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                             122 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Acknowledgement 2007
4 p. 433-436
artikel
2 A comparative analysis of monetary responses to global oil price changes: net oil producing vs. net oil consuming countries Sotoudeh, M-Ali
2015
4 p. 623-640
artikel
3 Affiliates and parent employment through foreign direct investment: a study case of substitutability or complementarity Imbriani, Cesare
2014
4 p. 619-638
artikel
4 A model of trade, task offshoring and social insurance Thede, Susanna
2018
4 p. 787-802
artikel
5 Anatomy of international banking crises at the onset of the Great Recession Stolbov, Mikhail
2014
4 p. 553-569
artikel
6 An estimated model of a commodity-exporting economy for the integrated policy framework: evidence from Mongolia Doojav, Gan-Ochir

4 p. 651-708
artikel
7 An evolutionary algorithm for the estimation of threshold vector error correction models El-Shagi, Makram
2011
4 p. 341-362
artikel
8 An international multilevel competition policy system Budzinski, Oliver
2009
4 p. 367-389
artikel
9 A note on why more West than East German firms export Wagner, Joachim
2008
4 p. 363-370
artikel
10 Are business cycles in emerging market economies alike? Zhahadai, Bira

4 p. 537-561
artikel
11 Are immigrants really attracted to the welfare state? Evidence from OECD countries Jackson, Aaron L.
2012
4 p. 491-519
artikel
12 A simple macro model of Original Sin based on optimal price setting under incomplete information Lindner, Axel
2009
4 p. 345-359
artikel
13 Asset bubbles, financial sector, and current challenges to regulatory framework Tsomaia, Akaki

4 p. 901-925
artikel
14 A structural break in the effects of Japanese foreign exchange intervention on yen/dollar exchange rate volatility Hillebrand, Eric
2008
4 p. 389-401
artikel
15 Banking crisis and prudential supervision: a European perspective Welfens, Paul J. J.
2007
4 p. 347-356
artikel
16 Britain and Europe: what ways forward? James, Harold
2016
4 p. 523-530
artikel
17 British banking regulation and supervision: between a rock and a hard place Mullineux, Andy
2007
4 p. 363-370
artikel
18 Business cycle characteristics of Mediterranean economies: a secular trend and cycle dynamics perspective Solms, Anna

4 p. 825-862
artikel
19 Cameron’s information disaster in the referendum of 2016: an exit from Brexit? Welfens, P. J. J.
2016
4 p. 539-548
artikel
20 Can a host country increase human capital by accepting study migrants? Shimada, Akira

4 p. 635-650
artikel
21 Capital mobility and labor market volatility Alper Çenesiz, M.
2010
4 p. 391-409
artikel
22 Challenges for economic policy Suntum, Ulrich van
2011
4 p. 337-339
artikel
23 Constituency systems, election proximity, special interests and a free trade agreement: the case of the Trans-Pacific Partnership in Japan Kagitani, Koichi

4 p. 897-922
artikel
24 Corporate taxes and FDI in developing economies Ngwaba, Chigozie Andy

4 p. 613-633
artikel
25 COVID-19 infections and fatalities developments: empirical evidence for OECD countries and newly industrialized economies Bretschger, Lucas

4 p. 801-847
artikel
26 Credit policy, real exchange rate volatility and moral hazard Wan, Simon Shui-Ming
2016
4 p. 553-578
artikel
27 Deriving the new quantity equation: an approach for a closed and an open economy Welfens, Paul J. J.
2014
4 p. 549-561
artikel
28 (De-)Stabilizing two-country macroeconomic interactions in an estimated model of the U.S. and the Euro Area Proaño, Christian R.
2009
4 p. 421-443
artikel
29 Determinants of software exports from India Sahoo, Bimal Kishore
2013
4 p. 455-479
artikel
30 Digital and competing information sources: Impact on environmental concern and prospects for international policy cooperation Udalov, Vladimir

4 p. 631-660
artikel
31 Dissecting long-run and short-run causalities between monetary policy and stock prices Belke, Ansgar
2018
4 p. 761-786
artikel
32 Do conditional cash transfers increase schooling among adolescents? Draeger, Eric

