IMF Economic Review
2010 - 2025
Continuation of IMF Staff Papers. From: Palgrave Macmillan International Monetary Fund Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 68, issue 4, 2020
- International Evidence on Shock-Dependent Exchange Rate Pass-Through pp. 721-763

- Kristin Forbes, Ida Hjortsoe and Tsvetelina Nenova
- Peer Effects in Central Banking pp. 764-814

- Roman Horvath
- Gains from Reducing the Implementation Delays in Public Investment pp. 815-847

- Hüseyin Özbilgin
- Revenue Implications of Destination-Based Cash-Flow Taxation pp. 848-874

- Shafik Hebous, Alexander Klemm and Saila Stausholm
Volume 68, issue 3, 2020
- Current Policy Challenges Facing Emerging Markets pp. 453-455

- Laura Alfaro and Enrique Mendoza
- Emerging Markets and the New Geography of Trade: The Effects of Rising Trade Barriers pp. 456-508

- Ricardo Reyes-Heroles, Sharon Traiberman and Eva Van Leemput
- The Price of Capital Goods: A Driver of Investment Under Threat pp. 509-549

- Weicheng Lian, Natalija Novta, Evgenia Pugacheva, Yannick Timmer and Petia Topalova
- The Impact of Industrialized Countries’ Monetary Policy on Emerging Economies pp. 550-583

- Vincenzo Quadrini
- Relationship Networks in Banking Around a Sovereign Default and Currency Crisis pp. 584-642

- Pablo D’Erasmo, Hernan Moscoso Boedo, María Pía Olivero and Máximo Sangiácomo
- The Determinants of China’s International Portfolio Equity Allocations pp. 643-692

- Isha Agarwal, Grace Weishi Gu and Eswar Prasad
- Revisiting Exchange Rate Rules pp. 693-719

- Kathryn Dominguez
Volume 68, issue 2, 2020
- Systemic Banking Crises Database II pp. 307-361

- Luc Laeven and Fabian Valencia
- A Decomposition of International Capital Flows pp. 362-389

- Gao Meng and Eric Wincoop
- Welfare Multiplier of Public Investment pp. 390-420

- Giovanni Ganelli and Juha Tervala
- Export Quality in Advanced and Developing Economies: Evidence from a New Data Set pp. 421-451

- Christian Henn, Chris Papageorgiou, Jose Romero and Nikola Spatafora
Volume 68, issue 1, 2020
- International Spillovers and Cooperation pp. 1-3

- Emine Boz and Linda Tesar
- The Spillovers from Easy Liquidity and the Implications for Multilateralism pp. 4-34

- Douglas W. Diamond, Yunzhi Hu and Raghuram Rajan
- US or Domestic Monetary Policy: Which Matters More for Financial Stability? pp. 35-65

- Stephen Cecchetti, Tommaso Mancini-Griffoli, Machiko Narita and Ratna Sahay
- The Role of US Monetary Policy in Banking Crises Across the World pp. 66-107

- C. Bora Durdu, Alex Martin and Ilknur Zer
- Implementable Rules for International Monetary Policy Coordination pp. 108-162

- Michael Devereux, Charles Engel and Giovanni Lombardo
- On the Welfare Losses from External Sovereign Borrowing pp. 163-194

- Mark Aguiar, Manuel Amador and Stelios Fourakis
- Local Fiscal Multipliers and Fiscal Spillovers in the USA pp. 195-229

- Alan Auerbach, Yuriy Gorodnichenko and Daniel Murphy
- The Economics and Politics of Revoking NAFTA pp. 230-267

- Raphael Auer, Barthélémy Bonadio and Andrei Levchenko
- At a Cost: The Real Effects of Transfer Pricing Regulations pp. 268-306

- Ruud de Mooij and Li Liu
Volume 67, issue 4, 2019
- The Great Recession and a Missing Generation of Exporters pp. 703-745

- William F. Lincoln, Andrew H. McCallum and Michael Siemer
- On the Link Between the Volatility and Skewness of Growth pp. 746-790

- Geert Bekaert and Alexander Popov
- Saving Rates in Latin America: A Neoclassical Perspective pp. 791-823

- Andrés Fernández Martin, Ayse Imrohoroglu and Cesar Tamayo
- Triffin: Dilemma or Myth? pp. 824-851

- Michael D. Bordo and Robert McCauley
Volume 67, issue 3, 2019
- The Euro at 20 pp. 421-423

- Sebnem Kalemli-Ozcan and Philippe Martin
- Macrofinancial Stability and the Euro pp. 424-442

- Philip Lane
- Channels of Risk Sharing in the Eurozone: What Can Banking and Capital Market Union Achieve? pp. 443-495

- Mathias Hoffmann, Egor Maslov, Bent E. Sørensen and Iryna Stewen
- The Procyclicality of Banking: Evidence from the Euro Area pp. 496-527

- Harry Huizinga and Luc Laeven
- Immigrants, Labor Market Dynamics and Adjustment to Shocks in the Euro Area pp. 528-572

- Gaetano Basso, Francesco D’Amuri and Giovanni Peri
- Fiscal Stimulus in a Monetary Union: Evidence from Eurozone Regions pp. 573-617

- Maria Coelho
- Does Austerity Go Along with Internal Devaluations? pp. 618-656

- Luisa Lambertini and Christian Proebsting
- Revisiting the Economic Case for Fiscal Union in the Euro Area pp. 657-683

- Helge Berger, Giovanni Dell’Ariccia and Maurice Obstfeld
- Fiscal Policy, Potential Output, and the Shifting Goalposts pp. 684-702

- Antonio Fatas
Volume 67, issue 2, 2019
- Debt Redemption and Reserve Accumulation pp. 261-287

- Laura Alfaro and Fabio Kanczuk
- Capital Controls and the Cost of Debt pp. 288-314

- Eugenia Andreasen, Martin Schindler and Patricio Valenzuela
- Domestic and International Effects of the Eurosystem Expanded Asset Purchase Programme: A Structural Model-Based Analysis pp. 315-348

- Pietro Cova, Patrizio Pagano and Massimiliano Pisani
- Saving China’s Stock Market? pp. 349-394

- Yi Huang, Jianjun Miao and Pengfei Wang
- Financial Development and Technology Diffusion pp. 395-419

- Diego Comin and Ramana Nanda
Volume 67, issue 1, 2019
- The Global Financial Cycle pp. 1-3

- Emine Boz and Linda Tesar
- Trade Policy and the Macroeconomy pp. 4-23

- Barry Eichengreen
- How Important is the Global Financial Cycle? Evidence from Capital Flows pp. 24-60

- Eugenio Cerutti, Stijn Claessens and Andrew Rose
- International Bank Flows and the Global Financial Cycle pp. 61-108

- Mary Amiti, Patrick McGuire and David Weinstein
- Global Financial Cycles and Risk Premiums pp. 109-150

- Oscar Jorda, Moritz Schularick, Alan Taylor and Felix Ward
- The Dollar Exchange Rate as a Global Risk Factor: Evidence from Investment pp. 151-173

- Stefan Avdjiev, Valentina Bruno, Catherine Koch and Hyun Song Shin
- Positive and Normative Implications of Liability Dollarization for Sudden Stops Models of Macroprudential Policy pp. 174-214

- Enrique Mendoza and Eugenio Rojas
- Global Price of Risk and Stabilization Policies pp. 215-260

- Tobias Adrian, Daniel Stackman and Erik Vogt
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