Digitale Bibliotheek
Sluiten Bladeren door artikelen uit een tijdschrift
     Tijdschrift beschrijving
       Alle jaargangen van het bijbehorende tijdschrift
         Alle afleveringen van het bijbehorende jaargang
                                       Alle artikelen van de bijbehorende aflevering
 
                             70 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A characterization of Brandenburger–Friedenberg–Keisler’s assumption Lee, Byung Soo
2016
145 C p. 60-64
5 p.
artikel
2 A dynamic analysis of investment in process and product innovation with learning-by-doing Li, Shoude
2016
145 C p. 104-108
5 p.
artikel
3 A dynamic model of bank valuation Bertsatos, Georgios
2016
145 C p. 15-18
4 p.
artikel
4 An equicorrelation Moulton factor in the presence of arbitrary intra-cluster correlation Montes-Rojas, Gabriel
2016
145 C p. 221-224
4 p.
artikel
5 A new characterization of the proportional rule for claims problems Thomson, William
2016
145 C p. 255-257
3 p.
artikel
6 A randomized tabu search-based approach for perfect stranger matching in economic experiments Both, F.
2016
145 C p. 235-238
4 p.
artikel
7 A random shock is not random assignment Engel, Christoph
2016
145 C p. 45-47
3 p.
artikel
8 Are financial markets less responsive to monetary policy shocks at the zero lower bound? Wu, Wenbin
2016
145 C p. 258-261
4 p.
artikel
9 A symmetric two-player all-pay contest with correlated information Liu, Zhiyang
2016
145 C p. 6-10
5 p.
artikel
10 Bias-corrected estimation of panel vector autoregressions Dhaene, Geert
2016
145 C p. 98-103
6 p.
artikel
11 Can exchange rate pass-through explain the price puzzle? Ali, Syed Zahid
2016
145 C p. 56-59
4 p.
artikel
12 Comparing different data descriptors in Indirect Inference tests on DSGE models Minford, Patrick
2016
145 C p. 157-161
5 p.
artikel
13 Comparing the accuracy of default predictions in the rating industry for different sets of obligors Krämer, Walter
2016
145 C p. 48-51
4 p.
artikel
14 Constructing minimum-width confidence bands Schüssler, Rainer
2016
145 C p. 182-185
4 p.
artikel
15 Corrigendum to “The impossibility of extending random dictatorship to weak preferences” [Econom. Lett. 141 (2016) 44–47] Brandl, Florian
2016
145 C p. 295-
1 p.
artikel
16 Do different time-horizons in volatility have any significance for the emerging markets? Alper Gormus, N.
2016
145 C p. 29-32
4 p.
artikel
17 Editorial Board 2016
145 C p. IFC-
1 p.
artikel
18 Examination rules and student effort Michaelis, Jochen
2016
145 C p. 65-68
4 p.
artikel
19 Fighting collusion by permitting price discrimination Helfrich, Magdalena
2016
145 C p. 148-151
4 p.
artikel
20 Financial development and productive inefficiency: A robust conditional directional distance function approach Mallick, Sushanta
2016
145 C p. 196-201
6 p.
artikel
21 Fiscal rules, financial stability and optimal currency areas De Grauwe, Paul
2016
145 C p. 278-281
4 p.
artikel
22 Gender differences in financial risk taking: The role of financial literacy and risk tolerance Bannier, Christina E.
2016
145 C p. 130-135
6 p.
artikel
23 Gender preference and age at arrival among Asian immigrant mothers in the US Ost, Ben
2016
145 C p. 286-290
5 p.
artikel
24 Gender training and female empowerment: Experimental evidence from Vietnam Bulte, Erwin
2016
145 C p. 117-119
3 p.
artikel
25 Global imbalances in the XIX, XX and the XXI centuries Eugeni, Sara
2016
145 C p. 69-72
4 p.
artikel
26 Improving the length of confidence sets for the date of a break in level and trend when the order of integration is unknown Harvey, David I.
2016
145 C p. 239-245
7 p.
artikel
27 Indeterminacy and history dependence of strategically interacting players Wirl, Franz
2016
145 C p. 19-24
6 p.
artikel
28 Inference on modelling cross-sectional dependence for a varying-coefficient model Peng, Bin
2016
145 C p. 1-5
5 p.
artikel
29 Instrument selection for estimation of a forward-looking Phillips Curve Berriel, Tiago
2016
145 C p. 123-125
3 p.
artikel
30 Investment spillovers and the allocation of property rights Gattai, Valeria
2016
145 C p. 109-113
5 p.
artikel
31 Is it Brownian or fractional Brownian motion? Li, Meiyu
2016
145 C p. 52-55
4 p.
artikel
32 Job polarization, job tasks and the role of firms Heyman, Fredrik
2016
145 C p. 246-251
6 p.
artikel
33 Linear time-varying regression with Copula–DCC–GARCH models for volatility Kim, Jong-Min
2016
145 C p. 262-265
4 p.
artikel
34 Measuring financial cycles in a model-based analysis: Empirical evidence for the United States and the euro area Galati, Gabriele
2016
145 C p. 83-87
5 p.
