Wolters, Maik Hendrik (2012): Evaluating point and density forecasts of DSGE models. Unpublished.
ADESOYE, A. Bolaji and ATANDA, Akinwande Abdulmaliq (2012): Development Finance Institutions in Nigeria: Structure, Roles and Assessment. Unpublished.
ADESOYE, A. Bolaji; MAKU, Olukayode E. and ATANDA, Akinwande Abdulmaliq (2012): Is Monetary Policy a Growth Stimulant in Nigeria? A Vector Autoregressive Approach. Forthcoming in: : pp. 1-24.
Gbaguidi, David Sedo (2011): Regime switching in a new Keynesian Phillips Curve with non-zero steady-state inflation Rate. Unpublished.
Simplice A, Asongu (2011): Finance and growth: Schumpeter might be wrong in our era. New evidence from Meta-analysis. Unpublished.
Zhao, Kai (2011): War Debt and the Baby Boom. Unpublished.
Albers, Scott A. and Albers, Andrew L. (2011): The Golden Mean, the Arab Spring and a 10-step analysis of American economic history. Published in: The Middle East Studies Online Journal , Vol. 3, No. 6 (03. August 2011): pp. 199-253.
Skold, Alida S. (2011): Overview of the Evolution of China's Central Bank and Monetary Policy: Correlation to the European Union. Unpublished.
Liu, Luke (2011): Asset price, asset securitization and financial stability. Unpublished.
Josheski, Dushko and Lazarov, Darko (2011): Macroeconomic analysis of trade in some CEE countries. Unpublished.
Alasrag, Hussien (2011): مقترح لتعزيز الأداء التصديرى للمشروعات الصغيرة والمتوسطة في مصر. Unpublished.
Shachmurove, Tomer and Shachmurove, Yochanan (2011): String of defaults: Spanish financial crises through the years. Published in: Aestimatio. The IEB International Journal of Finance No. 2 (July 2011): pp. 1-20.
Ojo, Marianne (2011): Financial stability, new macro prudential arrangements and shadow banking: regulatory arbitrage and stringent Basel III regulations. Unpublished.
Josheski, Dushko and Koteski, Cane (2011): Analysis of Purchasing power parity with data for Macedonia. Unpublished.
Ojo, Marianne (2011): Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems. Unpublished.
Ojo, Marianne (2011): Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems. Unpublished.
Raza, Muhammad Wajid and Mohsin, Hasan M (2011): Financial liberalization and macroeconomic performance, empirical evidence from selected Asian countries. Forthcoming in: Journal of Econonomics and Behavioral Studies
Hutchison, Michael; Sengupta, Rajeswari and Singh, Nirvikar (2011): Dove or Hawk? characterizing monetary regime switches during financial liberalization in India. Unpublished.
Fiodendji, Komlan (2011): Should Canadian Monetary Policy Respond to Asset Prices? Evidence from a Structural Model. Unpublished.
FIodendji, Komlan (2011): Should Canadian monetary policy respond to asset prices? Evidence from a structural model. Unpublished.
Nedergaard, Peter (2011): The political economy of the clean development mechanism (CDM) governance system. Published in:
Subhendu, Das (2010): Central bank – the root cause of poverty, tax, and deficit. Unpublished.
Kamal, Mona (2010): تجربة الاتحاد النقدي الأوروبي في مجال التنسيق بين السياستين المالية والنقدية. Unpublished.
Onour, Ibrahim (2010): South Sudan Referundum: A Macroeconomic Analysis of Post-Secession Scenario. Unpublished.
Amado, Raúl Oscar (2010): Europa en América: la modernidad y transformación urbana en Buenos Aires. Crítica y defensa. Published in: III Jornadas Nacionales de Investigación en Ciencias Sociales. “Reflexiones sobre el Bicentenario” – Facultad de Humanidades y Ciencias Sociales U.N.P.S.J.B. – Sede Comodoro Rivadavia – 13 al 15 de octubre de 2010 (14. October 2010)
Ojo, Marianne (2010): Basel III and responding to the recent Financial Crisis: progress made by the Basel Committee in relation to the need for increased bank capital and increased quality of loss absorbing capital. Unpublished.