4 p. 743-766
artikel
33 Does financial integration make banks more vulnerable? Regulation, foreign owned banks, and the lender-of-last resort Berger, Helge
2007
4 p. 371-393
artikel
34 Does foreign direct investment cause long run economic growth? Evidence from the Latin American and the Caribbean countries Oladipo, Olajide S.
2012
4 p. 569-582
artikel
35 Does monetary policy credibility mitigate the effects of uncertainty about exchange rate on uncertainties about both inflation and interest rate? Montes, Gabriel Caldas
2018
4 p. 649-678
artikel
36 Does the financial cooperation agreement increase the interdependency among ASEAN+3 equity markets? A Markov switching approach Rahman, Md. Saifur

4 p. 869-899
artikel
37 Do flexible exchange rates facilitate external adjustment? A dynamic approach with time-varying and asymmetric volatility Habimana, Olivier
2016
4 p. 625-642
artikel
38 Economic performance and international trade engagement: the case of Portuguese manufacturing firms Silva, Armando
2012
4 p. 521-547
artikel
39 Economic policy and market imperfections in an unstable economic and financial environment in Europe and the Middle East Richter, Christian
2018
4 p. 705-707
artikel
40 Editorial Welfens, Paul J. J.
2007
4 p. 329-330
artikel
41 Editorial on the BREXIT Forum Welfens, Paul J. J.
2016
4 p. 519-522
artikel
42 Editors’ note Richter, Christian

4 p. 799-800
artikel
43 Equitable and effective climate policy: Integrating less developed countries into a global climate agreement Bretschger, Lucas
2015
4 p. 437-467
artikel
44 Exchange rate volatility, international trade and labour demand Broll, Udo
2010
4 p. 423-436
artikel
45 Explaining rising regionalism and failing multilateralism: consensus decision-making and expanding WTO membership MacMillan, Euan
2014
4 p. 599-617
artikel
46 Export behavior of German SMEs in the Eurozone Bagci, Kenan
2012
4 p. 613-629
artikel
47 Export concentration in developing countries: do real exchange rate misalignments matter? Jung, Andrés

4 p. 563-593
artikel
48 Export diversification and financial openness Gnangnon, Sèna Kimm

4 p. 675-717
artikel
49 Export product diversification and tax performance quality in developing countries Gnangnon, Sèna Kimm

4 p. 849-876
artikel
50 FDI, liquidity, and political uncertainty: A global analysis Jahn, Marvin

4 p. 783-823
artikel
51 Fiscal policy, net exports, and the sectoral composition of output in Greece Tagkalakis, Athanasios O.
2014
4 p. 521-539
artikel
52 Fisher’s hypothesis, survey-based expectations and asymmetric adjustments: Empirical evidence from South Africa Phiri, Andrew

4 p. 825-846
artikel
53 Foreign direct investment under fiscal interdependence when policy is set unilaterally Gautier, Luis
2016
4 p. 579-599
artikel
54 Foreign exchange market pressure and stock market dynamics in emerging Asia Aftab, Muhammad

4 p. 699-719
artikel
55 Foreign macroeconomic conditions and antidumping actions: evidence from the USA Kagitani, Koichi

4 p. 863-883
artikel
56 Gas price caps and electricity production effects in the context of the Russo-Ukrainian War: modeling and new policy reforms Roeger, Werner

4 p. 645-673
artikel
57 Ghostbusting: which output gap really matters? Billmeier, Andreas
2009
4 p. 391-419
artikel
58 How sensitive are the U.S. inpayments and outpayments to real exchange rate changes: an asymmetry analysis Bahmani-Oskooee, Mohsen
2018
4 p. 619-647
artikel
59 Impacts of exchange rate non-linearity on Brazilian foreign trade Lourenço, Lucas dos Santos
2019
4 p. 679-699
artikel
60 Impacts of trade reform: sensitivity of model results to key assumptions Valenzuela, Ernesto
2007
4 p. 395-420
artikel
61 Income distribution and total factor productivity: a cross-country panel cointegration analysis Espoir, Delphin Kamanda

