Munich Personal RePEc Archive

Items where Subject is "C - Mathematical and Quantitative Methods > C5 - Econometric Modeling > C54 - Quantitative Policy Modeling"

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Number of items at this level: 45.

A

Albers, Scott (2013): Foundations of the economic and social history of the United States: Metaphysical.

Arpino, Bruno and Mattei, Alessandra (2013): Assessing the Impact of Financial Aids to Firms: Causal Inference in the presence of Interference.

B

BLINOV, Sergey (2017): Использование взаимосвязи между ВВП и денежной массой для экономического прогнозирования.

BLINOV, Sergey (2017): Economic Forecasting Based on the Relationship between GDP and Real Money Supply.

Baccar, Sourour (1995): Reliability of the Translog Cost Function : Some Theory & an Application to the Demand of Energy in French Manufacturing.

Bartolucci, Francesco and Pennoni, Fulvia and Vittadini, Giorgio (2015): Causal latent Markov model for the comparison of multiple treatments in observational longitudinal studies.

Bastianin, Andrea and Castelnovo, Paolo and Florio, Massimo (2017): The empirics of regulatory reforms proxied by categorical variables: recent findings and methodological issues.

Ben Jelili, Riadh and Abdmoulah, Walid (2013): Access to Finance Thresholds and the Finance-Growth Nexus. Published in: ECONOMIC PAPERS , Vol. 32, (December 2013): pp. 522-534.

Benzarour, Choukri and satour, rachid (2016): السياحة والنمو الاقتصادي في الجزائر : الأدلة من التكامل المشترك و تحليل السببية.

Bessler, David and Kibriya, Shahriar and Chen, Junyi and Price, Ed (2014): On Forecasting Conflict in Sudan: 2009-2012.

Brixen, Peter and Tarp, Finn (1995): A Simple Macroeconomic Framework for South Africa. Published in:

Brixen, Peter and Tarp, Finn (1994): A Simple Macroeconomic Framework for South Africa.

Byambasuren, Tsenguunjav and Erdenebold, Uranzaya and Otgonbayar, Baasansuren (2013): Policy Challenge and Single-Sector Growth Model Application of Resource-Rich Developing Countries: Case of Mongolia.

C

Cafora, Alfonso and Romano, Antonio Angelo and Ronghi, Monica and Giuseppe, Scandurra (2017): Substituting fossil energy sources: the role of the climate funds and effects on the economic growth.

Chen, Junyi and Kibriya, Shahriar and Bessler, David and Price, Edwin (2015): A Causal Exploration of Conflict Events and Commodity Prices of Sudan.

cho, hyejin and Alihodžić, Almir (2015): Analysis of systemic liquidity risk for the banking sector in Bosnia and herwegovina. Published in: EKONOMSKI VJESNIK/ECONVIEWS No. 2 (December 2015): pp. 289-306.

D

Davis, Brent (2016): “Attitudes to Leadership and Voting: Finding the Efficient Frontier”.

Davis, Brent (2017): “Negative Political Advertising: It’s All in the Timing”.

Davis, Brent (2017): “Taking Occam’s Razor to the Endogeneity Problem in Economic Voting”.

De Silva, Dakshina G. and Hubbard, Timothy P. and Kosmopoulou, Georgia (2015): Efficacy of a bidder training program: lessons from LINC.

Deluna, Roperto and maneja, Kimbely (2015): The Effect of Sin Tax and Anti-Smoking Campaign in Regulating Cigarette Smokers in Davao City, Philippines.

Dinda, Soumyananda (2015): Impact of China’s slowdown on the Global Economy: Modified GVAR Approach.

E

Emara, Noha and Plotkin, David and Stein, Alyssa (2013): Foreign aid and growth in Egypt: The role of economic policy. Published in: Journal of Business and Economics , Vol. 4, No. 11 (2013): pp. 1170-1175.

F

Fischer, Manfred M. (1994): From Conventional to Knowledge Based Geographical Information Systems. Published in: Computers, Environment and Urban Systems , Vol. 18, No. 4 (1994): pp. 233-242.

