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Subject
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Theorie 368 Theory 368 Geldpolitik 195 Monetary policy 195 USA 117 United States 117 Estimation 103 Schätzung 103 Financial crisis 96 Finanzkrise 96 Impact assessment 81 Wirkungsanalyse 81 Business cycle 79 Konjunktur 79 Bank lending 70 Kreditgeschäft 70 Risiko 60 Risk 60 Bank 59 Schock 56 Shock 56 Credit risk 54 Kreditrisiko 54 Volatility 51 Volatilität 51 Central bank 50 Hypothek 50 Mortgage 50 Welt 50 World 50 Yield curve 50 Zentralbank 50 Zinsstruktur 50 Forecasting model 47 Prognoseverfahren 47 Inflation 44 Interest rate 44 Zins 44 Capital income 37 Kapitaleinkommen 37
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Online availability
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Free 1,248 Undetermined 2
Type of publication
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Book / Working Paper 1,303
Type of publication (narrower categories)
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Arbeitspapier 271 Working Paper 271 Graue Literatur 115 Non-commercial literature 115
Language
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English 1,236 Undetermined 67
Author
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Kiley, Michael T. 28 Nakata, Taisuke 21 Carlson, Mark 19 López-Salido, José David 18 Klee, Elizabeth 15 Li, Geng 15 Bricker, Jesse 14 Molloy, Raven S. 14 Edge, Rochelle M. 13 Herbst, Edward P. 13 Pierce, Justin R. 13 Sim, Jae W. 13 Smith, Christopher L. 13 Nelson, Edward 12 Zakrajšek, Egon 12 Cajner, Tomaz 11 Johannsen, Benjamin K. 11 Peterman, William B. 11 Sichel, Daniel E. 11 Vojtech, Cindy M. 11 Anenberg, Elliot 10 Baughman, Garth 10 Bhutta, Neil 10 Byrne, David 10 Chang, Andrew C. 10 D'Amico, Stefania 10 Figura, Andrew 10 Gilchrist, Simon 10 Gordy, Michael B. 10 Laubach, Thomas 10 Modugno, Michele 10 Pence, Karen M. 10 Pfajfar, Damjan 10 Thompson, Jeffrey P. 10 Wright, Jonathan H. 10 Ahn, Hie Joo 9 Hsu, Joanne W. 9 Nalewaik, Jeremy 9 Passmore, Stuart Wayne 9 Wei, Min 9
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Published in...
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FEDS Working Paper 1,290 Finance and economics discussion series 270 FEDs Working Paper 8 FEDS Working Paper 2013-66 1 FEDS Working Paper 2014-54 1 FEDS Working Paper No. 2019-084 "https://doi.org/10.17016/FEDS.2019.084" https://doi.org/10.17016/FEDS.2019.084 1 FEDS Working Paper No. 2019-086 "https://doi.org/10.17016/FEDS.2019.086" https://doi.org/10.17016/FEDS.2019.086 1 FEDS working Paper 1
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Source
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ECONIS (ZBW) 1,303
Showing 791 - 800 of 1,303
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Conservatism and Liquidity Traps
Nakata, Taisuke - 2015
Appointing Rogoff's (1985) conservative central banker improves welfare if the economy is subject to large contractionary shocks and the policy rate occasionally falls to the zero lower bound (ZLB). In an economy with occasionally binding ZLB constraints, the anticipation of future ZLB episodes...
Persistent link: https://www.econbiz.de/10013031133
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Tax Policy Endogeneity : Evidence from R&D Tax Credits
Chang, Andrew C. - 2015
Because policymakers may consider the state of the economy when setting taxes, endogeneity bias can arise in regression models that estimate relationships between economic variables and taxes. This paper quantifies the policy endogeneity bias and estimates the impact of R&D tax incentives on R&D...
Persistent link: https://www.econbiz.de/10013031608
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It Pays to Set the Menu : Mutual Fund Investment Options in 401(k) Plans
Pool, Veronika Krepely - 2015
This paper investigates whether mutual fund families acting as service providers in 401(k) plans display favoritism toward their own affiliated funds. Using a hand-collected dataset on the menu of investment options offered to plan participants, we show that fund deletions and additions are less...
Persistent link: https://www.econbiz.de/10013031610
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Financing Constraints and Unemployment : Evidence from the Great Recession
Duygan-Bump, Burcu - 2015
Exploiting the differential financing needs across industrial sectors, this paper shows that financing constraints of small businesses in the United States are one of the drivers explaining the unemployment dynamics during the Great Recession. We show that workers in small firms are more likely...
Persistent link: https://www.econbiz.de/10013031757
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Stochastic Intensity Models of Wrong Way Risk : Wrong Way CVA Need Not Exceed Independent CVA
Ghamami, Samim - 2015
Wrong way risk can be incorporated in Credit Value Adjustment (CVA) calculations in a reduced form model. Hull and White (2012) introduced a CVA model that captures wrong way risk by expressing the stochastic intensity of a counterparty's default time in terms of the financial institution's...
Persistent link: https://www.econbiz.de/10013032955
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Limited Deposit Insurance Coverage and Bank Competition
Shy, Oz - 2015
Deposit insurance schemes in many countries place a limit on the coverage of deposits in each bank. However, no limits are placed on the number of accounts held with different banks. Therefore, under limited deposit insurance, some consumers open accounts with different banks to achieve higher...
Persistent link: https://www.econbiz.de/10013032989
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Debt Deflation Effects of Monetary Policy
Lin, Li - 2015
This paper assesses the role that monetary policy plays in the decision to default using a General Equilibrium model with collateralized loans, trade in fiat money and production. Long-term nominal loans are backed by collateral, the value of which depends on monetary policy. The decision to...
Persistent link: https://www.econbiz.de/10013033538
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Financial Incentives, Hospital Care, and Health Outcomes : Evidence from Fair Pricing Laws
Batty, Michael - 2015
It is often assumed that financial incentives of healthcare providers affect the care they deliver, but this issue is surprisingly difficult to study. The recent enactment of state laws that limit how much hospitals can charge uninsured patients provide a unique opportunity. Using an event study...
Persistent link: https://www.econbiz.de/10013010972
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Every Little Bit Counts : The Impact of High-Speed Internet on the Transition to College
Dettling, Lisa J. - 2015
This paper investigates the effects of high-speed Internet on students' college application decisions. We link the diffusion of zip code-level residential broadband Internet to millions of PSAT and SAT takers' college testing and application outcomes and find that students with access to...
Persistent link: https://www.econbiz.de/10013010973
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Measuring Ambiguity Aversion
Gallant, A. Ronald - 2015
We confront the generalized recursive smooth ambiguity aversion preferences of Klibanoff, Marinacci, and Mukerji (2005, 2009) with data using Bayesian methods introduced by Gallant and McCulloch (2009) to close two existing gaps in the literature. First, we use macroeconomic and financial data...
Persistent link: https://www.econbiz.de/10013011365
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