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Items where Subject is "E31 - Price Level ; Inflation ; Deflation"

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Number of items at this level: 1034.

A

ABDELLAOUI, Okba and AZZAOUI, OMAR (2013): ظاهرة التكتلات الاقتصادية وإشكالية الأزمات الرأسمالية دراسة تحليلية لأثر التكتلات كقوة ممانعة وكمعبر للتدويل. Published in: journal of economic and financial studies No. 6 (31 December 2013): pp. 77-95.

ABDELLAOUI, Okba and Elkhatib, MOHAMMED (2014): قياس الآثار التبادلية بين التكتلات الاقتصادية والأزمات حالة المكسيك ضمن تكتل منطقة التجارة الحرة لأمريكا الشمالية للفترة 1980-2012. Published in: Algerian business performance review No. 6 (December 2014): pp. 57-74.

ABDELLAOUI, Okba and Zergoune, Mohamed (2015): أثر أزمة منطقة اليورو على الإيرادات النفطية للجزائر للفترة 2005 - 2012. Published in: revue ELWAHAT , Vol. 8, No. 1 (June 2015): pp. 226-256.

ALIDOU, Sahawal (2014): Degree of price rigidity in LICs and implication for monetary policy.

ALmosabbeh, Imadeddin (2006): محددات التضخم في سورية خلال الفترة 1970-2004. Published in: مجلة العلوم الاجتماعية، جامعة الكويت , Vol. 4, No. 34 (December 2006): pp. 45-71.

AMMOURI, Bilel and TOUMI, Hassen and ISSAOUI, Fakhri and ZITOUNA, Habib (2015): Forecasting Inflation in Tunisia into instability: Using Dynamic Factors Model a two-step based on Kalman filtering.

Abbas, Syed Kanwar (2008): Global Food Crisis & Inflationary Pressures: Short and Medium to Long Term Policy Options.

Abbritti, Mirko and Boitani, Andrea and Damiani, Mirella (2006): Unemployment, Inflation and Monetary Policy in a Dynamic New Keynesian Model with Hiring Costs. Published in: HEI Working Paper No. 07/2007 (January 2007): pp. 1-33.

Abdul Karim, Zulkefly and Zaidi, Mohd Azlan Shah and Jusoh, Mansor (2008): Variabiliti harga relatif dan inflasi : bukti empirikal di Semenanjung Malaysia, Sabah dan Sarawak. Published in: International Journal of Management Studies (IJMS) , Vol. 2, No. 15 (December 2008): pp. 165-182.

Abdul Karim, Zulkefly and Zaidi, Mohd Azlan Shah and W.N.W, Azman-Saini (2011): Relative price effects of monetary policy shock in Malaysia: a svar study.

Abo-Zaid, Salem (2009): Optimal Monetary Policy and Downward Nominal Wage Rigidity in Frictional Labor Markets.

Abo-Zaid, Salem (2009): Sticky Wages, Incomplete Pass-Through and Inflation Targeting: What is the Right Index to Target?

Abuselidze, George (2019): Modern Challenges of Monetary Policy Strategies: Inflation and Devaluation Influence on Economic Development of the Country. Published in: Academy of Strategic Management Journal , Vol. 18, No. 4 : pp. 1-10.

Accolley, Delali (2018): Accounting for Busines Cycles in Canada: II. The Role of Money.

Adamcik, Santiago (2008): Efectos de la Globalizacion sobre la Inflacion y la politica Monetaria Domestica.

Adams, Charles and Coe, David T. (1989): A Systems Approach to Estimating the Natural Rate of Unemployment and Potential Output for the United States.

Addae, Edna and Ackah, Ishmael (2017): Inflation dynamics in pre and post deregulation era in Ghana: Do petroleum prices have any influence?

Adeniji, Sesan (2013): Exchange Rate Volatility and Inflation Upturn in Nigeria: Testing for Vector Error Correction Model.

Adeniji, Sesan (2013): Investigating the Relationship between Currency Substitution, Exchange Rate and Inflation in Nigeria: An Autoregressive Distributed Lag (ARDL) Approach.

Adenutsi, Deodat E. (2007): The policy dilemma of economic openness and seigniorage-maximizing inflation in dollarised developing countries: The Ghanaian experience. Published in: West African Journal of Monetary and Economic Integration , Vol. 8, No. 1 (June 2008): pp. 91-129.

Ahiadorme, Johnson Worlanyo (2020): Inflation, output and unemployment trade-offs in Sub-Saharan Africa countries.

