Actions
Incoming Resources
- Institutional efficiency, monitoring costs, and the investment share of FDI
- Policy uncertainty, persistence and growth
- External debt, planning horizon and distorted credit markets
- Trade reforms, credibility, and development
- Exchange rate regimes and financial market imperfections
- Financial opening, evidence and policy options
- Capital controls and financial crises
- Reserve reserve requirements on sovereign debt in the presence of moral hazard, on debtors or creditors?
- Fiscal impulses and their fiscal impact
- On the need for fiscal discipline in a union
- New activities, the welfare cost of uncertainty and investment policies
- Monopolistic competition and labor market adjustment in the open economy
- Market power and exchange rate adjustment in the presence of quotas
- Exchange rate flexibility, volatility and the patterns of domestic and foreign direct investment
- World integration, competitive and bargaining regimes switch, an exploration
- Uncertainty and the disappearance of international credit
- Volatility and the investment response
- Privatization in emerging markets
- Externalities, incentives, and economic reforms
- Endogenous pricing to market and financing costs
- Externalities, incentives, and failure to achieve national objectives in decentralized economies
- Foreign direct investment, employment volatility and cyclical dumping
- Trade dependency, bargaining and external debt
- Investment in new activities and the welfare cost of uncertainty
- Sargent-wallace meets krugman-flood-garber, or, why sovereign debt swaps don't avert macroeconomic crises
- Country risk and contingencies
- International portfolio diversification with generalized expected utility preferences
- Political feasibility and investment in economic transformations
- Soft budget constraints, taxes, and the incentive to cooperate
- Capital markets integration, volatility and persistence
- On the hidden links between financial and trade opening
- Optimal tax and debt policy with endogenous imperfect creditworthiness
- International reserve holdings with sovereign risk and costly tax collection
- The high demand for international reserves in the far east, what's going on?
- Successful adjustment in a multi-sectoral economy
- Competitive externalities and the optimal seigniorage
- Strategic investment in a debt bargaining framework
- Volatility, employment and the patterns of FDI in emerging markets
- Military expenditure, threats, and growth
- Foreign direct investment, productive capacity and exchange rate regimes
- Debt and conditionality under endogenous terms of trade adjustment
- Volatility and financial intermediation
- Controlling openness and foreign direct investment
- Foreign direct investment as a commitment mechanism in the presence of managed trade
- The impact of inflation on budgetary discipline
- Reserve uncertainty and supply of international credit
- Capital mobility in a second best world, moral hazard with costly financial intermediation
- Resource allocation during the transition to a market economy, policy implications of supply bottlenecks and adjustment costs
- The merits of horizontal versus vertical FDI in the presence of uncertainty
- Exchange rate flexibility, volatility, and the patterns of domestic and foreign direct investment