International Monetary Fund, Washington, 1996
Date
1996
Label
International Monetary Fund, Washington, 1996
Name
International Monetary Fund
Place
Washington
Provider agent
Provider place
Incoming Resources
- Financial sector reform and banking crises in the Baltic countries
- Volatility of oil prices
- A pecking order theory of capital inflows and international tax principles
- Currency unions, economic fluctuations and adjustment, some new empirical evidence
- Rational liquidity crises in the sovereign debt market, in search of a theory
- Aspects of the Swiss labor market
- Volatility and predictability in national stock markets, how do emerging and mature markets differ?
- Currency speculation and the optimum control of bank lending in Singapore dollar, a case for partial liberalization
- Bank-by bank credit ceilings, issues and experiences
- The effects of corruption on growth, investment and government expenditure
- Should the IMF become more adaptive?
- Fiscal adjustments in OECD countries, composition and macroeconomic effects
- Do government wage cuts close budget deficits?, a conceptual framework for developing countries and transition economies
- Monetary policy in Central and Eastern Europe, lessons after half a decade of transition
- The role of prudential supervision and financial restructuring of banks during transition to indirect instruments of monetary control
- Regulatory and tax treatment of loan loss provisions
- Income distribution and macroeconomic performance in the United States
- Central Bank independence, a free lunch?
- How accurate are the IMF's short-term forecasts?, another examination of the world economic outlook
- The effects of the European Economic and Monetary Union (EMU) on national fiscal sustainability
- Does the nominal exchange rate regime matter
- Estimation of the near unit root model of real exchange rates
- Equilibrium exchange rates in transition economies
- Exchange rate pass-through in Spain
- Banking sector fragility and systemic sources of fragility
- Private bond restructurings, lessons for the case of sovereign debtors
- Health and education expenditure in Russia, the Baltic States and the other countries of the former Soviet Union
- Multiple exchange rates, fiscal deficits and inflation dynamics
- Accountability and transparency in the public sector, the New Zealand experience
- Discretion with rules?, lessons from the Currency Board arrangement in Lithuania
- Union behavior, industry rents and optimal policies
- Sweden, selected issues
- Social and political factors in a model of endogenous economic growth and distribution, an application to the Philippines
- Globalization, tax competition and the future of tax system
- Wage indexation and the cost of disinflation
- Currency convertibility and the fund, review and prognosis
- Is MENA a region?, the scope for regional integration
- Policy complementarities, the case for fundamental labor market reform
- An analysis of the optimal provision of public infrastructure, a computational model using Mexican data
- The output-inflation nexus in Ukraine, is there a trade-off?
- Moderate inflation in Poland, a real story
- Presumptive taxation in Sub-Saharan Africa, experiences and prospects
- Long-term trends in the saving-investment balance and persistent current account surpluses in a small open economy, the case of the Netherlands
- A credit crunch?, a case study of Finland in the aftermath of the banking crisis
- Generational accounts, aggreate savings and intergenerational distribution
- What determines the current account?, a cross-sectional and panel approach
- Is the Phillips curve really a curve?, some evidence for Canada, the United Kingdom, and the United States
- Stabilization and growth in transition economies, the early experience
- The Feldstein-Horioka test of international capital mobility, is it feasible?
- Macroeconomic implications of money laundering
Outgoing Resources
- Provider agent1
- Provider place1