Perez Caldentey, Esteban and Pineda, Ramon (2010): Does Latin America lag behind due to shaper recessions and/or slower recoveries? Unpublished.
MEZUI-MBENG, Pamphile (2010): Tramsission de la politique monétaire: le cas des pays de la CEMAC. Forthcoming in: : pp. 1-34.
Reinhart, Carmen; Qian, Rong and Rogoff, Kenneth (2010): Do countries “graduate” from crises? Some historical perspective. Unpublished.
Gliksberg, Baruch (2010): Consolidated-Budget Rules and Macroeconomic Stability with Income-Tax and Finance Constraints. Unpublished.
Ojo, Marianne (2010): The need for government and central bank intervention in financial regulation: Free banking and the challenges of information uncertainty. Unpublished.
Nikolov, Pavel (2010): Procyclical Effects of the banking System during the financial and economic Crisis 2007-2009: the Case of Europe. Unpublished.
Nikolov, Pavel (2010): Procyclical Effects of the banking System during the financial and economic Crisis 2007-2009: the Case of Europe. Unpublished.
Shaikh, Salman Ahmed (2010): Proposal for a New Economic Framework Based On Islamic Principles. Unpublished.
Naqvi, Nadeem (2010): On Non-binary Personal Preferences in Society, Economic Theory and Racial Discrimination. Unpublished.
Landais, Bernard (2010): The monetary origins of the financial and economic crisis. Unpublished.
Razzak, Weshah and Labas, Belkacem (2010): Taxes, Natural Resource Endowment, and the Supply of Labor: New Evidence. Unpublished.
L'OEILLET, Guillaume and LICHERON, Julien (2010): The asymmetric relationship between oil prices and activity in the EMU: Does the ECB monetary policy play a role? Unpublished.
Das, Rituparna (2010): An Outline of the Existing Literature on Monetary Economics in India. Unpublished.
Das, Rituparna (2010): Determination of Money Supply in India: The Great Debate. Unpublished.
Das, Rituparna (2010): Econometric Models of Relationship among Money, Output and Prices. Unpublished.
Fernando, Estrada; Jorge Ivan, Gonzalez; Alberto, Castrillon and Mauricio, Perez (2010): Problemas fiscales y redistributivos en Colombia. Unpublished.
Quaas, Georg (2009): Die Umsetzung der Annual-Overlap-Methode in ökonometrischen Modellen – eine Analyse der programmtechnischen Möglichkeiten von E-Views. Unpublished.
Popa, Catalin C. (2009): The new relations between global economy, international trade and financial system. Published in: Scientific Bulletin of Naval Academy , Vol. 1, No. 2 (12. November 2009): pp. 132-136.
Nyamwange, Mathew (2009): Foreign direct investment in Kenya. Unpublished.
Quaas, Georg (2009): Realgrößen und Preisindizes im alten und im neuen VGR-System. Unpublished.
Maku, Olukayode E. and Atanda, Akinwande A. (2009): Does Macroeconomic Indicators exert shock on the Nigerian Capital Market? Unpublished.
Ojo, Marianne (2009): Basel II and the Capital Requirements Directive: Responding to the 2008/09 Financial Crisis. Unpublished.
Ojo, Marianne (2009): The role of the IASB and auditing standards in the aftermath of the 2008/2009 Financial Crisis. Unpublished.
Barnett, William A. (2009): The Internal Politics of Journal Editing. Unpublished.
Colignatus, Thomas (2009): A win-win measure out of the crisis: A graphical discussion of the tax void. Unpublished.
Zambrano, Joshua (2009): Economic Solutions. Unpublished.
