Journal Issue

IMF Working Papers

International Monetary Fund. Research Dept.
Published Date:
January 1998
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“The Impact of Economic Security on Bank Deposits and Investment” by Michael Fabricius [98/98]

“Explaining Investment in the WAEMU” by Athanasios Vamvukidis [198/99]

“From Inflation to Growth: Eight Years of Transition” by Peter Christolferscti and Peter Doyle [98/100]

“Inflation and Money Demand in Albania” by Sanjay Kalra [98/101]

“How Big Is the Brain Drain’.’” by William J. Carrington and Enrica Dctragiache [98/102]

“Policy Responses to External Imbalances in Emerging Market Economies—Further Empirical Results” by Chorng-huey Wong and Luis Carranza [98/103]

“Determinants of Growth in an Error-Correction Model for El Salvador” by Armando Morates [98/104]

“Developing Countries and the Globalization of Financial Markets” by Malcolm Knight [98/105]

“Disinflation in Spain: The Recent Experience” by Nicolas Sobczak [98/106]

‘Exchange Rate fluctuations and Trade Flows: Evidence From the European Union” by Giovanni Dell’Ariccia [98/107]

“Structural Reforms in Government Bond Markets” by Mark De Broeek, Dominique Guillaume. and Emmanuel Van der Stichele [98/108]

“Considerations in Reducing Inflation From Low to Lower Levels” by Michael Leidy and Stephen Tokarick [98/109]

“Interest Spreads in Banking: Costs. Financial Taxation, Market Power, and Loan Quality in the Colombian Case, 1974—96” by Adolfo Barajas, Roberto Steiner, and Natalia Salazar [98/110]

“Welfare Cost of (Low) Inflation: A General Equilibrium Perspective” by Howell H. Zee [98/l 11]

“Liability-Creating Versus Non-Liabilily-Creating Fiscal Stabilization Policies: Ricardian Equivalence, Fiscal Stabilization, and EMU” by Tamim Bayoumi and Paul R. Masson [98/l12]

“Market-Based Policy Instruments for Systemic Bank Restructuring” by Claudia Dziobek [98/l 13]

“The Transmission of Monetary Policy in Israel” by Fiorella De Fiore [98/114]

“Consequences of the Economic and Monetary Union tor the Coordination of Tax Systems in the European Union: Lessons from the U.S. Experience” by Vito Tanzi and Howell H. Zee [98/115]

“Impact of European Union Association Agreements on Mediterranean Countries” by Henri Ghesquiere [98/116]

“Deviations from Uncovered Interest Parity: A Global Guide to Where the Action Is” by Evan Tanner [98/117]

“Macroeeonomic Performance Under Alternative Exchange Rate Regimes: Does Wage Indexation Matter’.’” by Esteban Jadresic [98/118]

“Search Unemployment with Advance Notice” by Pictro Garibaldi [98/119]

“The Demise of the Nation State?” by Vito Tanzi [98/120]

“Capital Structures and Portfolio Composition During Banking Crisis: Lessons from Argentina 1995” by Alberto M. Ramos [98/121]

“Tax Smoothing in a Financially Repressed Economy: Evidence from India” by Paul Cashin. Nilss Olekalns, and Ratna Sahay [98/122]

“Docs the Long-Run PPP Hypothesis Hold for Africa?: Evidence from Panel Co-integration Study” by Jun Nagayasu [98/123]

“Self-Fulfilling Risk Predictions: An Application to Speculative Attacks” by Robert P. Flood and Nancy P. Marion [98/124]

“Fixed Investment and Capital Flows: A Real Options Approach” by Jorge A. Chan-Lau and Peter B. Clark [98/125]

“Central Banking in Transition Countries” by Helmut Wagner [98/126]

“Financial Crisis and Credit Crunch as a Result of Inefficient Financial intermediation—With Reference to the Asian Financial Crisis” by Jorge A. Chan-Lau and Zhaohui Chen [98/127]

“The East Asian Crisis: Macroeeonomic Developments and Policy Lessons” by Kalpana Kochhar. Prakash Loungani. and Mark R. Stone [98/128]

“Increasing Dependency Ratios, Pensions, and Tax Smoothing” by Efraim Sadka and Vito Tanzi [98/129]

“Perspectives on the Recent Currency Crisis Literature” by Robert P. Flood and Nancy P. Marion [98/130]

“Can Short-Term Capital Controls Promote Capital Inflows?” by Tito Cordelia [98/131]

“Output Decline and Recovery in Uzbekistan: Past Performance and Future Prospects” by Gunther Taube, and Jeromin Zettelmeyer [98/132]

‘The Uzbek Growth Puzzle” by Jeromin Zettelmeyer [98/133]

“The Role of Allocation in a Globalized Corporate Income Tax” by Jack M. Mintz [98/134]

“Tax Revenue in Sub-Saharan Africa: Effects of Economic Policies and Corruption” by Dhaneshwar Ghura [98/135]

“Is the United Slates CPI Biased Across Income and Age Groups?” by Nuri Erbas and Chera L. Sayers [98/136]

“East Asian Growth Before and After the Crisis” by Nicholas Crafts [98/137]

“Managing Corporate Distress in the Philippines: Some Policy Recommendations” by Cheng Hoon Lim and Charles Woodruff [98/138]

“Can the Neoclassical Model Explain the Distribution of Foreign Direct Investment Across Developing Countries?” by Harm Zebregs [98/139]

“From Autarky to Integration: Imitation. Foreign Borrowing, and Growth” by Rachel van Elkan [98/140]

“Recovery and Growth in Transition Economies 1990-97: A Stylized Regression Analysis” by Oleh Havrylyshyn, Ivailo Izvorski, and Ron van Rooden [98/141]

“Contagion: Monsoonal Effects. Spillovers, and Jumps Between Multiple Equilibria” by Paul Masson [98/142]

“Crises, Contagion, and the Closed-End Country Fund Puzzle” by Eduardo Levy Yeyati and Angel Ubide [98/143]

“Monetary Operations and Government Debt Management Under Islamic Banking” by V. Sundararajan, David Marston, and Ghiath Shabsigh [98/144]

“Explaining the Recent Behavior of Inflation and Unemployment in the United States” by Vincent Hogan [98/145]

“Optimal Fiscal Policy and the Environment” by Jenny E. Ligthart [98/46]

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