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IMF Working Papers by
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Title:
Pakistan's Macroeconomic Adjustment and Resumption of Growth, 1999-2004
Series:
Working Paper No. 05/139
Date:
July 01, 2005
Subject(s):
Economic growth
Author's Keyword(s):
Pakistan
|
macroeconomic adjustment
|
economic growth
Title:
Macroeconomic Fundamentals, Price Discovery and Volatility Dynamics in Emerging Markets
Series:
Working Paper No. 09/147
Date:
July 01, 2009
Subject(s):
Emerging markets
|
Economic models
|
Bond markets
|
Bonds
|
Asset prices
|
Announcements
|
Sovereign debt
|
Private investment
|
Public information
Author's Keyword(s):
emerging markets
|
bond pricing
|
macroeconomic news
|
announcements
|
survey data
|
news spillovers
|
high-frequency data
Title:
Are House Prices Rising Too Fast in Hong Kong SAR?
Series:
Working Paper No. 10/273
Date:
December 01, 2010
Subject(s):
Housing prices
|
Hong Kong SAR
|
China
|
Real estate prices
|
Price increases
|
Cross country analysis
Title:
Government Debt Issuance in the Euro Area : The Impact of the Financial Crisis
Series:
Working Paper No. 11/21
Date:
January 01, 2011
Subject(s):
Bond issues
|
Debt refinancing
|
Global Financial Crisis 2008-2009
|
Sovereign debt
Author's Keyword(s):
sovereign debt
|
fiscal policy
|
sovereign debt management
Title:
The IMF's Government Finance Statistics Yearbook : Maps of Government for 74 Countries
Series:
Working Paper No. 11/127
Date:
June 01, 2011
Subject(s):
Fund
|
Governance
|
Government Finance Statistics Yearbook
Author's Keyword(s):
Fiscal statistics
|
fiscal indicators
|
government sectors
|
government structure
Title:
Macroprudential Policy : What Instruments and How to Use them? Lessons From Country Experiences
Series:
Working Paper No. 11/238
Date:
October 01, 2011
Subject(s):
Credit
|
Liquidity
|
Capital
|
Banks
|
Capital inflows
|
Credit risk
|
Developed countries
|
Emerging markets
|
Exchange rate regimes
|
Financial risk
|
Financial sector
Author's Keyword(s):
macroprudential
|
instruments
|
systemic risk
|
procyclicality
|
interconnectedness
|
credit
|
liquidity
|
capital.
A
Title:
Macrofinancial Linkages of the Strategic Asset Allocation of Commodity-Based Sovereign Wealth Funds
Author/Editor:
Aaron Howard Clifford Brown ; Michael G Papaioannou ; Iva Petrova
Series:
Working Paper No. 10/9
Date:
January 01, 2010
Subject(s):
Sovereign wealth funds
|
Access to capital markets
|
Capital flows
|
Corporate sector
|
Credit risk
|
Emerging markets
|
External financing
|
Risk management
|
Sovereign debt
|
Asset management
|
Budgets
|
Commodity prices
|
Economic models
|
Exchange rate regimes
|
Investment policy
|
Resource allocation
Author's Keyword(s):
Sovereign Wealth Funds
|
Strategic Asset Allocation
|
Macrofinancial Linkages
Title:
A Historical Public Debt Database
Author/Editor:
Abbas, S. M. Ali ; Belhocine, Nazim ; ElGanainy, Asmaa A ; Horton, Mark A.
Series:
Working Paper No. 10/245
Date:
November 01, 2010
Subject(s):
Cross country analysis | Data collection | Databases | Gross domestic product | Public debt | Statistics | World Economic Outlook
Author's Keyword(s):
Historical Debt
|
Public Debt
|
Gross Debt
|
Debt-to-GDP
|
Debt Database.
Title:
Fiscal Policy and the Current Account
Author/Editor:
Abbas, S. M. Ali ; Bouhga-Hagbe, Jacques ; Fatas, Antonio J. ; Mauro, Paolo ; Velloso, Ricardo
Series:
Working Paper No. 10/121
Date:
May 01, 2010
Subject(s):
Cross country analysis | Current account | Economic models | Exchange rates | Fiscal policy | Nonoil developing countries | Oil exporting countries
Author's Keyword(s):
Fiscal policy
|
external imbalances
|
current account
|
exchange rate
Title:
Fiscal Adjustment in Sudan: Size, Speed and Composition
Author/Editor:
Abbas, S. M. Ali ; Moriyama, Kenji ; Naseer, Abdul
Series:
Working Paper No. 10/79
Date:
March 01, 2010
Subject(s):
Cross country analysis | Economic models | Fiscal policy | Fiscal reforms | Government expenditures | Income taxes | Oil producing countries | Oil revenues | Oil sector | Pricing policy |
Sudan
| Tax administration | Tax systems | Value added tax
Author's Keyword(s):
Fiscal reforms
|
intertemporal budget constraint
|
oil revenue
Title:
The Cyclicality of Fiscal Policy in the Middle East and Central Asia:Is the Current Crisis Different?
