, Geert Langenus, Bernhard Manzke, | | Jeanne Pavot | Fiscal sustainability and policy implications for the euro area (European Central Bank Working papers 0994, Jan 2009) | Full text |
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| Fabrizio Balassone, Jorge Cunha, Geert Langenus, Bernhard Manzke, | | Jeanne Pavot, Doris Prammer and Pietro Tommasino | Fiscal sustainability and policy implications for the euro area (Bank of France Working Papers Nr 225, Dec 2008) | Abstract Full text |
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| Fabrizio Balassone, Jorge Cunha, Geert Langenus, Bernhard Manzke, | | Jeanne Pavot, Doris Prammer, Pietro Tommasino | Fiscal sustainability and policy implications for the euro area (National Bank of Belgium Working Papers 155, 21 Jan 2009) | Abstract Full text |
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| Fabrizio Balassone, | | Jeanne Pavot, Jorge Cunha, Doris Prammer, Geert Langenus, Pietro Tommasino, Bernhard Manzke | Fiscal sustainability and policy implications for the euro area (Deutsche Bundesbank Discussion Papers 200904, 10 Mar 2009) | Full text |
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André Amante, Márcio Araujo and Serge | | Jeanneau | The search for liquidity in the Brazilian domestic government bond market (Bank for International Settlements Quarterly Review 0706h, 07 Jun 2007) | Abstract
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| Serge | | Jeanneau and Camilo E Tovar | Domestic bond markets in Latin America: achievements and challenges (Bank for International Settlements Quarterly Review 0606e, 12 Jun 2006) | Abstract Full text |
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| Serge | | Jeanneau and Marian Micu | Volatility and derivatives turnover: a tenuous relationship (Bank for International Settlements Quarterly Review 0303g, Mar 2003) | Full text |
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| Serge | | Jeanneau and Marian Micu | International bank lending to emerging market countries: explaining the 1990s roller coaster (Bank for International Settlements Quarterly Review 0203f, Mar 2002) | Full text |
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| Serge | | Jeanneau and Marian Micu | Determinants of international bank lending to emerging market countries (Bank for International Settlements Working papers 112, Jun 2002) | Abstract Full text |
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| Serge | | Jeanneau,Carlos Perez Verdia | Reducing financial vulnerability: the development of the domestic government bond market in Mexico (Bank for International Settlements Quarterly Review 0512h, Dec 2005) | Abstract Full text |
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Kottaras, | | Jeannie | The Construction of Continuity-Adjusted Monetary Aggregate Components (Bank of Canada Working papers 2003-22, Aug 2003) | Abstract Full text |
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| | Jeannine Bailliu and Eiji Fujii | Exchange Rate Pass-Through and the Inflation Environment in Industrialized Countries: An Empirical Investigation (Bank of Canada Working papers 2004-21, Jun 2004) | Abstract Full text |
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| | Jeannine Bailliu, Ali Dib, Takashi Kano, and Lawrence Schembri | Multilateral Adjustment and Exchange Rate Dynamics: The Case of Three Commodity Currencies (Bank of Canada Working papers 2007-41, Jul 2007) | Abstract Full text |
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| Bailliu, | | Jeannine, Daniel Garcés, Mark Kruger, and Miguel Messmacher | Explaining and Forecasting Inflation in Emerging Markets: The Case of Mexico (Bank of Canada Working papers 2003-17, Jun 2003) | Abstract Full text |
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| Bailliu, | | Jeannine, Robert Lafrance, and Jean-François Perrault | Does Exchange Rate Policy Matter for Growth? (Bank of Canada Working papers 2002-17, Jun 2002) | Abstract Full text |
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| | Jean-Bernard Chatelain | Structural modelling of investment and financial constraints: Where do we stand? (National Bank of Belgium Working Papers 028, May 2002) | Full text |
