- Richard Hemming, Woosik Chu, Charles Collyns, Karen Parker, Ajai Chopra, and Oliver Fratzscher
- Published Date:
- June 1995
Productivity and Growth in Indian Manufacturing (New Delhi: Oxford University Press, 1991).
“The Manufacturing Sector in India,”in India: Industrial Development Review (London: Economist Intelligence Unit, and Vienna: United Nations Industrial Development Organization, 1995).
“Industrial Sickness in India: Institutional Responses and Issues in Restructuring” (unpublished; New Delhi, April1994).
“Discretionary Trading and Asset Price Volatility,”IMF Working Paper No. 95/104 (Washington: International Monetary Fund, October1995).
“Total Factor-Productivity Growth in Manufacturing Industry: A Fresh Look,” Economic and Political Weekly, July30, 1994, pp. 2028–35.
“International Comparisons of Educational Attainment,”Journal of Monetary Economics, Vol. 32 (December1993), pp. 363–94.
Policy Impediments to Foreign Direct Investment in India: Status and Issues (New Delhi: Indian Institute of Foreign Trade, 1994).
“Internal Migration, Center-State Grants and Economic Growth in the States of India,”IMF Working Paper No. 95/66 (Washington: International Monetary Fund, July1995).
Confederation of Indian Industry, “The States: Strategy for Growth,”background paper on administrative reforms prepared for the 20th annual session (Calcutta, 1994).
Investment Under Uncertainty (Princeton, New Jersey: Princeton University Press, 1994).
Private Market Financing for Developing Countries, World Economic and Financial Surveys (Washington: International Monetary Fund, 1995).
“The Role of Macroeconomic Factors in Growth,”Journal of Monetary Economics, Vol. 32 (December1993), pp. 485–512.
The Response of Investment and Growth to Adjustment Policies: Lessons from Eight Countries (Washington: International Monetary Fund, forthcoming).
International Capital Markets: Developments, Prospects, and Policy Issues, World Economic and Financial Surveys (Washington: International Monetary Fund, 1994).
Report of the Committee on Industrial Sickness and Corporate Restructuring (New Delhi, 1993).
“Private Investment in Developing Countries: An Empirical Analysis,”Staff Papers, International Monetary Fund, Vol. 38 (March1991), pp. 33–58.
“Postwar U.S. Business Cycles: An Empirical Investigation” (unpublished;Carnegie-Mellon University1980).
Industrial Credit and Investment Corporation of India Limited, Capacity Utilization in the Private Corporate Sector, 1991–92 and 1992–93 (Bombay, 1994).
International Finance Corporation (1994a), Emerging Stock Markets: Factbook (Washington, 1994).
International Finance Corporation (1994b), Quarterly Review of Emerging Markets, First Quarter (Washington, 1994).
International Labor Organization, India: Employment, Poverty and Economic Policies (New Delhi, December1993).
International Monetary Fund, World Economic Outlook, October 1994: A Survey by the Staff of the International Monetary Fund, World Economic and Financial Surveys (Washington, 1994).
“The Evolution of the Money Market and Government Securities Market in India,”background paper for the Sixth Seminar on Central Banking, International Monetary Fund (Washington, 1994).
India: Macroeconomics and Political Economy 1964–91 (Washington: World Bank, 1994).
“Indian Banking System: Restitution and Reform Sequencing” (unpublished; Washington, 1993).
“Capital Fundamentalism, Economic Development and Economic Growth,”Carnegie-Rochester Series on Public Policy, Vol. 40 (June1994), pp. 259–92.
International Trade Policies: The Uruguay Round and Beyond, World Economic and Financial Surveys (Washington: International Monetary Fund, 1994).
“A Contribution to the Empirics of Economic Growth,”Quarterly Journal of Economics, Vol. 107 (May1992), pp. 407–38.
“Measuring the Effect of External Shocks and the Policy Response to Them: Empirical Methodology Applied to the Philippines,”Policy Research Working Paper WPS 1271 (Washington: World Bank, March1994).
Ministry of Finance, “Public Sector Commercial Banks and Financial Sector Reform: Rebuilding for a Better Future,”Discussion Paper (New Delhi, 1993).
Ministry of Finance, Report of the Tenth Finance Commission (for 1995–2000) (New Delhi, 1994).
Ministry of Finance, Economic Survey, 1994–95 (New Delhi, 1995).
Ministry of Industry, Department of Public Enterprises, Public Enterprises Survey, 1993–94 (New Delhi, 1995).
“Public Sector Reform and Issues in Privatization,”paper presented at a meeting organized by the OECD Development Center and Center for Policy Research, New Delhi, March6–7, 1995.
Report of the Committee on the Financial System (New Delhi, 1991).
“The Reform of India’s Financial System” (unpublished; New Delhi, 1993).
“Complementarity Between Public and Private Investment in India,”Journal of Development Economics, Vol. 33 (July1990), pp. 101–16.
“Liberalizing Indian Agriculture: An Agenda for Reform,”Policy Research Working Paper WPS 1172 (Washington: World Bank, September1993).
