- Manmohan Kumar, and Pablo Guidotti
- Published Date:
- March 1991
Public Confidence and Debt Management: A Model and a Case Study of Italy,” Chap. 4 inPublic Debt Management: Theory and History,ed. byRudigerDornbusch and MarioDraghi (Cambridge, England and New YorkCambridge University Press, 1990). pp. 94–118.“
A Stable Purchasing Power Bond,” American Economic Review, Vol. 31 (December1941) pp. 823–25.“
Taxation, Saving, and the Rate of Interest,” Journal of Political Economy, Vol. 86, Part 2 (April1978) pp. S3–S27.“
Measurement of the Public Sector Deficit and Its Implications for Policy Evaluation and Design,” Staff Papers,International Monetary Fund, Vol. 30 (June1983), pp. 306–49.“
Servicing the Public Debt: The Role of Expectations,” American Economic Review, Vol. 78 (September1988), pp. 647–61.“
Controlling Inflation: The Problem of Non-Indexed Debt,” in Debt, Adjustment, and Recovery: Latin America’s Prospects for Growth and Development,ed. bySebastianEdwards and FelipeLarrain ((Oxford, England and Cambridge,Massachusetts: Basil Blackwell, 1989), pp. 156–75.“
1990 a), “The Perils of Sterilization,” Working Paper No. 90/13, International Monetary Fund, March1990.(
1990 b), “Are High Interest Rates Effective for Stopping High Inflation? Some Skeptical Notes” (unpublished, International Monetary Fund, 1990). Forthcoming in the World Bank Economic Review.(
Level and Variability of the Optimal Inflation Tax” (unpublished, International Monetary Fund, October30,1989).“
1990 a), “Indexation and Maturity of Government Bonds: A Simple Model,” Chap. 3 inPublic Debt Management: Theory and History,ed. byRudigerDornbusch and MarioDraghi (Cambridge, England and New York: Cambridge University Press, 1990) pp. 52–82.(
1990 b), “Credibility and Nominal Debt: Exploring the Role of Maturity in Managing Inflation,” Staff Papers,International Monetary Fund, Vol. 37 (September1990), pp. 612–35.(
1990 c), “Optimal Maturity of Nominal Government Debt: An Infinite-Horizon Model” (unpublished, International Monetary Fund, 1990).(
1990 d), “Management of the Nominal Public Debt: Theory and Applications,” Working Paper No. 90/115, International Monetary Fund, December1990. Forthcoming in The Political Economy of Government Debt, ed. by HarrieVerbon and FransvanWinden (Amsterdam: North-Holland).(
Optimal Maturity of Nominal Government Debt: The First Tests,” Economics Letters, Vol. 35 (April1991) pp. 415–21.“
1991 a), “Welfare Costs of Inflation, Seigniorage, and Financial Innovation,” Working Paper No. 91/1, International Monetary Fund, January1991. Forthcoming in the International Monetary Fund’s Staff Papers.(
1991 b), “Economic Growth in Latin America” (unpublished, International Monetary Fund, March1991).(
Fiscal Adjustment and Deficit Financing during the Debt Crisis,” in Dealing with the Debt Crisis,ed. byIshratHusain and IshacDiwan (WashingtonInternational Bank for Reconstruction and Development, 1989) pp. 91–113.“
1983 a), “Indexing and Inflation,” Journal of Monetary Economics, Vol. 12 (November1983), pp. 519–41.(
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Growth, Macroeconomics, and Development,” (unpublished, Massachusetts Institute of Technology, Economics Department, February15,1991).“
Should Governments Learn to Live with Inflation?,” American Economic Review: Papers and Proceedings of the One Hundred and First Annual Meeting of the American Economic Association, Vol. 79 (May1989), pp. 382–87.“
Monetary Correction,” Chap. 2 in Herbert Giersch and others, Essays on Inflation and Indexation (WashingtonAmerican Enterprise Institute for Public Policy Research, 1974), pp. 25–61.“
Confidence Crises and Public Debt Management,” Chap. 5 inPublic Debt Management: Theory and History,ed. byRudigerDornbusch and MarioDraghi (Cambridge, England and New YorkCambridge University Press, 1990,) pp. 125–43.“
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Government Intermediation in the Indexed Bonds Market,” American Economic Review, Vol. 66May1976, pp. 186–92.“
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1989 a), “Public Debt, North and South,” in Dealing with the Debt Crisis,ed. byIshratHusain and IshacDiwan (WashingtonInternational Bank for Reconstruction and Development, 1989), pp. 116–27.(
1989 b), Public Debt, External Competitiveness, and Fiscal Discipline in Developing Countries,Studies in International Finance, No. 66 (Princeton, New JerseyInternational Finance Section, Princeton University, 1989).(
Developing Country Debt: The Budgetary and Transfer Problem (ParisOrganization for Economic Cooperation and Development, Development Center Studies1988).