Ahmad, Khalil and Ali, Amjad (2016): Rising Population and Food Insecurity Linkages in Pakistan: Testing Malthusian Population Growth Theory.

Ahmed, Farooq and Raza, Hasan and Hussain, Adnan and Lal, Irfan (2014): Determinant of Inflation in Pakistan: An Econometric Analysis, Using Johansen Co Integration Approach. Published in: European Journal of Business and Management , Vol. 5, No. 30

Ahmed Mohammed, Abdullahi and Mati, Sagir and Husssain, Mustapha (2017): Exchange Rate Pass-Through to Domestic Consumer Prices in Nigeria and Taylor’s Hypothesis: A Structural Vector Auto Regression Analysis. Published in: American Journal of Economics , Vol. 7(5), No. 2017, 7(5): 201-210 (10 August 2017): p. 210.

Ahortor, Christian R.K. and Adenutsi, Deodat E. (2009): Inflation, capital accumulation and economic growth in import-dependent developing countries.

Ahsan, Ishmam (2021): Minimum Wage and Sectoral Price Inflation.

Akhter, Tahsina (2013): Short-Term Forecasting of Inflation in Bangladesh with Seasonal ARIMA Processes.

Akosah, Nana and Alagidede, Paul and Schaling, Eric (2019): Monetary Policy Transparency in Ghana: Recent Evidence.

Akturk, Halit (2014): Do Stock Returns Provide a Good Hedge Against Inflation? An Empirical Assessment Using Turkish Data during Periods of Structural Change.

Alexiou, Constantinos and Tsaliki, Persefoni and Tsoulfidis, Lefteris (2008): The Greek Hyperinflation Revisited. Published in: Ekonomia , Vol. 11, No. 1 (2008): pp. 19-34.

Ali, Amjad and Audi, Marc (2019): Economic Misery, Urbanization and Life Expectancy in MENA Nations: An Empirical Analysis.

Ali, Amjad and Audi, Marc (2018): Macroeconomic Environment and Taxes Revenues in Pakistan: An Application of ARDL Approach. Forthcoming in:

Ali, Amjad and Audi, Marc and Al-Masri, Razan (2022): The role of environmental conditions and purchasing power parity in determining auality of life among big Asian cities.

Ali, Amjad and Audi, Marc and Al-Masri, Razan (2022): The role of environmental conditions and purchasing power parity in determining quality of life among big Asian cities.

Ali, Amjad and Bibi, Chan (2020): Public Policies, Socio-Economic Environment and Crimes in Pakistan: A Time Series Analysis.

Ali, Amjad and Şenturk, İsmail (2019): Justifying the Impact of Economic Deprivation, Maternal Status and Health infrastructure on Under-Five Child Mortality in Pakistan: An Empirical Analysis.

Ali, Heba (2011): Inflation Dynamics: The Case of Egypt. Published in: Social Science Research Network (SSRN) electronic database

Ali, Mubashar (2006): Impact of Change in Oil Prices on the Shares of Oil Marketing Companies Traded on the KSE-100 Index.

Aliaga, Augusto (2020): Reglas de política monetaria para una economía abierta con fricciones financieras: Un enfoque Bayesiano.

Alimi, R. Santos (2017): Association between inflation rates and inflation uncertainty in quantile regression.

Alimi, R. Santos (2014): DOLS Cointegration Vector Estimation of the Effect of Inflation and Financial Deepening on Output Growth in Nigeria.

Alimi, R. Santos and Olorunfemi, Sola (2018): Does Inflation Uncertainty Matter for Validity of Romer’s Hypothesis? Evidence from Nigeria.

Aliqoriev, Olimkhon and Khamidov, Khalilillo (2014): Monetary policy under inflation targeting: lessons from industrial and emerging countries. Published in: Scientific journal of Chernihiv State Institute of Economics and Management (ChSIEM) , Vol. 1, No. #2 (22), 2014 (9 September 2014): pp. 25-32.

Aliyu, Shehu Usman Rano and Englama, Abwaku (2009): Is Nigeria Ready for Inflation Targeting?

Alkan, Berkay (2021): Growth and Inflation in Turkey.

Alvi, Mohsin (2012): The impact of packet size on inventory turnover of fmcg products in Pakistan [wholesaler & retailer perspective]. Published in: International Journal of Empirical Finance , Vol. 4, No. 3 (June 2015): pp. 165-169.

