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Subject
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Theorie 213 Theory 213 Estimation 59 Schätzung 59 Hypothek 58 Mortgage 58 Business cycle 45 Konjunktur 45 Insolvency 44 Insolvenz 44 Geldpolitik 43 Monetary policy 43 Bank lending 37 Kreditgeschäft 37 Consumer credit 32 Verbraucherkredit 32 Bank 31 USA 31 United States 31 Financial crisis 28 Finanzkrise 28 Forecasting model 28 Prognoseverfahren 28 Credit risk 26 Kreditrisiko 26 Private Verschuldung 24 Private debt 24 Impact assessment 23 Wirkungsanalyse 23 Inflation 22 Dynamic equilibrium 21 Dynamisches Gleichgewicht 21 Welt 21 World 21 Consumer behaviour 20 Konsumentenverhalten 20 Agglomeration effect 19 Agglomerationseffekt 19 Homeownership 19 Wohneigentum 19
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Online availability
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Free 606 Undetermined 1
Type of publication
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Book / Working Paper 632
Type of publication (narrower categories)
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Arbeitspapier 65 Graue Literatur 65 Non-commercial literature 65 Working Paper 65
Language
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English 613 Undetermined 19
Author
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Chatterjee, Satyajit 36 Nakamura, Leonard Isamu 33 Jagtiani, Julapa 31 Fujita, Shigeru 26 Guerrón-Quintana, Pablo A. 26 Carlino, Gerald A. 24 Eyigungor, Burcu 24 Hunt, Robert M. 23 Li, Wenli 21 Nakajima, Makoto 21 Sanches, Daniel R. 20 Mikhed, Vyacheslav 18 Dotsey, Michael 15 Lester, Benjamin 15 Lin, Jeffrey 14 Alessandria, George 13 Armenter, Roc 13 Calem, Paul Seth 13 Elul, Ronel 13 Fernández-Villaverde, Jesús 13 Mester, Loretta J. 13 Rubio-Ramírez, Juan Francisco 13 Schorfheide, Frank 13 Aruoba, S. Borağan 12 Drautzburg, Thorsten 12 Cordell, Larry 11 Croushore, Dean Darrell 11 Lambie-Hanson, Lauren 11 Scholnick, Barry 11 D'Erasmo, Pablo N. 10 Küster, Keith 9 Monnet, Cyril 9 Smith, Tony E. 9 Yu, Edison 9 Blascak, Nathan 8 Brinkman, Jeffrey C. 8 Carr, Jake 8 Corbae, Dean 8 Diebold, Francis X. 8 An, Xudong 7
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Published in...
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FRB of Philadelphia Working Paper 631 Working papers / Federal Reserve Bank of Philadelphia, Research Department 65 FRB Atlanta Community and Economic Development Discussion Paper 1 FRB of Philadelphia Working Paper Series 1
Source
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ECONIS (ZBW) 632
Showing 41 - 50 of 632
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Racial Inequality in Unemployment Insurance Receipt and Take-Up
Kuka, Elira; Stuart, Bryan A. - 2022
This paper studies differences in receipt and take-up of unemployment insurance (UI) benefits among White and Black individuals. We combine state-level UI regulations with data containing detailed information on individuals’ work history and UI receipt. Black individuals who separate from a...
Persistent link: https://www.econbiz.de/10013295789
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Place-Based Consequences of Person-Based Transfer : Evidence from Recessions
Hershbein, Brad; Stuart, Bryan - 2022
This paper studies how government transfers respond to changes in local economic activity that emerge during recessions. Local labor markets that experience greater employment losses during recessions face persistent relative decreases in per capita earnings. However, these areas also experience...
Persistent link: https://www.econbiz.de/10013296305
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The Firm Size-Leverage Relationship and its Implications for Entry and Business Concentration
Chatterjee, Satyajit; Eyigungor, Burcu - 2022
Larger firms (by sales or employment) have higher leverage. This pattern is explained using a model in which firms produce multiple varieties, acquire new varieties from their inventors, and borrow against the future cash flow of the firm with the option to default. A variety can die with a...
Persistent link: https://www.econbiz.de/10013296463
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Real-Time Macroeconomic Monitoring : Real Activity, Inflation, and Interactions
Aruoba, S. Borağan; Diebold, Francis X. - 2022
The authors sketch a framework for monitoring macroeconomic activity in real-time and push it in new directions. In particular, they focus not only on real activity, which has received most attention to date, but also on inflation and its interaction with real activity. As for the recent...
Persistent link: https://www.econbiz.de/10013298028
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On the Network Topology of Variance Decompositions : Measuring the Connectedness of Financial Firms
Diebold, Francis X.; Yılmaz, Kamil - 2022
The authors propose several connectedness measures built from pieces of variance decompositions, and they argue that they provide natural and insightful measures of connectedness among financial asset returns and volatilities. The authors also show that variance decompositions define weighted,...
Persistent link: https://www.econbiz.de/10013298029
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The Role of Regulation and Bank Competition in Small Firm Financing : Evidence from the Community Reinvestment Act
Avramidis, Panagiotis; Pennacchi, George G.; Serfes, … - 2022
This paper analyzes how bank regulation that promotes greater access to credit impacts the financing of targeted small firms. It develops a model where banks compete with trade creditors to fund small firms and applies it to study the effects of the Community Reinvestment Act (CRA). The...
Persistent link: https://www.econbiz.de/10013300270
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Net Income Measurement, Investor Inattention, and Firm Decisions
Amornsiripanitch, Natee; Huang, Zeqiong; Kwon, David; … - 2022
When investors have limited attention, does the way in which net income is measured matter for firm value and firms’ resource allocation decisions? This paper uses the Accounting Standards Update (ASU) 2016-01, which requires public firms to incorporate changes in unrealized gains and losses...
Persistent link: https://www.econbiz.de/10013305641
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The Great Migration and Educational Opportunity
Baran, Cavit; Chyn, Eric; Stuart, Bryan A. - 2022
This paper studies the impact of the First Great Migration on children. We use the complete count 1940 Census to estimate selection-corrected place effects on education for children of Black migrants. On average, Black children gained 0.8 years of schooling (12 percent) by moving from the South...
Persistent link: https://www.econbiz.de/10013306139
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Bond Insurance and Public Sector Employment
Amornsiripanitch, Natee - 2022
This paper uses a unique data set of local governments’ bond issuance, expenditure, and employment to study the impact of the monoline insurance industry’s demise on local governments’ operations. To show causality, I use an instrumental variable approach that exploits persistent insurance...
Persistent link: https://www.econbiz.de/10013306395
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Democratic Political Economy of Financial Regulation
Livshits, Igor; Park, Youngmin - 2022
This paper offers a simple theory of inefficiently lax financial regulation arising as an outcome of a democratic political process. Lax financial regulation encourages some banks to issue risky residential mortgages. In the event of an adverse aggregate housing shock, these banks fail. When...
Persistent link: https://www.econbiz.de/10013308930
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