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| | Jean-Bernard Chatelain and André Tiomo | Investment, the Cost of Capital and Monetary Policy in the Nineties in France: A Panel Data Investigation (Bank of France Working Papers Nr 096, Dec 2002) | Abstract Full text |
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| | Jean-Bernard Chatelain, Andrea Generale, Ignacio Hernando, Ulf von Kalckreuth and Philip Vermeulen | Firm Investment and Monetary Policy Transmission in the Euro Area (Bank of France Working Papers Nr 097, Dec 2002) | Abstract Full text |
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| Cornelia Holthausen and | | Jean-Charles Rochet | Incorporating a "public good factor" into the pricing of large-value payment systems (European Central Bank Working papers 0507, Jul 2005) | Full text |
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| Xavier Freixas, Bruno M. Parigi and | | Jean-Charles Rochet | The lender of last resort: a 21st century approach (European Central Bank Working papers 0298, Dec 2003) | Full text |
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| Cornelia Holthausen and | | Jean-Charles Rochet | Efficient pricing of large value interbank payment systems (European Central Bank Working papers 0184, Oct 2002) | Full text |
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| | Jean-Charles Rochet and Jean Tirole | Must-Take Cards and the Tourist Test (Netherlands Bank DNB Working Papers 127, Jan 2007) | Full text |
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| | Jean-Charles Rochet, Julian Wright, | Credit card interchange fees, (European Central Bank Working papers 1138, 30 Dec 2009) | Full text |
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| Jason Allen, Robert Clark, and | | Jean-François Houde | Market Structure and the Diffusion of E-Commerce: Evidence from the Retail Banking Industry (Bank of Canada Working papers 2008-32, Sep 2008) | Abstract Full text |
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| Bailliu, Jeannine, Robert Lafrance, and | | Jean-François Perrault | Does Exchange Rate Policy Matter for Growth? (Bank of Canada Working papers 2002-17, Jun 2002) | Abstract Full text |
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| Patrick Fève, Julien Matheron and | | Jean-Guillaume Sahuc | Inflation Target Shocks and Monetary Policy Inertia in the Euro Area (Bank of France Working Papers Nr 243, Aug 2009) | Abstract Full text |
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| Céline Poilly and | | Jean-Guillaume Sahuc | Welfare Implications of Heterogeneous Labor Markets in a Currency Area (Bank of France Working Papers Nr 199, Feb 2008) | Abstract Full text |
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| Frank Smets and | | Jean-Guillaume Sahuc | Differences in Interest Rate Policy at the ECB and the Fed : An Investigation with a Medium-Scale DSGE Model (Bank of France Working Papers Nr 182, Sep 2007) | Abstract Full text |
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| Eric Jondeau and | | Jean-Guillaume Sahuc | Testing heterogeneity within the euro area (Bank of France Working Papers Nr 181, Sep 2007) | Abstract Full text |
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| Eric Jondeau and | | Jean-Guillaume Sahuc | Optimal Monetary Policy in an Estimated DSGE Model of the Euro Area with Cross-country Heterogeneity (Bank of France Working Papers Nr 141, Apr 2006) | Abstract Full text |
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| | Jean-Guillaume Sahuc | Partial Indexation, Trend Inflation, and the Hybrid Phillips Curve (Bank of France Working Papers Nr 118, Dec 2004) | Abstract
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| Stéphane Moyen and | | Jean-Guillaume Sahuc | Incorporating Labour Market Frictions into an Optimising-Based Monetary Policy Model (Bank of France Working Papers Nr 105, Jan 2004) | Abstract Full text |
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| by Eric Jondeau and | | Jean-Guillaume Sahuc | Optimal Monetary Policy in an Estimated DSGE Model of the Euro Area with Cross-Country Heterogeneity (IJCB International Journal of Central Banking 08q2a2, May 2008) | Abstract Full text |
