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1. Offshoring, Mismatch, and Labor Market Outcomes

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

3. Challenges for the Future of Chinese Economic Growth

4. A Theory of Rollover Risk, Sudden Stops, and Foreign Reserves

5. The Cyclicality of Job-to-Job Transitions and Its Implications for Aggregate Productivity

6. Asymmetric Information and the Death of ABS CDOs

7. Revenge of the Steamroller: ABCP as a Window on Risk Choices

8. On Returns Differentials

9. A Robust Neighborhood Truncation Approach to Estimation of Integrated Quarticity

10. Taxation, Match Quality and Social Welfare

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

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

13. Collateral Constraints and Macroeconomic Asymmetries

14. The Systemic Risk of European Banks

15. Say on Pay Laws, Executive Compensation, CEO Pay Slice, and Firm Value Around the World

16. Global Financial Conditions, Country Spreads and Macroeconomic Fluctuations in Emerging Countries

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

18. Export Dynamics in Large Devaluations

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

20. Unemployment and Business Cycles

21. Interest Rate Swaps and Corporate Default

22. Portfolio Diversification and the Cross-Sectional Distribution of Foreign Investment

23. Can Structural Reforms Help Europe?

24. Local Currency Sovereign Risk

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

26. Do Small Businesses Still Prefer Community Banks?

27. Missing Import Price Changes and Low Exchange Rate Pass-Through

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

29. Monetary Policy in Emerging Market Economies: What Lessons From the Global Financial Crisis?

30. The Effect of TARP on Bank Risk-Taking

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

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

33. Fiscal Consolidation in an Open Economy

34. The Timing of Sovereign Defaults Over Electoral Terms

35. How Do Laffer Curves Differ Across Countries?

36. Exchange Rate Policy and Sovereign Bond Spreads in Developing Countries

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

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

39. Individual Price Adjustment Along the Extensive Margin

40. Individual Price Adjustment Along the Extensive Margin

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

42. Commodity Price Movements in a General Equilibrium Model of Storage

43. International Relative Price Levels: A Look Under the Hood

44. Evaluating a Global Vector Autoregression for Forecasting

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

46. Liquidity Shocks, Dollar Funding Costs, and the Bank Lending Channel During the European Sovereign Crisis

47. Gauging The Effects of Fiscal Stimulus Packages In The Euro Area

48. A State-Dependent Model for Inflation Forecasting

49. Fiscal Consolidation in a Currency Union: Spending Cuts vs. Tax Hikes

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