Inflation, Lags in Collection, and the Real Value of Tax Revenue,” Staff Papers,International Monetary Fund, Vol. 24 (March1977), pp. 154–67.“
Public Debt, North and South: Comments,” in Dealing with the Debt Crisis,ed. by (WashingtonInternational Bank for Reconstruction and Development, 1989), pp. 127–28.“
Recent Occasional Papers of the International Monetary Fund
80. Domestic Public Debt of a Externally Indebted Countries, by Pablo E. Guidotti and Manmohan S. Kumar.
79. The Mongolian People’s Republic: Toward a Market Economy, by Elizabeth Milne, John Leimone, Franek Rozwadowski, and Padej Sukachevin. 1991.
78. Exchange Rate Policy in Developing Countries: Some Analytical Issues, by Bijan B. Aghevli, Mohsin S. Khan, and Peter J. Montiel. 1991.
77. Determinants and Systemic Consequences of International Capital Flows, by Morris Goldstein, Donald J. Mathieson, David Folkerts-Landau, Timothy Lane, J. Saul Lizondo, and Liliana Rojas-Suarez. 1991.
76. China: Economic Reform and Macroeconomic Management, by Mario Blejer, David Burton, Steven Dunaway, and Gyorgy Szapary. 1991.
75. German Unification: Economic Issues, edited by Leslie Lipschitz and Donogh McDonald. 1990.
74. The Impact of the European Community’s Internal Market on the EFTA, by Richard K. Abrams, Peter K. Cornelius, Per L. Hedfors, and Gunnar Tersman. 1990.
73. The European Monetary System: Developments and Perspectives, by Horst Ungerer, Jouko J. Hauvonen, Augusto Lopez-Claros, and Thomas Mayer. 1990.
72. The Czech and Slovak Federal Republic: An Economy in Transition, by Jim Prust and an IMF Staff Team. 1990.
71. MULTIMOD Mark II: A Revised and Extended Model, by Paul Masson, Steven Symansky, and Guy Meredith. 1990.
70. The Conduct of Monetary Policy in the Major Industrial Countries: Instruments and Operating Procedures, by Dallas S. Batten, Michael P. Blackwell, In-Su Kim, Simon E. Nocera, and Yuzuru Ozeki. 1990.
69. International Comparisons of Government Expenditure Revisited: The Developing Countries, 1975–86, by Peter S. Heller and Jack Diamond. 1990.
68. Debt Reduction and Economic Activity, by Michael P. Dooley, David Folkerts-Landau, Richard D. Haas, Steven A. Symansky, and Ralph W. Tryon. 1990.
67. The Role of National Saving in the World Economy: Recent Trends and Prospects, by Bijan B. Aghevli, James M. Boughton, Peter J. Montiel, Delano Villanueva, and Geoffrey Woglom. 1990.
66. The European Monetary System in the Context of the Integration of European Financial Markets, by David Folkerts-Landau and Donald J. Mathieson. 1989.
65. Managing Financial Risks in Indebted Developing Countries, by Donald J. Mathieson, David Folkerts Landau, Timothy Lane, and Iqbal Zaidi. 1989.
64. The Federal Republic of Germany: Adjustment in a Surplus Country, by Leslie Lipschitz, Jeroen Kremers, Thomas Mayer, and Donogh McDonald. 1989.
63. Issues and Developments in International Trade Policy, by Margaret Kelly, Naheed Kirmani, Miranda Xafa, Clemens Boonekamp, and Peter Winglee. 1988.