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| Patrick Fève, Julien Matheron and | | Jean-Guillaume Sahuc (in French) | Minimum Distance Estimation and Testing of DSGE Models from Structural VARs (Bank of France Working Papers Nr 245, Aug 2009) | Abstract Full text |
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| | Jean-Marc Natal and Nicolas Stoffels | Globalization, markups and the natural rate of interest (Swiss National Bank Working Papers 2007-14, 2007) | Abstract
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| | Jean-Marie Dufour and David Tessier | Short-Run and Long-Run Causality between Monetary Policy Variables and Stock Prices (Bank of Canada Working papers 2006-39, Oct 2006) | Abstract Full text |
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| | Jean-Marie Dufour, Lynda Khalaf, and Maral Kichian | Structural Inflation Models with Real Wage Rigidities: The Case of Canada (Bank of Canada Working papers 2009-21, Jul 2009) | Abstract Full text |
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| | Jean-Marie Dufour, Lynda Khalaf, and Maral Kichian | Structural Multi-Equation Macroeconomic Models: Identification-Robust Estimation and Fit (Bank of Canada Working papers 2009-19, Jun 2009) | Abstract Full text |
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| | Jean-Marie Dufour, Lynda Khalaf, and Maral Kichian | Assessing Indexation-Based Calvo Inflation Models (Bank of Canada Working papers 2009-07, Feb 2009) | Abstract Full text |
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| | Jean-Marie Dufour, Lynda Khalaf, and Maral Kichian | Inflation Dynamics and the New Keynesian Phillips Curve: An Identification-Robust Econometric Analysis (Bank of Canada Working papers 2005-27, Oct 2005) | Abstract Full text |
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| Lam, | | Jean-Paul and William Scarth | Alternative Public Spending Rules and Output Volatility (Bank of Canada Working papers 2002-37, Nov 2002) | Abstract Full text |
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| | Jean-Paul Lam | Alternative Targeting Regimes, Transmission Lags, and the Exchange Rate Channel (Bank of Canada Working papers 2003-39, Dec 2003) | Abstract Full text |
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| | Jean-Paul Lam and Florian Pelgrin | The Implications of Transmission and Information Lags for the Stabilization Bias and Optimal Delegation (Bank of Canada Working papers 2004-37, Sep 2004) | Abstract Full text |
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| | Jean-Paul Lam and Greg Tkacz | Estimating Policy-Neutral Interest Rates for Canada Using a Dynamic Stochastic General-Equilibrium Framework (Bank of Canada Working papers 2004-9, Mar 2004) | Abstract Full text |
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| Vladimir Borgy, Laurent Clerc and | | Jean-Paul Renne | Asset-price boom-bust cycles and credit: what is the scope of macro-prudential regulation? (Bank of France Working Papers Nr 263, Dec 2009) | Abstract Full text |
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| | Jean-Paul Renne | Frequency-domain analysis of debt service in a macro-finance model for the euro area. (Bank of France Working Papers Nr 261, Dec 2009) | Abstract Full text |
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| Jean-Stéphane Mésonnier and | | Jean-Paul Renne | Does uncertainty make a time-varying natural rate of interest irrelevant for the conduct of monetary policy? (Bank of France Working Papers Nr 175, Sep 2007) | Abstract Full text |
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| Jean-Stéphane Mésonnier and | | Jean-Paul Renne | The Taylor Rule and Monetary Policy in the Euro Area (Bank of France Working Papers Nr 117, Oct 2004) | Abstract
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| Jean-Stéphane Mésonnier and | | Jean-Paul Renne | A Time-Varying Natural Rate for the Euro Area (Bank of France Working Papers Nr 115, Sep 2004) | Abstract
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| | Jean-Philippe Cayen, Amy Corbett, and Patrick Perrier | An Optimized Monetary Policy Rule for ToTEM (Bank of Canada Working papers 2006-41, Nov 2006) | Abstract Full text |
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| | Jean-Philippe Cayen, Donald Coletti, René Lalonde, and Philipp Maier | What Drives Exchange Rates? New Evidence from a Panel of U.S. Dollar Bilateral Exchange Rates (Bank of Canada Working papers 2010-05, Feb 2010) | Abstract Full text |
