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Monetary policy in real time: the role of simple rules. (2003). Roisland, Oistain ; Olsen, Kjetil ; Fredrik, Jan .
In: BIS Papers chapters.
RePEc:bis:bisbpc:19-16.

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  1. The bank-lending channel empirically revisited. (2016). Halvorsen, Jorn I ; Jacobsen, Dag Henning .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:27:y:2016:i:c:p:95-105.

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  2. How important can bank lending shocks be for economic fluctuations?. (2014). Halvorsen, Jorn I. ; Jacobsen, Dag Henning .
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:29:y:2014:i:c:p:104-123.

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  3. Macro effects of capital requirements and macroprudential policy. (2014). Akram, Qaisar.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:42:y:2014:i:c:p:77-93.

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  4. Macro effects of capital requirements and macroprudential policy. (2012). Akram, Qaisar.
    In: Working Paper.
    RePEc:bno:worpap:2012_21.

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References

References cited by this document

  1. (ed)(1999): Monetary policy rules, Chicago, University of Chicago Press.
    Paper not yet in RePEc: Add citation now
  2. B~rdsen, G, E Jansen and R Nymoen (1999): Econometric inflation targeting, Norges Bank Working Paper, no 99-05.

  3. Ball, L (1999): Policy rules for open economies, in J B Taylor (ed), Monetary policy rules, Chicago, Chicago University Press.

  4. Batini, N, R Harrison and S Millard (2001): Monetary policy rules for an open economy, Bank of England Working Paper, no 91.

  5. BIS Papers No 19 381 Christiansen, A B and J F Qvigstad (1997): Choosing a monetary policy target, Scandinavian University Press.
    Paper not yet in RePEc: Add citation now
  6. Bullard, J and K Mitra (2002): Learning about monetary policy rules, Journal of Monetary Economics, 49(6), September, pp 1105-29. ~ The report can be downloaded from http://www.princeton.edu/-svensson/norway/nbw.htm.

  7. Leitemo, K and I L
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  8. McCallum, B (1998): Issues in the design of monetary policy rules, in J Taylor and M Woodford (eds), Handbook of macroeconomics, North Holland.
    Paper not yet in RePEc: Add citation now
  9. Nelson, E and K Nikolov (2001): UK inflation in the 1970s and 1980s: the role of output gap mismeasurement, Bank of England Working Paper, no 148.

  10. Orphanides, A (1998): Monetary policy evaluation with noisy information, Finance and Economics Discussion Series, no 1998-50, Board of Governors of the Federal Reserve System. (1999): The quest for prosperity without inflation, paper presented at the workshop on Inflation targeting and exchange rate fluctuations at Sveriges Riksbank, Stockholm.

  11. Orphanides, A and J C Williams (2002): Robust monetary policy rules: the case of unknown natural rates of interest and unemployment, paper presented at the ECB workshop on monetary policy in Frankfurt, March.

  12. Orphanides, A, R D Porter, D Reifschneider, R Tetlow and F Finan (2000): Errors in the measurement of the output gap and the design of monetary policy, Journal of Economics and Business, vol 52, pp 117-41.

  13. Qvigstad, J F (2001): Monetary policy in real time, Norges Bank Working Paper, no 01-01.
    Paper not yet in RePEc: Add citation now
  14. Stock, J H and M W Watson (2001): Forecasting output and inflation: the role of asset prices, NBER Working Paper, no 8180.

  15. Svensson, L E 0 (1997): Inflation forecast targeting: implementing and monitoring inflation targets, European Economic Review, vol 41, pp 1111-46.

  16. Taylor, J B (1993): Discretion versus rules in practice, Carnegie-Rochester Series on Public Policy, vol 39, pp 195-214.

  17. Woodford, M (1994): Nonstandard indicators for monetary policy: can their usefulness be judged from forecasting regressions?, in N G Mankiw (ed), Monetary policy, Chicago, University of Chicago Press for NBER. 382 BIS Papers No 19

Cocites

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    In: Econometrics.
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  2. Have Inflation Targeting and EU labour Immigration Changed the System of Wage Formation in Norway. (2015). Nymoen, Ragnar ; Sparrman, Victoria ; Gjelsvik, Marit Linnea.
    In: Memorandum.
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  3. Macro effects of capital requirements and macroprudential policy. (2014). Akram, Qaisar.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:42:y:2014:i:c:p:77-93.

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  4. The financial accelerator and the real economy: A small macroeconometric model for Norway with financial frictions. (2014). Hammersland, Roger ; Trae, Cathrine Bolstad .
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  5. Self-reinforcing effects between housing prices and credit: an extended version. (2013). Jansen, Eilev ; Anundsen, Andre.
    In: Discussion Papers.
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  6. Self-reinforcing effects between housing prices and credit. (2013). Jansen, Eilev ; Anundsen, Andre.
    In: Journal of Housing Economics.
    RePEc:eee:jhouse:v:22:y:2013:i:3:p:192-212.

