Revised Staff Reports
Technical working papers revised to incorporate new data, comments from outside readers, and refinements to the line of argument. The new version of the staff report retains the original production number, but carries the date of revision as well as the original date of release.
Available only online
Browse revised staff reports:
Staff Reports Revised in 2015
Anxiety, Overconfidence, and Excessive Risk-Taking
Thomas M. Eisenbach and Martin C. Shmalz
February 2015  Number 711
Revised December 2015
The Forward Guidance Puzzle
Marco Del Negro, Marc Giannoni, and Christina Patterson
October 2012  Number 574
Revised December 2015
Macroprudential Policy: Case Study from a Tabletop Exercise
Tobias Adrian, Patrick de Fontnouvelle, Emily Yang, and Andrei Zlate
September 2015  Number 742
Revised December 2015
Risk Appetite and Exchange Rates
Tobias Adrian, Erkko Etula, and Hyun Song Shin
January 2009  Number 361
Revised December 2015
Reference Guide to U.S. Repo and Securities Lending Markets
Viktoria Baklanova, Adam Copeland, and Rebecca McCaughrin
September 2015  Number 740
Revised December 2015
Anxiety in the Face of Risk
Previous title: "Up Close It Feels Dangerous: "Anxiety" in the
Face of Risk"
Thomas M. Eisenbach and Martin C. Schmalz
April 2013  Number 610
Revised December 2015
Revisiting Useful Approaches to Data-Rich Macroeconomic Forecasting
Jan J. J. Groen and George Kapetanios
May 2008  Number 327
Revised October 2015

Debt, Jobs, or Housing: What’s Keeping Millennials at Home?
Zachary Bleemer, Meta Brown, Donghoon Lee, and Wilbert van der Klaauw
November 2014  Number 700
Revised September 2015

Information and Anti-American Attitudes
Previous Title: "How Deeply Held Are Anti-American Attitudes among Pakistani Youth? Evidence Using Experimental Variation in Information"
Adeline Delavande and Basit Zafar
April 2012  Number 558
Revised September 2015

Financial Education and the Debt Behavior of the Young
Meta Brown, John Grigsby, Wilbert van der Klaauw, Jaya Wen, and Basit Zafar
September 2013  Number 634
Revised September 2015

The Effect of the Term Auction Facility on the London Interbank Offered Rate
James McAndrews, Asani Sarkar, and Zhenyu Wang
July 2008  Number 335
Revised September 2015

Grown-Up Business Cycles
Benjamin Pugsley and Ayşegül Şahin
December 2014  Number 707
Revised September 2015

Buyout Activity: The Impact of Aggregate Discount Rates
Valentin Haddad, Erik Loualiche, and Matthew Plosser
March 2013  Number 606
Revised August 2015

Discount Window Stigma during the 2007-2008 Financial Crisis
Olivier Armantier, Eric Ghysels, Asani Sarkar, and Jeffrey Shrader
January 2011  Number 483
Revised August 2015

Order Flow Segmentation and the Role of Dark Trading in the Price Discovery of U.S. Treasury Securities
Michael Fleming and Giang Nguyen
August 2013  Number 624
Revised August 2015

Watering a Lemon Tree: Heterogeneous Risk Taking and Monetary Policy Transmission
Dong Beom Choi, Thomas M. Eisenbach, and Tanju Yorulmazer
April 2015  Number 724
Revised August 2015

Segregated Balance Accounts
Rodney Garratt, Antoine Martin, James McAndrews, and Ed Nosal
May 2015  Number 730
Revised August 2015

The Sensitivity of Housing Demand to Financing Conditions: Evidence from a Survey
Andreas Fuster and Basit Zafar
November 2014  Number 702
Revised August 2015

The Measurement of Rent Inflation
Jonathan McCarthy, Richard W. Peach, and Matthew S. Ploezke
January 2010  Number 425
Revised August 2015

Up Close It Feels Dangerous: "Anxiety" in the Face of Risk
Thomas M. Eisenbach and Martin C. Schmalz
April 2013  Number 610
Revised July 2015

Assessing Financial Stability: The Capital and Loss Assessment under Stress Scenarios (CLASS) Model
Beverly Hirtle, Anna Kovner, James Vickery, and Meru Bhanot
February 2014   Number 663
Revised July 2015

Debt, Jobs, or Housing: What's Keeping Millennials at Home?
Zachary Bleemer, Meta Brown, Donghoon Lee, and Wilbert van der Klaauw
November 2014   Number 700
Revised June 2015

Anxiety, Overconfidence, and Excessive Risk-Taking
Thomas M. Eisenbach and Martin C. Schmalz
February 2015  Number 711
Revised May 2015

Asset Pricing with Horizon-Dependent Risk Aversion
Marianne Andries, Thomas M. Eisenbach, and Martin C. Schmalz
December 2014  Number 703
Revised April 2015

Arbitrage-Free Affine Models of the Forward Price of Foreign Currency
J. Benson Durham
February 2014  Number 665
Revised April 2015

Understanding Mortgage Spreads
Nina Boyarchenko, Andreas Fuster, and David O. Lucca
May 2014  Number 674
Revised April 2015

Anxiety, Overconfidence, and Excessive Risk-Taking
Thomas M. Eisenbach and Martin C. Schmalz
February 2015  Number 711
Revised April 2015

Debt, Jobs, or Housing: What’s Keeping Millennials at Home?
Zachary Bleemer, Meta Brown, Donghoon Lee, and Wilbert van der Klaauw
November 2014  Number 700
Revised June 2015

When Does a Central Bank’s Balance Sheet Require Fiscal Support?
Marco Del Negro and Christopher A. Sims
November 2014  Number 701
Revised March 2015

The Sensitivity of Housing Demand to Financing Conditions: Evidence from a Survey
Andreas Fuster and Basit Zafar
November 2014  Number 702
Revised March 2015

Fire-Sale Spillovers and Systemic Risk
Fernando Duarte and Thomas M. Eisenbach
October 2013  Number 645
Revised February 2015

Bank Heterogeneity and Capital Allocation: Evidence from “Fracking” Shocks
Matthew C. Plosser
October 2014  Number 693
Revised February 2015

Decomposing Real and Nominal Yield Curves
Michael Abrahams, Tobias Adrian, Richard K. Crump, and Emanuel Moench
September 2012  Number 570
Revised February 2015

Intermediary Leverage Cycles and Financial Stability
Tobias Adrian and Nina Boyarchenko
August 2012  Number 567
Revised February 2015

Public Disclosure and Risk-Adjusted Performance at Bank Holding Companies
Previous title: "Public Disclosure, Risk, and Performance at Bank Holding Companies”
Beverly Hirtle
July 2007  Number 293
Revised February 2015

Unemployment Benefits and Unemployment in the Great Recession: The Role of Macro Effects
Marcus Hagedorn, Fatih Karahan, Iourii Manovskii, and Kurt Mitman
October 2013  Number 646
Revised February 2015

Counterparty Risk in Material Supply Contracts
Nina Boyarchenko and Anna M. Costello
October 2014  Number 694
Revised January 2015

Lights, Camera,...Income! Estimating Poverty Using National Accounts, Survey Means, and Lights
Maxim Pinkovskiy and Xavier Sala-i-Martin
April 2014  Number 669
Revised January 2015

Payment Size, Negative Equity, and Mortgage Default
Andreas Fuster and Paul S. Willen
November 2012  Number 582
Revised January 2015

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