4 p. 661-698
artikel
62 Innovation, inequality and a golden rule for growth in an economy with Cobb-Douglas function and an R&D sector Welfens, Paul J. J.
2015
4 p. 469-496
artikel
63 Institutionalisation without internalisation. The cultural dimension of French-German conflicts on European Central Bank independence Esch, Femke van
2012
4 p. 631-648
artikel
64 International cooperation on financial market regulation Abendschein, Michael

4 p. 787-824
artikel
65 International mixed duopoly and strategic commitments Ohnishi, Kazuhiro
2007
4 p. 421-432
artikel
66 International mobility of capital, wage indexation, and the cost of policy mistakes under ambiguity: a CGE evaluation Chisari, Omar O.
2016
4 p. 643-660
artikel
67 International trade and economic growth: evidence from a panel ARDL-PMG approach Bardi, Wajdi

4 p. 847-868
artikel
68 Interregional trade, industrial location and import infrastructure Kikuchi, Toru
2009
4 p. 361-365
artikel
69 Is it really more dispersed? Quint, Dominic
2015
4 p. 593-621
artikel
70 Issues of modern macroeconomics: new post-crisis perspectives on the world economy Welfens, Paul J. J.
2014
4 p. 481-527
artikel
71 Is there a link between homeownership and unemployment? Evidence from German regional data Lerbs, Oliver
2011
4 p. 407-426
artikel
72 Is there an Anglo-American corporate governance model? Mullineux, Andrew
2010
4 p. 437-448
artikel
73 Japanese Banks’ monitoring activities and the performance of borrower firms: 1981–1996 Fukao, Kyoji
2005
4 p. 337-362
artikel
74 Lessons from historical monetary unions - is the European monetary union making the same mistakes? Ryan, John
2018
4 p. 709-725
artikel
75 Local country attributes and the emergence of high tech clusters Malul, Miki
2014
4 p. 497-507
artikel
76 Mind the gap—German motherhood risks in figures and game theory issues Boll, Christina
2011
4 p. 363-382
artikel
77 Monetary and debt-concerned fiscal policies interaction in monetary unions Foresti, Pasquale
2014
4 p. 541-552
artikel
78 Monetary policy and real estate prices: a disaggregated analysis for Switzerland Berlemann, Michael
2012
4 p. 469-490
artikel
79 Monetary policy committee size and inflation volatility Erhart, Szilard
2010
4 p. 411-421
artikel
80 Negative nominal interest rates: history and current proposals Ilgmann, Cordelius
2011
4 p. 383-405
artikel
81 New Marshall-Lerner conditions for an economy with outward and two-way foreign direct investment Welfens, Paul J. J.
2019
4 p. 593-617
artikel
82 Nominal rigidity and some new evidence on the New Keynesian theory of the output-inflation tradeoff Sun, Rongrong
2014
4 p. 575-597
artikel
83 OECD countries’ twin long-run challenge: The impact of aging dynamics and increasing natural disasters on savings ratios Xiong, Tian

4 p. 741-759
artikel
84 Oil price shocks and global liquidity: macroeconomic effects on the Brazilian real da Silva Souza, Rodrigo

4 p. 761-781
artikel
85 On exchange-rate movements and gold-price fluctuations: evidence for gold-producing countries from a nonparametric causality-in-quantiles test Balcilar, Mehmet
2016
4 p. 691-700
artikel
86 On the co-movements among gold and other financial markets: a multivariate time-varying asymmetric approach Abed, Riadh El
2019
4 p. 701-719
artikel
87 On the institutional design of burden sharing when financing external border enforcement in the EU Haake, Claus-Jochen
2012
4 p. 583-612
artikel
88 Policy coordination in East Asia and across the Pacific Kamada, Koichiro
2005
4 p. 275-306
artikel
89 Price and income elasticities: evidence from commodity trade between the U.S. and Egypt Bahmani-Oskooee, Mohsen
2014
4 p. 561-574
artikel
90 Reform of the Japanese banking system Kawai, Masahiro
2005
4 p. 307-335
artikel
91 Rethinking banking supervision in the EU Wolf, Holger
2007
4 p. 357-361
artikel
92 RETRACTED ARTICLE: Polish employees’ intentions to migrate and views on cross-border labour mobility Zientara, Piotr
2014
4 p. 571
artikel
93 Risk-shifting, concentration risk, and heterogeneous borrowers Fittje, Jens