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  7. MOSES: Model for studying the economy of Sweden. (2012). Nymoen, Ragnar ; Reijer, Ard ; Bårdsen, Gunnar ; Jonasson, Patrik ; Brdsen, Gunnar ; den Reijer, Ard .
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  8. Macro effects of capital requirements and macroprudential policy. (2012). Akram, Qaisar.
    In: Working Paper.
    RePEc:bno:worpap:2012_21.

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  9. The accuracy of a forecast targeting central bank. (2011). Nymoen, Ragnar ; Falch, Nina Skrove .
    In: Economics - The Open-Access, Open-Assessment E-Journal (2007-2020).
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  10. The accuracy of a forecast targeting central bank. (2011). Nymoen, Ragnar ; Falch, Nina Skrove .
    In: Economics Discussion Papers.
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  11. What horizon for targeting inflation?. (2010). Akram, Qaisar.
    In: Empirical Economics.
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  12. Empirical modeling of Japans markup and inflation, 1976-2000. (2010). Kurita, Takamitsu.
    In: Journal of Asian Economics.
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  13. The evolving role and definition of the federal funds rate in the conduct of U.S. monetary policy. (2009). Belongia, Michael ; Hinich, Melvin.
    In: MPRA Paper.
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  14. Flexible inflation targeting and financial stability: Is it enough to stabilize inflation and output?. (2008). Eitrheim, Øyvind ; Akram, Qaisar.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:32:y:2008:i:7:p:1242-1254.

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  15. What horizon for targeting inflation?. (2008). Akram, Qaisar.
    In: Working Paper.
    RePEc:bno:worpap:2007_13.

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  16. Pursuing financial stability under an inflation-targeting regime. (2007). Bårdsen, Gunnar ; Akram, Qaisar.
    In: Annals of Finance.
    RePEc:kap:annfin:v:3:y:2007:i:1:p:131-153.

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  17. Model selection for monetary policy analysis How important is empirical validity?. (2007). Nymoen, Ragnar ; Akram, Qaisar.
    In: Memorandum.
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  18. The New Keynesian Phillips Curve for a Small Open Economy. (2006). Cappelen, Ådne ; Swensen, Anders Rygh.
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  19. U.S. natural rate dynamics reconsidered. (2006). Nymoen, Ragnar ; Bårdsen, Gunnar ; Brdsen, Gunnar.
    In: Memorandum.
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  20. The Econometrics of Macroeconomic Modelling. (2005). Nymoen, Ragnar ; Eitrheim, Oyvind ; Bardsen, Gunnar ; Jansen, Eilev S..
    In: OUP Catalogue.
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  21. Evaluating a Central Bank’s Recent Forecast Failure. (2005). Nymoen, Ragnar.
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  22. Monetary policy and asset prices: To respond or not?. (2005). Eitrheim, Øyvind ; Bårdsen, Gunnar ; Akram, Qaisar ; Brdsen, Gunnar.
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  23. The empirical relevance of the New Keynesian Phillips curve.. (2004). Nymoen, Ragnar ; Jansen, Eilev ; Bårdsen, Gunnar.
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  24. Testing the New Keynesian Phillips curve. (2003). Nymoen, Ragnar ; Jansen, Eilev ; Bårdsen, Gunnar.
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  25. Wage coordination and unemployment dynamics in Norway and Sweden. (2003). Røed, Knut ; Nymoen, Ragnar ; Barkbu, Bergljot Bjornson.
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  26. Monetary policy in real time: the role of simple rules. (2003). Roisland, Oistain ; Olsen, Kjetil ; Fredrik, Jan .
    In: BIS Papers chapters.
    RePEc:bis:bisbpc:19-16.

    Full description at Econpapers || Download paper

  27. The Empirical (ir)Relevance of the New Keynesian Phillips Curve. (2002). Nymoen, Ragnar ; Jansen, Eilev ; Bårdsen, Gunnar.
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  28. Model Specification and Inflation Forecast Uncertainty. (2002). Nymoen, Ragnar ; Jansen, Eilev ; Bårdsen, Gunnar.
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  29. Monetary policy analysis and inflation targeting in a small open economy: a VAR approach. (2001). Warne, Anders ; Vredin, Anders ; Jansson, Per ; Jacobson, Tor.
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  30. Wage coordination and unemployment dynamics in Norway and Sweden. (2001). Røed, Knut ; Nymoen, Ragnar ; Barkbu, B. B..
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  32. The monetary transmission mechanism and the structural modelling of inflation at the National Bank of Poland. (2001). Wrobel, Ewa ; Klos, Bohdan .
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  33. A model based approach to analysing financial stability. (2001). Eitrheim, Oyvind ; Gulbrandsen, Bjarne .
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