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Title: Experiences with Macroprudential Policy—Five Case Studies
Author/Editor: Salim M. Darbar ; Xiaoyong Wu
Series: Working Paper No. 15/123
Date: June 19, 2015
Subject(s): Central banks and their policies | Cross country analysis | Credit | Hong Kong SAR | Hong Kong Special Administrative Region of China | Macroprudential Policy | New Zealand | Netherlands | Singapore | Sweden
 
Title: Private Sector Deleveraging and Growth Following Busts
Author/Editor: Sally Chen ; Minsuk Kim ; Marijn Otte ; Kevin Wiseman ; Aleksandra Zdzienicka
Series: Working Paper No. 15/35
Date: February 23, 2015
Subject(s): Private sector | Debt reduction | Economic growth | Developed countries | Emerging markets | Cross country analysis | Time series
 
Title: Can Islamic Banking Increase Financial Inclusion?
Author/Editor: Sami Ben Naceur ; Adolfo Barajas ; Alexander Massara
Series: Working Paper No. 15/31
Date: February 13, 2015
Subject(s): Islamic banking | Financial services | Commercial banks | Bank credit | Bank deposits | Household survey data | Cross country analysis
 
Title: How to De-Dollarize Financial Systems in the Caucasus and Central Asia?
Author/Editor: Sami Ben Naceur ; Amr Hosny ; Gregory Hadjian
Series: Working Paper No. 15/203
Date: September 23, 2015
Subject(s): Uzbekistan | Slovenia | Tajikistan | Turkey | Ukraine | Macedonia, former Yugoslav Republic of | Belarus | Bulgaria | Central Asia | Croatia | Azerbaijan | Albania | Armenia | Georgia | Estonia | Lithuania | Moldova | Kazakhstan | Kosovo | Kyrgyz Republic | Latvia | Romania | Serbia | Slovak Republic
 
Title: Uncertainty and Unemployment: The Effects of Aggregate and Sectoral Channels
Author/Editor: Sangyup Choi ; Prakash Loungani
Series: Working Paper No. 15/36
Date: February 23, 2015
Subject(s): Labor markets | United States | External shocks | Unemployment | Stock markets | Structural vector autoregression | Econometric models
 
Title: Now or Later? The Political Economy of Public Investment in Democracies
Author/Editor: Sanjeev Gupta ; Estelle X. Liu ; Carlos Mulas-Granados
Series: Working Paper No. 15/175
Date: July 27, 2015
Subject(s): Public investment | Political economy | Governance | Public finance
 
Title: Reforming the Legal and Institutional Framework for the Enforcement of Civil and Commercial Claims in Portugal
Author/Editor: Sebastiaan Pompe ; Wolfgang Bergthaler
Series: Working Paper No. 15/279
Date: December 28, 2015
Subject(s): Institutional framework | Portugal | Economic reforms | Governance | Legislation | Fund-supported adjustment programs
 
Title: External Devaluations : Are Small States Different?
Author/Editor: Sebastian Acevedo Mejia ; Aliona Cebotari ; Kevin Greenidge ; Geoffrey N. Keim
Series: Working Paper No. 15/240
Date: November 23, 2015
Subject(s): Devaluation | Exchange rate depreciation | Small states | Consumption | Demand | General equilibrium models
 
Title: Sub-National Government’s Risk Premia : Does Fiscal Performance Matter?
Author/Editor: Sergio Sola ; Geremia Palomba
Series: Working Paper No. 15/117
Date: May 29, 2015
Subject(s): Interest rates | Government debt | Fiscal policy
 
Title: Growing (Un)equal: Fiscal Policy and Income Inequality in China and BRIC+
Author/Editor: Serhan Cevik ; Carolina Correa-Caro
Series: Working Paper No. 15/68
Date: March 25, 2015
Subject(s): Income inequality | China | Brazil | Russian Federation | India | Fiscal policy | Income distribution | Economic growth | Cross country analysis | Time series | Panel analysis
 
Title: Fiscal Consequences of Terrorism
Author/Editor: Serhan Cevik ; John Ricco
Series: Working Paper No. 15/225
Date: October 23, 2015
Subject(s): Terrorism | Tax revenue | Military spending | Government expenditures | Public finance | Low income countries | Econometric models
 
Title: Soft Power and Exchange Rate Volatility
Author/Editor: Serhan Cevik ; Richard Harris ; Fatih Yilmaz
Series: Working Paper No. 15/63
Date: March 20, 2015
Subject(s): Exchange rates | Foreign exchange market volatility | Econometric models
 
Title: How External Factors Affect Domestic Economy : Nowcasting an Emerging Market
Author/Editor: Serhat Solmaz ; Marzie Taheri Sanjani
Series: Working Paper No. 15/269
Date: December 23, 2015
Subject(s): External shocks | Emerging markets | Economic growth | Turkey | Open economies | Econometric models
 
Title: Portfolio Rebalancing in Japan : Constraints and Implications for Quantitative Easing
Author/Editor: Serkan Arslanalp ; Dennis P. J. Botman
Series: Working Paper No. 15/186
Date: August 03, 2015
Subject(s): Monetary policy | Japan | Central bank policy | Bond markets | Asset management
 
Title: Emerging Market Portfolio Flows : The Role of Benchmark-Driven Investors
Author/Editor: Serkan Arslanalp ; Takahiro Tsuda
Series: Working Paper No. 15/263
Date: December 17, 2015
Subject(s): Emerging markets | Foreign investment | Debt markets | Bond markets | Colombia | Peru | Romania | Asset management
 
Title: Contingent Liabilities from Banks : How to Track Them?
Author/Editor: Serkan Arslanalp ; Yin Liao
Series: Working Paper No. 15/255
Date: December 09, 2015
Subject(s): Contingent liabilities | Banks | Banking sector | Econometric models
 
Title: Issuance of Central Bank Securities : International Experiences and Guidelines
Author/Editor: Simon Gray ; Runchana Pongsaparn
Series: Working Paper No. 15/106
Date: May 18, 2015
Subject(s): Central banks | Chile | Korea, Republic of | Thailand | Securities | Bond issues | Excess liquidity | Liquidity management | Monetary policy | Inflation targeting
 
Title: The Effects of U.S. Unconventional Monetary Policy on Asia Frontier Developing Economies
Author/Editor: Sohrab Rafiq
Series: Working Paper No. 15/18
Date: January 23, 2015
Subject(s): Monetary policy | Spillovers | United States | Asia | India | Developing countries | Econometric models
 
Title: How Important are Debt and Growth Expectations for Interest Rates?
Author/Editor: Sohrab Rafiq
Series: Working Paper No. 15/94
Date: May 01, 2015
Subject(s): Economic growth | Expectations | Public debt
 
Title: Monetary Policy Transmission and Financial Stability in a LIC : The Case of Bangladesh
Author/Editor: Sohrab Rafiq
Series: Working Paper No. 15/231
Date: November 09, 2015
Subject(s): Monetary policy | Bangladesh | Monetary transmission mechanism | Liquidity | Credit | Private sector | Financial stability | Low-income developing countries | Econometric models