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1. An Experiment in Tight Monetary Policy: Revisiting the 1920–1921 Depression.

2. Systemic Risk and Monetary Policy: The Haircut Gap Channel of the Lender of Last Resort.

3. Monetary Policy and Bond Prices with Drifting Equilibrium Rates.

4. FOR THE MACROECONOMIST, THIS IS ALMOST AS GOOD AS IT GETS ... BUT WILL IT LAST?

5. Exchange Rate Dynamics and Monetary Spillovers with Imperfect Financial Markets.

6. Identifying the Effects of Macroeconomic Attention Through Foreign Investor Distraction.

7. BMI Research: Emerging Europe Monitor: Russia & CIS.

8. Household Excess Savings and the Transmission of Monetary Policy.

9. Latin America Monitor: Mexico.

10. Latin America Monitor: Central America.

11. Latin America Monitor Southern Cone.

12. Latin America Monitor: Brazil.

13. Caribbean.

14. Asia Monitor South East Asia Vol 1.

15. Asia Monitor South East Asia Vol 2.

16. BMI Research: Emerging Markets Monitor.

17. The Contribution of Foreign Holdings of U.S. Treasury Securities to the U.S. Long-Term Interest Rate: An Empirical Investigation of the Impact of the Zero Lower Bound.

18. Disagreement About the Term Structure of Inflation Expectations.

19. MONETARY POLICY

20. Financial Crises and the Transmission of Monetary Policy to Consumer Credit Markets.

21. Monetary Policy, Business Liquidity and Survival: Evidence from the Refinancing Channel.

24. Speaking in unison? Explaining the role of agenda-setter constellations in the ECB policy agenda using a network-based approach.

25. BULGARIAN ECONOMY IN 2023 – STRUCTURAL CHALLENGES AND MEDIUM-RUN PERSPECTIVES.

26. International monetary policy and cryptocurrency markets: dynamic and spillover effects.

27. The endogeneity of monetary policies of emerging market economies.

28. The impact of central bank's repo balance on monetary policy transmission - evidence from Brazil.

29. A study of inflation persistence in Kazakhstan: what has changed?

30. Monetary policy transmission in India: new evidence from firm-bank matched data.

31. Monetary Policy Uncertainty and Earnings Management.

32. Monetary policy and heterogeneous price effects in the United Kingdom.

33. Perceptions About Monetary Policy*.

34. International reserves accumulation and monetary policy autonomy: A nonlinear approach.

35. Trilemma versus dilemma: Monetary autonomy and long‐term interest rate independence.

36. Forecasting the direction of the Fed's monetary policy decisions using random forest.

37. Macau hotel industry's response to global shocks.

38. Presenting a model for identifying the risk aversion of shareholders according to the influence and role of the government’s monetary and fiscal policies and the mass behavior of shareholders.

39. COVID-19 and South Asia: an overview.

40. Determinants of Household and Professional Forecasters’ Inflation Expectations in India.

41. Measuring the U.S. monetary noise shocks.

42. Financial and market risks of bitcoin adoption as legal tender: evidence from El Salvador.

43. Monetary policy during the energy price crisis: ECB could have contained inflation earlier.

44. Chorus in the Cacophony: Dissent and Policy Communication of India's Monetary Policy Committee.

45. The role of fiscal discipline on the exchange-rate pass-through during inflation targeting.

46. Walter Bagehot and <italic>Lombard Street</italic> (1873): introduction to a 150-year retrospective.

48. Carrots with(out) sticks: credit policy and the limits of green central banking.

49. Explaining variation in national cryptocurrency regulation: implications for the global political economy.

50. Inflation targeting, output stabilization, and real indeterminacy in monetary models with an interest rate rule.

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