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Seasonality and Portfolio Balance Under Rational Expectations
Regional Policy and the Role of Banking
Dynamic Analysis of a Keynesian Model
Monopoly Markets and Monetary and Fiscal Policy
The Role of Stock Portfolio Shifts Under Alternative Exchange Rate Regimes
Interpreting the Long-Run Relationship Between Money and Prices in the Presence of a M...
Frequency Domain Characterizations of Rational Expectations Equilibria with the Method...
Econometric Exogeneity and Alternative Estimators of Portfolio Balance Schedules for H...
Money and Banking: An Interpretation
Government Creation of a New Secondary Market for Rural Bank Paper: A Feasibility Study
"Rational" Forecasts from "Nonrational" Models
Ninth District Quarterly
Improving Econometric Forecasts by Using Subperiod Data
The Observational Equivalence of Natural and Unnatural Rate Theories of Macroeconomics
Recession and Demand Management: An Illustrative Example
Modeling the CD market: Hypotheses and Tests
The Impact of Welfare Work Registration Rules on Labor Market Data
Testing for Neutrality and Rationality
EFTS: Public Policy Problems
Changes in Individual Ownership of Banks and Their Effect on Performance
Ninth District Quarterly
Ninth District Quarterly
Costs and Benefits of Inflation
Demand Anticipation and Speculation in Inventories: The Decisions of a Price Setting Firm
Savings and Loan Associations in the Ninth District
Unemployment and Stabilization Policy in a Two-Sector, Two-Country Aggregative Model
Nonreporting of Savings Accounts in Sample Savings: Causes and Correlates
The Maximum Likelihood Estimation of Parameters in Mixed Autoregressive, Moving-Averag...
Minnesota's Exceptional Banking Structure: Research and Policy Perspectives
The Policy Procedure of the FOMC: A Critique
Inference in Markov Chains Having Stochastic Entry and Exit
Ninth District Leading Indicators
The Impact of State and Local Taxes on Economic Growth
Categories of Criticism of the Rational Expectations Theory
Survey of Recent Developments in International Bank Regulation
Seasonal Borrowing Privilege
Notes on Stochastic Difference Equations
Tests for Structural Change and Prediction Intervals for the Reduced Forms of Two Stru...
Business Cycle Modeling Without Pretending to Have Too Much A Priori Economic Theory
Money, Income, and Causality: Some Additional Evidence on the U.K. Experience
Optimal Open Market Strategy: The Use of Information Variables
A Rational Expectations Model of Hog Cycles
Why the Fed Should Hold Constant the Amount of Fiat or High-Powered Money and do Nothi...
On the Role of Consumption and Decreasing Absolute Risk Aversion in the Theory of Job ...
A Review of Proposed Organizational Changes in the Policy-Making Structure of the Fede...
District Conditions
Observations on Improper Methods of Simulating and Teaching Friedman's Time Series...
The Thomson-Pierce Monthly Model: A Test for Structural Change
The Competitive Provision of Fiat Money
Optimal Contracts and Competitive Markets with Costly State Verification
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Creator
Sargent, Thomas J.
38
Wallace, Neil
31
Bryant, John B.
28
Supel, Thomas M.
16
Rolnick, Arthur J., 1944-
14
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Series
Working paper (Federal Reserve Bank of Minneapolis. Research Department)
134
Ninth District conditions (Federal Reserve Bank of Minneapolis. Research Department)
46
Staff report (Federal Reserve Bank of Minneapolis. Research Department)
46
Quarterly review (Federal Reserve Bank of Minneapolis. Research Department)
33
New methods in business cycle research
20
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Resource type
Research Paper
179
Report
59
Article
32
Conference Proceeding
20
Journal
1
Subject (JEL)
N22 - Economic History: Financial Markets and Institutions: U.S.; Canada: 1913-
60
R10 - General Regional Economics (includes Regional Data)
59
Y10 - Data: Tables and Charts
59
N52 - Economic History: Agriculture, Natural Resources, Environment, and Extractive Industries: U.S.; Canada: 1913-
58
G21 - Banks; Depository Institutions; Micro Finance Institutions; Mortgages
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Publication Year
1970
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1979
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292
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37
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42