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We review macroeconomic performance over the period since the Global Financial Crisis and the challenges in the pursuit of the Federal Reserve's dual mandate. We characterize the use of forward guidance and balance sheet policies after the federal funds rate reached the effective lower bound. We...
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We explore the long-run macroeconomic implications of rising inequality, distinguishing between increased polarization in labor earnings, increased polarization in asset returns, and increased correlation between the two income components. We show that the origins of income inequality are...
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We analyze the recent behavior of oil and equity prices in the context of our earlier work, Datta, et al. (2021), which focuses on the previous zero lower bound (ZLB) episode, in the aftermath of the Global Financial Crisis. We find that the correlation between oil and equity returns and the...
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