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| | Jean-Philippe Cayen, Marc-André Gosselin, and Sharon Kozicki | Estimating DSGE-Model-Consistent Trends for Use in Forecasting (Bank of Canada Working papers 2009-35, Dec 2009) | Abstract Full text |
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| Rochelle M. Edge, Michael T. Kiley, and | | Jean-Philippe Laforte | A Comparison of Forecast Performance Between Federal Reserve Staff Forecasts, Simple Reduced-Form Models, and a DSGE Model (Federal Reserve Board FEDS series 2009-10, Feb 2009) | Abstract Full text |
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| Rochelle M. Edge, Michael T. Kiley, and | | Jean-Philippe Laforte | Documentation of the Research and Statistics Division's Estimated DSGE Model of the U.S. Economy: 2006 Version (Federal Reserve Board FEDS series 2007-53, Oct 2007) | Abstract
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| Rochelle M. Edge, Michael T. Kiley, and | | Jean-Philippe Laforte | Natural Rate Measures in an Estimated DSGE Model of the U.S. Economy (Federal Reserve Board FEDS series 2007-08, Mar 2007) | Abstract Full text |
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| Ariane Chapelle, Yves Crama, Georges Hübner and | | Jean-Philippe Peters | Basel II and Operational Risk: Implications for risk measurement and management in the financial sector (National Bank of Belgium Working Papers 051, May 2004) | Full text |
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| Jesús Fernández-Huertas Moraga and | | Jean-Pierre Vidal | Fiscal sustainability and public debt in an endogenous growth model (European Central Bank Working papers 0395, Oct 2004) | Full text |
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| Marco Catenaro and | | Jean-Pierre Vidal | Implicit tax co-ordination under repeated policy interactions (European Central Bank Working papers 0259, Sep 2003) | Full text |
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| Philippe Michel and | | Jean-Pierre Vidal | Self-control and savings (European Central Bank Working papers 0211, Jan 2003) | Full text |
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| Nicola Giammarioli, Christiane Nickel, Philipp C. Rother and | | Jean-Pierre Vidal | Assessing fiscal soundness: theory and practice (European Central Bank Occasional papers 056, Mar 2007) | Full text |
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| Mustapha Baghli, Véronique Brunhes-Lesage, Olivier De bandt, Henri Fraisse et | | Jean-Pierre Villetel | Model for Analysing and forecasting short term developments (Bank of France Working Papers Nr 106, Feb 2004) | Abstract Full text |
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| Frédéric Boissay and | | Jean-Pierre Villetelle | The French block of the ESCB multi-country model (European Central Bank Working papers 0456, Mar 2005) | Full text |
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| Mustapha Baghli, Christophe Cahn and | | Jean-Pierre Villetelle | Estimating Potential Output with a Production Function for France, Germany and Italy. (Bank of France Working Papers Nr 146, Jun 2006) | Abstract Full text |
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| Sébastien Frappa and | | Jean-Stéphane Mésonnier | The housing price boom of the late '90s: did inflation targeting matter? (Bank of France Working Papers Nr 255, Oct 2009) | Abstract Full text |
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| | Jean-Stéphane Mésonnier | The Reliability of Macroeconomic Forecasts based on Real Interest Rate Gap Estimates in Real Time: an Assessment for the Euro Area (Bank of France Working Papers Nr 157, Oct 2006) | Abstract Full text |
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| | Jean-Stéphane Mésonnier and Jean-Paul Renne | Does uncertainty make a time-varying natural rate of interest irrelevant for the conduct of monetary policy? (Bank of France Working Papers Nr 175, Sep 2007) | Abstract Full text |
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| | Jean-Stéphane Mésonnier and Jean-Paul Renne | The Taylor Rule and Monetary Policy in the Euro Area (Bank of France Working Papers Nr 117, Oct 2004) | Abstract
