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ECONIS (ZBW)
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1
Central Bank Transparency : Another Look
Siklos, Pierre L.
-
2010
are notable in Central and Eastern Europe, while the index has shown much smaller rises in most other parts of the
world
…
Persistent link: https://www.econbiz.de/10013138709
Saved in:
2
Indonesian Macro Policy Through Two Crises
Azwar, Prayudhi
-
2016
decade-later GFC, however, brought real growth of 6.1% (2008) and 4.5% (2009), amongst the
world
's best performances at the …
Persistent link: https://www.econbiz.de/10013004674
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3
Bringing Financial Stability into Monetary Policy
Leeper, Eric M.
-
2014
This paper arms central bank policy makers with ways to think about interactions between financial stability and monetary policy. We frame the issue of whether to integrate financial stability into monetary policy operating rules by appealing to the observation that in actual economies financial...
Persistent link: https://www.econbiz.de/10013044161
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4
Effects of US Monetary Policy Shocks during Financial Crises ― A Threshold Vector Autoregression Approach
Fry-McKibbin, Renee
-
2016
This paper analyzes the impact of monetary policy during periods of low and high financial stress in the US economy using a Threshold Vector Autoregression model. There is evidence that expansionary monetary policy is effective during periods of high financial stress with larger responses having...
Persistent link: https://www.econbiz.de/10012992677
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5
Non-Core Liabilities and Monetary Policy Transmission in Indonesia During the Post-2007 Global Financial Crisis
Pontines, Victor
-
2017
The policy importance of non-core liabilities has risen to prominence in recent years with the studies of Shin and Shin (2010), Hahm, et al., (2010) and Hahm, et al., (2013) highlighting it as a useful indicator of financial procyclicality and vulnerability. In this paper, we look at non-core...
Persistent link: https://www.econbiz.de/10012941723
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6
Optimal Macroprudential Policy
Munakata, Ko
-
2014
We introduce financial market friction through search and matching in the loan market into a standard New Keynesian model. We reveal that the second order approximation of social welfare includes the terms related to credit, such as credit market tightness, the volume of credit, and the loan...
Persistent link: https://www.econbiz.de/10013063247
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7
Global Macro-Financial Cycles and Spillovers
Ha, Jongrim
-
2020
We develop a new dynamic factor model that allows us to jointly characterize global macroeconomic and financial cycles and the spillovers between them. The model decomposes macroeconomic cycles into the part driven by global and country-specific macro factors and the part driven by spillovers...
Persistent link: https://www.econbiz.de/10012841432
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8
Global Recessions
Kose, M. Ayhan
-
2020
The
world
economy has experienced four global recessions over the past seven decades: in 1975, 1982, 1991, and 2009 …, with severe economic and financial disruptions in many countries around the
world
. The 2009 global recession, set off by …
Persistent link: https://www.econbiz.de/10012841841
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9
Debt and Financial Crises
Koh, Wee Chian
-
2020
Emerging market and developing economies have experienced recurrent episodes of rapid debt accumulation over the past fifty years. This paper examines the consequences of debt accumulation using a three-pronged approach: an event study of debt accumulation episodes in 100 emerging market and...
Persistent link: https://www.econbiz.de/10012841869
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10
Joint Tests of Contagion with Applications to Financial Crises
Fry-McKibbin, Renee
-
2017
Joint tests of contagion are derived which are designed to have power where contagion operates simultaneously through coskewness, cokurtosis and covolatility. Finite sample properties of the new tests are evaluated and compared with existing tests of contagion that focus on a single channel....
Persistent link: https://www.econbiz.de/10012960184
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