Fry, John (2013): Bubbles, shocks and elementary technical trading strategies.

G

Ghassan, Hassan B. and Alhajhoj, Hassan R. (2012): Long Run Relationship between IFDI and Domestic Investment in GCC Countries.

K

Kaluzhsky, Mikhail (2007): Новый подход к разработке методик анализа региональных экономических процессов. Published in: Вестник филиала ВЗФЭИ в г. Омске. , Vol. 8, No. Конкурентоспособность региональной экономики: опыт, проблемы, перспективы: Материалы междунар. научно-практич. конференции (2007): pp. 57-59.

M

Malik, Ihtisham Abdul and Siyal, Ghamz-e-Ali and Abdullah, Alias Bin and Alam, Arif and Zaman, Khalid and Kyophilavong, Phouphet and Shahbaz, Muhammad and Baloch, Siraj Ullah and Shams, Tauqeer (2014): Turn on the Lights: Macroeconomic Factors Affecting Renewable in Pakistan.

Mora Rodriguez, Jhon James (2013): Introduccion a la teoría del consumidor.

P

Pinelis, Iosif (2013): An optimal three-way stable and monotonic spectrum of bounds on quantiles: a spectrum of coherent measures of financial risk and economic inequality.

R

Rabbani, Sarah and Qayyum, Abdul (2015): Comparative analysis of factor affecting child mortality in Pakistan.

S

Shahateet, Mohammed Issa and Al-Majali, Khalid Ali and Al-Hahabashneh, Fedel (2014): Causality and Cointegration between Economic Growth and Energy Consumption: Econometric Evidence from Jordan. Published in: International Journal of Economics and Finance , Vol. 6, No. 10 (October 2014): pp. 270-279.

Situngkir, Hokky (2015): Indonesia embraces the Data Science. Published in: SEAMS 7th Conference, Jogjakarta, Indonesia

Situngkir, Hokky and Maulana, Ardian (2013): Dynamics of the Corruption Eradication in Indonesia. Published in: BFI Working Paper Series No. WP-1-2013 (17 September 2013)

Stanova, Nadja (2015): Effects of fiscal shocks in new EU members estimated from a SVARX model with debt feedback.

Stephensen, Peter and Markeprand, Tobias (2013): SBAM: An algorithm for pair matching.

T

Tahiri, Noor Rahman (2017): Comparative Analysis of Afghanistan and Pakistan Central Banks Monetary Policy.

V

Vardhan, Harsh and Sinha, Pankaj (2014): Influence of Foreign Institutional Investments (FIIs) on the Indian stock market.

Vardhan, Harsh and Sinha, Pankaj (2015): Influence of Macroeconomic Variable on Indian Stock Movement: Cointegration Approach.

Y

Yang, Bill Huajian (2017): Forward Ordinal Probability Models for Point-in-Time Probability of Default Term Structure. Forthcoming in: Journal of Risk Model Validation (September 2017)

Yang, Bill Huajian (2017): Point-in-Time PD Term Structure Models with Loan Credit Quality as a Component.

Yang, Bill Huajian (2017): Smoothing Algorithms by Constrained Maximum Likelihood. Forthcoming in: Journal of Risk Model Validation (September 2017)

Yao, Yuan and Meurier, Beatrice (2012): Understanding the supply chain resilience: a Dynamic Capabilities approach. Published in: Proceedings of 9th International meetings of Research in Logistics 2012 (16 August 2012): pp. 1-17.

Z

Zhao, Yunhui (2016): Got Hurt for What You Paid? Revisiting Government Subsidy in the U.S. Mortgage Market.

Zuniga Gonzalez, Carlos Alberto (2010): Comparisons of LSMS-ISA data collection and dissemination efforts in Central America. Published in: Journal of Development and Agricultural Economics , Vol. 3, No. 8 (4 August 2011): pp. 353-361.

This list was generated on Sat Nov 18 20:10:57 2017 CET.
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