Swagel, Phillip (2009): The financial crisis: an inside view. Published in: Brookings Papers on Economic Activity No. Spring 2009 (01. April 2009): pp. 1-63.
Colignatus, Thomas (2009): The macro-economics of repressed stagflation. Part 2: The crisis of 2009+ and a reduction of the working week. Unpublished.
Freeman, Alan and Desai, Radhika (2009): How Bad is US Unemployment? Unpublished.
Colignatus, Thomas (2009): Consumer durables as investments that can help us out of the current economic crisis. Unpublished.
Freeman, Alan (2009): How much is enough? Unpublished.
Shipman, Arthur F. (2009): The New Arthurian Economics. Unpublished.
Popa, Catalin C. (2009): The new architecture of economies' typology within the globalization context. Published in: Scientific Bulletin of Naval Academy 'Mircea cel Batran' , Vol. 1, No. no. 1/2008 (12. December 2008): pp. 18-23.
Avellaneda, Maria Belen (2008): The Transatlantic Economy Dollar vs Euro relations amid the Global Financial Crisis. Unpublished.
Khumalo, Bhekuzulu (2008): Short and long Term behavior of Knowledge. Published in:
Taboga, Marco (2008): Macro-finance VARs and bond risk premia: a caveat. Unpublished.
Oehler-Sincai, Iulia Monica (2008): Strengths And Weaknesses Of The New Public Management (NPM)- Cross-Sectional And Longitudinal Analysis. Unpublished.
Titarenko, Deniss (2008): Investīcijas kā Latvijas ekonomikas izaugsmes faktors. Published in: University of Latvia (November 2008)
Colignatus, Thomas (2008): A note on competing economic theories on the 2007-2008+ financial crisis: The case for (hidden) stagflation. Unpublished.
Mukherjee, Deepraj and Kemme, David (2008): Evaluating inflation forecast models for Poland: Openness matters, money does not (but its cost does). Unpublished.
Reinhart, Carmen (2008): The first global financial crisis of the 21st century: Introduction. Published in: The First Global Financial Crisis of the Financial 21st Century (July 2008): pp. 1-24.
Rannenberg, Ansgar (2008): Disinflation and the NAIRU in a New-Keynesian New-Growth Model. Unpublished.
Bogetic, Zeljko; Ulatov, Sergey; Emelyanova, Olga and Smits, Karlis (2008): Russian economic report No.16 (June 2008), The World Bank. Published in: Russian Economic Report , Vol. www.worldbank.org/russia, No. World Bank's Russian Economic Reports (02. June 2008)
Simwaka, Kisu and Mkandawire, Leslie (2008): The efficacy of foreign exchange market intervention in Malawi. Published in: African Journal of Economic Policy , Vol. AJEP, Vol.15, No.1 June 2008, No. ISSN 1166-4875 (01. June 2008): pp. 1-38.
Sosunov, Kirill and Khramov, Vadim (2008): Monetary policy rules and indterminacy. Unpublished.
Pillai N., Vijayamohanan (2008): Doubling Kerala’s NSDP In 3 Years – Implications for Investment and its Financing. Unpublished.
Erdemlioglu, Deniz M and Xiao, Wei (2008): Indeterminate Equilibria in New Keynesian DSGE Model: An Application to the US Great Moderation. Unpublished.
Etzo, Ivan (2008): Internal migration and growth in Italy. Unpublished.
Reinhart, Carmen (2008): The Next (but not new) Frontier for Sovereign Default. Published in: VoxEU-CEPR (April 2008): pp. 1-9.
Reinhart, Carmen (2008): Eight Hundred Years of Financial Folly. Published in: VoxEU-CEPR (March 2008): pp. 1-9.
Andolfatto, David (2008): Macroeconomic Theory and Policy (2nd Edition). Unpublished.
Halicioglu, Ferda (2008): An Econometric Analysis of Aggregate Outbound Tourism Demand of Turkey. Unpublished.