artikel
35 Model averaging with averaging covariance matrix Zhao, Shangwei
2016
145 C p. 214-217
4 p.
artikel
36 Modeling rating transitions with instantaneous default Weißbach, Rafael
2016
145 C p. 38-40
3 p.
artikel
37 Modelling the recovery outcomes for defaulted loans: A survival analysis approach Fenech, Jean Pierre
2016
145 C p. 79-82
4 p.
artikel
38 Models of limited self-control: Comparison and implications for bargaining Lu, Shih En
2016
145 C p. 186-191
6 p.
artikel
39 Monetary and fiscal policy switching with time-varying volatilities Xu, Libo
2016
145 C p. 202-205
4 p.
artikel
40 Multi-purpose binomial model: Fitting all moments to the underlying geometric Brownian motion Kim, Y.S.
2016
145 C p. 225-229
5 p.
artikel
41 On sufficient conditions for the existence of stable matchings with contracts Zhang, Jun
2016
145 C p. 230-234
5 p.
artikel
42 On the consistency of random serial dictatorship Han, Xiang
2016
145 C p. 168-171
4 p.
artikel
43 On the savings wedge in international capital flows Rothert, Jacek
2016
145 C p. 126-129
4 p.
artikel
44 Optimality of the 51:49 equity structure Wang, Susheng
2016
145 C p. 270-273
4 p.
artikel
45 Optimal provision of information about consumption choices in the presence of a cognitive constraint Saak, Alexander E.
2016
145 C p. 25-28
4 p.
artikel
46 Ordinally consistent set-ranking methods for tournaments Sprumont, Yves
2016
145 C p. 41-44
4 p.
artikel
47 Precautionary self-insurance-cum-protection Wong, Kit Pong
2016
145 C p. 152-156
5 p.
artikel
48 Product standards and export quality: Micro evidence from China Hu, Cui
2016
145 C p. 274-277
4 p.
artikel
49 Protectionism in a liquidity trap Lechthaler, Wolfgang
2016
145 C p. 165-167
3 p.
artikel
50 Rawls’s maximin rule and Arrow’s impossibility theorem Ou-Yang, Kui
2016
145 C p. 114-116
3 p.
artikel
51 Sickness absenteeism during a period of job-to-job transition Heijnen, Suzanne
2016
145 C p. 145-147
3 p.
artikel
52 Supply shocks and the divine coincidence Kim, Bae-Geun
2016
145 C p. 210-213
4 p.
artikel
53 Tacit collusion and market concentration under network effects Pal, Rupayan
2016
145 C p. 266-269
4 p.
artikel
54 Tail relation between return and volume in the US stock market: An analysis based on extreme value theory Longin, François
2016
145 C p. 252-254
3 p.
artikel
55 Tax incentives and borrowing Alan, Sule
2016
145 C p. 162-164
3 p.
artikel
56 The commitment value of funding pensions Garon, Jean-Denis
2016
145 C p. 11-14
4 p.
artikel
57 The ECB’s asset purchase programme: A model-based evaluation Sahuc, Jean-Guillaume
2016
145 C p. 136-140
5 p.
artikel
58 The heterogeneous effect of software patents on expected returns: Evidence from India Eberhardt, Markus
2016
145 C p. 73-78
6 p.
artikel
59 The impact of a closed formulary on prescribing patterns in the treatment of injured workers Dillender, Marcus
2016
145 C p. 88-91
4 p.
artikel
60 The impact of oil price shocks on the U.S. stock market: A note on the roles of U.S. and non-U.S. oil production Kang, Wensheng
2016
145 C p. 176-181
6 p.
artikel
61 The impact of terms of trade and macroeconomic regimes on private saving Grigoli, Francesco
2016
145 C p. 172-175
4 p.
artikel
62 The Nash bargaining solution in vertical relations with linear input prices Aghadadashli, Hamid
2016
145 C p. 291-294
4 p.
artikel
63 The negotiators who knew too much: Transaction costs and incomplete information Schmitz, Patrick W.
2016
145 C p. 33-37
5 p.
artikel
64 The power of financial transparency: An event study of country-by-country reporting standards Johannesen, Niels
2016
145 C p. 120-122
3 p.
artikel
65 The Ramsey model with monopolistic competition and general preferences Etro, Federico
2016
145 C p. 141-144
4 p.
artikel
66 The “Veblen” effect, targeted advertising and consumer welfare Pepall, Lynne
2016
145 C p. 218-220
3 p.
artikel
67 Trade and labor market dynamics: What do we learn from the data? Nordmeier, Daniela
2016
145 C p. 206-209
4 p.
artikel
68 Two-sided altruism and signaling Genicot, Garance
2016
145 C p. 92-97
6 p.
artikel
69 Wealth inequality under “keeping up with the Joneses” preferences Campanale, Claudio
2016
145 C p. 282-285
4 p.
artikel
70 When is it really justifiable to ignore explanatory variable endogeneity in a regression model? Kiviet, Jan F.
2016
145 C p. 192-195
4 p.
artikel
                             70 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland