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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 5 of 8
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Taylor rules and the Deutschmark-dollar real exchange rate. August 01, 2006
Do bank loan relationships still matter? August 01, 2006
Branch banking, bank competition, and financial stability. August 01, 2006
Additional evidence of long-run purchasing power parity with restricte... August 01, 2006
A portfolio view of banking with interest and noninterest activities. August 01, 2006
Multiple regimes in U.S. monetary policy? A nonparametric approach. August 01, 2006
Does political instability lead to higher inflation? A panel data anal... August 01, 2006
Euro-illusion: a natural experiment. August 01, 2006
Deregulation, consolidation, and efficiency: evidence from the Spanish... March 01, 2006
Corporate investment with financial constraints: sensitivity of invest... March 01, 2006
Correlated default risks and bank regulations. March 01, 2006
Equity and bond market signals as leading indicators of bank fragility... March 01, 2006
Dynamics of intra-EMS interest rate linkages. March 01, 2006
On market activity and the value of money. March 01, 2006
Monetary shocks and inflation dynamics in the new Keynesian model. March 01, 2006
The deflation bias and committing to being irresponsible. March 01, 2006
The own-price of money and the channels of monetary transmission. March 01, 2006
The panel purchasing power parity puzzle. March 01, 2006
The inflation persistence of staggered contracts. March 01, 2006
Trade openness and inflation episodes in the OECD. March 01, 2006
Tests of the expectations hypothesis: resolving the Campbell-Shiller p... March 01, 2006
Endogenous multiple currencies. February 01, 2006
Agent-based learning in 'Islands' with 'sticky Information" an explana... February 01, 2006
Strict dollarization and economic performance: an empirical investigat... February 01, 2006
Loan collateral decisions and corporate borrowing costs. February 01, 2006
The daily market for funds in Europe: what has changed with the EMU? February 01, 2006
Macro factors and the term structure of interest rates. February 01, 2006
Monetary policy and the term structure of interest rates in Japan. February 01, 2006
The liquidity trap and U.S. interest rates in the 1930s. February 01, 2006
Estimates of the sticky-information Phillips curve for the United Stat... February 01, 2006
The behavior of money velocity in high and low inflation countries. February 01, 2006
Accounting for U.S. regional real exchange rates. February 01, 2006
Credibility and flexibility with independent monetary policy committee... February 01, 2006
Credit lines and credit utilization.(setting the amount of credit to b... February 01, 2006
The impact of imperfect credibility in a transition to price stability... February 01, 2006
The real output losses associated with modern banking crises. December 01, 2005
Structural distortions and decentralized fiscal policies in EMU. December 01, 2005
Inflation dynamics, marginal cost, and the output gap: evidence from t... December 01, 2005
Monetary policy in a low pass-through environment. December 01, 2005
Do loan commitments cause overlending? December 01, 2005
Joint implications of consumption and tax smoothing. December 01, 2005
What macroeconomic risks are (not) shared by international investors? December 01, 2005
Sticky information: the impact of different information updating assum... December 01, 2005
Inflation, presidents, Fed Chairs, and regime shifts in the U.S. real ... December 01, 2005
Optimal monetary policy at the zero-interest-rate bound. October 01, 2005
Is the response of output to monetary policy asymmetric? Evidence from... October 01, 2005
Regime changes in international real interest rates: are they a moneta... October 01, 2005
Measuring the default risk of small business loans: a survival analysi... October 01, 2005
Some new variance bounds for asset prices. October 01, 2005
Money and specialization in a neoclassical growth model. October 01, 2005
Are two heads better than one? Monetary policy by committee. October 01, 2005
Average inflation targeting. October 01, 2005
Capital subsidies versus labor subsidies: a trade-off between capital ... October 01, 2005
Famous myths of "fiat money". October 01, 2005
Regional influences on FOMC voting patterns.(Federal Open Market Commi... August 01, 2005
Estimates of the effectiveness of monetary policy. August 01, 2005
How well do Mexican banks manage their reserves? August 01, 2005
Asymmetric information and monetary policy in common currency areas. August 01, 2005
Bank asset liquidation and the propagation of the U.S. Great Depressio... August 01, 2005
Tax smoothing with stochastic interest rates: a reassessment of Clinto... August 01, 2005
David Hume on Canadian paper money: an overlooked contribution. August 01, 2005
Monetary policy, foreign exchange policy, and delayed overshooting. August 01, 2005
How bad are twins? Output costs of currency and banking crises. August 01, 2005
Conditional time-varying interest rate risk premium: evidence from the... August 01, 2005
The reliability of inflation forecasts based on output gap estimates i... June 01, 2005
Forecasting financial volatilities with extreme values: the Conditiona... June 01, 2005
A core inflation indicator for the euro area. June 01, 2005
Exchange rate predictability and monetary fundamentals in a small mult... June 01, 2005
Evaluating the predictability of exchange rates using long-horizon reg... June 01, 2005
Federal funds rate prediction. June 01, 2005
Forecasting using relative entropy. June 01, 2005
Nonlinear forecasting analysis using diffusion indexes: an application... June 01, 2005
News and noise in G-7 GDP announcements. June 01, 2005
Introduction.(Brief Article) June 01, 2005
Identification issues in forward-looking models estimated by GMM, with... June 01, 2005
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