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21. Variance Risk Premiums and the Forward Premium Puzzle

22. Firm Characteristics and Em

23. Nonlinearities in the Oil Price-Output Relationship

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

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

26. Quantitative Easing and Bank Lending: Evidence from Japan

27. Optimal Monetary Policy in an Operational Medium-Sized DSGE Model

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

29. The Revealed Competitiveness of U.S. Exports

30. Housing Wealth and Consumption

31. Firm Default and Aggregate Fluctuations

32. Empirical Estimation of Trend and Cyclical Export Elasticities

33. Loose Commitment in Medium-Scale Macroeconomic Models: Theory and Applications

34. The Variance Risk Premium Around the World

35. Monetary Regime Switches and Unstable Objectives

36. Are Recoveries from Banking and Financial Crises Really So Different?

37. Financial Globalization and Monetary Policy

38. The Taylor Rule and Interval Forecast For Exchange Rates

39. Currency Crashes in Industrial Countries: Much Ado About Nothing?

40. Border Prices and Retail Prices