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Studies of International Finance
1006-1029
2015 Issue 9
Robustness of the Taylor Rule and Optimal Control Policy in the FRB/US Model Paths for the Federal Funds Rate in Yellen’s New Normal Monetary Policy
Ge Qi;
..............
page:3-15
Parameter Identification of Forward-looking Monetary Policy Rule——The Analysis Framework Based on Factor Models
Zhang Yupeng;Wang Qian;
..............
page:16-25
Should the Central Bank Be Blamed for Money Over-issuing?——A Response to Issues Aroused by Recent Domestic Literature
Pan Gongjun;Wu Shifeng;Zhou Mingshan;
..............
page:26-34
MSVAR Based Analysis on China’s Trilemma Policies and Their Impacts on Economic Growth
Tang Lin;Tan Zhengda;Hu Haiou;
..............
page:35-44
Investment Restrictions,Financial Frictions and External Imbalances
Mao Jian;
..............
page:45-54
Big Data Method of Macro Prudential Regulation:Background,Principle,and Latest Practices in the U.S.
Wang Da;
..............
page:55-65
Heterogeneous Conditions,Asset Price and Bank Credit
Xin Binghai;Zhang Xiaoyun;Tao Jiang;
..............
page:66-75
Research of Systemic Risk Contagion in Chinese Banking and Realty Industry:From an Internal Perspective
Wang Hui;Li Shuo;
..............
page:76-85
Redefining the Valuation Effects and Currency Mismatches:A New Macroeconomic Application of the Concept of Exchange Risk
He Liping;
..............
page:86-96
sheng song cheng deng zhu jin rong gai ge xie diao tui jin lun xu yan
li jian ge ;
..............
page:97