IMF Working Papers

Pages8-12

Page 8

No. 10/82

Price Setting in a Model with Production Chains: Evidence from Sectoral Data

Shamloo, Maral

No. 10/83

Credit Conditions and Recoveries from Recessions Associated with Financial Crises

Kannan, Prakash

No. 10/84

Inflation Expectations and Monetary Policy in India: An Empirical Exploration

Debabrata Patra, Michael; Ray, Partha

No. 10/85

Monetary Policy Committees, Learning, and Communication

Weber, Anke

No. 10/86

The Embodiment of Intangible Investment Goods: A Q-Theory Approach

Belhocine, Nazim

No. 10/87

The GCC Banking Sector: Topography and Analysis

Al-Hassan, Abdullah; Khamis, May Y.; Oulidi, Nada

No. 10/88

Foreign Participation in Emerging Markets' Local Currency Bond Markets

Peiris, Shanaka J.

No. 10/89

Russia's Output Collapse and Recovery: Evidence from the Post-Soviet Transition

Kvintradze, Eteri

No. 10/90

Regional Financial Integration in the GCC

Espinoza, Raphael A.; Prasad, Ananthakrishnan; Williams, Oral

No. 10/91

Transparency and Monetary Policy with Imperfect

Common Knowledge

Roca, Mauro

No. 10/92

Beyond the Crisis: Revisiting Emerging Europe's Growth Model

Atoyan, Ruben

No. 10/93

Determinants of China's Private Consumption: An International Perspective

Guo, Kai; N'Diaye, Papa M'B. P.

No. 10/94

Boom-Bust Cycle, Asymmetrical Fiscal Response and the Dutch Disease

Arezki, Rabah; Ismail, Kareem

No. 10/95

Bank Efficiency Amid Foreign Entry: Evidence from the Central American Region

Wezel, Torsten

No. 10/96

Growth Convergence and Spillovers among Indian States: What Matters? What Does Not?

Kalra, Sanjay; Sodsriwiboon, Piyaporn

No. 10/97

Absorption Boom and Fiscal Stance: What Lies Ahead in Eastern Europe?

Rahman, Jesmin

No. 10/98

Regulatory Capital Charges for Too-Connected-to-Fail Institutions: A Practical Proposal

Chan-Lau, Jorge A.

Page 9

No. 10/99

Collateral, Netting and Systemic Risk in the OTC Derivatives Market

Singh, Manmohan

No. 10/100

Quantitative Properties of Sovereign Default Models: Solution Methods Matter

Hatchondo, Juan Carlos; Martinez, Leonardo; Sapriza, Horacio

No. 10/101

Development Accounting and the Rise of TFP

Arezki, Rabah; Cherif, Reda

No. 10/102

The Global Credit Crunch and Foreign Banks' Lending to Emerging Markets: Why Did Latin America Fare Better?

Kamil, Herman; Rai, Kulwant

No. 10/103

The Structural Manifestation of the "Dutch Disease": The Case of Oil-Exporting Countries

Ismail, Kareem

No. 10/104

House Price Determinants in Selected Countries of the Former Soviet Union

Stepanyan, Vahram; Poghosyan, Tigran; Bibolov, Aidyn

No. 10/105

Cross-Border Financial Surveillance: A Network Perspective

Espinosa-Vega, Marco; Solé, Juan

No. 10/106

Implementing Official Dollarization

Jácome, Luis Ignacio; Lönnberg, Åke

No. 10/107

Balance Sheet Network Analysis of Too-Connected-to-Fail Risk in Global and Domestic Banking Systems

Chan-Lau, Jorge A.

No. 10/108

The Global Financial Crisis and its Impact on the Chilean

Banking System

Chan-Lau, Jorge A.

No. 10/109

Power Laws in Firm Size and Openness to Trade: Measurement and Implications

di Giovanni, Julian; Levchenko, Andrei A.; Ranciere, Romain

No. 10/110

Public Investment as a Fiscal Stimulus: Evidence from Japan's Regional Spending During the 1990s

Bruckner, Markus; Tuladhar, Anita

No. 10/111

Fiscal Policy and Macroeconomic Stability: Automatic Stabilizers Work, Always and Everywhere

Debrun, Xavier; Kapoor, Radhicka

No. 10/112

Equity and Fiscal Policy: The Income Distribution Effects of Taxation and...

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