Back Matter

Back Matter

Alfred Schipke, and Markus Rodlauer
Published Date:
September 2005
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Últimos números publicados de la Serie de Estudios Occasional Papers del Fondo Monetario Internacional

243. América Central: Integración mundial y cooperación regional, Markus Rodlauer y Alfred Schipke, compiladores. 2005.

242. Turkey at the Crossroads: From Crisis Resolution to EU Accession, preparado por un equipo de funcionarios dirigido por Reza Moghadam. 2005.

241. The Design of IMF-Supported Programs, Atish Ghosh, Charis Christofides, Jun Kim, Laura Papi, Uma Ramakrishnan, Alun Thomas y Juan Zalduendo. 2005.

240. Debt-Related Vulnerabilities and Financial Crises: An Application of the Balance Sheet Approach to Emerging Market Countries, Christoph Rosenberg, Ioannis Halikias, Brett House, Christian Keller, Jens Nystedt, Alexander Pitt y Brad Setser. 2005.

239. GEM: A New International Macroeconomic Model, Tamim Bayoumi, con colaboración de Douglas Laxton, Hamid Faruqee, Benjamin Hunt, Philippe Karam, Jaewoo Lee, Alessandro Rebucci e Ivan Tchakarov. 2004.

238. Estabilización y reforma en América Latina: Perspectiva macroeconómica desde principios de los años noventa, Anoop Singh, Agnès Belaisch, Charles Collyns, Paula De Masi, Reva Krieger, Guy Meredith y Robert Rennhack. 2005.

237. Sovereign Debt Structure for Crisis Prevention, Eduardo Borensztein, Marcos Chamon, Olivier Jeanne, Paolo Mauro y Jeromin Zettelmeyer. 2004.

236. Lessons from the Crisis in Argentina, Christina Daseking, Atish R. Ghosh, Alun Thomas y Timothy Lane. 2004.

235. A New Look at Exchange Rate Volatility and Trade Flows, Peter B. Clark, Natalia Tamirisa y Shang-Jin Wei, con colaboración de Azim Sadikov y Li Zeng. 2004.

234. Adopting the Euro in Central Europe: Challenges of the Next Step in European Integration, Susan M. Schadler, Paulo F. Drummond, Louis Kuijs, Zuzana Murgasova y Rachel N. van Elkan. 2004.

233. Germany’s Three-Pillar Banking System: Cross-Country Perspectives in Europe, Allan Brunner, Jörg Decressin, Daniel Hardy y Beata Kudela. 2004.

232. China’s Growth and Integration into the World Economy: Prospects and Challenges, Eswar Prasad, compilador. 2004.

231. Chile: Policies and Institutions Underpinning Stability and Growth, Eliot Kalter, Steven Phillips, Marco A. Espinosa-Vega, Rodolfo Luzio, Mauricio Villafuerte y Manmohan Singh. 2004.

230. Financial Stability in Dollarized Countries, Anne-Marie Gulde, David Hoelscher, Alain Ize, David Marston y Gianni De Nicoló. 2004.

229. Evolution and Performance of Exchange Rate Regimes, Kenneth S. Rogoff, Aasim M. Husain, Ashoka Mody, Robin Brooks y Nienke Oomes. 2004.

228. Capital Markets and Financial Intermediation in The Baltics, Alfred Schipke, Christian Beddies, Susan M. George y Niamh Sheridan. 2004.

227. U.S. Fiscal Policies and Priorities for Long-Run Sustainability, Martin Mühleisen y Christopher Towe, compiladores. 2004.

226. Hong Kong SAR: Meeting the Challenges of Integration with the Mainland, Eswar Prasad (compilador), y contribuciones de Jorge Chan-Lau, Dora Iakova, William Lee, Hong Liang, Ida Liu, Papa N’Diaye y Tao Wang. 2004.

225. Rules-Based Fiscal Policy in France, Germany, Italy, and Spain, Teresa Dában, Enrica Detragiache, Gabriel di Bella, Gian Maria Milesi-Ferretti y Steven Symansky. 2003.

224. Managing Systemic Banking Crises, preparado por un equipo de funcionarios dirigido por David S. Hoelscher y Marc Quintyn. 2003.

223. Monetary Union Among Member Countries of the Gulf Cooperation Council, preparado por un equipo de funcionarios dirigido por Ugo Fasano. 2003.

222. Informal Funds Transfer Systems: An Analysis of the Informal Hawala System, Mohammed El Qorchi, Samuel Munzele Maimbo y John F. Wilson. 2003.

