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Journal of Money, Credit & Banking

Reports major findings in the study of financial institutions, financial markets, monetary and fiscal policy, credit markets, money and banking.

Total result: 563 articles

Page 4 of 8 Next page of results

Prudential regulation and the "credit crunch": evidence from Japan.(Au...
March 01, 2007

Does monetary policy have asymmetric effects on stock returns?(Author ...
March 01, 2007

Heterogeneity and lotteries in monetary search models.(Author abstract...
March 01, 2007

The great inflation of the 1970s.(Author abstract)
March 01, 2007

Accounting for a shift in term structure behavior with no-arbitrage an...
March 01, 2007

Interest rate risk and the forward premium anomaly in foreign exchange...
March 01, 2007

Temporal patterns in foreign exchange returns and options.
March 01, 2007

Technology shocks and monetary policy: revisiting the Fed's performanc...
March 01, 2007

A long-run non-linear approach to the Fisher effect.
March 01, 2007

Is financial globalization beneficial?
March 01, 2007

External constraints on monetary policy and the financial accelerator....
March 01, 2007

Competition from large, multimarket firms and the performance of small...
March 01, 2007

Growth, income inequality, and fiscal policy: what are the relevant tr...
March 01, 2007

Comments presented at Federal Reserve conference price dynamics: three...
February 01, 2007

Thirty-five years of model building for monetary policy evaluation: br...
February 01, 2007

Interpreting inflation persistence: comments on the conference on "qua...
February 01, 2007

Is the asymptotic speed of convergence a good proxy for the transition...
February 01, 2007

Multiple BGPs in a growth model with habit persistence.
February 01, 2007

Market size, service quality, and competition in banking.
February 01, 2007

Charter value, risk-taking incentives, and emerging competition for Fa...
February 01, 2007

Inflation taxation and welfare with externalities and leisure.
February 01, 2007

Information content of wages and monetary policy.
February 01, 2007

Financial differences and business cycle co-movements in a currency ar...
February 01, 2007

The dynamic relationship between permanent and transitory components o...
February 01, 2007

Macroeconomic sources of risk in the term structure.
February 01, 2007

The persistence of inflation versus that of real marginal cost in the ...
February 01, 2007

Why commercial banks held excess reserves: the Japanese experience of ...
February 01, 2007

Editor's introduction.(Journal of Money, Credit and Banking and the Fe...
February 01, 2007

Why has U.S. inflation become harder to forecast?
February 01, 2007

Real wage rigidities and the new Keynesian model.
February 01, 2007

Benefits from U.S. monetary policy experimentation in the days of Samu...
February 01, 2007

A quantitative comparison of sticky-price and sticky-information model...
February 01, 2007

Pricing models: a Bayesian DSGE approach for the U.S. economy.
February 01, 2007

Modeling inflation dynamics: a critical review of recent research.(Aut...
February 01, 2007

The Econometrics of Price Determination, thirty-five years later.
February 01, 2007

Inflation modeling: a policymaker's perspective.
February 01, 2007

A new analysis of the determinants of the real dollar-sterling exchang...
December 01, 2006

Commercial lending and distance: evidence from community reinvestment ...
December 01, 2006

Is there a cost channel of monetary policy transmission? An investigat...
December 01, 2006

When did the FOMC begin targeting the federal funds rate? What the ver...
December 01, 2006

Dollarization traps.(foreign exchange)
December 01, 2006

Fleshing out the monetary transmission mechanism: output composition a...
December 01, 2006

Technical trading-rule profitability, data snooping, and reality check...
December 01, 2006

Inflation and the distribution of relative prices: the role of product...
December 01, 2006

Linking individual and aggregate price changes.
December 01, 2006

Inflation inertia and the optimal hybrid inflation/price-level target.
December 01, 2006

Cities and countries.(Statistical data)
December 01, 2006

How do official bailouts affect the risk of investing in emerging mark...
October 01, 2006

The effect of government spending on private consumption: a puzzle?(LU...
October 01, 2006

Econometric policy evaluation and inverse control.
October 01, 2006

Horizontal and vertical integration in securities trading and settleme...
October 01, 2006

Efficient pricing of large value interbank payment systems.
October 01, 2006

Capital and risk: new evidence on implications of large operational lo...
October 01, 2006

Macro factors and the affine term structure of interest rates.
October 01, 2006

Optimal monetary policy under commitment with a zero bound on nominal ...
October 01, 2006

Oil prices, monetary policy, and counterfactual experiments.
October 01, 2006

Labor market frictions, indeterminacy, and interest rate rules.
October 01, 2006

Same financial development yet different economic growth--why?
October 01, 2006

Simple monetary policymaking without the output gap.
September 01, 2006

Money and risk sharing.
September 01, 2006

Market discipline in property/casualty insurance: evidence from premiu...
September 01, 2006

Technological progress and the geographic expansion of the banking ind...
September 01, 2006

A small-sample study of the New-Keynesian macro model.
September 01, 2006

Risk-based pricing and the enhancement of mortgage credit availability...
September 01, 2006

Purchasing power parity and Markov regime switching.
September 01, 2006

Money demand in Japan and nonlinear cointegration.
September 01, 2006

Do exchange rates respond to day-to-day changes in monetary policy exp...
September 01, 2006

On the failure of purchasing power parity for bilateral exchange rates...
September 01, 2006

On credit-spread slopes and predicting bank risk.
September 01, 2006

The credit cycle and the business cycle: new findings using the loan o...
September 01, 2006

Stock market reaction to financial statement certification by Bank Hol...
August 01, 2006

Macroeconomic dynamics and credit risk: a global perspective.(3. CREDI...
August 01, 2006

Macroeconomic dynamics and credit risk: a global perspective.
August 01, 2006

The predictive content of the output gap for inflation: resolving in-s...
August 01, 2006

Has U.S. monetary policy changed? Evidence from drifting coefficients ...
August 01, 2006

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