Munich Personal RePEc Archive

Browse by Authors

Up a level
Export as [feed] Atom [feed] RSS 1.0 [feed] RSS 2.0
Group by: Date | Item ID
Number of items: 26.

1986

Kollmann, Robert (1986): "Why Can't the Long-Term Unemployed Find Jobs? A Possible Explanation and Dynamic Implications", MSc thesis, London School of Economics, 1986 (MSc Econometrics and Mathematical Economics).

1991

Kollmann, Robert (1991): "Essays on International Business Cycles", PhD thesis, Economics Department, University of Chicago, 1991.

1993

Kollmann, Robert (1993): Comment on 'A Forecasting Equation for the Canada-US Dollar Real Exchange Rate'. Published in: 'The Exchange Rate and the Economy', Proceedings of 1992 Bank of Canada Conference; Bank of Canada, 1993, Ottawa (ISBN 0-660-15195-2) (1993): pp. 266-271.

1998

Kollmann, Robert (1998): Book review of "Economic and Monetary Union in Europe: Moving Beyond Maastricht" (Peter Kenen). Published in: Review of International Economics , Vol. 6, (1998): pp. 181-182.

1999

Kollmann, Robert (1999): Effects of Government Purchases in Open Economies: Empirical Evidence and Predictions of a Dynamic General Equilibrium Model With Nominal Rigidities.

2002

Kollmann, Robert (2002): Monetary Policy Rules in a Two-Country World.

2008

Kollmann, Robert (2008): Comment on 'International Prices and Productivity: an Empirical Analysis of the Transmission among OECD Countries'. Published in: NBER International Seminar on Macroeconomics 2006 (2008): pp. 186-194.

2009

Kollmann, Robert (2009): Domestic Financial Frictions: Implications for International Risk Sharing, Real Exchange Rate Volatility and International Business Cycles.

2010

Kollmann, Robert (2010): Banks and the Domestic and International Propagation of Macroeconomic and Financial Shocks.

Kollmann, Robert (2010): Comment on ‘Fiscal Policy, Intercountry Adjustment and the Real Exchange Rate within Europe (C. Allsopp and D. Vines, Oxford University). Published in: ‘The Euro—The First Decade’, Cambridge University Press, 2010 (Marco Buti, Servaas Deroose, Vítor Gaspar, and João Nogueira Martins, editors), ISBN 978-9-279-09842-0 (2012): pp. 552-556.

2012

Kollmann, Robert and Malherbe, Frédéric (2012): Financial Contagion: the Role of Banks. Published in: Handbook of Safeguarding Global Financial Stability, Political, Social, Cultural, and Economic Theories and Models (Gerard Caprio, editor), 2012, Vol.2, Oxford: Elsevier. (2012): pp. 139-143.

Kollmann, Robert (2012): Global Banks, Fiscal Policy and International Business Cycles. Published in: Rethinking Global Economic Governance in Light of the Crisis: New Perspectives on Economic Policy Foundations, CEPR, 2012 (Richard Baldwin and David Vines, editors), ISBN 978-1-907142-52-9, pp.107-110 (2012): pp. 107-110.

Devereux, Michael B. and Kollmann, Robert (2012): International Risk Sharing. Published in: Canadian Journal of Economics , Vol. 45 (2), (May 2012): pp. 373-375.

2013

Kollmann, Robert and Leeper, Eric and Otrok, Christopher and Roeger, Werner (2013): Fiscal Policy in the Aftermath of the Crisis. Published in: Journal of Economic Dynamics and Control , Vol. 37, (2013): pp. 365-366.

2014

Chinn, Menzie and Devereux, Mick and Kollmann, Robert (2014): Current Account Imbalances and International Financial Integration. Published in: Journal of International Money and Finance , Vol. 48, (2014): pp. 219-220.

2015

Kollmann, Robert and Vogel, Lukas (2015): Discussion of ‘Market Reforms in the Time of Imbalance’ (M. Cacciatore, R.Duval, G. Fiori, F. Ghironi). Forthcoming in: Journal of Economic Dynamics and Control (2016)

2016

Kollmann, Robert and Zeugner, Stefan (2016): Blanchard and Kahn’s (1980) solution for a linear rational expectations model with one state variable and one control variable: the correct formula.

Kollmann, Robert (2016): Discussion of "Financial Intermediation in a Global Environment" (Victoria Nuguer). Forthcoming in: International Journal of Central Banking (2016)

Kollmann, Robert (2016): International Business Cycles and Risk Sharing with Uncertainty Shocks and Recursive Preferences. Forthcoming in: Journal of Economic Dynamics and Control (2016)

Kollmann, Robert and Leeper, Eric and Roeger, Werner (2016): The Post-Crisis Slump. Forthcoming in: European Economic Review (2016)

Kollmann, Robert (2016): Tractable Likelihood-Based Estimation of Non-Linear DSGE Models Using Higher-Order Approximations.

15 March 2017

Kollmann, Robert (2017): Explaining International Business Cycle Synchronization: Recursive Preferences and the Terms of Trade Channel.

31 March 2017

Kollmann, Robert (2017): The Post-Crisis Slump in the Euro Area and the US.

27 April 2017

Kollmann, Robert and Pataracchia, Beatrice and Raciborski, Rafal and Ratto, Marco and Roeger, Werner and Vogel, Lukas (2017): Drivers of the Post-Crisis Slump in the Eurozone and the US. Published in: VOX CEPR's Policy Portal No. http://voxeu.org/article/drivers-post-crisis-slump-eurozone-and-us (27 April 2017)

6 August 2018

Giovannini, Massimo and Hohberger, Stefan and Kollmann, Robert and Ratto, Marco and Roeger, Werner and Vogel, Lukas (2018): Euro Area and U.S. External Adjustment: The Role of Commodity Prices and Emerging Market Shocks.

6 December 2018

Chinn, Menzie and Devereux, Michael B. and Kollmann, Robert (2018): International Financial Integration in a Changing Policy Context – the End of an Era? Forthcoming in: Journal of International Money and Finance

This list was generated on Mon Oct 14 14:16:03 2019 CEST.
UB_LMU-Logo
MPRA is a RePEc service hosted by
the Munich University Library in Germany.