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Title: Macro-prudential Policy in a Fisherian Model of Financial Innovation
Author/Editor: Javier Bianchi ; Emine Boz ; Enrique G. Mendoza
Series: Working Paper No. 12/181
Date: July 01, 2012
Subject(s): Economic models | Macroprudential Policy
Author's Keyword(s): Financial crises | financial innovation | macro-prudential regulation | Bayesian learning
 
Title: Macroeconomic and Welfare Costs of U.S. Fiscal Imbalances
Author/Editor: Bertrand Gruss ; Jose L. Torres
Series: Working Paper No. 12/38
Date: January 01, 2012
Subject(s): Debt reduction | Economic models | Fiscal consolidation | Public debt | Welfare
Author's Keyword(s): Fiscal imbalances | government debt | growth | crowding out | fiscal consolidation | welfare.
 
Title: Macrofinancial Modeling At Central Banks : Recent Developments and Future Directions
Author/Editor: Jan Vlcek ; Scott Roger
Series: Working Paper No. 12/21
Date: January 01, 2012
Subject(s): Economic models | Monetary transmission mechanism
Author's Keyword(s): Monetary policy analysis | financial frictions | macroeconomic modeling
 
Title: Macroprudential Policies and Housing Price : A New Database and Empirical Evidence for Central, Eastern, and Southeastern Europe
Author/Editor: Jerome Vandenbussche ; Ursula Vogel ; Enrica Detragiache
Series: Working Paper No. 12/303
Date: December 27, 2012
Subject(s): Macroprudential Policy | Eastern Europe | Housing prices | Business cycles | Cross country analysis | Economic models | Databases
 
Title: Managing Large-Scale Capital Inflows : The Case of the Czech Republic, Poland and Romania
Author/Editor: Leonor Keller ; Ibrahim Chowdhury
Series: Working Paper No. 12/138
Date: May 01, 2012
Subject(s): Capital controls | Capital flows | Capital inflows | Emerging markets
Author's Keyword(s): Capital inflows | capital controls
 
Title: Managing Non-Core Liabilities and Leverage of the Banking System : A Building Block for Macroprudential Policy Making in Korea
Author/Editor: Ali Alichi ; Cheol Hong ; Sang Chul Ryoo
Series: Working Paper No. 12/27
Date: January 01, 2012
Subject(s): Banking systems | Economic models
Author's Keyword(s): Macroprudential Policies | Macroprudential Model | Systemic Risk
 
Title: Measures of Fiscal Risk in Hydrocarbon-Exporting Countries
Author/Editor: Carlos Caceres ; Leandro Medina
Series: Working Paper No. 12/260
Date: October 30, 2012
Subject(s): Fiscal risk | Oil exporting countries | Hydrocarbons | Oil prices | Commodity price fluctuations | Fiscal policy
 
Title: Measuring Oil-Price Shocks Using Market-Based Information
Author/Editor: Tao Wu ; Michele Cavallo
Series: Working Paper No. 12/19
Date: January 01, 2012
Subject(s): Commodity price fluctuations | External shocks | Oil prices | Price increases
Author's Keyword(s): Oil Shocks | Market-Based Information | VAR Identification
 
Title: Measuring Systemic Liquidity Risk and the Cost of Liquidity Insurance
Author/Editor: Tiago Severo
Series: Working Paper No. 12/194
Date: July 01, 2012
Subject(s): Banks | Credit risk | International banks | Liquidity
Author's Keyword(s): Liquidity | systemic risk | banks | stock returns | insurance
 
Title: Measuring Systemic Risk-Adjusted Liquidity (SRL) : A Model Approach
Author/Editor: Andreas Jobst
Series: Working Paper No. 12/209
Date: August 01, 2012
Subject(s): Banking sector | Economic models | Risk management
Author's Keyword(s): Systemic risk | liquidity risk | Net Stable Funding Ratio (NSFR) | extreme value theory | financial contagion | macroprudential regulation
 
Title: Mobilizing Revenue in Sub-Saharan Africa : Empirical Norms and Key Determinants
Author/Editor: Paulo Drummond ; Wendell Daal ; Nandini Srivastava ; Luiz Edgard Oliveira
Series: Working Paper No. 12/108
Date: May 01, 2012
Subject(s): Revenue mobilization | Low-income developing countries
Author's Keyword(s): Revenue mobilization | fiscal policy | econometric panel estimation.
 
Title: Modeling the Impact of Taxes on Petroleum Exploration and Development
Author/Editor: James L. Smith
Series: Working Paper No. 12/278
Date: November 27, 2012
Subject(s): Taxes | Oil production | Taxation | Economic models
 
Title: Modeling with Limited Data : Estimating Potential Growth in Cambodia
Author/Editor: Phurichai Rungcharoenkitkul
Series: Working Paper No. 12/96
Date: April 01, 2012
Subject(s): Economic growth | Economic models | Production growth
Author's Keyword(s): Potential output | Cambodia | growth diagnostics
 
Title: Monetary Policy in Low Income Countries in the Face of the Global Crisis : The Case of Zambia
Author/Editor: Jaromir Benes ; Andrew Berg ; Rafael Portillo ; Mai Dao ; Alfredo Baldini
Series: Working Paper No. 12/94
Date: April 01, 2012
Subject(s): Banking sector | Economic models | Low-income developing countries | Monetary policy | Risk premium
Author's Keyword(s): Global Financial Crisis | Low-Income Countries | Monetary Policy | Zambia
 
Title: Monetary Policy Transmission in the GCC Countries
Author/Editor: Ananthakrishnan Prasad ; Raphael A. Espinoza
Series: Working Paper No. 12/132
Date: May 01, 2012
Subject(s): Economic models | Interest rates | Monetary transmission mechanism
Author's Keyword(s): Transmission mechanism | Fixed exchange rate regime | interest rate pass-through | panel VAR
 
Title: Monetization in Low- and Middle-Income Countries
Author/Editor: Noriaki Kinoshita ; Cameron McLoughlin
Series: Working Paper No. 12/160
Date: June 01, 2012
Subject(s): Bank reforms | Economic growth | Economic models | Low-income developing countries
Author's Keyword(s): Monetization | Financial Sector Reform | Low- and Middle-Income Countries
 
Title: Money and Collateral
Author/Editor: Manmohan Singh ; Peter Stella
Series: Working Paper No. 12/95
Date: April 01, 2012
Subject(s): Asset management | Liquidity | Money
Author's Keyword(s): Money | collateral | liquidity | financial crisis | securitization | central bank
 
Title: Monitoring Systemic Risk Based on Dynamic Thresholds
Author/Editor: Kasper Lund-Jensen
Series: Working Paper No. 12/159
Date: June 01, 2012
Subject(s): Financial stability | Macroprudential Policy | Banking crisis | Banking sector | Economic models | Financial risk
Author's Keyword(s): Systemic Risk | Financial Stability | Macroprudential Policy.