Amado, Raúl Oscar (2010): Producción agrícola e inflación en Buenos Aires tardo-colonial.

Amarasekara, Chandranath (2009): Central Bank Objectives and Aggregate Disturbances. Published in: Papers Presented at the Central Bank of Sri Lanka International Research Conference , Vol. 2, (2009): pp. 41-57.

Amendola, Nicola and Vecchi, Giovanni and Al Kiswani, Bilal (2010): Il costo della vita al Nord e al Sud d'Italia dal dopoguerra a oggi. Stime di prima generazione.

Andrianady, Josué R. (2018): Application d'un petit modèle VAR sur la relation inflation monnaie à Madagascar.

Andrianady, Josué R. (2023): How Inflation is Threatening Madagascar’s Economic Stability in 2022: An Analysis of Causes and Implications.

Andrianady, Josué R. (2023): La hausse de l’inflation `a Madagascar en 2022 : causes, conséquences et perspectives pour l’avenir.

Andriantomanga, Zo (2023): The role of survey-based expectations in real-time forecasting of US inflation.

André, Marine-Charlotte and Traficante, Guido (2020): Forward Guidance in Small Open Economy.

Anwar, Dr. Mumtaz and Shabbir, Dr. Ghulam and Shahid, M. Hassam and Samreen, Wajiha (2015): Determinants of Potato Prices and its Forecasting: A Case Study of Punjab, Pakistan.

Aoki, Shuhei and Kitahara, Minoru (2008): Measuring the Dynamic Cost of Living Index from Consumption Data.

Arato, Hiroki (2008): Long-run relationship between inflation and growth in a New Keynesian framework.

Ardakani, Omid and Kishor, N. Kundan (2014): Examining the Success of the Central Banks in Inflation Targeting Countries: The Dynamics of Inflation Gap and the Institutional Characteristics.

Ari, Ali and Yılmaz, Ahmet and Cergibozan, Raif and Ozcan, Yunus (2013): The Inflation Dynamics of the Turkish Economy in 1990-2011 Period. Published in: Journal of Financial Researches and Studies , Vol. 5, No. 9 (July 2013): pp. 1-16.

Arpaia, Alfonso and Pichelmann, Karl (2007): Nominal and real wage flexibility in EMU.

Arreaza Coll, Adriana and Pedauga, Luis Enrique (2007): Instituciones, estructura económica y política económica: ¿Qué hay detrás de la inflación en América Latina? Published in: Monetaria , Vol. 30, (January 2007): pp. 7-82.

Arshad, Sumera and Ali, Amjad (2016): Trade-off between Inflation, Interest and Unemployment Rate of Pakistan: Revisited.

Arslan, Mesut Murat (2005): Derivation and Estimation of a Phillips Curve with Sticky Prices and Sticky Information.

Asongu, Simplice and Raheem, Ibrahim and Tchamyou, Venessa (2016): Information Asymmetry and Financial Dollarization in Sub-Saharan Africa.

Asongu, Simplice A (2012): Correcting inflation with financial dynamic fundamentals: which adjustments matter in Africa? Forthcoming in:

Assadian, Afsaneh and Cebula, Richard (1989): Determinants of Business Failure: A Time Series Analysis. Published in: American Statistical Association 1990 Proceedings of the Business and Economic Statistics Section , Vol. 85, No. 1 (31 December 1990): pp. 508-511.

Assenza, Tiziana (2007): Borrowing Constraints, Multiple Equilibria and Monetary Policy.

Audi, Marc and Ali, Amjad (2019): The Advancement in Information and Communication Technologies (ICT) and Economic Development: A Panel Analysis.

Audi, Marc and Ali, Amjad and Fayad Hamadeh, Hani (2022): Nexus among innovations, financial development and economic growth in developing countries.

Awojobi, Omotola and Amel, Roya and Norouzi, Safoura (2011): Analysing Risk Management in Banks: Evidence of Bank Efficiency and Macroeconomic Impact. Forthcoming in:

Ayele, Gashaw Tsegaye (2011): Challenges to Monetary Policy Transmission to Consumer Prices in Ethiopia.

Aysoy, Cem and Aysoy, Cevriye and Tumen, Semih (2014): Quantifying and Explaining Stickiness in Housing Rents: A Turkish Case Study with Micro-Level Data.

B

BLINOV, Sergey (2014): Денежная политика количественного смягчения при высоких ставках центрального банка.

