2008-944 (September 2008)
The Macroeconomic Effect of External Pressures on Monetary Policy
Davide Debortoli and Ricardo Nunes
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2008-943 (September 2008)
Constructive Data Mining: Modeling Argentine Broad Money Demand
Neil R. Ericsson and Steven B. Kamin
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2008-942 (August 2008)
The Asian Financial Crisis, Uphill Flow of Capital, and Global Imbalances: Evidence from a Micro Study
Brahima Coulibaly and Jonathan Millar
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2008-941 (August 2008)
Optimal Monetary Policy with Distinct Core and Headline Inflation Rates
Martin Bodenstein, Christopher J. Erceg, and Luca Guerrieri
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2008-940 (August 2008)
Friends or Foes? The Stock Price Impact of Sovereign Wealth Fund Investments and the Price of Keeping Secrets
Jason Kotter and Ugur Lel
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2008-939 (August 2008)
Foreign Exposure to Asset-Backed Securities of U.S. Origin
Daniel O. Beltran, Laurie Pounder, and Charles Thomas
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2008-938 (July 2008)
Political Disagreement, Lack of Commitment and the Level of Debt
Davide Debortoli and Ricardo Nunes
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2008-937 (July 2008)
Simple Monetary Rules Under Fiscal Dominance
Michael Kumhof, Ricardo Nunes, and Irina Yakadina
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2008-936 (July 2008)
An Anatomy of Credit Booms: Evidence From Macro Aggregates and Micro Data
Enrique G. Mendoza and Marco E. Terrones
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2008-935 (July 2008)
How Long Can the Unsustainable U.S. Current
Account Deficit Be Sustained?
Carol C. Bertaut, Steven B. Kamin, and Charles
P. Thomas
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2008-934 (June 2008)
Trade Elasticity of Substitution and Equilibrium Dynamics
Martin Bodenstein
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2008-933 (June 2008)
Predicting Global Stock Returns
Erik Hjalmarsson
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2008-932 (June 2008)
Jackknifing Stock Return Predictions
Benjamin Chiquoine and Erik Hjalmarsson
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2008-931 (June 2008)
Housing, Home Production, and the Equity and Value Premium Puzzles
Morris A. Davis and Robert F. Martin
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2008-930 (May 2008)
Why Do U.S. Cross-Listings Matter?
John Ammer, Sara B. Holland, David C. Smith, and Francis E. Warnock
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2008-929 (April 2008)
Competitive Search Equilibrium in a DSGE Model
David M. Arseneau and Sanjay K. Chugh
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2008-928 (April 2008)
Interpreting Long-Horizon Estimates in Predictive Regressions
Erik Hjalmarsson
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2008-927 (Apriil 2008)
Emerging Market Business Cycles Revisited: Learning about the Trend
Emine Boz, Christian Daude, and Ceyhun Bora Durdu
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2008-926 (April 2008)
Predicting Cycles in Economic Activity
Jane Haltmaier
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2008-925 (March 2008)
Bank Integration and Financial Constraints: Evidence from U.S. Firms
Ricardo Correa
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2008-924 (March 2008)
A Solution to the Default Risk-Business Cycle Disconnect
Enrique G. Mandoza and Vivian Z. Yue
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2008-923 (March 2008)
Do Differences in Financial Development Explain the Global Pattern of Current Account Imbalances?
Joseph W. Gruber and Steven B. Kamin
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2008-922 (March 2008)
Cross-border Bank Acquisitions: Is there a Performance Effect?
Ricardo Correa
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2008-921 (February 2008)
Cross-Border Returns Differentials
Stephanie E. Curcuru, Tomas Dvorak, and Francis E. Warnock
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2008-920 (February 2008)
On the Application of Automatic Differentiation to the Likelihood Function for Dynamic General Equilibrium Models
Houtan Bastani and Luca Guerrieri
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2008-919 (January 2008)
Optimal Fiscal and Monetary Policy in Customer Markets
David M. Arseneau and Sanjay K. Chugh
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2008-918 (January 2008)
International Competition and Inflation: A New Keynesian Perspective
Luca Guerrieri, Christopher Gust, and David Lopez-Salido
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2008-917 (January 2008)
Measuring U.S. International Relative Prices: A WARP View of the World
Charles P. Thomas, Jaime Marquez, and Sean Fahle
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