Hasan, Zubair (2008): Credit creation and control: an unresolved issue in Islamic banking. Forthcoming in: International Journal of Islamic and Middle Eastern Finance and Management , Vol. 1, No. 2 (2008)
Argov, Eyal and Elkayam, David (2007): An Estimated New Keynesian Model for Israel. Unpublished.
Sekmen, Fuat (2007): Cointegration and Causality among Foreign Direct Investment in Tourism Sector, GDP, and Exchange Rate Volatility in Turkey. Published in: The Empirical Economics Letters No. 6(1) (January 2007): pp. 53-58.
van den Hauwe, Ludwig (2007): Did F. A. Hayek Embrace Popperian Falsificationism? A Critical Comment About Certain Theses of Popper, Duhem and Austrian Methodology. Published in: Procesos de Mercado - Revista Europea de Economía Política , Vol. IV Número 1, No. Primavera (2007): pp. 57-78.
Hasan, Zubair (2007): Ensuring exchange rate stability: Is return to gold (Dinar)possible? Published in: JKAU: Islamic Economics , Vol. 21, No. 1 (2008): pp. 1-21.
Nedergaard, Peter (2007): Erhvervsliv og politik i Den Europæiske Union. Om analysen af den økonomisk- politiske integration i EU. Published in:
Titarenko, Deniss (2007): Investīciju struktūra un ekonomikas izaugsme Latvijā. Published in: Baltijas Foruma 12. starptautiskās konferences „ES un Krievija: vienojoties par jaunām attiecībām” ekonomiskās sekcijas materiāli, 2007.gada 25.maijā, Rīga, Latvija (May 2007): pp. 46-55.
Nedergaard, Peter (2007): Mutual learning in the European employment strategy: how? how much? Published in:
M., Azali; Wong, K. S. Kelly; Lee, C. and Shafinaz, Ahmad Nazar (2007): THE ASEAN-5 FUTURE CURRENCY: MAASTRICHT CRITERIA. Unpublished.
Nedergaard, Peter (2007): The Open method of co-ordination and the analysis of mutual learning processes of the European employment strategy: methodological and theoretical considerations. Published in:
Nervaj, Erinda; Kaso, Rigers; Kraja, Ina; Lama, Doriana and Peeters, Marga (2006): A proposal for the inflation targeting communication strategy of the Bank of Albania. Published in: Inflation Targeting 2 Round Table (16. July 2007): pp. 151-191.
Mierzejewski, Fernando (2006): Liquidity preference as rational behaviour under uncertainty. Unpublished.
Deniss, Titarenko (2006): Эконометрический анализ модели инвестиционного акселератора. Published in: Proceedings of the 6th International Conference „Reliability and Statistics in Transportation and Communication” (RelStat`06), 25-28 October 2006, Riga, Latvia. (October 2006): pp. 22-30.
Debortoli, Davide and Nunes, Ricardo (2006): On Linear Quadratic Approximations. Unpublished.
Feridun, Mete (2006): Long-Run Relationship between Economic Growth and Stock Returns: An Empirical Investigation on Canada and the United States. Published in: Ekonomicky Casopis , Vol. 54, No. 6 (September 2006): pp. 584-596.
Barnett, William A. and Choi, Ki-Hong (2006): Operational identification of the complete class of superlative index numbers: an application of Galois theory. Unpublished.
Alomar, Ibrahim (2006): Financial Intermediation in Muslim Community: Issues and Problems. Unpublished.
Edwards, Jeffrey A. (2006): Politics, Inflation, and the Mundell-Tobin Effect. Published in: Journal of Economics (MVEA) , Vol. 32, No. 2 (2006)
Barna, Flavia (2006): THE IMPACT OF THE FOREIGN INVESTMENTS ON THE CAPITAL MARKET IN ROMANIA. Unpublished.
Louis, Phaneuf and Etienne, Wasmer (2005): Une étude économétrique de l'impact des dépenses publiques et des prélèvements fiscaux sur l'activité économique au Québec et au Canada. Unpublished.
