IMF Working Papers by Author

 
 
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C
 
Title: Optimal Bank Recovery
Author/Editor: C. A. E. Goodhart ; Miguel A. Segoviano Basurto
Series: Working Paper No. 15/217
Date: September 30, 2015
Subject(s): Bank resolution | Banks | Bank supervision
 
Title: Public Debt in Advanced Economies and its Spillover Effectson Long-Term Yields
Author/Editor: C. Emre Alper ; Lorenzo Forni
Series: Working Paper No. 11/210
Date: August 01, 2011
Subject(s): Spillovers | Public debt | Bonds | Developed countries | Economic models | Emerging markets | Interest rates
Author's Keyword(s): Spillovers | public debt | long-term real rates
 
Title: Pricing of Sovereign Credit Risk : Evidence From Advanced Economies During the Financial Crisis
Author/Editor: C. Emre Alper ; Lorenzo Forni ; Marc Gerard
Series: Working Paper No. 12/24
Date: January 01, 2012
Subject(s): Credit risk | Developed countries | Global Financial Crisis 2008-2009 | Risk premium | Sovereign debt
Author's Keyword(s): Advanced economies | sovereign spreads | fiscal risks.
 
Title: Emerging Markets Crisis - An Asset Markets Perspective
Author/Editor: Caballero, Ricardo J. ; Krishnamurthy, Arvind
Series: Working Paper No. 99/129
Date: September 01, 1999
Subject(s): Capital flows | Governance | Banks | Emerging markets | Economic models
 
Title: Structural Breaks in Fiscal Performance: Did Fiscal Responsibility Laws Have Anything to Do with Them?
Author/Editor: Caceres, Carlos ; Corbacho, Ana ; Medina, Leandro
Series: Working Paper No. 10/248
Date: November 01, 2010
Subject(s): Business cycles | Commodity price fluctuations | Cross country analysis | Developed countries | Economic models | Fiscal analysis | Fiscal policy | Latin America | Legislation
Author's Keyword(s): Fiscal Responsibility Laws | Fiscal Institutions | Fiscal Performance.
 
Title: Sovereign Spreads: Global Risk Aversion, Contagion or Fundamentals?
Author/Editor: Caceres, Carlos ; Guzzo, Vincenzo ; Segoviano Basurto, Miguel A.
Series: Working Paper No. 10/120
Date: May 01, 2010
Subject(s): Bonds | Cross country analysis | Economic models | Financial crisis | Fiscal policy | Global Financial Crisis 2008-2009 | Risk premium | Sovereign debt | Spillovers
Author's Keyword(s): Sovereign spreads | contagion | market price of risk | fiscal policy
 
Title: From Basel I to Basel III: Sequencing Implementation in Developing Economies
Author/Editor: Caio Ferreira,Nigel Jenkinson,Christopher Wilson
Series: Working Paper No. 19/127
Date: June 14, 2019
 
Title: From Basel I to Basel III: Sequencing Implementation in Developing Economies
Author/Editor: Caio Ferreira,Nigel Jenkinson,Christopher Wilson
Series: Working Paper No. 19/127
Date: June 14, 2019
 
Title: Adjustment and Growth in Sub-Saharan Africa
Author/Editor: Calamitsis, Evangelos A. ; Basu, Anupam ; Ghura, Dhaneshwar
Series: Working Paper No. 99/51
Date: April 01, 1999
Subject(s): Economic growth | Sub-Saharan Africa | Adjustment policy
 
Title: Determinants of Bank Interest Margins in Sub-Saharan Africa
Author/Editor: Calixte Ahokpossi
Series: Working Paper No. 13/34
Date: January 31, 2013
Subject(s): Banking sector | Sub-Saharan Africa | Interest rates | Profit margins | Cross country analysis
 
Title: Financial Depth in the WAEMU : Benchmarking Against Frontier SSA Countries
Author/Editor: Calixte Ahokpossi ; Kareem Ismail ; Sudipto Karmakar ; Mesmin Koulet-Vickot
Series: Working Paper No. 13/161
Date: July 03, 2013
Subject(s): Financial sector | West African Economic and Monetary Union | Sub-Saharan Africa | Nonoil developing countries | Cross country analysis | Economic models
 
Title: A Constrained Choice? Impact of Concessionality Requirements on Borrowing Behavior
Author/Editor: Calixte Ahokpossi ; Laurence Allain ; Giovanna Bua
Series: Working Paper No. 14/176
Date: September 24, 2014
Subject(s): Concessional aid | Conditionality | Low-income developing countries | External borrowing | External debt limits
 
Title: Monetary and Fiscal Policies and the Dynamics of the Yield Curve in Morocco
Author/Editor: Calixte Ahokpossi ; Pilar Garcia Martinez ; Laurent Kemoe
Series: Working Paper No. 16/103
Date: May 23, 2016
Subject(s): Bond yields | Morocco | Bond markets | Monetary policy | Fiscal policy | Econometric models | Vector autoregression
 
Title: The Impact of Monetary Policy Communication in an Emerging Economy: The Case of Indonesia
Author/Editor: Calixte Ahokpossi,Agnes Isnawangsih,Md. Shah Naoaj,Ting Yan
Series: Working Paper No. 20/109
Date: June 26, 2020
 
Title: Assessing External Sustainability in India
Author/Editor: Callen, Tim ; Cashin, Paul
Series: Working Paper No. 99/181
Date: December 01, 1999
Subject(s): Capital controls | India | External borrowing
 
Title: Modeling and Forecasting Inflation in India
Author/Editor: Callen, Tim ; Chang, Dongkoo
Series: Working Paper No. 99/119
Date: September 01, 1999
Subject(s): Inflation | India | Forecasting models
 
Title: Empirical Determinants of Household Saving - Evidence from OECD Countries
Author/Editor: Callen, Tim ; Thimann, Christian
Series: Working Paper No. 97/181
Date: December 01, 1997
Subject(s): Savings | Developed countries | Tax structures | Social security
 
Title: Aging, Secular Stagnation and the Business Cycle
Author/Editor: Callum Jones
Series: Working Paper No. 18/67
Date: March 23, 2018
 
Title: International Spillovers of Forward Guidance Shocks
Author/Editor: Callum Jones,Mariano Kulish,Daniel M. Rees
Series: Working Paper No. 18/114
Date: May 15, 2018
 
Title: Credit Cycles, Fiscal Policy, and Global Imbalances
Author/Editor: Callum Jones,Pau Rabanal
Series: Working Paper No. 2021/043
Date: February 19, 2021