1. The Predictive Content of the Output Gap for Inflation: Resolving In-Sample and Out-of-Sample Evidence
  2. Todd E. Clark, Michael W. McCracken
  3. pp. 1127-1148
  4. DOI: 10.1353/mcb.2006.0068
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  1. Has U.S. Monetary Policy Changed? Evidence from Drifting Coefficients and Real-Time Data
  2. Jean Boivin
  3. pp. 1149-1173
  4. DOI: 10.1353/mcb.2006.0065
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  1. Taylor Rules and the Deutschmark-Dollar Real Exchange Rate
  2. Charles Engel, Kenneth D. West
  3. pp. 1175-1194
  4. DOI: 10.1353/mcb.2006.0070
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  1. Do Bank Loan Relationships Still Matter?
  2. L. Paige Fields, Donald R. Fraser, Tammy L. Berry, Steven Byers
  3. pp. 1195-1209
  4. DOI: 10.1353/mcb.2006.0071
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  1. Macroeconomic Dynamics and Credit Risk: A Global Perspective
  2. M. Hashem Pesaran, Til Schuermann, Bjorn-Jakob Treutler, Scott M. Weiner
  3. pp. 1211-1261
  4. DOI: 10.1353/mcb.2006.0074
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  1. Stock Market Reaction to Financial Statement Certification by Bank Holding Company CEOs
  2. Beverly J. Hirtle
  3. pp. 1263-1291
  4. DOI: 10.1353/mcb.2006.0072
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  1. Branch Banking, Bank Competition, and Financial Stability
  2. Mark Carlson, Kris James Mitchener
  3. pp. 1293-1328
  4. DOI: 10.1353/mcb.2006.0067
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  1. Additional Evidence of Long-Run Purchasing Power Parity with Restricted Structural Change
  2. David H. Papell, Ruxandra Prodan
  3. pp. 1329-1349
  4. DOI: 10.1353/mcb.2006.0073
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  1. A Portfolio View of Banking with Interest and Noninterest Activities
  2. Kevin J. Stiroh
  3. pp. 1351-1361
  4. DOI: 10.1353/mcb.2006.0075
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  1. Multiple Regimes in U.S. Monetary Policy? A Nonparametric Approach
  2. John Duffy, Jim Engle-Warnick
  3. pp. 1363-1377
  4. DOI: 10.1353/mcb.2006.0069
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  1. Does Political Instability Lead to Higher Inflation? A Panel Data Analysis
  2. Ari Aisen, Francisco Jose Veiga
  3. pp. 1379-1389
  4. DOI: 10.1353/mcb.2006.0064
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  1. Euro-Illusion: A Natural Experiment
  2. Edmund Stuart Cannon, Giam Pietro Cipriani
  3. pp. 1391-1403
  4. DOI: 10.1353/mcb.2006.0066
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