62. The Common Agricultural Policy of the European Community: Principles and Consequences, by Julius Rosenblatt, Thomas Mayer, Kasper Bartholdy, Dimitrios Demekas, Sanjeev Gupta, and Leslie Lipschitz. 1988.
61. Policy Coordination in the European Monetary System. Part I: The European Monetary System: A Balance Between Rules and Discretion, by Manuel Guitian. Part II: Monetary Coordination Within the European Monetary System: Is There a Rule? by Massimo Russo and Giuseppe Tullio. 1988.
60. Policies for Developing Forward Foreign Exchange Markets, by Peter J. Quirk, Graham Hacche, Viktor Schoofs, and Lothar Weniger. 1988.
59. Measurement of Fiscal Impact: Methodological Issues, edited by Mario I. Blejer and Ke-Young Chu. 1988.
58. The Implications of Fund-Supported Adjustment Programs for Poverty: Experiences in Selected Countries, by Peter S. Heller, A. Lans Bovenberg, Thanos Catsambas, Ke-Young Chu, and Parthasarathi Shome. 1988.
57. The Search for Efficiency in the Adjustment Process: Spain in the 1980s, by Augusto Lopez-Claros. 1988.
56. Privatization and Public Enterprises, by Richard Hemming and Ali M. Mansoor. 1988.
55. Theoretical Aspects of the Design of Fund-Supported Adjustment Programs: A Study by the Research Department of the International Monetary Fund. 1987.
54. Protection and Liberalization: A Review of Analytical Issues, by W. Max Corden. 1987.
53. Floating Exchange Rates in Developing Countries: Experience with Auction and Interbank Markets, by Peter J. Quirk, Benedicte Vibe Christensen, Kyung-Mo Huh, and Toshihiko Sasaki. 1987.
52. Structural Reform, Stabilization, and Growth in Turkey, by George Kopits. 1987.
51. The Role of the SDR in the International Monetary System: Studies by the Research and Treasurer’s Departments of the International Monetary Fund. 1987.
50. Strengthening the International Monetary System: Exchange Rates, Surveillance, and Objective Indicators, by Andrew Crockett and Morris Goldstein. 1987.
49. Islamic Banking, by Zubair Iqbal and Abbas Mirakhor. 1987.
48. The European Monetary System: Recent Developments, by Horst Ungerer, Owen Evans, Thomas Mayer, and Philip Young. 1986.
47. Aging and Social Expenditure in the Major Industrial Countries, 1980–2025, by Peter S. Heller, Richard Hemming, Peter W. Kohnert, and a Staff Team from the Fiscal Affairs Department. 1986.
46. Fund-Supported Programs, Fiscal Policy, and Income Distribution: A Study by the Fiscal Affairs Department of the International Monetary Fund. 1986.
45. Switzerland’s Role as an International Financial Center, by Benedicte Vibe Christensen. 1986.
44. A Review of the Fiscal Impulse Measure, by Peter S. Heller, Richard D. Haas, and Ahsan H. Mansur. 1986.
42. Global Effects of Fund-Supported Adjustment Programs, by Morris Goldstein. 1986.
41. Fund-Supported Adjustment Programs and Economic Growth, by Mohsin S. Kahn and Malcolm D. Knight. 1985.
39. A Case of Successful Adjustment: Korea’s Experience During 1980–84, by Bijan B. Aghevli and Jorge Marquez-Ruarte. 1985.
38. Trade Policy Issues and Developments, by Shailendra J. Anjaria, Naheed Kirmani, and Arne B. Petersen. 1985.
36. Formulation of Exchange Rate Policies in Adjustment Programs, by a Staff Team Headed by G.G. Johnson. 1985.
35. The West African Monetary Union: An Analytical Review, by Rattan J. Bhatia. 1985.
Note: For information on the title and availability of Occasional Papers not listed, please consult the IMF Publications Catalog or contact IMF Publication Services. Occasional Paper Nos. 5–26 are $5.00 a copy (academic rate: $3.00); Nos. 27–64 are $7.50 a copy (academic rate: $4.50); and from No. 65 on, the price is $10.00 a copy (academic rate: $7.50).