4 p. 509-536
artikel
94 Should they stay or should they go? Negative interest rate policies under review Beckmann, Joscha

4 p. 885-912
artikel
95 Sociological challenges for Egypt’s development: 1981–2013 Yousri, Dina M.
2018
4 p. 727-742
artikel
96 Sources of time-varying exchange rate exposure Pierdzioch, Christian
2010
4 p. 371-390
artikel
97 Sowing the seeds for the subprime crisis: does global liquidity matter for housing and other asset prices? Belke, Ansgar
2008
4 p. 403-424
artikel
98 Special economic zones and growth in China and India: an empirical investigation Leong, Chee Kian
2012
4 p. 549-567
artikel
99 Structural determinants of potential output growth in Europe and the role of fiscal policy Santis, Roberta De
2019
4 p. 565-591
artikel
100 The aggregate exports-GDP relation under the prism of infrequent trend breaks and multi-horizon causality Konstantakopoulou, Ioanna
2016
4 p. 661-689
artikel
101 The background to the 2007 financial crisis Goodhart, C.A.E.
2007
4 p. 331-346
artikel
102 The building up of new imbalances in China: the dilemma with ‘rebalancing’ Wagner, Helmut
2016
4 p. 701-722
artikel
103 The economic impact of the Russian import ban: a CGE analysis Kutlina-Dimitrova, Zornitsa
2017
4 p. 537-552
artikel
104 The economic impact of the US-China trade dispute Nilsson, Lars

4 p. 709-728
artikel
105 The effect of child benefits on financial difficulties and spending habits: evidence from Poland’s Family 500 + program Milovanska-Farrington, Stefani

4 p. 719-739
artikel
106 The effects of trade deficit on output and employment: evidence from the U.S.’s economy Le, Tuan Viet

4 p. 877-895
artikel
107 The impact of oil price changes on industrial production: a panel smooth-transition approach on G7 countries Moayyed, Majid

4 p. 595-612
artikel
108 The resurgence of currency mismatches: Emerging market economies are not out of the woods yet? Venkatesh, Hari

4 p. 721-742
artikel
109 The stability of German export demand equations – have German exports suffered from the strength of the euro? Verheyen, Florian
2013
4 p. 529-548
artikel
110 The ‘Visible Hand’ of the ECB’s first quantitative easing Valiante, Diego
2016
4 p. 601-624
artikel
111 Tolerance of tax evasion Forteza, Alvaro

4 p. 767-786
artikel
112 Tracking the causes of eurozone external imbalances: new evidence and some policy implications Diaz-Sanchez, Jose L.
2015
4 p. 641-668
artikel
113 Trade and cross hedging exchange rate risk Broll, Udo
2014
4 p. 509-520
artikel
114 Trade and economic development: global causality and development- and openness-related heterogeneity Gries, T.

4 p. 923-944
artikel
115 Transitions Welfens, Paul J. J.
2019
4 p. 563-564
artikel
116 Volatility of industrial production growth and characteristics of optimal currency areas in EU-12 countries Ozimkovska, Valentyna
2015
4 p. 563-591
artikel
117 Volatility spillover between the RBI’s intervention and exchange rate Mondal, Linkon
2013
4 p. 549-560
artikel
118 Wage dispersion in Germany and the US: is there compression from below? Möller, Joachim
2008
4 p. 345-361
artikel
119 Wage vs. industry subsidies: coping with technology related unemployment in a globalized economy Dluhosch, Barbara
2008
4 p. 371-388
artikel
120 What are the possible future research directions for bank’s credit risk assessment research? A systematic review of literature Win, Sandar
2018
4 p. 743-759
artikel
121 Where does one start to make sense of Brexit? Ryan, Cillian
2016
4 p. 531-537
artikel
122 Zombie firms and economic stagnation in Japan Ahearne, Alan G.
2005
4 p. 363-381
artikel
                             122 gevonden resultaten
 
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