BLINOV, Sergey (2016): Три варианта экономической политики для России.

BLINOV, Sergey (2015): Сбережения и инфляция на примере России 1992 года.

BLINOV, Sergey (2016): О некоторых успехах ЦБ России в 2015 году.

BLINOV, Sergey (2017): Inflation and Economic Growth.

BLINOV, Sergey (2014): Monetary Policy of Quantitative Easing at the Central Bank’s High Interest Rates.

BLINOV, Sergey (2015): Savings and Inflation Using the Example of Russia in 1992.

Baerg, Nicole Rae (2014): War of the Words: How Elites' Communication Changes the Economy.

Bagus, Philipp and Howden, David (2016): Central Bank Balance Sheet Analysis. Published in: Betriebswirtschaftliche Forschung und Praxis , Vol. 2, No. 68 (2016): pp. 109-125.

Bagus, Philipp and Howden, David (2009): The Federal Reserve System and Eurosystem's Balance Sheet Policies During the Financial Crisis: A Comparative Analysis. Published in: Romanian Economic and Business Review , Vol. 3, No. 43 (2009): pp. 165-185.

Bagus, Philipp and Howden, David (2009): Qualitative Easing in Support of a Tumbling Financial System: A Recent Look at the Eurosystem´s Recent Balance Sheet Policies. Published in: Economic Affairs , Vol. 4, No. 29 (2009): pp. 60-65.

Baharom, A.H. and Radam, Alias and Habibullah, M.S. and Hirnissa, M.T (2009): The Volatility of Thai Rice Price.

Bahl, Ojasvita and Ghate, Chetan and Mallick, Debdulal (2020): Redistributive Policy Shocks and Monetary Policy with Heterogeneous Agents.

Balogun, Emmanuel Dele (2009): Inflation differential in the West African Monetary Zone (WAMZ) area:Implications for unionization.

Balogun, Emmanuel Dele (2008): An alternative reconsideration of macroeconomic convergence criteria for West African Monetary Zone.

Banik, Nilanjan and Biswas, Basudeb (2012): The curious case of Indian agriculture. Forthcoming in:

Bans-Akutey, Mawufemor and Yaw Deh, Isaac and Mohammed, Faisal (2016): What is the effect of Inflation on Manufacturing Sector Productivity in Ghana?

Baranowski, Paweł and Kuchta, Zbigniew (2015): Changes in nominal rigidities in Poland – a regime switching DSGE perspective.

Barbiellini Amidei, Federico and Gomellini, Matteo and Piselli, Paolo (2019): The price of demography.

Barhoumi, Karim (2006): Exchange Rate Pass-Through and Structural Macroeconomic Shocks in Developing Countries: An Empirical Investigation.

Barnett, William and Ftiti, Zied and Jawadi, Fredj (2018): The Causal Relationships between Inflation and Inflation Uncertainty.

Barnett, William and Park, Sohee (2021): Forecasting Inflation and Output Growth with Credit-Card-Augmented Divisia Monetary Aggregates.

Barnett, William A. and Chauvet, Marcelle and Leiva-Leon, Danilo (2014): Real-Time Nowcasting Nominal GDP Under Structural Break.

Barnett, William A. and Jawadi, Fredj and Ftiti, Zied (2020): Causal Relationships between Inflation and Inflation Uncertainty.

Barraez, Daniel and Pagliacci, Carolina (2009): A Markov-Switching Model of Inflation: Looking at the future during uncertain times. Published in: Analisis Economico , Vol. XXV, No. 59 (March 2010): pp. 25-46.

Barrera, Carlos (2022): Les Prévisions des Prévisionnistes Professionnels? Perou, 2009-2017.

Bashar, Omar H M N (2009): The Nature of Aggregate Demand and Supply Shocks in ASEAN Countries.

Basher, Syed A. and Westerlund, Joakim (2006): Is there Really a Unit Root in the Inflation Rate? More Evidence from Panel Data Models. Forthcoming in: Applied Economics Letters

Basher, Syed Abul and Carrion-i-Silvestre, Josep Lluis (2010): Measuring Persistence of U.S. City Prices: New Evidence from Robust Tests.

Basher, Syed Abul and Elsamadisy, Elsayed Mousa (2010): Country Heterogeneity and Long-Run Determinants of Inflation in the Gulf Arab States.

Baskaran, Thushyanthan (2011): Revenue decentralization and inflation: a re-evaluation. Forthcoming in: Economics Letters

Bataa, Erdenebat (2019): Growth and Inflation Regimes in Greater Tumen Initiative Area.

