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Monetary policy, asset prices,...
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61
Stock Prices and Monetary Policy Shocks : A General Equilibrium Approach
Challe, Edouard
-
2011
Recent empirical literature documents that unexpected changes in the nominal interest rates have a significant effect on stock prices: a 25-basis point increase in the Fed funds rate is associated with an immediate decrease in broad stock indices that may range from 0.5 to 2.3 percent, followed...
Persistent link: https://www.econbiz.de/10013123973
Saved in:
62
Monetary Policy Communication, Policy Slope, and the Stock Market
Neuhierl, Andreas
-
2019
The slope factor is constructed from changes in federal funds futures of different horizons and predicts stock returns at the weekly frequency: faster policy easing positively predicts returns. It contains information about the speed of future monetary policy tightening and loosening, and...
Persistent link: https://www.econbiz.de/10012903509
Saved in:
63
Monetary Policy Slope and the Stock Market
Neuhierl, Andreas
-
2018
We construct a slope factor from changes in federal funds futures of different horizons. A positive slope signals faster monetary policy tightening and predicts negative excess returns at the weekly frequency. Investors can achieve increases in weekly Sharpe ratios of 20% conditioning on the...
Persistent link: https://www.econbiz.de/10012935261
Saved in:
64
Monetary Policy and the Stock Market : Time-Series Evidence
Neuhierl, Andreas
-
2017
We construct a slope factor from changes in federal funds futures of different horizons. Slope predicts stock returns at the weekly frequency: faster monetary policy easing positively predicts excess returns. Investors can achieve increases in weekly Sharpe ratios of 20% conditioning on the...
Persistent link: https://www.econbiz.de/10012965931
Saved in:
65
Asset Price Bubbles and Central Bank Policies : The Crash of the 'Jackson Hole Consensus'
Malliaris, A. (Tassos) G.
-
2011
This paper reexamines the main arguments of whether or not monetary policy should respond to asset bubbles. The question of how the central bank should respond to an asset bubble can be reformulated in two ways. First, how does the central bank respond while an asset bubble is growing, and...
Persistent link: https://www.econbiz.de/10013119617
Saved in:
66
Monetary policy under a fiscal
theory
of sovereign default
Schabert, Andreas
-
2009
This paper examines equilibrium determination under different monetary policy regimes when the government might default on its debt. We apply a cash-in-advance model where the government does not have access to non-distortionary taxation and does not account for initial outstanding debt when it...
Persistent link: https://www.econbiz.de/10011379355
Saved in:
67
Imperfect Credibility and the Zero Lower Bound on the Nominal Interest Rate
Bodenstein, Martin
-
2010
When the nominal interest rate reaches its zero lower bound, credibility is crucial for conducting forward guidance. We determine optimal policy in a New Keynesian model when the central bank has imperfect credibility and cannot set the nominal interest rate below zero. In our model, an...
Persistent link: https://www.econbiz.de/10013139934
Saved in:
68
Monetary Policy Under a Fiscal
Theory
of Sovereign Default
Schabert, Andreas
-
2009
This paper examines equilibrium determination under different monetary policy regimes when the government might default on its debt. We apply a cash-in-advance model where the government does not have access to non-distortionary taxation and does not account for initial outstanding debt when it...
Persistent link: https://www.econbiz.de/10013154953
Saved in:
69
Redefining
Liquidity
for Monetary Policy
Kim, Kyunghun
-
2018
This paper proposes a monetary aggregate “
Liquidity
” that could serve as a useful indicator for gauging the … appropriateness of monetary policy. If
liquidity
rises above a certain threshold, it is signaling that monetary policy is losing …
Persistent link: https://www.econbiz.de/10012928968
Saved in:
70
Interest, Reserves, and Prices
Benigno, Gianluca
;
Benigno, Pierpaolo
-
2021
-Wicksellian paradigm. A general form of an aggregate-demand equation reveals a role for
liquidity
, as well as less effective movements in …
Persistent link: https://www.econbiz.de/10013222541
Saved in:
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