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A small structural monetary policy model for small open economies with debt accumulation

Author: Philippe D Karam; A R Pagan; IMF Institute.; International Monetary Fund.
Publisher: [Washington, D.C.?] : International Monetary Fund, ©2008.
Series: IMF working paper, WP/08/64.
Edition/Format:   eBook : Document : EnglishView all editions and formats
Summary:
We extend a small New Keynesian structural model used for monetary policy analysis to address a richer class of policy issues that arise in open economy analysis. We draw a distinction between absorption and domestic output, and as the difference between the two is effectively the current account, there is now an explicit accumulation or decumulation of foreign liabilities in response to various shocks affecting the  Read more...
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Genre/Form: Electronic books
Additional Physical Format: Print version:
Karam, Philippe D.
Small structural monetary policy model for small open economies with debt accumulation.
[Washington, D.C.?] : International Monetary Fund, ©2008
(OCoLC)226047805
Material Type: Document, Internet resource
Document Type: Internet Resource, Computer File
All Authors / Contributors: Philippe D Karam; A R Pagan; IMF Institute.; International Monetary Fund.
ISBN: 1282448218 9781282448216 9781451913798 1451913796
OCLC Number: 647042281
Notes: "March 2008."
At head of title: IMF Institute.
Reproduction Notes: Electronic reproduction. [S.l.] : HathiTrust Digital Library, 2010. MiAaHDL
Description: 1 online resource (22 pages) : illustrations.
Details: Master and use copy. Digital master created according to Benchmark for Faithful Digital Reproductions of Monographs and Serials, Version 1. Digital Library Federation, December 2002.
Series Title: IMF working paper, WP/08/64.
Responsibility: prepared by Philippe Karam and Adrian Pagan.

Abstract:

We extend a small New Keynesian structural model used for monetary policy analysis to address a richer class of policy issues that arise in open economy analysis. We draw a distinction between absorption and domestic output, and as the difference between the two is effectively the current account, there is now an explicit accumulation or decumulation of foreign liabilities in response to various shocks affecting the system. Such stock equilibria can now have an impact back on to the flows in the domestic economy. We perform simulations using parameters calibrated to the Canadian economy and compare the differences in impulse responses from the original model. Advantages in a forecasting environment owing to the ability to impose explicit projections about imports and exports are also exposed.

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