Bayari, Celal (2012): The Origin of Minimum Wage Determination in Australia: The Political and Legal Institutions. Published in: Journal of Global Politics , Vol. 5, No. 1 (1 December 2012): pp. 163-198.

Bazzaoui, Lamia and Nagayasu, Jun (2019): Is Inflation Fiscally Determined?

Beckmann, Joscha and Czudaj, Robert L. (2024): Uncertainty Shocks and Inflation: The Role of Credibility and Expectation Anchoring.

Bednarik, Radek (2010): Inflation in the US Economy: It Is a Problem or Not?

Behera, Harendra and Wahi, Garima and Kapur, Muneesh (2017): Phillips Curve Relationship in India: Evidence from State-Level Analysis.

Beja, Edsel (2014): Measuring economic ill-being: Evidence for the ‘Philippine Misery Index’.

Beja, Edsel Jr. (2012): Who wants price stability?

Beja Jr, Edsel (2010): Is inflation targeting preferred by Filipinos?

Belanger, Gilles (2014): An Improvement on Sticky Price Assumptions.

Belanger, Gilles (2016): Inflation is Always and Everywhere an Interest-Rate Phenomenon.

Belanger, Gilles (2014): Interest Rate Rigidity and the Fisher Equation.

Belliveau, Stefan (2012): Money aggregates and economic activity during the Great Depression and 2007-11.

Ben Ali, Samir (2010): A New Keynesian Phillips curve for Tunisia : Estimation and analysis of sensitivity.

Ben Cheikh, Nidhaleddine (2011): Long run exchange rate pass-through: Evidence from new panel data techniques.

Ben Cheikh, Nidhaleddine (2012): Non-linearities in exchange rate pass-through: Evidence from smooth transition models.

Ben Cheikh, Nidhaleddine (2012): Nonlinear mechanism of the exchange rate pass-through: Does business cycle matter?

Ben Cheikh, Nidhaleddine (2013): The Pass-Through of Exchange Rate in the Context of the European Sovereign Debt Crisis.

Ben Cheikh, Nidhaleddine and Louhichi, Waël (2014): Measuring the Impact of Exchange Rate Movements on Domestic Prices: A Cointegrated VAR Analysis.

Ben Cheikh, Nidhaleddine and Rault, Christophe (2013): The Pass-Through of Exchange Rate in the Context of the European Sovereign Debt Crisis.

Ben Nasr, Adnen and Trabelsi, Abdelwahed (2005): Seasonal and Periodic Long Memory Models in the Inflation Rates.

Benamar, Abdelhak and CHERIF, Nasreddine and Benbouziane, Mohamed (2011): Money and prices in the Maghreb countries: cointegration and causality analyses. Published in: International Journal of Business and Social Science , Vol. Vol. 2, No. Special Issue – December 2011 (21 December 2011): pp. 92-107.

Benchimol, Jonathan (2016): Money and monetary policy in Israel during the last decade. Published in: Journal of Policy Modeling , Vol. 38, No. 1 (9 February 2016): pp. 103-124.

Bentour, El Mostafa (2015): On the removal of energy products subsidies in an importing oil country: impacts on prices in Morocco. Forthcoming in:

Bergen, Mark and Bergen, Thomas and Levy, Daniel and Semenov, Rose (2022): 3 Lessons from hyperinflationary periods. Forthcoming in: Harvard Business Review

Bergen, Mark and Levy, Daniel and Ray, Sourav and Rubin, Paul and Zeliger, Ben (2006): When Little Things Mean a Lot: On the Inefficiency of Item Pricing Laws.

Bhatta, Siddha Raj (2015): Optimal Rate of Inflation in Nepal : An Empirical Investigation. Published in: Conference Proceeding of Nepal Rastra Bank No. 2015

Bhattacharya, Jyotirmoy (2008): Oil Shocks: How Destabilizing are they?

Bhattacharya, Jyotirmoy (2012): Price stickiness and exchange-rate pass-through: some evidence from Indian online retail.

Bhattacharya, Rudrani and Sen Gupta, Abhijit (2017): Drivers and Impact of Food Inflation in India. Published in: Macroeconomics and Finance in Emerging Market Economies , Vol. 2, No. 11 (May 2018): pp. 146-168.

Bianchi, Francesco (2008): Regime switches, Agents’ Beliefs, and Post-World War II U.S. Macroeconomic Dynamics.

