Accounting for Macrofinancial Fluctuations and Turbulence /
This paper investigates the sources of macrofinancial fluctuations and turbulence within the framework of an approximate linear dynamic stochastic general equilibrium model of the world economy, augmented with structural shocks exhibiting potentially asymmetric generalized autoregressive conditional...
| المؤلف الرئيسي: | Vitek, Francis |
|---|---|
| التنسيق: | دورية |
| اللغة: | English |
| منشور في: |
Washington, D.C. :
International Monetary Fund,
2018.
|
| سلاسل: | IMF Working Papers; Working Paper ;
No. 2018/238 |
| الوصول للمادة أونلاين: | Full text available on IMF |
مواد مشابهة
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The Global Macrofinancial Model /
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منشور في: (2018) -
Macrofinancial Analysis in the World Economy : A Panel Dynamic Stochastic General Equilibrium Approach /
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منشور في: (2015) -
Managing Macrofinancial Risk /
بواسطة: Adrian, Tobias
منشور في: (2020) -
Macrofinancial Linkages : Trends, Crises, and Policies /
بواسطة: Crowe, Christopher
منشور في: (2010) -
Macrofinancial Stress Testing : Principles and Practices.
منشور في: (2012)