Research Paper
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- 9024: The rise in U.S. corporate leveraging in the 1980s
- John Ryding
- 9023: Corporate leverage and taxes in the U.S. economy
- Arturo Estrella
- 9022: Some issues in corporate leverage: an overview essay
- Edward J. Frydl
- 9021: How well do asset allocation managers allocate assets?
- Anthony Chan and Carl R. Chen
- 9020: Explaining LBOs and acquisitions
- Rama Seth
- 9019: Optimal monetary policy design: rules vs. discretion again
- A. Steven Englander
- 9018: The U.S. financial system: a status report and a structural perspective
- M. Akbar Akhtar and Betsy Buttrill White
- 9017: An empirical examination of government expenditures and the ex ante crowding out effect for the British economy
- Anthony Chan and Elizabeth Gustafson
- 9016: The British invasion: explaining the strength of U.K. acquisitions of U. S. firms in the late 1980s
- Dan P. Eldridge and Robert McCauley
- 9015: Investment and market power: evidence from the United States manufacturing sector
- Paula R. Worthington
- 9014: A cross-sectional analysis of mutual funds' market timing and security selection skill
- Anthony Chan, Carl R. Chen, Cheng Few Lee and Shafiqur Rahman
- 9013: Financial market evolution and the interest sensitivity of output
- Beverly Hirtle and Jeanette Kelleher
- 9012: Corporate leverage and the consequences of macroeconomic instability
- William Lee
- 9011: A panel study of the effects of leverage on investment and employment
- Richard Cantor
- 9010: A simple model of bank loan commitments and monetary policy
- Beverly Hirtle
- 9009: Bank loan commitments and the transmission of monetary policy
- Beverly Hirtle
- 9008: Housing finance and the transmission mechanism of monetary policy
- John Ryding
- 9007: Evidence on the influence of financial changes on interest rates and monetary policy
- Paul Bennett
- 9006: Margin requirements, speculative trading and stock price fluctuations: the case of Japan
- Gikas Hardouvelis and Stavros Peristiani
- 9005: The implications of monetary versus bond financing of debt-peso swaps
- John J. Mullin
- 9004: Stock market bubbles before the crash of 1987?
- Gikas Hardouvelis
- 9003: U.S. external imbalances: financial strains and macroeconomic choices
- Juann Hung, Bruce Kasman and Anthony Rodrigues
- 9002: Why international trends in leverage have been so different
- Eli Remolona
- 9001: Are exchange rates misaligned or excessively volatile? An intertemporal balance of payments equilibrium approach
- Juann Hung
- 8919: Concealment of risk and regulation of bank risk taking
- John Kambhu
- 8918: Inflation expectations surveys as predictors of inflation and behavior in financial and labor markets
- A. Steven Englander and Gary Stone
- 8917: A new look at U.S. banking strategy and structure in the 1980s
- Leon Korobow and David P. Stuhr
- 8916: Does centralized collective bargaining lead to wage restraint? The case of Israel
- David A. Brauer
- 8915: Endogenous exchange rate regime switches
- Gabriel De Kock and Vittorio Grilli
- 8914: The high-yield market structure and the impact of security supplies
- Jerome S. Fons
- 8913: Explaining international differences in the cost of capital: the United States and United Kingdom versus Japan and Germany
- Robert McCauley and Steven A. Zimmer
- 8912: Risk, capital markets, and the large public enterprise
- Eli Remolona
- 8911: Unemployment in Canada and the U.S.: lessons from the 1980's
- Vivek Moorthy
- 8910: The impact of supplies on securities prices and the implications of privatization
- Jerome S. Fons
- 8909: Margin requirements, volatility and the transitory component of stock prices
- Gikas Hardouvelis
- 8908: Money and interest rates: the effects of temporal aggregation and data revisions
- Thomas Cunningham and Gikas Hardouvelis
- 8907: The term structure as a predictor of real economic activity
- Arturo Estrella and Gikas Hardouvelis
- 8906: Tests for measurement of service sector productivity
- A. Steven Englander
- 8905: The implicit liabilities of the Pension Benefit Guaranty Corporation
- Arturo Estrella and Beverly Hirtle
- 8904: Price limits and volatility in soybean meal futures markets
- Richard Cantor
- 8903: Voluntary conversions of LDC debt
- Paul DiLeo and Eli Remolona
- 8902: Regulatory standards, noncompliance and enforcement
- John Kambhu
- 8901: Conditional mean-variance efficiency of the U.S. stock market
- Charles Engel, Jeffrey Frankel, Kenneth Froot and Anthony Rodrigues
- 8826: Prospects for LDC debt management: debt reduction versus debt forgiveness
- Edward J. Frydl and Dorothy M. Sobol
- 8825: The causes of rising U.S. industrial wage dispersion
- Linda A. Bell and Richard Freeman
- 8824: Default risk and duration analysis
- Jerome S. Fons
- 8823: Description of margin requirements
- George Sofianos
- 8822: A test of international CAPM
- Charles Engel and Anthony Rodrigues
- 8821: A comparison of market making structures
- George Sofianos
- 8820: The impact of capital requirements on the securitization decision
- Kathleen K. Donahoo and Sherrill Shaffer