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1. Monetary Policy, Trend Inflation and the Great Moderation: An Alternative Interpretation - Comment

2. Government Connections and Financial Constraints: Evidence from a Large Representative Sample of Chinese Firms

3. Risk Choices and Compensation Design

4. Large Capital Inflows, Sectoral Allocation, and Economic Performance

5. Risk, Financial Development and Firm Dynamics

6. International Financial Spillovers to Emerging Market Economies: How Important Are Economic Fundamentals?

7. The Liquidity Effects of Official Bond Market Intervention

8. Realized Bank Risk during the Great Recession

9. Identifying Foreign Suppliers in U.S. Import Data

10. Are Long-Term Inflation Expectations Well Anchored in Brazil, Chile and Mexico?

11. Bank Ownership, Lending, and Local Economic Performance During the 2008-2010 Financial Crisis

12. Inference Based on SVARs Identified with Sign and Zero Restrictions: Theory and Applications

13. Evaluating Asset-Market Effects of Unconventional Monetary Policy: A Cross-Country Comparison

14. Menu Costs, Trade Flows, and Exchange Rate Volatility

15. Uncovered Equity Parity and Rebalancing in International Portfolios

16. Sovereign Debt Crises

17. Liquidity Risk and U.S. Bank Lending at Home and Abroad

18. The Decline of Drudgery and the Paradox of Hard Work

19. Understanding the Great Recession

20. The Energy Boom and Manufacturing in the United States