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Year of publication
Subject
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Theorie 372 Theory 372 USA 309 United States 309 Monetary policy 153 Geldpolitik 151 Estimation 97 Schätzung 97 Business cycle 89 Konjunktur 89 Welt 79 World 79 Forecasting model 73 Prognoseverfahren 73 Schock 50 Shock 50 Impact assessment 49 Wirkungsanalyse 49 Inflation 48 Volatility 47 Volatilität 47 Financial crisis 46 Finanzkrise 46 Finanzpolitik 42 Fiscal policy 42 Productivity 41 Produktivität 41 Central bank 39 Zentralbank 39 VAR model 34 VAR-Modell 34 Börsenkurs 32 Share price 32 Financial market 31 Finanzmarkt 31 Portfolio selection 30 Portfolio-Management 30 Welfare analysis 29 Wohlfahrtsanalyse 29 Coronavirus 28
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Online availability
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Free 1,024 Undetermined 33
Type of publication
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Book / Working Paper 1,058
Type of publication (narrower categories)
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Arbeitspapier 1,058 Working Paper 1,058 Graue Literatur 776 Non-commercial literature 776 Systematic review 4 Übersichtsarbeit 4 Statistics 1 Statistik 1
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Language
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English 1,058
Author
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Wen, Yi 86 Owyang, Michael T. 58 Neely, Christopher J. 49 Bandyopadhyay, Subhayu 47 Guidolin, Massimo 37 Wheelock, David C. 36 Thornton, Daniel L. 33 McCracken, Michael W. 32 Garrett, Thomas Andrew 30 Garriga, Carlos 29 Sanchez, Juan M. 28 Wall, Howard J. 28 Coughlin, Cletus Charles 27 Chien, YiLi 24 Piger, Jeremy Max 24 Santacreu, Ana Maria 23 Andolfatto, David 22 Dupor, Bill 22 Nelson, Edward 22 Gavin, William T. 21 Bullard, James B. 20 Guo, Hui 20 Hernández-Murillo, Rubén 20 Ravikumar, B. 20 Anderson, Richard G. 18 Dueker, Michael 18 Martin, Fernando M. 18 Wang, Pengfei 18 DiCecio, Riccardo 16 Kozlowski, Julian 16 Waller, Christopher 16 Wheeler, Christopher H. 16 Cohen, Jeffrey P. 14 Leibovici, Fernando 14 Sandler, Todd 14 Birinci, Serdar 13 Clark, Todd E. 13 Kliesen, Kevin L. 13 Vandenbroucke, Guillaume 13 Pakko, Michael Robert 12
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Institution
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Federal Reserve Bank of St. Louis 195
Published in...
All
Working paper 1,058 FRB St. Louis Working Paper 61 Working papers / National Bureau of Economic Research, Inc. 1
Source
All
ECONIS (ZBW) 1,058
Showing 1 - 10 of 1,058
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Import source reallocation and aggregate price dynamics in the United States
Chinagorom-Abiakalam, Dawn; Leibovici, Fernando - 2025
Persistent link: https://www.econbiz.de/10015458707
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When liquidity matters: firm balance sheets during large crises
Ebsim, Mahdi; Faria-e-Castro, Miguel; Kozlowski, Julian - 2025
Persistent link: https://www.econbiz.de/10015458719
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Out-of-sample inference with annual benchmark revisions
Gonçalves, Sílvia; McCracken, Michael W.; Yao, Yongxu - 2025
Persistent link: https://www.econbiz.de/10015458721
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Theory meets textual analysis: measuring firm-level labor cost pressures and inflation pass-through
Kalyani, Aakash; Ozkan, Serdar - 2025 - This version: July 6, 2025
Persistent link: https://www.econbiz.de/10015458728
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New technologies and the college premium
Hassan, Tarek A.; Kalyani, Aakash; Restrepo, Pascual - 2025
Persistent link: https://www.econbiz.de/10015458733
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Who paid for the profits of Taiwan's central bank?
Chang, Juin-jen; Chang, Wan-Ting; Chien, YiLi; Kuo, … - 2025
We analyze the interaction between the Taiwan central bank's profits and its policies. To earn large and consistent profits, the Taiwan central bank significantly expanded its balance sheet and relied on inexpensive short-term domestic funding to invest in longer-term foreign debt securities. In...
Persistent link: https://www.econbiz.de/10015439096
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The dynamics of long-run inflation expectations : a market-based perspective
Cole, Anna; Kozlowski, Julian; Martorana, Joseph - 2025
This paper analyzes market-based probability distributions for long-run inflation expectations derived from inflation derivatives. We construct forward-looking distributions for five-year-ahead inflation to assess the likelihood that inflation will fall above, below, or near the Federal...
Persistent link: https://www.econbiz.de/10015439104
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Mortgage market structure and the transmission of monetary policy during the Great Inflation
Hedlund, Aaron; Larkin, Kieran; Mitman, Kurt; Ozkan, Serdar - 2025
This paper examines the impact of mortgage market structures on shaping economic responses to the unprecedented interest rate and inflation dynamics of 2021-2024. We first empirically document that economies with a larger share of variable-rate mortgages exhibit stronger responses in house...
Persistent link: https://www.econbiz.de/10015439108
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Optimal asset market operations
Chiang, Yu-Ting; Zoch, Piotr - 2025
We characterize governments' optimal responses to asset market disturbances across a broad class of models with financial frictions. We show that the Ramsey plan can be achieved by a policy rule targeting a specific relationship between asset returns, regardless of the underlying disturbances....
Persistent link: https://www.econbiz.de/10015439109
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The cost of capital and misallocation in the United States
Faria-e-Castro, Miguel; Kozlowski, Julian; Majerovitz, … - 2025
We develop a methodology to estimate the cost of capital using credit registry microdata, and apply it to study capital allocation efficiency in the United States. Our measure incorporates the contractual interest rate, expected default probability, recovery rate, and expectations of future...
Persistent link: https://www.econbiz.de/10015439110
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