221. Deflation: Determinants, Risks, and Policy Options, Manmohan S. Kumar. 2003.

220. Effects of Financial Globalization on Developing Countries: Some Empirical Evidence, Eswar S. Prasad, Kenneth Rogoff, Shang-Jin Wei y M. Ayhan Kose. 2003.

219. Economic Policy in a Highly Dollarized Economy: The Case of Cambodia, Mario de Zamaroczy y Sopanha Sa. 2003.

218. Fiscal Vulnerability and Financial Crises in Emerging Market Economies, Richard Hemming, Michael Kell y Axel Schimmelpfennig. 2003.

217. Crisis financieras: Experiencia reciente y lecciones para América Latina, Charles Collyns y G. Russell Kincaid, compiladores. 2003.

216. Is the PRGF Living Up to Expectations? —An Assessment of Program Design, Sanjeev Gupta, Mark Plant, Benedict Clements, Thomas Dorsey, Emanuele Baldacci, Gabriela Inchauste, Shamsuddin Tareq y Nita Thacker. 2002.

215. Improving Large Taxpayers’ Compliance: A Review of Country Experience, Katherine Baer. 2002.

214. Advanced Country Experiences with Capital Account Liberalization, Age Bakker y Bryan Chapple. 2002.

213. The Baltic Countries: Medium-Term Fiscal Issues Related to EU and NATO Accession, Johannes Mueller, Christian Beddies, Robert Burgess, Vitali Kramarenko y Joannes Mongardini. 2002.

212. Financial Soundness Indicators: Analytical Aspects and Country Practices, V. Sundararajan, Charles Enoch, Armida San José, Paul Hilbers, Russell Krueger, Marina Moretti y Graham Slack. 2002.

211. Capital Account Liberalization and Financial Sector Stability, preparado por un equipo de funcionarios dirigido por Shogo Ishii y Karl Habermeier. 2002.

210. IMF-Supported Programs in Capital Account Crises, Atish Ghosh, Timothy Lane, Marianne Schulze-Ghattas, AlesvBulírv, Javier Hamann y Alex Mourmouras. 2002.

209. Methodology for Current Account and Exchange Rate Assessments, Peter Isard, Hamid Faruqee, G. Russell Kincaid y Martin Fetherston. 2001.

208. Yemen in the 1990s: From Unification to Economic Reform, Klaus Enders, Sherwyn Williams, Nada Choueiri, Yuri Sobolev y Jan Walliser. 2001.

207. Malaysia: From Crisis to Recovery, Kanitta Meesook, Il Houng Lee, Olin Liu, Yougesh Khatri, Natalia Tamirisa, Michael Moore y Mark H. Krysl. 2001. 206. The Dominican Republic: Stabilization, Structural Reform, and Economic Growth, Alessandro Giustiniani, Werner C. Keller y Randa E. Sab. 2001.

205. Stabilization and Savings Funds for Nonrenewable Resources, Jeffrey Davis, Rolando Ossowski, James Daniel y Steven Barnett. 2001. 204. Monetary Union in West Africa (ECOWAS): Is It Desirable and How Could It Be Achieved?, Paul Masson y Catherine Pattillo. 2001.

203. Modern Banking and OTC Derivatives Markets: The Transformation of Global Finance and Its Implications for Systemic Risk, Garry J. Schinasi, R. Sean Craig, Burkhard Drees y Charles Kramer. 2000.

202. Adopting Inflation Targeting: Practical Issues for Emerging Market Countries, Andrea Schaechter, Mark R. Stone y Mark Zelmer. 2000.

201. Developments and Challenges in the Caribbean Region, Samuel Itam, Simon Cueva, Erik Lundback, Janet Stotsky y Stephen Tokarick. 2000.

200. Pension Reform in the Baltics: Issues and Prospects, Jerald Schiff, Niko Hobdari, Axel Schimmel-pfennig y Roman Zytek. 2000.

199. Ghana: Economic Development in a Democratic Environment, Sérgio Pereira Leite, Anthony Pellechio, Luisa Zanforlin, Girma Begashaw, Stefania Fabrizio y Joachim Harnack. 2000.

198. Setting Up Treasuries in the Baltics, Russia, and Other Countries of the Former Soviet Union: An Assessment of IMF Technical Assistance, Barry H. Potter y Jack Diamond. 2000.

Nota: Para obtener información sobre los títulos y disponibilidad de los estudios de la serie Occasional Papers que no figuran en la lista, sírvase consultar el catálogo de publicaciones (Publications Catalog) del FMI, o dirigirse al Servicio de Publicaciones del FMI.

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