Details about Garry J. Schinasi
Access statistics for papers by Garry J. Schinasi.
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Short-id: psc62
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Working Papers
2011
- Financial-stability challenges in European emerging-market countries
Policy Research Working Paper Series, The World Bank
2010
- Financial Stability and Policy Cooperation
Working Papers, Banco de Portugal, Economics and Research Department View citations (4)
- Reform of the Global Financial Architecture
Working Paper Series, Peterson Institute for International Economics View citations (4)
Also in Bruegel Working Papers, Bruegel (2010) View citations (4)
2009
- Defining Financial Stability and a Framework for Safeguarding It
Working Papers Central Bank of Chile, Central Bank of Chile View citations (4)
- More Than One Step to Financial Stability
Bruegel Policy Brief, Bruegel View citations (2)
2008
- EU framework for safeguarding financial stability: Towards an analytical benchmark for assessing its effectiveness
Occasional Papers, Banco de España View citations (9)
Also in IMF Working Papers, International Monetary Fund (2007) View citations (15)
2006
- Preserving Financial Stability
IMF Economic Issues, International Monetary Fund View citations (2)
- Private Finance and Public Policy
Research and Policy Notes, Czech National Bank, Research and Statistics Department 
Also in IMF Working Papers, International Monetary Fund (2004)
- The Lender of Last Resort in the European Single Financial Market
IMF Working Papers, International Monetary Fund View citations (21)
See also Chapter The Lender of Last Resort in the European Single Financial Market, World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd. (2006) View citations (12) (2006)
2004
- Defining Financial Stability
IMF Working Papers, International Monetary Fund View citations (127)
2003
- Responsibility of Central Banks for Stability in Financial Markets
IMF Working Papers, International Monetary Fund View citations (33)
2001
- Financial Implications of the Shrinking Supply of U.S. Treasury Securities
IMF Working Papers, International Monetary Fund View citations (13)
- Modern Banking and OTC Derivatives Markets: The Transformation of Global Finance and its Implications for Systemic Risk
IMF Occasional Papers, International Monetary Fund View citations (3)
1999
- Financial Stability in European Economic and Monetary Union
Princeton Studies in International Economics, International Economics Section, Departement of Economics Princeton University, View citations (42)
- Portfolio Diversification, Leverage, and Financial Contagion
IMF Working Papers, International Monetary Fund View citations (41)
See also Journal Article Portfolio Diversification, Leverage, and Financial Contagion, IMF Staff Papers, Palgrave Macmillan (2000) View citations (65) (2000)
1998
- Fixed-Income Markets in the United States, Europe, and Japan-Some Lessons for Emerging Markets
IMF Working Papers, International Monetary Fund View citations (35)
1997
- European Monetary Union and International Capital Markets: Structural Implications and Risks
IMF Working Papers, International Monetary Fund View citations (30)
1994
- Asset Prices, Financial Liberalization, and the Process of Inflation in Japan
IMF Working Papers, International Monetary Fund View citations (3)
- Asset Prices, Monetary Policy, and the Business Cycle
IMF Policy Discussion Papers, International Monetary Fund View citations (3)
- Real Estate Price Inflation, Monetary Policy, and Expectations in the United States and Japan
IMF Working Papers, International Monetary Fund View citations (3)
1993
- Asset Price Inflation in the 1980's: A Flow of Funds Perspective
IMF Working Papers, International Monetary Fund View citations (5)
1991
- Fiscal Impulse
IMF Working Papers, International Monetary Fund View citations (10)
1989
- European integration, exchange rate management, and monetary reform: a review of the major issues
International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.) View citations (1)
- Savings rates and output variability in industrial countries
International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.)
1987
- Should fixed coefficients be reestimated every period
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.) View citations (1)
- The out-of-sample forecasting performance of exchange rate models when coefficients are allowed to change
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.) View citations (17)
Also in International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.) (1987) View citations (5)
See also Journal Article The out-of-sample forecasting performance of exchange rate models when coefficients are allowed to change, Journal of International Money and Finance, Elsevier (1989) View citations (86) (1989)
1986
- International comparisons of fiscal policy: the OECD and the IMF measures of fiscal impulse
International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.) View citations (1)
- Should fixed coefficients be reestimated every period for extrapolation?
International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.) View citations (3)
- Taxation of capital gains on foreign exchange transactions and the non- neutrality of changes in anticipated inflation
International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.) 
See also Journal Article Taxation of capital gains on foreign exchange transactions and the non-neutrality of changes in anticipated inflation, Economics Letters, Elsevier (1988) View citations (3) (1988)
1985
- Canadian financial markets: the Government's proposal for reform
International Finance Discussion Papers, Board of Governors of the Federal Reserve System (U.S.)
1981
- A re-examination of the relationship between capital expenditures and a distributed lag of capital appropriations: 1953-1981
Working Paper Series / Economic Activity Section, Board of Governors of the Federal Reserve System (U.S.)
