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1. International Competition and Inflation: A New Keynesian Perspective

2. Measuring U.S. International Relative Prices: A WARP View of the World

3. Political Disagreement, Lack of Commitment and the Level of Debt

4. Optimal Fiscal and Monetary Policy in Customer Markets

5. On the Application of Automatic Differentiation to the Likelihood Function for Dynamic General Equilibrium Models

6. Cross-Border Returns Differentials

7. Do Differences in Financial Development Explain the Global Pattern of Current Account Imbalances?

8. Bank Integration and Financial Constraints: Evidence from U.S. Firms

9. Why Do U.S. Cross-Listings Matter?

10. How Long Can the Unsustainable U.S. Current Account Deficit Be Sustained?

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

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

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

14. The Role of China in Asia: Engine, Conduit, or Steamroller?

15. Exchange Rate Pass-Through to Export Prices: Assessing Some Cross-Country Evidence

16. U.S. External Adjustment: Is It Disorderly? Is It Unique? Will It Disrupt the Rest of the World?

17. Real-Time Price Discovery in Global Stock, Bond and Foreign Exchange Markets

18. The U.S. Current Account Deficit and the Expected Share of World Output

19. Order Flow and Exchange Rate Dynamics in Electronic Brokerage System Data

20. Adjusting Chinese Bilateral Trade Data: How Big is China's Trade Surplus

21. Exchange Rate Pass-through to U.S. Import Prices: Some New Evidence

22. Investment-Specific and Multifactor Productivity in Multi-Sector Open Economies: Data and Analysis

23. Financial Market Developments and Economic Activity during Current Account Adjustments in Industrial Economies

24. International Risk-Sharing and the Transmission of Productivity Shocks

25. Expansionary Fiscal Shocks and the Trade Deficit

26. International Diversification at Home and Abroad

27. The High-Frequency Effects of U.S. Macroeconomic Data Releases on Prices and Trading Activity in the Global Interdealer Foreign Exchange Market

28. Growth-Led Exports: Is Variety the Spice of Trade?

29. Global Financial Integration: A Collection of New Research

30. The Value of Financial Intermediaries: Empirical Evidence from Syndicated Loans to Emerging Market Borrowers

31. What Makes Investors Over or Underweight? Explaining International Appetites for Foreign Equities

32. Battling International Bribery 2004

33. Review of Implementation of the Convention and 1997 Recommendation

34. Base Structure Report Fiscal Year 2004

35. The Performance of International Portfolios

36. Corporate Governance and the Shareholder Base

37. Look at Me Now: The Role of Cross-Listing in Attracting U.S. Investors

38. PPP Rules, Macroeconomic (In)stability and Learning

39. Is The Corporate Loan Market Globally Integrated? A Pricing Puzzle

40. Does Monetary Policy Keep Up with the Joneses? Optimal Interest-Rate Smoothing with Consumption Externalities

41. The ET Interview: Professor David F. Hendry

42. Good News Is No News? The Impact of Credit Rating Changes on the Pricing of Asset-Backed Securities

43. The Information Content of Forward and Futures Prices: Market Expectations and the Price of Risk

44. The Decline of Activist Stabilization Policy: Natural Rate Misperceptions, Learning, and Expectations

45. Equal Size, Equal Role? Interest Rate Interdependence Between the Euro Area and the United States

46. The Great Inflation of the 1970s

47. Ramsey Monetary Policy and International Relative Prices

48. Indeterminacy with Inflation-Forecast-Based Rules in a Two-Bloc Model

49. Price-level Determinacy, Lower Bounds on the Nominal Interest Rate, and Liquidity Traps

50. Foreign Participation in Local-Currency Bond Markets

51. The Response of Hours to a Technology Shock: Evidence Based on Direct Measures of Technology

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

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

54. The High-Frequency Response of Exchange Rates and Interest Rates to Macroeconomic Announcements

55. Productive Capacity, Product Varieties, and the Elasticities Approach to the Trade Balance

56. Forecasting U.S. Inflation by Bayesian Model Averaging

57. Bayesian Model Averaging and Exchange Rate Forecasts

58. Contagion: An Empirical Test

59. The Effect of Exchange Rate Fluctuations on Multinationals' Returns

60. Battling International Bribery 2003

61. U.S. Investors' Emerging Market Equity Portfolios: A Security-Level Analysis

62. Cross-Border Listings, Capital Controls, and Equity Flows to Emerging Markets

63. Base Structure Report Fiscal Year 2003

64. IT Investment and Hicks' Composite-Good Theorem: The U.S. Experience

65. Distance, Time, and Specialization

66. Net Foreign Assets and Imperfect Pass-through: The Consumption Real Exchange Rate Anomaly

67. An Empirical Analysis of Inflation in OECD Countries

68. Foreign Portfolio Investment, Foreign Bank Lending, and Economic Growth

69. Was There Front Running During the LTCM Crisis?

70. Transmission of Information Across International Equity Markets

71. Annual Industrial Capabilities Report to Congress

72. Consumption, Durable Goods, and Transaction Costs

73. Diversification, Original Sin, and International Bond Portfolios

74. Long-Run Supply Effects and the Elasticities Approach to Trade

75. Sticky Prices, No Menu Costs

76. International Monetary Policy Coordination and Financial Market Integration

77. Monetary Policy and the Financial Accelerator in a Monetary Union

78. Productivity, Investment, and Current Accounts: Reassessing the Evidence

79. Monetary Union, Price Level Convergence, and Inflation: How Close is Europe to the United States?

80. Identifying the Effects of Monetary Policy Shocks on Exchange Rates Using High Frequency Data

81. Exchange Rate Regimes and Financial Dollarization: Does Flexibility Reduce Bank Currency Mismatches?

82. The National Security Strategy of the United States of America-2002

83. The Inflation Persistence of Staggered Contracts

84. Productivity Shocks, Habits, and the Current Account

85. Testing the Null of Identification in GMM

86. Factor Endowments and Industrial Structurev

87. Recent U.S. Macroeconomic Stability: Good Policies, Good Practices, or Good Luck?

88. Optimal Monetary Policy with Durable and Non-Durable Goods

89. A Theory of the Currency Denomination of International Trade

90. Regional Inflation in a Currency Union: Fiscal Policy vs. Fundamentals

91. Inflation Dynamics and International Linkages: A Model of the United States, the Euro Area, and Japan

92. Macroeconomics of International Price Discrimination

93. Finding Numerical Results to Large Scale Economic Models Using Path-Following Algorithms: A Vintage Capital Example

94. International Comparisons of Productivity Growth: The Role of Information Technology and Regulatory Practices

95. A Guide to Choosing Absolute Bank Capital Requirements

96. To What Extent Will the Banking Industry be Globalized? A Study of Bank Nationality and Reach in 20 European Nations

97. Equity Prices, Household Wealth, and Consumption Growth in Foreign Industrial Countries: Wealth Effects in the 1990s

98. Financial Centers and the Geography of Capital Flows

99. Annual Industrial Capabilities Report to Congress, MAR 2002

100. Regional Influences on U.S. Monetary Policy: Some Implications for Europe