Publications Search Results

September 18, 2014

The search found 5 of 12818 documents sorted by Date with the following criteria:
Subject / Keyword: SVAR

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1.

Title: What Drives Credit Growth in Emerging Asia?
Author/Editor: Elekdag, Selim ; Han, Fei
Series: Working Paper No. 12/43
Published: February 1, 2012
Subject(s): Asia | Credit expansion | Cross country analysis | Economic models | Emerging markets | Flexible exchange rates | Monetary policy
Author's keyword(s): Rapid credit growth | credit booms | emerging Asia | SVAR | Bayesian estimation | sign restrictions | shock identification

 

2.

Title: The Role for Counter-Cyclical Fiscal Policy in Singapore
Author/Editor: Eskesen, Leif Lybecker
Series: Working Paper No. 09/8
Published: January 1, 2009
Subject(s): Fiscal policy | Singapore | External shocks | Economic stabilization | Price stabilization | Cross country analysis | Economic models
Author's keyword(s): Fiscal policy | SVAR

 

3.

Title: Monetary Transmission in an Emerging Targeter: The Case of Brazil
Author/Editor: Catão, Luis ; Laxton, Douglas ; Pagan, A. R.
Series: Working Paper No. 08/191
Published: August 1, 2008
Subject(s): Brazil | Monetary policy | Inflation targeting | Emerging markets | Bank credit | Interest rates | Developed countries | Economic models | Disinflation
Author's keyword(s): Monetary Policy | Inflation | Credit Channel | SVAR | Brazil

 

4.

Title: Real Implications of Financial Linkages Between Canada and the United States
Author/Editor: Klyuev, Vladimir
Series: Working Paper No. 08/23
Published: January 1, 2008
Subject(s): Trade | Canada | United States | Economic conditions | Capital markets
Author's keyword(s): Trade linkages | Financial linkages | SVAR

 

5.

Title: Characterizing Global Investors' Risk Appetite for Emerging Market Debt During Financial Crises
Author/Editor: Dungey, Mardi ; Fry, Renee ; González-Hermosillo, Brenda ; Martin, Vance
Series: Working Paper No. 03/251
Published: December 1, 2003
Subject(s): Emerging markets | Bonds | Debt | Financial crisis | fINANCIAL RISK | Economic models
Author's keyword(s): Risk Aversion | Bond Markets | Financial Crises | SVAR

 

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