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Munich Personal RePEc Archive

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Number of items: 32.

Ardliansyah, Rifqi (2012): Stock Market Integration and International Portfolio Diversification between U.S. and ASEAN Equity Markets.

Bartels, Koen and Cozzi, Guido and Mantovan, Noemi (2011): Public Spending and Volunteering: "The Big Society", Crowding Out, and Volunteering Capital.

Braun, Dieter (1995): Bank Deposit Insurance and EMU. Published in: Journal of European Integration (1995): pp. 211-219.

Byrne, Joseph and Cao, Shuo and Korobilis, Dimitris (2015): Term Structure Dynamics, Macro-Finance Factors and Model Uncertainty.

Byrne, Joseph P and Korobilis, Dimitris and Ribeiro, Pinho J (2014): On the Sources of Uncertainty in Exchange Rate Predictability.

Cockshott, W. Paul (2007): Mises, Kantorovich and Economic Computation.

Cozzi, Guido and Impullitti, Giammario (2006): Technological policy and wage inequality.

Deli, Yota and Hasan, Iftekhar (2017): Real effects of bank capital regulations: Global evidence. Forthcoming in: Journal of Banking and Finance

Delis, Manthos D and Iosifidi, Maria and Kazakis, Pantelis and Ongena, Steven (2018): Management as the sine qua non for M&A success.

Drakopoulos, Stavros A. (1989): The Historical Perspective of the Problem of Interpersonal Comparisons of Utility. Published in: Journal of Economic Studies , Vol. 16, No. 4 (1989): pp. 35-51.

Gortz, Christoph and John, Tsoukalas (2011): Learning, capital-embodied technology and aggregate fluctuations.

Hasan, Iftekhar and Karavitis, Panagiotis and Kazakis, Pantelis and Leung, Woon Sau (2019): Corporate Social Responsibility and Profit Shifting.

Jewell, Sarah and Kazakis, Pantelis (2017): On the Role of Migration on the Satisfaction of European Researchers: Evidence from MORE2.

Johnson, Catherine and McLaughlin, James (2020): Tourism branding and promotion: A critical approach. Published in: International Journal of Tourism Studies , Vol. 21, No. 2 (7 May 2020): pp. 116-128.

Kazakis, Pantelis (2023): Uncertainty and Market Power: An Empirical Investigation.

Koop, Gary and Korobilis, Dimitris (2014): Model Uncertainty in Panel Vector Autoregressive Models.

Koop, Gary and Korobilis, Dimitris (2013): A New Index of Financial Conditions.

Koop, Gary and Korobilis, Dimitris (2012): Large time-varying parameter VARs.

Korobilis, Dimitris (2019): High-dimensional macroeconomic forecasting using message passing algorithms.

Korobilis, Dimitris and Koop, Gary (2020): Bayesian dynamic variable selection in high dimensions.

Korobilis, Dimitris and Shimizu, Kenichi (2021): Bayesian Approaches to Shrinkage and Sparse Estimation.

Korpela, Ville and Lombardi, Michele and Vartiainen, Hannu (2019): Do Coalitions Matter in Designing Institutions?

Korpela, Ville and Lombardi, Michele and Vartiainen, Hannu (2019): Implementation with foresighted agents.

Lombardi, Michele and Miyagishima, Kaname and Veneziani, Roberto (2013): Liberal Egalitarianism and the Harm Principle.

Lombardi, Michele and Yoshihara, Naoki (2013): Natural implementation with partially honest agents in economic environments.

Modena, Matteo (2008): The term structure and the expectations hypothesis: a threshold model.

Modena, Matteo (2008): Yield curve, time varying term premia, and business cycle fluctuations.

Ntim, Collins G and Opong, Kwaku K and Danbolt, Jo and Dewotor, Frank (2008): Can emerging African Stock Markets improve their informational efficiency by formally harmonising and integrating their operations?

Ntim, collins g and Opong, kwaku k and Danbolt, jo (2010): Corporate governance, affirmative action and firm value: evidence from post-apartheid South African firms.

Pontiggia, Dario (2008): Commitment policy and optimal positive long-run inflation.

Shams, Khadija (2012): What does a well-being perspective add to our understanding of poverty?

Talmain, Gabriel (2017): Two-country Model and Foreign Exchange Dynamics.

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