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| | Jean-Stéphane Mésonnier and Jean-Paul Renne | A Time-Varying Natural Rate for the Euro Area (Bank of France Working Papers Nr 115, Sep 2004) | Abstract
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| | Jean-Sébastien Fontaine and René Garcia | Bond Liquidity Premia (Bank of Canada Working papers 2009-28, Oct 2009) | Abstract Full text |
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| Bruno Feunou, | | Jean-Sébastien Fontaine, and Roméo Tedongap | The Equity Premium and the Volatility Spread: The Role of Risk-Neutral Skewness (Bank of Canada Working papers 2009-20, Jun 2009) | Abstract Full text |
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| | Jean-Thomas Bernard, Lynda Khalaf, Maral Kichian, and Sebastien McMahon | Forecasting Commodity Prices: GARCH, Jumps, and Mean Reversion (Bank of Canada Working papers 2006-14, Apr 2006) | Abstract Full text |
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| | Jean-Thomas Bernard, Lynda Khalaf, and Maral Kichian | Structural Change and Forecasting Long-Run Energy Prices (Bank of Canada Working papers 2004-5, Feb 2004) | Abstract Full text |
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Gabor P. Kiss, Tomasz | | Jedrzejowicz, Jana Jirsakova | How to measure tax burden in an internationally comparable way? (National Bank of Poland Working papers 056, Mar 2009) | Full text |
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| | Jeevan K Khundrakpam | Economic reforms and exchange rate pass-through to domestic prices in India (Bank for International Settlements Working papers 225, Feb 2007) | Abstract Full text |
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Brian S. Armour, Carol Friedman, M. Melinda Pitts, Jennifer Wike, Linda Alley, and | | Jeff Etchason | The Influence of Year-End Bonuses on Colorectal Cancer Screening (Atlanta Fed Working papers 2003-41, Dec 2003) | Abstract Full text |
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| | Jeff Fuhrer, Giovanni Olivei, and Geoffrey M. B. Tootell | Empirical Estimates of Changing Inflation Dynamics (Boston Fed Working papers 09-04, May 2009) | Abstract Full text |
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| | Jeffery Amato, Andrew Filardo, Gabriele Galati, Goetz von Peter and Feng Zhu | Research on exchange rates and monetary policy: an overview? (Bank for International Settlements Working papers 178, Jun 2005) | Abstract Full text |
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| | Jeffery D Amato | Risk aversion and risk premia in the CDS market (Bank for International Settlements Quarterly Review 0512e, Dec 2005) | Abstract Full text |
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| | Jeffery D Amato | The role of the natural rate of interest in monetary policy (Bank for International Settlements Working papers 171, Mar 2005) | Abstract Full text |
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| | Jeffery D Amato and Craig H Furfine | Are credit ratings procyclical? (Bank for International Settlements Working papers 129, Feb 2003) | Abstract Full text |
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| | Jeffery D Amato and Eli M Remolona | The pricing of unexpected credit losses (Bank for International Settlements Working papers 190, Nov 2005) | Abstract Full text |
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| | Jeffery D Amato and Hyun Song Shin | Public and private information in monetary policy models (Bank for International Settlements Working papers 138, Sep 2003) | Abstract Full text |
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| | Jeffery D Amato and Jacob Gyntelberg | CDS index tranches and the pricing of credit risk correlations (Bank for International Settlements Quarterly Review 0503g, Mar 2005) | Abstract Full text |
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| | Jeffery D Amato and Kostas Tsatsaronis | Is there a "Nasdaq effect" in emerging equity markets? (Bank for International Settlements Quarterly Review 0106e, Jun 2001) | Full text |
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| | Jeffery D Amato and Maurizio Luisi | Macro factors in the term structure of credit spreads (Bank for International Settlements Working papers 203, Mar 2006) | |