Working Papers Central Bank of Chile - 2009

Working papers number 513 ahead

Number title Authors date
555 Funding Liquidity Risk in a Quantitative Model of Systemic Stability David Aikman
Piergiorgio Alessandri
Bruno Eklund
Prasanna Gai
Sujit Kapadia
Elizabeth Martin
Nada Mora
Gabriel Sterne
Matthew Willison.
December 2009
554 Financial Stability, Monetary Policy and Central Banking: An Overview Rodrigo Alfaro A.
Rodrigo Cifuentes S.
December 2009
553 Incorporating Financial Sector Risk into Monetary Policy Models: Application to Chile Dale Gray
Carlos García
Leonardo Luna
Jorge E. Restrepo
December 2009
552 Crisis Financiera y Uso de Derivados Cambiarios en Empresas Exportadoras María Gabriela Acharán
Roberto Alvarez
José Miguel Villena
December 2009
551 Efectos de las Emisión de Bonos del Banco Central Sobre las Tasas de Interés Marco Batarce December 2009
550 Defining Financial Stability and a Framework for Safeguarding It. Garry J. Schinasi December 2009
549 Determinantes del Precio de Viviendas en Chile Andrés Sagner December 2009
548 A Historical Perspective on the Crisis of 2007–08 Michael D. Bordo December 2009
547 Modeling a Housing and Mortgage Crisis Charles A.E. Goodhart
Dimitrios P. Tsomocos
Alexandros P. Vardoulakis
December 2009
546 Policy Reform Under Electoral Uncertainty Dalibor Eterovic December 2009
545 Forecasting Chilean Inflation From Disaggregate Components Marcus Cobb December 2009
544 Towards an Operational Framework for Financial Stability: "Fuzzy" Measurement and its Consequences Claudio Borio; Mathias Drehmann December 2009
543 Institutional Bias Towards The Status Quo Dalibor Eterovic December 2009
542 A Network Model of Super-systemic Crises Prasanna Gai; Sujit Kapadi December 2009
541 New Framework for Measuring and Managing Macrofinancial Risk and Financial Stability Dale F. Gray
Robert C. Merton
Zvi Bodie
December 2009
540 Households’ Financial Vulnerability Marcelo Fuenzalida
Jaime Ruiz-Tagle
December 2009
539 Exchange Rate Volatility and Export Margins. Roberto Álvarez
Michael Doyle
Ricardo A. López
December 2009
538 On The Role and Effects of IMF Seniority Diego Saravia December 2009
537 The Balance Sheet Channel Ethan Cohen-Cole
Enrique Martinez-Garcia
December 2009
536 Entry into Export Markets and Product Quality Differences Roberto Álvarez
J. Rodrigo Fuentes
December 2009
535 Análisis de Derechos Contingentes: Aplicación a Casas Comerciales Rodrigo Alfaro
Natalia Gallardo
December 2009
534 Efectos del Calentamiento Global sobre la Industria Pesquera Carlos Medel December 2009
533 Hybrid Inflation Targeting Regimes Carlos García
Jorge Restrepo
Scott Roger
December 2009
532 Bank Credit and the 2008 Financial Crisis: A cross-country Comparison Ari Aisen
Michael Franken
December 2009
531 The Yield Curve Under Nelson-Siegel Rodrigo Alfaro October 2009
530 The Long And The Short Of Emerging Market Debt Luis Opazo
Claudio Raddatz
Sergio Schmukler
October 2009
529 A Simple Global Perspective on the US Slowdown, Boom-Bust Cycles and the Rise of Protectionism
Juan Pablo Medina
Pablo García
October 2009
528 The Effect of the Number of Lending Banks on the Liquidity Constraints of Firms: Evidence From a Quasi-Experiment Daniel Calvo
Alejandro Drexler
Carolina Flores
David Pacheco
October 2009
527 Monetary Policy And Key Unobservables: Evidence From Large Industrial And Selected Inflation-Targeting Countries
Klaus Schmidt-Hebbel
Carl E. Walsh
October 2009
526 Communicational Bias In Monetary Policy: Can Words Forecast Deeds? Pablo Pincheira
Mauricio Calani
October 2009
525 Interindustry Wage Differences: An Empirical Review Miguel Ricaurte August 2009
524 The Effect of Credit Insurance on Liquidity Constraints and Default Rates: Evidence From a Governmental Intervention Kevin Cowan
Alejandro Drexler
Álvaro Yañez
August 2009
523 FDI vs. Exports: Accounting for Differences in Export-Sales Intensities Miguel Ricaurte
Katherine Schmeiser
August 2009
522 Pass-through of Large Changes in Monetary Policy Rate – Evidence for Chile J. Sebastián Becerra
Luis Ceballos
Felipe Córdova
Michael Pedersen
August 2009
521 Corporate Tax, Firm Destruction and Capital Stock Accumulation: Evidence From Chilean Plants Rodrigo A. Cerda
Diego Saravia
July 2009
520 When RSI met the Binomial-Tree Rodrigo Alfaro
Andrés Sagner
June 2009
519 Skill Upgrading and the Real Exchange Rate Roberto Álvarez
Ricardo A. López
June 2009
518 Optimal Taxation With Heterogeneous Firms Rodrigo A. Cerda
Diego Saravia
June 2009
517 Do Exchange Rate Regimes Matter For Inflation And Exchange Rate Dynamics? The Case Of Central America. Rodrigo Caputo G.
Igal Magendzo
June 2009
516 Interbank Rate and the Liquidity of the Market. Luis A. Ahumada
Álvaro García
Luis Opazo
Jorge Selaive
April 2009
515 Sovereing Defaulters: Do International Capital Markets Punish Them? Miguel Fuentes
Diego Saravia
April 2009
514 Forecasting Inflation in Chile With an Accurate Benchmark Pablo Pincheira Brown
Álvaro García Marín
April 2009
513 From Crisis to IMF-Supported Program: Does Democracy Impede the Speed Required by Financial Markets? Ashoka Mody
Diego Saravia
March 2009