Author/Editor:
Abdih, Yasser ; Lopez-Murphy, Pablo ; Roitman, Agustin ; Sahay, Ratna
Series:
Working Paper No. 10/68
Date:
March 01, 2010
Subject(s):
Business cycles | Financial crisis | Fiscal policy | Global Financial Crisis 2008-2009 | Middle East and Central Asia | North Africa | Oil exporting countries | Oil prices | Oil revenues | Oil sector | Regional shocks
Author's Keyword(s):
Fiscal policy
|
fiscal space
|
business cycles
Title:
Creditless Recoveries
Author/Editor:
Abdul Abiad ; Giovanni Dell'Ariccia ; Grace Bin Li
Series:
Working Paper No. 11/58
Date:
March 01, 2011
Subject(s):
Banking crisis
|
Bank credit
|
Credit expansion
|
Developed countries
|
Economic growth
|
Economic recovery
|
Emerging markets
|
Industrial investment
Author's Keyword(s):
Credit cycles
|
credit crunch
|
banking crisis
|
financial dependence.
Title:
How Does Trade Evolve in the Aftermath of Financial Crises?
Author/Editor:
Abdul Abiad ; Petia Topalova ; Prachi Mishra
Series:
Working Paper No. 11/3
Date:
January 01, 2011
Subject(s):
Bilateral trade
|
Economic models
|
Trade
Author's Keyword(s):
trade
|
financial crises
Title:
Trade Liberalization and Tax Reform in the Southern Mediterranean Region
Author/Editor:
Abed, George T.
Series:
Working Paper No. 98/49
Date:
April 01, 1998
Subject(s):
Trade liberalization
|
Tax reforms
|
Tariff reforms
Title:
Corruption, Structural Reforms, and Economic Performance in the Transition Economies
Author/Editor:
Abed, George T. ; Davoodi, Hamid Reza
Series:
Working Paper No. 00/132
Date:
July 01, 2000
Subject(s):
Corruption
|
Transition economies
|
Structural adjustment
Title:
Issues in the Unification of Financial Sector Supervision
Author/Editor:
Abrams, Richard K. ; Taylor, Michael
Series:
Working Paper No. 00/213
Date:
December 01, 2000
Subject(s):
Financial sector
|
Bank supervision
Title:
Monetary Policy and Risk-Premium Shocks in Hungary : Results from a Large Bayesian VAR
Author/Editor:
Adina Popescu ; Alina Carare
Series:
Working Paper No. 11/259
Date:
November 01, 2011
Subject(s):
External shocks
|
Inflation targeting
|
Monetary transmission mechanism
Author's Keyword(s):
Monetary policy
|
Risk premium shocks
|
Transmission mechanism
|
Large Bayesian VAR.
Title:
Market Discipline and Conflicts of Interest Between Banks and Pension Funds
Author/Editor:
Adolfo Barajas ; Mario Catalán
Series:
Working Paper No. 11/282
Date:
December 01, 2011
Subject(s):
Asset management
|
Banking crisis
|
Banks
|
Economic models
|
Pension funds
Author's Keyword(s):
conflicts of interest
|
institutional investors
|
pension funds
|
banks
|
market discipline
Title:
Brazil's Long-Term Growth Performance -Trying to Explain the Puzzle
Author/Editor:
Adrogué, Ricardo ; Cerisola, Martin ; Gelos, Gaston
Series:
Working Paper No. 06/282
Date:
December 01, 2006
Subject(s):
Economic growth
|
Brazil
|
Economic stabilization
|
Economic reforms
|
Consumption
|
Economic models
Author's Keyword(s):
Brazil
|
Per capita growth
|
cross country analysis
Title:
Borrowing Risk and the Tequila Effect
Author/Editor:
Agénor, Pierre-Richard
Series:
Working Paper No. 97/86
Date:
July 11, 1997
Subject(s):
Borrowing
|
Mexico
|
Argentina
|
Economic models