- Price, inventory dynamics of a Phelps-Winter type firm
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.)
- Price, wage and inventory dynamics of a non-Walrasian firm
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.)
- The phaseout of deposit-rate ceilings and the efficacy of monetary policy
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.)
1980
- The cost of adjustment and the microfoundations of the Kaldor nonlinear investment function
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.)
- The microfoundations of aggregate supply: wage, price, unemployment dynamics and the natural rate hypothesis
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.)
1979
- A nonlinear dynamic model of short run fluctuations
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.) View citations (1)
See also Journal Article A Nonlinear Dynamic Model of Short Run Fluctuations, The Review of Economic Studies, Review of Economic Studies Ltd (1981) View citations (16) (1981)
- A note on modelling downturns: a nonlinear model vs. simple linear autoregressive schemes
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.)
See also Journal Article A note on modelling downturns: A non-linear model vs. simple linear autoregressive schemes, Economics Letters, Elsevier (1979) (1979)
- Two papers on macroeconomic fluctuations
Special Studies Papers, Board of Governors of the Federal Reserve System (U.S.)
Journal Articles
2008
- El marco para salvaguardar la estabilidad financiera en la Unión Europea: hacia una referencia analítica para evaluar su eficacia
Boletín, 2008, LIV, (3), 115-129
- Towards an EU Framework for Safeguarding Financial Stability
ifo DICE Report, 2008, 6, (03), 27-36 View citations (4)
2005
- Assessing Financial Stability: Exploring the Boundaries of Analysis
National Institute Economic Review, 2005, 192, 102-117 View citations (5)
Also in National Institute Economic Review, 2005, 192, (1), 102-117 (2005) View citations (24)
2000
- Portfolio Diversification, Leverage, and Financial Contagion
IMF Staff Papers, 2000, 47, (2), 1 View citations (65)
See also Working Paper Portfolio Diversification, Leverage, and Financial Contagion, IMF Working Papers (1999) View citations (41) (1999)
1989
- European Integration, Exchange Rates and Monetary Reform
The World Economy, 1989, 12, (4), 389-412 View citations (1)
- The out-of-sample forecasting performance of exchange rate models when coefficients are allowed to change
Journal of International Money and Finance, 1989, 8, (3), 375-390 View citations (86)
See also Working Paper The out-of-sample forecasting performance of exchange rate models when coefficients are allowed to change, Special Studies Papers (1987) View citations (17) (1987)
1988
- Measures of money and the monetary model of the Canadian-US dollar exchange rate
Economics Letters, 1988, 26, (2), 183-188
- Taxation of capital gains on foreign exchange transactions and the non-neutrality of changes in anticipated inflation
Economics Letters, 1988, 26, (3), 277-280 View citations (3)
See also Working Paper Taxation of capital gains on foreign exchange transactions and the non- neutrality of changes in anticipated inflation, International Finance Discussion Papers (1986) (1986)
1983
- Business fixed investment: recent developments and outlook
Federal Reserve Bulletin, 1983, (Jan), 1-10
1982
- Fluctuations in a dynamic, intermediate-run IS-LM model: Applications of the Poincare-Bendixon theorem
Journal of Economic Theory, 1982, 28, (2), 369-375 View citations (9)
1981
- A Nonlinear Dynamic Model of Short Run Fluctuations
The Review of Economic Studies, 1981, 48, (4), 649-656 View citations (16)
See also Working Paper A nonlinear dynamic model of short run fluctuations, Special Studies Papers (1979) View citations (1) (1979)
1979
- A note on modelling downturns: A non-linear model vs. simple linear autoregressive schemes
Economics Letters, 1979, 3, (4), 333-339 
See also Working Paper A note on modelling downturns: a nonlinear model vs. simple linear autoregressive schemes, Special Studies Papers (1979) (1979)
- The cost of adjustment and inventory accumulation studies
Economics Letters, 1979, 4, (3), 275-277
Chapters
2011
- Defining Financial Stability and Establishing a Framework to Safeguard It
Chapter 03 in Financial Stability, Monetary Policy, and Central Banking, 2011, vol. 15, pp 029-062
2009
- EU Financial-Stability Framework: Analytical Benchmarks for Assessing Its Effectiveness
Chapter 25 in Globalization And Systemic Risk, 2009, pp 361-378
2007
- Remarks on Causes and Conditions of Financial Instability Panel
Chapter 12 in International Financial Instability Global Banking and National Regulation, 2007, pp 167-177
2006
- The Lender of Last Resort in the European Single Financial Market
Chapter 23 in Cross-Border Banking Regulatory Challenges, 2006, pp 349-372 View citations (12)
See also Working Paper The Lender of Last Resort in the European Single Financial Market, International Monetary Fund (2006) View citations (21) (2006)
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