Topic - Financial Economics

View: 15 All

<   PREVIOUS    13    14    15    16    17    18    NEXT   >

A Contribution to the Pure Theory of Money

Nobuhiro Kiyotaki, Randall Wright
August 1989 - Staff Report

Bank Failures, Financial Restrictions, and Aggregate Fluctuations: Canada and the United States, 1870–1913

Stephen D. Williamson
July 1989 - Quarterly Review

Banking Without Deposit Insurance or Bank Panics: Lessons From a Model of the U.S. National Banking System

V. V. Chari
July 1989 - Quarterly Review

Unpleasant Budget Arithmetic Revisited

Top of the Ninth
Gary H. Stern
May 1989 - The Region

Restrictions on Financial Intermediaries and Implications for Aggregate Fluctuations: Canada and the United States, 1870–1913

Stephen D. Williamson
April 1989 - Staff Report

On the Denomination of Government Debt: A Critique of the Portfolio Balance Approach

Patrick J. Kehoe, David K. Backus
November 1988 - Staff Report

Another Attempt to Explain an Illiquid Banking System: The Diamond and Dybvig Model With Sequential Service Taken Seriously

Neil Wallace
September 1988 - Quarterly Review

Time Consistency and Optimal Policy Design

V. V. Chari
September 1988 - Quarterly Review

The Relationship Between Money and Prices: Some Historical Evidence Reconsidered

Bruce D. Smith
July 1988 - Quarterly Review

Explaining the Demand for Free Bank Notes

Arthur J. Rolnick, Warren E. Weber
April 1988 - Quarterly Review

The Profitability and Risk Effects of Allowing Bank Holding Companies to Merge With Other Financial Firms: A Simulation Study

John H. Boyd, Stanley L. Graham
April 1988 - Quarterly Review

International Financial Intermediation and Aggregate Fluctuations Under Alternative Exchange Rate Regimes

Jeremy Greenwood, Stephen D. Williamson
February 1988 - Staff Report

Monetary Targeting in a Dynamic Macro Model

William Roberds
July 1987 - Staff Report

Recent Developments in Modeling Financial Intermediation

Stephen D. Williamson
July 1987 - Quarterly Review

The Benefits of Bank Deposit Rate Ceilings: New Evidence on Bank Rates and Risk in the 1920s

Arthur J. Rolnick
July 1987 - Quarterly Review

View: 15 All

<   PREVIOUS    13    14    15    16    17    18    NEXT   >