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

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

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

54. Distance, Time, and Specialization

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

56. An Empirical Analysis of Inflation in OECD Countries

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

58. Was There Front Running During the LTCM Crisis?

59. Transmission of Information Across International Equity Markets

60. Consumption, Durable Goods, and Transaction Costs

61. Diversification, Original Sin, and International Bond Portfolios

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

63. Sticky Prices, No Menu Costs

64. International Monetary Policy Coordination and Financial Market Integration

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

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

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

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

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

70. The Inflation Persistence of Staggered Contracts

71. Productivity Shocks, Habits, and the Current Account

72. Testing the Null of Identification in GMM

73. Factor Endowments and Industrial Structurev

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

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

76. A Theory of the Currency Denomination of International Trade

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

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

79. Macroeconomics of International Price Discrimination

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

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

82. A Guide to Choosing Absolute Bank Capital Requirements

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

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

85. Financial Centers and the Geography of Capital Flows

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

87. Identifying VARs Based on High Frequency Futures Data

88. Inflation Targeting and Nominal Income Growth Targeting: When and Why Are They Suboptimal?

89. On the Sequencing of Projects, Reputation Building, and Relationship Finance

90. An Empirical Comparison of Bundesbank and ECB Monetary Policy Rules

91. Monetary Policy and Exchange Rate Pass-Through

92. Permanent and Transitory Components of Business Cycles: Their Relative Importance and Dynamic Relationship

93. The Use of Cyclical Indicators in Estimating the Output Gap in Japan

94. Home Bias and High Turnover Reconsidered

95. A Retrospective on J. Denis Sargan and His Contributions to Econometrics

96. Border Effects within the NAFTA Countries

97. Forecast Uncertainty in Economic Modeling

98. Patience, Persistence, and Welfare Costs of Incomplete Markets in Open Economies