Economic modelling
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Table of contents
- 569
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A Markov regime-switching model for the semiconductor industry cyclesLiu, W. H. / Chyi, Y. L. et al. | 2006
- 579
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Econometric modelling of slack and tight labour marketsAkram, Q. F. / Nymoen, R. et al. | 2006
- 585
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Entrepreneurship turnover and endogenous returns to abilityCrifo, P. / Sami, H. et al. | 2008
- 597
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Short-run and long-run effects of monetary policy in a general equilibrium model with bank reservesGutiérrez, P. J. et al. | 2006
- 605
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Growth strategies: Fiscal versus institutional policiesOtt, I. / Soretz, S. et al. | 2008
- 622
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Corruption vs production. A non-linear relationshipCoppier, R. / Michetti, E. et al. | 2006
- 623
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Minimize regulations to regulate — Extending the Lucas CritiqueMarjit, S. / Biswas, A. K. / Beladi, H. et al. | 2008
- 628
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Central bank intervention, threshold effects and asymmetric volatility: Evidence from the Japanese yen–US dollar foreign exchange marketSuardi, S. et al. | 2008
- 638
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The relationship between economic growth and real uncertainty in the G3Fountas, S. / Karanasos, M. et al. | 2006
- 643
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Fiscal policy in an endogenous growth model with human capital and heterogenous agentsGreiner, A. et al. | 2008
- 648
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Institutional quality and economic growth: Maintenance of the rule of law or democratic institutions, or both?Butkiewicz, J. L. / Yanikkaya, H. et al. | 2006
- 658
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Dynamic risk management of the lending rate policy of an interacted portfolio of loans via an investment strategy into a discrete stochastic frameworkPantelous, A. A. et al. | 2008
- 662
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Why use Markov-switching models in exchange rate prediction?Lee, H. Y. / Chen, S. L. et al. | 2006
- 669
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Modeling the long-run sustainability of Turkish external debt with structural changesÖnel, G. l. / Utkulu, U. et al. | 2006
- 676
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An investigation of the behaviour of Australia's business cycleNarayan, P. K. et al. | 2008
- 683
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Large shocks and the September 11th terrorist attacks on international stock marketsCharles, A. l. / Darné, O. et al. | 2006
- 684
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A revisit on dissecting the PPP puzzle: Evidence from a nonlinear approachWu, J. L. / Chen, P. F. et al. | 2008
- 696
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Does market demand volatility facilitate collusion?Wong, K. P. et al. | 2008
- 699
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Price setting behaviour in Spain: Evidence from consumer price micro-dataHernando, I. et al. | 2006
- 704
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Financial depth, savings and economic growth in Kenya: A dynamic causal linkageOdhiambo, N. M. et al. | 2008
- 714
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Nonlinearities or outliers in real exchange rates?López Villavicencio, A. et al. | 2008
- 717
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Are foreign banks always the best? Comparison of state-owned, private and foreign banks in IndiaSensarma, R. et al. | 2006
- 731
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Regime switching and the shape of the emission–income relationshipAslanidis, N. / Xepapadeas, A. et al. | 2008
- 740
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Heterogenous wage formation under a common monetary policyAndersen, T. M. et al. | 2008
- 772
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Forecast combination and the Bank of England's suite of statistical forecasting modelsKapetanios, G. / Labhard, V. / Price, S. et al. | 2008