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Theorie 6 Theory 6 Estimation theory 3 Portfolio selection 3 Portfolio-Management 3 Schätztheorie 3 Auslandsinvestition 2 Auslandsverlagerung 2 Financial crisis 2 Finanzkrise 2 Foreign investment 2 Geldmarktfonds 2 Geldpolitik 2 Investment Fund 2 Investmentfonds 2 Monetary policy 2 Money market fund 2 Offshoring 2 USA 2 United States 2 Welt 2 World 2 Agency theory 1 Anlageverhalten 1 Arbeitsmarkt 1 Arbeitsmigranten 1 Asymmetric information 1 Asymmetrische Information 1 Bank liquidity 1 Bank regulation 1 Bank risk 1 Bankenliquidität 1 Bankenregulierung 1 Bankgeschäft 1 Banking services 1 Bankrisiko 1 Behavioural finance 1 Beschäftigungseffekt 1 Bias 1 Business cycle 1
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Online availability
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Free 18
Type of publication
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Book / Working Paper 18
Language
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English 18
Author
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Zlate, Andrei 7 Anadu, Kenechukwu 3 Lu, Lina 3 Adrian, Tobias 1 Ahmed, Shaghil 1 Avramov, Doron 1 Baklanova, Viktoria 1 Bohn, James G. 1 Chahboun, Imad 1 Correa, Ricardo 1 Coulibaly, Brahima 1 Davis, Scott 1 Fontnouvelle, Patrick de 1 Gabrieli, Silvia 1 Hoover, Nathaniel 1 Hore, Satadru 1 Kowalik, Michal K. 1 Kruttli, Mathias S. 1 Labonne, Claire 1 Li, Kunpeng 1 Li, Qi 1 Liu, Lily Y. 1 Mandelman, Federico S. 1 McCabe, Patrick E. 1 Osambela, Emilio 1 Pritsker, Matt 1 Pritsker, Matthew 1 Sapriza, Horacio 1 Shin, Chae Hee 1 Tanner, Noam 1 Yang, Emily 1
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FRB Boston Risk and Policy Analysis Unit Paper 18
Source
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ECONIS (ZBW) 18
Showing 11 - 18 of 18
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Offshoring, Low-Skilled Immigration, and Labor Market Polarization
Mandelman, Federico S. - 2017
During the last three decades, the U.S. labor market has been characterized by its employment polarization. As jobs in the middle of the skill distribution have shrunk, employment has expanded in high- and low-skill occupations. Real wages have not followed the same pattern. While earnings for...
Persistent link: https://www.econbiz.de/10012948275
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Cross-Sectional Factor Dynamics and Momentum Returns
Avramov, Doron - 2017
This paper proposes and implements an inter-temporal model wherein aggregate consumption and asset-specific dividend growths jointly move with two mean-reverting state variables. Consumption beta varies through time and cross sectionally due to variation in half-lives and stationary volatilities...
Persistent link: https://www.econbiz.de/10012948276
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Offshore Production and Business Cycle Dynamics with Heterogeneous Firms
Zlate, Andrei - 2017
To examine the effect of offshoring through vertical FDI on the international transmission of business cycles, I propose a two-country model in which firms endogenously choose the location of their production plants over the business cycle. Firms face a sunk cost to enter the domestic market and...
Persistent link: https://www.econbiz.de/10012948277
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Macroprudential Policy : Case Study from a Tabletop Exercise
Adrian, Tobias - 2017
Since the global financial crisis of 2007-09, policy makers and academics around the world have advocated the use of prudential tools for macroprudential purposes. This paper presents a macroprudential tabletop exercise that aimed at confronting Federal Reserve Bank presidents with a plausible,...
Persistent link: https://www.econbiz.de/10012948278
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International Financial Spillovers to Emerging Market Economies : How Important are Economic Fundamentals?
Ahmed, Shaghil - 2017
We assess the importance of economic fundamentals in the transmission of international shocks to financial markets in various emerging market economies (EMEs), covering the so-called taper-tantrum episode of 2013 and seven other episodes of severe EME-wide financial stress since the mid-1990s....
Persistent link: https://www.econbiz.de/10012948271
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The Intersection of U.S. Money Market Mutual Fund Reforms, Bank Liquidity Requirements, and the Federal Home Loan Bank System
Anadu, Kenechukwu - 2017
The most recent changes to money market fund regulations have had a strong impact on the money fund industry. In the months leading up to the compliance date of the core provisions of the amended regulations, assets in prime money market funds declined significantly, while those in government...
Persistent link: https://www.econbiz.de/10012943955
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Simultaneous Spatial Panel Data Models with Common Shocks
Lu, Lina - 2017
I consider a simultaneous spatial panel data model, jointly modeling three effects: simultaneous effects, spatial effects and common shock effects. This joint modeling and consideration of cross-sectional heteroskedasticity result in a large number of incidental parameters. I propose two...
Persistent link: https://www.econbiz.de/10012943957
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Choosing Stress Scenarios for Systemic Risk Through Dimension Reduction
Pritsker, Matt - 2017
Regulatory stress-testing is an important tool for ensuring banking system health in many countries around the world. Current methodologies ensure banks are well capitalized against the scenarios in the test, but it is unclear how resilient banks will be to other plausible scenarios. This paper...
Persistent link: https://www.econbiz.de/10012943958
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