Journal of Money Credit and Banking
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VOLUME 38 NUMBER 5


August 2006

ARTICLES

Todd E. Clark and Michael W. McCracken, "The Predicitive Content of the Output Gap for Inflation: Resolving the In-Sample and Out-of-Sample Evidence," pp. 1127-1148

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Jean Boivin, "Has US Monetary Policy Changed? Evidence from Drifiting Coefficients and Real-Time Data," pp. 1149-1174

Charles Engel and Kenneth D. West, "Taylor Rules and the Deutschmark-Dollar Real Exchange Rate," pp. 1175-1194

L. Paige Fields, Donald R. Fraser, Tammy L. Barry, and Steven Byers, "Do Bank Loan Relationships Still Matter?," pp. 1195-1210

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M. Hashem Pesaran, Til Schuermann, Björn-Jakob Treutler, Scott M. Weiner, "Macroeconomic Dynamics and Credit Risk: A Global Perspective," pp. 1211-1262

Beverly Hirtle, "Stock Market Reaction to Financial Statement Certification by Bank Holding Company CEOs," pp. 1263-1292

Mark Carlson and Kris James Mitchene, "Branch Banking, Bank Competition, and Financial Stability," pp. 1293-1328

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SHORTER PAPERS, DISCUSSIONS, AND LETTERS

David H. Papell and Ruxandra Prodan, "Additional Evidence of Long Run Purchasing Power Parity with Restricted Structural Change," pp. 1329-1350

Kevin J. Stiroh, "A Portfolio View of Banking with Interest and Noninterest Activities," pp. 1351-1362

John Duffy and Jim Engle-Warnick, "Multiple Regimes in U.S. Monetary Policy? A Nonparametric Approach," pp. 1363-1378

Ari Aisen and Francisco Jose Veiga, "Does Political Instability lead to higher inflation? A Panel Data Analysis," pp. 1379-1390

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Edmund Cannon and Giam Pietro Cipriani, "Euro-illusion: A Natural Experiment," pp. 1391-1403

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