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151. Interconnectedness of Global Systemically-Important Banks and Insurers

152. Settling the Inflation Targeting Debate: Lights From a Meta-Regression Analysis

153. Indexing Structural Distortion: Sectoral Productivity, Structural Change and Growth

154. A Rebalancing Act for China and Africa : The Effects of China’s Rebalancing on Sub-Saharan Africa’s Trade and Growth

155. Financial Deepening in Mexico

156. Banks' Adjustment to Basel III Reform : A Bank-level Perspective for Emerging Europe

157. Fiscal Politics in the Euro Area

158. A Generalized Framework for the Assessment of Household Financial Vulnerability

159. Understanding Revenue Administration : Results From the Second Survey of the Revenue Administration – Fiscal Information Tool

160. Trade Integration in Latin America: A Network Perspective

161. Hong Kong’s Growth Synchronization with China and the U.S. : A Trend and Cycle Analysis

162. Towards Macroprudential Stress Testing : Incorporating Macro-Feedback Effects

163. Central Bank Emergency Support to Securities Markets

164. Who Dares, Wins : Labor Market Reforms and Sovereign Yields

165. Financial Stability Analysis: What Are the Data Needs?

166. Multivariate Filter Estimation of Potential Output for the United States

167. Exchange Rate Regimes in Central, Eastern and Southeastern Europe : A Euro Bloc and a Dollar Bloc

168. Labor Market Institutions and the Cost of Recessions

169. Quarterly Projection Model for India : Key Elements and Properties

170. Governments and Promised Fiscal Consolidations : Do They Mean What They Say?

171. Indian Financial Sector : Structure, Trends and Turns

172. The Macroeconomic (and Distributional) Effects of Public Investment in Developing Economies

173. Debt Limits and the Structure of Public Debt

174. International Financial Integration in the Aftermath of the Global Financial Crisis

175. Global Value Chains and the Exchange Rate Elasticity of Exports

176. The Role of Newly Industrialized Economies in Global Value Chains

177. Poverty, Growth, and Inequality in Sub-Saharan Africa : Did the Walk Match the Talk Under the PRSP Approach?

178. Crime and the Economy in Mexican States : Heterogeneous Panel Estimates (1993-2012)

179. Energy Subsidies in Latin America and the Caribbean

180. Fiscal Policy Implications for Labor Market Outcomes in Middle-Income Countries

181. Building Resilience in Sub-Saharan Africa's Fragile States

182. Macroprudential Solvency Stress Testing of the Insurance Sector

183. Fiscal Rules and the Procyclicality of Fiscal Policy in the Developing World

184. Global Liquidity Through the Lens of Monetary Aggregates

185. Regulation and Supervision of Islamic Banks

186. Islamic Banking Regulation and Supervision

187. World Saving

188. Systemic banking crises : a new database

189. Systemic Contingent Claims Analysis : Estimating Market-implied Systemic Risk

190. New Zealand Banks' Vulnerabilities and Capital Adequacy

191. GPM6 : The Global Projection Model with 6 Regions

192. Fiscal Sustainability : A 21st Century Guide for the Perplexed

193. A Framework for Macroprudential Bank Solvency Stress Testing : Application to S-25 and Other G-20 Country FSAPs

194. Boosting Competitiveness to Grow Out of Debt—Can Ireland Find a Way Back to Its Future?

195. Financial Crises : Explanations, Types, and Implications

196. Connected to Whom? : International Interbank Borrowing During the Global Crisis

197. Foreign Aid and Revenue: Still a Crowding Out Effect? (PDF Download)

198. Factor Endowment, Structural Coherence, and Economic Growth (PDF Download)

199. Exchange Rate and Foreign Interest Rate Linkages for Sub-Saharan Africa Floaters

200. Donor Competition for Aid Impact, and Aid Fragmentation