International Monetary Fund, Washington, 1998
Date
1998
Label
International Monetary Fund, Washington, 1998
Name
International Monetary Fund
Place
Washington
Provider agent
Provider place
Incoming Resources
- EMU, adjustment and exchange rate variability
- Capital account liberalization in the Southern Mediterranean region
- What should be done with a fiscal surplus?
- Output decline and recovery in Uzbekistan, past performance and future prospects
- Public sector efficiency and fiscal austerity
- The East Asian crisis, macroeconomic developments and policy lessons
- Inflation, uncertainty, and growth in Colombia
- The macroeconomic effects of environmental taxes, a closer look at the feasibility of "win-win" outcomes
- Fixed investment and capital flows, a real options approach
- Policy responses to external imbalances in emerging market economies, further empirical results
- Why do different countries use different currencies?
- Considerations in reducing inflation from low to lower levels
- Market-based policy instruments for systemic bank restructuring
- Capital flows with debt- and equity-financed investment, equilibrium structure and efficiency implications
- Tax smoothing in a financially repressed economy, evidence from India
- Structural reforms in government bond markets
- The statistivcal measurement of financial derivatives
- Brady bonds and default probabilities
- European trade and foreign direct investment U-shaping industrial output in Central and Eastern Europe, theory and evidence
- Can short-term capital controls promote capital inflows?
- Real exchange rate volatility, does the nominal exchange rate regime matter?
- Consequences of the Economic and Monetary Union for the coordination of tax systems in the European Union, lessons from the U.S. experience
- Bank lending and interest rate changes in a dynamic matching model
- Monetary policy with a convex Phillips curve and asymmetric loss
- Fixed-income markets in the United States, Europe and Japan, some lessons for emerging markets
- Tax revenue in Sub-Saharan Africa, effects of economic policies and corruption
- Export credit agencies, trade finance and South East Asia
- Determinants of inflation, exchange rate, and output in Nigeria
- Financial market contagion in the Asian crisis?
- Pension developments and reforms in transition economies
- Systemic banking distress, the need for an enhanced monetary survey
- Income inequality, does inflation matter?
- Dollarization of financial intermediation, causes and policy implications
- Intermediation spreads in a dual currency economy, Argentina in the 1990s
- The impact of human capital on growth, evidence from West Africa
- Increasing dependency ratios, pensions, and tax smoothing
- The price incentive to smuggle and the cocoa supply in Ghana, 1950-96
- Capital structures and portfolio composition during banking crisis, lessons from Argentina 1995
- Competitiveness and the evolution of the real exchange rate in Chile
- Time series analysis of export demand equations, a cross-country analysis
- The macroeconomic consequences of wage indexation revisited
- Managing capital flows, lessons from the experience of Chile
- Trade liberalization and tax reform in the Southern Mediterranean region
- Interest rate spreads in the Eastern Caribbean
- Financial crisis and credit crunch as a result of inefficient financial intermediation, with reference to the Asian financial crises
- Optimal fiscal policy and the environment
- Monetary operations and government debt management under islamic banking
- Migration and pension
- Deviations of exchange rates from purchasing power parity, a story featuring two monetary unions
- Inflation, disinflation and growth
Outgoing Resources
- Provider agent1
- Provider place1