“Returns to Investment in Education: A Global Update,”Policy Research Working Paper WPS 1067 (Washington: World Bank, January1993).
“Empirical Investment Equations for Developing Countries,” in Striving for Growth After Adjustment: The Role of Capital Formation, ed. by LuisServén and AndresSolimano (ed) (Washington: World Bank, 1993).
Report of the Committee on Divestment of Shares in Public Sector Enterprises (New Delhi, 1993).
“Developing the Money and Securities Markets in India,”paper presented at the Sixth Seminar on Central Banking, International Monetary Fund (Washington, 1994).
Reserve Bank of India, Report on Currency and Finance, 1994–95 (Bombay, 1995).
“The Penn World Table (Mark 5): An Expanded Set of International Comparisons, 1950–88,”Quarterly Journal of Economics, Vol. 106 (May1991), pp. 327–68.
The Penn World Table (Mark 5.6) database (1994).
“Public Investment, Crowding Out, and Growth: A Dynamic Model Applied to India and Korea,”Staff Papers, International Monetary Fund, Vol. 27 (December1980), pp. 814–55.
Tax Reforms CommitteeFinal Report, Parts I and II (New Delhi: Ministry of Finance, 1993).
World Bank, “India: Issues in Trade Reform,”Report No. 13169-IN (Washington, 1994).
Recent Occasional Papers of the International Monetary Fund
134. India: Economic Reform and Growth, by Ajai Chopra, Charles Collyns, Richard Hemming, and Karen Parker with Woosik Chu and Oliver Fratzscher. 1995.
133. Policy Experiences and Issues in the Baltics, Russia, and Other Countries of the Former Soviet Union, edited by Daniel A. Citrin and Ashok K. Lahiri. 1995.
132. Financial Fragilities in Latin America: The 1980s and 1990s, by Liliana Rojas-Suárez and Steven R. Weisbrod. 1995.
131. Capital Account Convertibility: Review of Experience and Implications for IMF Policies, by staff teams headed by Peter J. Quirk and Owen Evans. 1995.
130. Challenges to the Swedish Welfare State, by Desmond Lachman, Adam Bennett, John H. Green, Robert Hagemann, and Ramana Ramaswamy. 1995.
129. IMF Conditionality: Experience Under Stand-By and Extended Arrangements. Part II: Background Papers. Susan Schadler, Editor, with Adam Bennett, Maria Carkovic, Louis Dicks-Mireaux, Mauro Mecagni, James H.J. Morsink, and Miguel A. Savastano. 1995.
128. IMF Conditionality: Experience Under Stand-By and Extended Arrangements. Part I: Key Issues and Findings, by Susan Schadler, Adam Bennett, Maria Carkovic, Louis Dicks-Mireaux, Mauro Mecagni, James H.J. Morsink, and Miguel A. Savastano. 1995.
127. Road Maps of the Transition: The Baltics, the Czech Republic, Hungary, and Russia, by Biswajit Banerjee, Vincent Koen, Thomas Krueger, Mark S. Lutz, Michael Marrese, and Tapio O. Saavalainen. 1995.
126. The Adoption of Indirect Instruments of Monetary Policy, by a Staff Team headed by William E. Alexander, Tomás J.T. Baliño, and Charles Enoch and comprising Francesco Caramazza, George Iden, David Marston, Johannes Mueller, Ceyla Pazarbasioglu, Marc Quintyn, Matthew Saal, and Gabriel Sensenbrenner. 1995.
125. United Germany: The First Five Years—Performance and Policy Issues, by Robert Corker, Robert A. Feldman, Karl Habermeier, Hari Vittas, and Tessa van der Willigen. 1995.
124. Saving Behavior and the Asset Price “Bubble” in Japan: Analytical Studies, edited by Ulrich Baumgartner and Guy Meredith. 1995.
123. Comprehensive Tax Reform: The Colombian Experience, edited by Parthasarathi Shome. 1995.
122. Capital Flows in the APEC Region, edited by Mohsin S. Khan and Carmen M. Reinhart. 1995.
121. Uganda: Adjustment with Growth, 1987–94, by Robert L. Sharer, Hema R. De Zoysa, and Calvin A. McDonald. 1995.
120. Economic Dislocation and Recovery in Lebanon, by Sena Eken, Paul Cashin, S. Nuri Erbas, Jose Martelino, and Adnan Mazarei. 1995.
119. Singapore: A Case Study in Rapid Development, edited by Kenneth Bercuson with a staff team comprising Robert G. Carling, Aasim M. Husain, Thomas Rumbaugh, and Rachel van Elkan. 1995.
118. Sub-Saharan Africa: Growth, Savings, and Investment, by Michael T. Hadjimichael, Dhaneshwar Ghura, Martin Mühleisen, Roger Nord, and E. Murat Uçer. 1995.
117. Resilience and Growth Through Sustained Adjustment: The Moroccan Experience, by Saleh M. Nsouli, Sena Eken, Klaus Enders, Van-Can Thai, Jörg Decressin, and Filippo Cartiglia, with Janet Bungay. 1995.