Titarenko, Deniss (2005): The Influence of Foreign Direct Investment on Domestic Investment Processes in Latvia. Published in: Transport and Telecommunication , Vol. 7, No. 1 (2006): pp. 76-83.
Alomar, Ibrahim (2005): الدور التنموي للمصارف والوسطاء الماليين. Unpublished.
Matić, Branko (2005): Croatian monetary strategy in the conditions of globalization. Published in: Geographic Information Systems in Research & Practice : pp. 186-192.
Gilroy, Bernard Michael and Broll, Udo (2005): Managing Credit Risk with Credit Derivatives. Unpublished.
Nedergaard, Peter (2005): The open method of co-ordination and the analysis of mutual learning processes of the European employment strategy. Published in:
Rena, Ravinder (2004): FINANCING OF EDUCATION IN ERITREA - A CASE STUDY OF ZOBA MAEKEL. Published in: The African Symposium , Vol. 5, No. 3 (15. September 2005): pp. 113-128.
Matić, Branko (2004): Modern Cash Money Issue and National Economy. Published in: Proceedings of the 4th International Numismatic Congress in Croatia (2004): pp. 911-923.
Mesa Callejas, Ramon Javier and Ramos O., Elizeth (2003): Sector externo y política cambiaria en Colombia 1999 - 2002: del desequilibrio externo al equilibrio precario. Published in: Perfil de Coyuntura Economica No. No. 2 (01. October 2003): pp. 64-83.
Lagerlöf, Nils-Petter (2003): Slavery and other property rights. Unpublished.
toprak, metin (2002): Osmanlıdan Devreden Kriz Potansiyeli ve Tek Parti Dönemi Ekonomik Krizleri. Published in: Yeni Türkiye: Türkler , Vol. 17, (2002): pp. 598-614.
Novak, Branko and Matić, Branko (2002): STRUKTURELLE VERÄNDERUNGEN IN DER WIRTSCHAFT DER REPUBLIKEN KRAOATIEN UND BUNDESREPUBLIK DEUTSCHLAND. Published in: XXIII. Wissenschaftliches Symposium, Strukturelle Veränderungen in der Wirtschaft der Republiken Kroatien und Bundesrepublik Deutschland (10. October 2002): pp. 31-51.
Ozturk, Ilhan (2002): Velocity Effect On Inflationary Growth of Turkey: Evidence From Co-integration Analysis and Granger's Causality Test. Published in: The Indian Economic Journal , Vol. 50, No. 1 (2002): pp. 48-54.
Matić, Branko (2001): Commemorative Metal Money and Monetary Economy. Published in: Proceedings of the 3rd International Numismatic Congress in Croatia (2002): pp. 179-187.
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Dramani, Latif and Laye, Oumy (2007): Estimation of the Equilibrium Interest Rate: Case of CFA zone. Unpublished.
Andolfatto, David (2007): Incentives and the Limits to Deflationary Policy. Unpublished.
Andolfatto, David (2007): Incentives and the Limits to Deflationary Policy. Unpublished.
Minniti, Antonio (2006): Multi-Product Firms, R&D, and Growth. Published in: The B.E. Journal of Macroeconomics , Vol. 3, No. 6 (2006)
Mesa Callejas, Ramon Javier and Rhenals Monterrosa, Remberto (2003): Perspectivas sobre el desempeño macroeconomico colombiano en 2003. Published in: Perfil de Coyuntura Economica No. No. 1 (01. February 2003): pp. 5-12.
Chansarn, Supachet (2005): The efficiency in Thai financial sector after the financial crisis. Forthcoming in: BU Academic Review , Vol. Volume 6 Number 2 July - December 2007, (July 2007)
Mcdonald, Ian Martin (2007): Where is full employment? Published in: Dialogue , Vol. 26, No. 2 (July 2007): pp. 81-92.