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相关论文: Spillovers of US Interest Rates: Monetary Policy &…

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This paper quantifies the international spillovers of US interest rates by explicitly controlling for the "Fed Information Effect". I use multiple identification strategies that identify two components of monetary policy surprises around…

综合经济学 · 经济学 2024-05-24 Santiago Camara

This paper examines the impact of US monetary policy tightening on emerging markets, distinguishing between direct and indirect spillover effects using the global vector autoregression with stochastic volatility covering 32 countries. The…

综合经济学 · 经济学 2024-02-13 Povilas Lastauskas , Anh Dinh Minh Nguyen

This paper shows that disregarding the information effects around the European Central Bank monetary policy decision announcements biases its international spillovers. Using data from 23 economies, both Emerging and Advanced, I show that…

综合经济学 · 经济学 2023-06-08 Santiago Camara

We explore the international transmission of monetary policy and central bank information shocks originating from the United States and the euro area. Employing a panel vector autoregression, we use macroeconomic and financial variables…

计量经济学 · 经济学 2025-08-06 Michael Pfarrhofer , Anna Stelzer

This paper studies the transmission of US monetary policy shocks into Emerging Markets emphasizing the role of investment and financial heterogeneity. First, we use a panel SVAR model to show that a US interest tightening leads to a…

综合经济学 · 经济学 2022-09-23 Santiago Camara , Sebastian Ramirez Venegas

This paper examines the sign-dependent international spillovers of Federal Reserve and European Central Bank monetary policy shocks. Using a consistent high-frequency identification of pure monetary policy shocks across 44 advanced and…

综合经济学 · 经济学 2026-02-11 Santiago Camara

This paper examines fiscal policy spillovers through informal international financial channels, using the US stimulus checks as a positive, sudden, and direct fiscal shock. I utilize granular, transaction-level cryptocurrency data combined…

综合经济学 · 经济学 2025-08-12 Austin Kennedy

This paper analyzes nonlinearities in the international transmission of financial shocks originating in the US. To do so, we develop a flexible nonlinear multi-country model. Our framework is capable of producing asymmetries in the…

计量经济学 · 经济学 2024-10-22 Florian Huber , Karin Klieber , Massimiliano Marcellino , Luca Onorante , Michael Pfarrhofer

This paper studies the spillovers of European Central Bank (ECB) interest rate shocks into the Canadian economy and compares them with those of the U.S. Federal Reserve (Fed). We combine a VAR model and local projection regressions with…

综合经济学 · 经济学 2025-09-18 Santiago Camara , Jeanne Aublin

This paper introduces a transparent framework to identify the informational content of FOMC announcements. We do so by modelling the expectations of the FOMC and private sector agents using state of the art computational linguistic tools on…

综合经济学 · 经济学 2021-11-12 Yong Cai , Santiago Camara , Nicholas Capel

This paper studies the effects of unexpected changes in US monetary policy on digital asset returns. We use event study regressions and find that monetary policy surprises negatively affect BTC and ETH, the two largest digital assets, but…

统计金融 · 定量金融 2023-02-22 Antzelos Kyriazis , Iason Ofeidis , Georgios Palaiokrassas , Leandros Tassiulas

Communication is now a standard tool in the central bank's monetary policy toolkit. Theoretically, communication provides the central bank an opportunity to guide public expectations, and it has been shown empirically that central bank…

综合经济学 · 经济学 2018-09-26 Ancil Crayton

No matter its source, financial- or policy-related, uncertainty can feed onto itself, inflicting the real economic sector, altering expectations and behaviours, and leading to identification challenges in empirical applications. The strong…

综合经济学 · 经济学 2021-02-15 Emanuele Bacchiocchi , Catalin Dragomirescu-Gaina

We study the behavior of U.S. markets both before and after U.S. Federal Open Market Committee (FOMC) meetings, and show that the announcement of a U.S. Federal Reserve rate change causes a financial shock, where the dynamics after the…

统计金融 · 定量金融 2010-10-05 Alexander M. Petersen , Fengzhong Wang , Shlomo Havlin , H. Eugene Stanley

This paper investigates the impact of monetary policy surprises on U.S. Treasury bond yields and the implications for portfolio managers. Based on the supply and demand model, traditional economic theories suggest that Federal Reserve bond…

综合经济学 · 经济学 2025-05-13 Minnie Zhu , Yuhan Liu , Simon Gong

Studies which are based on Coe and Helpman (1995) and use weighted foreign R&D variables to estimate channel-specific R&D spillovers disregard the interaction between international R&D spillovers and other unobserved common spillovers and…

经济学 · 定量金融 2015-02-25 Diego-Ivan Ruge-Leiva

This study examines the relationship between Federal Open Market Committee (FOMC) announcements and financial market network structure through spectral graph theory. Using hypergraph networks constructed from S\&P 100 stocks around FOMC…

综合经济学 · 经济学 2025-10-06 Jaeho Choi , Jaewon Kim , Seyoung Chung , Chae-shick Chung , Yoonsoo Lee

This paper studies how shocks to global banks' net worth transmit to Emerging Market Economies. Using the identification strategy of Ottonello and Song (2022), which isolates high-frequency surprises to banks' credit supply capacity, we…

综合经济学 · 经济学 2025-12-02 Luis Rodrigo Arnabal , Santiago Camara , Cecilia Dassatti

This paper investigates how the cost of public debt shapes fiscal policy and its effect on the economy. Using U.S. historical data, I show that when servicing the debt creates a fiscal burden, the government responds to spending shocks by…

综合经济学 · 经济学 2023-09-15 Venance Riblier

I introduce a high-dimensional Bayesian vector autoregressive (BVAR) framework designed to estimate the effects of conventional monetary policy shocks. The model captures structural shocks as latent factors, enabling computationally…

计量经济学 · 经济学 2025-05-13 Dimitris Korobilis
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