116. Improving the International Monetary System: Constraints and Possibilities, by Michael Mussa, Morris Goldstein, Peter B. Clark, Donald J. Mathieson, and Tamim Bayoumi. 1994.
115. Exchange Rates and Economic Fundamentals: A Framework for Analysis, by Peter B. Clark, Leonardo Bartolini, Tamim Bayoumi, and Steven Symansky. 1994.
114. Economic Reform in China: A New Phase, by Wanda Tseng, Hoe Ee Khor, Kalpana Kochhar, Dubravko Mihaljek, and David Burton. 1994.
113. Poland: The Path to a Market Economy, by Liam P. Ebrill, Ajai Chopra, Charalambos Christofides, Paul Mylonas, Inci Otker, and Gerd Schwartz. 1994.
112. The Behavior of Non-Oil Commodity Prices, by Eduardo Borensztein, Mohsin S. Khan, Carmen M. Reinhart, and Peter Wickham. 1994.
111. The Russian Federation in Transition: External Developments, by Benedicte Vibe Christensen. 1994.
110. Limiting Central Bank Credit to the Government: Theory and Practice, by Carlo Cottarelli. 1993.
109. The Path to Convertibility and Growth: The Tunisian Experience, by Saleh M. Nsouli, Sena Eken, Paul Duran, Gerwin Bell, and Zühtü Yücelik. 1993.
108. Recent Experiences with Surges in Capital Inflows, by Susan Schadler, Maria Carkovic, Adam Bennett, and Robert Kahn. 1993.
107. China at the Threshold of a Market Economy, by Michael W. Bell, Hoe Ee Khor, and Kalpana Kochhar with Jun Ma, Simon N’guiamba, and Rajiv Lall. 1993.
106. Economic Adjustment in Low-Income Countries: Experience Under the Enhanced Structural Adjustment Facility, by Susan Schadler, Franek Rozwadowski, Siddharth Tiwari, and David O. Robinson. 1993.
105. The Structure and Operation of the World Gold Market, by Gary O’Callaghan. 1993.
104. Price Liberalization in Russia: Behavior of Prices, Household Incomes, and Consumption During the First Year, by Vincent Koen and Steven Phillips. 1993.
103. Liberalization of the Capital Account: Experiences and Issues, by Donald J. Mathieson and Liliana Rojas-Suárez. 1993.
102. Financial Sector Reforms and Exchange Arrangements in Eastern Europe. Part I: Financial Markets and Intermediation, by Guillermo A. Calvo and Manmohan S. Kumar. Part II: Exchange Arrangements of Previously Centrally Planned Economies, by Eduardo Borensztein and Paul R. Masson. 1993.
101. Spain: Converging with the European Community, by Michel Galy, Gonzalo Pastor, and Thierry Pujol. 1993.
100. The Gambia: Economic Adjustment in a Small Open Economy, by Michael T. Hadjimichael, Thomas Rumbaugh, and Eric Verreydt. 1992.
99. Mexico: The Strategy to Achieve Sustained Economic Growth, edited by Claudio Loser and Eliot Kalter. 1992.
98. Albania: From Isolation Toward Reform, by Mario I. Blejer, Mauro Mecagni, Ratna Sahay, Richard Hides, Barry Johnston, Piroska Nagy, and Roy Pepper. 1992.
97. Rules and Discretion in International Economic Policy, by Manuel Guitián. 1992.
96. Policy Issues in the Evolving International Monetary System, by Morris Goldstein, Peter Isard, Paul R. Masson, and Mark P. Taylor. 1992.
95. The Fiscal Dimensions of Adjustment in Low-Income Countries, by Karim Nashashibi, Sanjeev Gupta, Claire Liuksila, Henri Lorie, and Walter Mahler. 1992.
94. Tax Harmonization in the European Community: Policy Issues and Analysis, edited by George Kopits. 1992.
93. Regional Trade Arrangements, by Augusto de la Torre and Margaret R. Kelly. 1992.
92. Stabilization and Structural Reform in the Czech and Slovak Federal Republic: First Stage, by Bijan B. Aghevli, Eduardo Borensztein, and Tessa van der Willigen. 1992.
91. Economic Policies for a New South Africa, edited by Desmond Lachman and Kenneth Bercuson with a staff team comprising Daudi Ballali, Robert Corker, Charalambos Christofides, and James Wein. 1992.
90. The Internationalization of Currencies: An Appraisal of the Japanese Yen, by George S. Tavlas and Yuzuru Ozeki. 1992.
89. The Romanian Economic Reform Program, by Dimitri G. Demekas and Mohsin S. Khan. 1991.
88. Value-Added Tax: Administrative and Policy Issues, edited by Alan A. Tait. 1991.
87. Financial Assistance from Arab Countries and Arab Regional Institutions, by Pierre van den Boogaerde. 1991.
86. Ghana: Adjustment and Growth, 1983–91, by Ishan Kapur, Michael T. Hadjimichael, Paul Hilbers, Jerald Schiff, and Philippe Szymczak. 1991.
Note: For information on the title and availability of Occasional Papers not listed, please consult the IMF Publications Catalog or contact IMF Publication Services.