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2. The Term Structure of Commercial Paper Rates
3. International Finance Discussion Paper
4. Corporate Bond Issuance Over Financial Stress Episodes: A Global Perspective
5. Tariff Rate Uncertainty and the Structure of Supply Chains
6. Inequality and Asset Prices during Sudden Stops
7. Demand for U.S Banknotes at Home and Abroad: A Post-Covid Update
8. Lessons from Nowcasting GDP across the World
9. Trade Uncertainty and U.S. Bank Lending
10. The International Spillovers of Synchronous Monetary Tightening
11. Committing to Grow: Privatizations and Firm Dynamics in East Germany
12. Exchange Rate Elasticities of International Tourism and the Role of Dominant Currency Pricing
13. In Search of Dominant Drivers of the Real Exchange Rate
14. The US, Economic News, and the Global Financial Cycle
15. Self-Fulfilling Debt Crises with Long Stagnations
16. The Inflationary Effects of Sectoral Reallocation
17. Making the Elite: Top Jobs, Disparities, and Solutions
18. The impact of risk cycles on business cycles: a historical view
19. The Economics of Sovereign Debt, Bailouts and the Eurozone Crisis
20. Trade policies and fiscal devaluations
21. Monetary Policy and Homeownership: Empirical Evidence, Theory, and Policy Implications
22. The Dominant Currency Financing Channel of External Adjustment
23. Forecast Revisions as Instruments for News Shocks
24. A Journey in the History of Sovereign Defaults on Domestic-Law Public Debt
25. Financial Stability Governance and Central Bank Communications
26. Corporate stress and bank nonperforming loans: Evidence from Pakistan
27. Expansionary Austerity: Reallocating Credit Amid Fiscal Consolidation
28. U.S. Monetary Policy Spillovers to Emerging Markets: Both Shocks and Vulnerabilities Matter
29. The Dollar and Corporate Borrowing Costs
30. Globalization, Trade Imbalances and Labor Market Adjustment
31. Bought, Sold, and Bought Again: The Impact of Complex Value Chains on Export Elasticities
32. The Financial (In)Stability Real Interest Rate, R**
33. Optimizing Credit Gaps for Predicting Financial Crises: Modelling Choices and Tradeoffs
34. Financial Integration and the Co-Movement of Economic Activity: Evidence from U.S. States
35. Exchange Rates and Endogenous Productivity
36. Does Unemployment Risk Affect Business Cycle Dynamics?
37. Optimal Taxation with Endogenous Default under Incomplete Markets
38. Artificial Intelligence Methods for Evaluating Global Trade Flows
39. Modern Pandemics: Recession and Recovery
40. Owe a Bank Millions, the Bank Has a Problem: Credit Concentration in Bad Times
41. Computerizing Households and the Role of Investment-Specific Productivity in Business Cycles
42. Natural Disasters, Climate Change, and Sovereign Risk
43. Households' Balance Sheets and the Effect of Fiscal Policy
44. What is Certain about Uncertainty?
45. U.S. Banks and Global Liquidity
46. Scarcity of Safe Assets and Global Neutral Interest Rates
47. Bank Complexity, Governance, and Risk
48. The State Dependent Effectiveness of Hiring Subsidies
49. Monetary Policy Expectations, Fund Managers, and Fund Returns: Evidence from China
50. Capital Flows, Asset Prices, and the Real Economy: A "China Shock" in the U.S. Real Estate Market
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