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1. Crisis and Calm: Demand for U.S. Currency at Home and Abroad From the Fall of the Berlin Wall to 2011

2. On Returns Differentials

3. Do Central Banks' Forecasts Take Into Account Public Opinion and Views?

4. Capital Flows to Emerging Market Economies: A Brave New World?

5. International Evidence on Government Support and Risk Taking in the Banking Sector

6. "Fool Me Once . . . " Did U.S. Investors Play it Safer in the European Debt Crisis?

7. Trade Reforms, Foreign Competition, and Labor Market Adjustments in the U.S.

8. Do Small Businesses Still Prefer Community Banks?

9. Foreign Holdings of U.S. Treasuries and U.S. Treasury Yields

10. The Effect of TARP on Bank Risk-Taking

11. U.S. International Equity Investment and Past Prospective Returns

12. When Good Investments Go Bad: The Contraction in Community Bank Lending After the 2008 GSE Takeover

13. Do Oil Prices Help Forecast U.S. Real GDP? The Role of Nonlinearities and Asymmetries

14. U.S. Real Interest Rates and Default Risk in Emerging Economies

15. Heterogeneous Workers, Optimal Job Seeking, and Aggregate Labor Market Dynamics

16. The Return on U.S. Direct Investment at Home and Abroad

17. Foreign Banks in the U.S.: A Primer

18. Nonlinearities in the Oil Price-Output Relationship

19. International Capital Flows and the Returns to Safe Assets in the United States, 2003-2007

20. U.S. International Equity Investment and Past Prospective Returns

21. Where are Global and U.S. Trade Heading in the Aftermath of the Trade Collapse: Issues and Alternative Scenarios

22. Forecasting the Price of Oil

23. U.S. Domestic and International Financial Reform Policy: Are G20 Commitments and the Dodd-Frank Act in Sync?

24. The Revealed Competitiveness of U.S. Exports

25. Housing Wealth and Consumption

26. ABS Inflows to the United States and the Global Financial Crisis

27. Oil Efficiency, Demand, and Prices: A Tale of Ups and Downs

28. Housing and Debt Over the Life Cycle and Over the Business Cycle

29. The Variance Risk Premium Around the World

30. Exports Versus Multinational Production Under Nominal Uncertainty

31. How Did a Domestic Housing Slump Turn into a Global Financial Crisis?

32. Biofuels Impact on Crop and Food Prices: Using an Interactive Spreadsheet

33. The Impact of Macroeconomic Announcements on Real Time Foreign Exchange Rates in Emerging Markets

34. Did Easy Money in the Dollar Bloc Fuel the Global Commodity Boom?

35. Foreign Exposure to Asset-Backed Securities of U.S. Origin

36. Escape from New York: The Market Impact of SEC Rule 12h-6

37. Emerging Market Business Cycles with Remittance Fluctuations

38. Current Account Sustainability and Relative Reliability

39. Assessing the Potential for Further Foreign Demand for U.S. Assets: Has Financing U.S. Current Account Deficits Made Foreign Investors Overweight in U.S. Securities?

40. Do Fundamentals Explain the International Impact of U.S. Interest Rates? Evidence at the Firm Level

41. Do Energy Prices Respond to U.S. Macroeconomic News? A Test of the Hypothesis of Predetermined Energy Prices

42. Uncertainty over Models and Data: The Rise and Fall of American Inflation

43. How Does the Border Affect Productivity? Evidence from American and Canadian Manufacturing Industries

44. Breaks in the Variability and Co-Movement of G-7 Economic Growth

45. Productivity Growth and the Phillips Curve in Canada

46. Revisiting the Border: An Assessment of the Law of One Price Using Very Disaggregated Consumer Price Data

47. How do Canadian Hours Worked Respond to a Technology Shock?

48. Determinants and Repercussions of the Composition of Capital Inflows

49. Border Effects within the NAFTA Countries

50. Hazards in Implementing a Monetary Conditions Index