The Supply of Transaction Assets, Nominal Income, and Monetary Policy Transmission

By Joshua R. Hendrickson and David Beckworth. Working Paper No. 31. June 23, 2015.

International Developments in the Insurance Sector: The Road to Financial Instability?

By Therese M. Vaughan and Mark A. Calabria. Working Paper No. 30. May 27, 2015.

The Limits of Model-Based Regulation

By Rainer Haselmann and Vikrant Vig. Research Briefs in Economic Policy No. 25. April 29, 2015.

Competition and Bank Opacity

By Liangliang Jiang, Ross Levine, and Chen Lin. Research Briefs in Economic Policy No. 24. April 15, 2015.

Beyond Regulation: A Cooperative Approach to High-Frequency Trading and Financial Market Monitoring

By Holly A. Bell. Policy Analysis No. 771. April 8, 2015.

Fatalistically Flawed: A Review Essay on Fragile by Design by Charles W. Calamoris and Stephen H. Haber

By George Selgin. Working Paper No. 28. March 19, 2015.

A Roadmap to Monetary Policy Reforms

By Norbert Michel. Working Paper No. 27. March 18, 2015.

How Are Small Banks Faring under Dodd-Frank?

By Hester Peirce, Ian Robinson, and Thomas Stratmann. Research Briefs in Economic Policy No. 20. February 18, 2015.

The Conservatorships of Fannie Mae and Freddie Mac: Actions Violate HERA and Established Insolvency Principles

By Michael Krimminger and Mark A. Calabria. Working Paper No. 26. February 9, 2015.

The Resolution of Systematically Important Financial Institutions: Lessons from Fannie and Freddie

By Mark A. Calabria. Working Paper No. 25. January 13, 2015.

Math Gone Mad: Regulatory Risk Modeling by the Federal Reserve

By Kevin Dowd. Policy Analysis No. 754. September 3, 2014.

Fiscal Uncertainty and Economic Activity

By Jesús Fernández-Villaverde, Pablo Guerrón-Quintana, Keith Kuester, & Juan Rubio-Ramírez. Research Briefs in Economic Policy No. 4. June 18, 2014.

The New Autarky? How U.S. and UK Domestic and Foreign Banking Proposals Threaten Global Growth

By Louise Bennetts and Arthur S. Long. Policy Analysis No. 743. November 21, 2013.

High Frequency Trading: Do Regulators Need to Control this Tool of Informationally Efficient Markets?

By Holly A. Bell. Policy Analysis No. 731. July 22, 2013.

Liberalization or Litigation? Time to Rethink the International Investment Regime

By Simon Lester. Policy Analysis No. 730. July 8, 2013.

Questioning Homeownership as a Public Policy Goal

By Morris A. Davis. Policy Analysis No. 696. May 15, 2012.

Reputation under Regulation: The Fair Credit Reporting Act at 40 and Lessons for the Internet Privacy Debate

By Jim Harper. Policy Analysis No. 690. December 8, 2011.

Capital Inadequacies: The Dismal Failure of the Basel Regime of Bank Capital Regulation

By Kevin Dowd, Martin Hutchinson, Jimi M. Hinchliffe, & Simon Ashby. Policy Analysis No. 681. July 29, 2011.

The Subprime Lending Debacle: Competitive Private Markets Are the Solution, Not the Problem

By Patric H. Hendershott and Kevin Villani. Policy Analysis No. 679. June 20, 2011.

Fannie Mae, Freddie Mac, and the Future of Federal Housing Finance Policy: A Study of Regulatory Privilege

By David Reiss. Policy Analysis No. 674. April 18, 2011.

Short Sales Bans: Shooting the Messenger?

By Laurence Copeland. Briefing Paper No. 119. September 14, 2010.

The Inefficiency of Clearing Mandates

By Craig Pirrong. Policy Analysis No. 665. July 21, 2010.

The Case for Auditing the Fed Is Obvious

By Arnold Kling. Briefing Paper No. 118. April 27, 2010.

Would a Stricter Fed Policy and Financial Regulation Have Averted the Financial Crisis?

By Jagadeesh Gokhale and Peter Van Doren. Policy Analysis No. 648. October 8, 2009.

Bright Lines and Bailouts: To Bail or Not To Bail, That Is the Question

By Vern McKinley and Gary Gegenheimer. Policy Analysis No. 637. April 20, 2009.