Bijapur, Mohan (2013): Are Credit Shocks Supply or Demand Shocks?

Bilgili, Faik (2001): ARIMA ve VAR Modellerinin Tahmin Başarılarının Karşılaştırılması. Published in: Journal of Faculty of Economics and Administrative Sciences, Erciyes University No. 17 (2001): pp. 37-53.

Bilgili, Faik (2011): City price convergence in Turkey with structural breaks.

Bilgili, Faik (2000): Forecasting the Macro Targets of Turkish Economy for the Year 2000: An Application of Box-Jenkins and Exponential Smoothing Methods. Published in: Dokuz Eylül University, Faculty of Economics and Administrative Sciences Journal , Vol. 15, No. 2 (March 2000): pp. 85-99.

Blake, Andrew P. and Kirsanova, Tatiana (2006): Discretionary Policy and Multiple Equilibria in LQ RE Models.

Blanco, Andrés and Diaz de Astarloa, Bernardo and Drenik, Andres and Moser, Christian and Trupkin, Danilo (2021): The Evolution of the Earnings Distribution in a Volatile Economy: Evidence from Argentina.

Blanco, Cesar and Diz, Sebastian (2021): Optimal monetary policy with non-homothetic preferences.

Bonga-Bonga, Lumengo and Simo-Kengne, Beatrice Desiree (2017): Inflation and output growth dynamics in South Africa: Evidence from the Markov switching vector auto-regression model.

Bonini, Patricia and Da Silva, Sergio (2007): Staggered wages, inflation, and discounting.

Borraz, Fernando and Gianelli, Diego (2010): Un Análisis de Comportamiento a Nivel de Agente de la Encuesta de Expectativas de Inflación del BCU.

Borraz, Fernando and Zipitría, Leandro (2010): Price Setting in Retailing: the Case of Uruguay.

Boschi, Melisso and Girardi, Alessandro (2005): Does one monetary policy fit all? the determinants of inflation in EMU countries. Published in: Current Politics and Economics of Europe , Vol. 1/2, No. 19 (January 2008): pp. 31-62.

Bosupeng, Mpho (2015): The Impossible Trinity and Financial Markets – An Examination of Inflation Volatility Spillovers. Published in: Journal of CENTRUM Cathedra: The Business and Economics Research Journal , Vol. 1, No. 8 (September 2015): pp. 29-44.

Boukraine, Wissem (2020): Asymmetric behavior of exchange rate in Tunisia: a nonlinear approach.

Boukraine, Wissem (2020): Inflation dynamics in Tunisia: a smooth transition autoregressive approach.

Boukraine, Wissem (2020): Short and long-run determinants of inflation in Tunisia.

Bouoiyour, Jamal and Selmi, Refk (2015): Is the Internet Search Driving Oil Market? A Revisit through Time-Frequency approaches.

Bourioune, Tahar and Chiad, Faycal (2022): Estimation de l’IPC par les modèles non paramétriques : cas de l’Algérie. Published in: Revue Recherches et études en Développement , Vol. 9, No. 1 (June 2022): pp. 652-665.

Brissimis, Sophocles and Migiakis, Petros (2011): Inflation persistence and the rationality of inflation expectations.

Brito, Paulo and Marini, Giancarlo and Piergallini, Alessandro (2016): House Prices and Monetary Policy.

Bruchez, Pierre-Alain (2007): A Hybrid Sticky-Price and Sticky-Information Model.

Brzoza-Brzezina, Michal and Socha, Jacek (2006): Downward nominal wage rigidity in Poland.

Buiter, Willem (2009): The unfortunate uselessness of most ’state of the art’ academic monetary economics. Published in: VoxEY (6 March 2009)

Bukvić, Rajko (1996): Cene u prvoj polovini devedesetih. Published in: Ekonomika , Vol. 32, No. 11-12 (1996): pp. 516-523.

Bukvić, Rajko (2004): Месечна динамика и релативне малопродајне цене пољопривредних производа 1994–2003. Published in: Месечне агроекономске анализе (Monthly Agrieconomic Analyses) , Vol. 1, No. 10 (2004): pp. 341-350.

Busato, Francesco and Albanese, Marina and Varlese, Monica (2022): Inflation-based fiscal consolidation: a DSGE approach.

Busato, Francesco and Varlese, Monica and Ulloa Severino, Claudia (2022): Public debt heterogeneity at country level: an empirical analysis.

Butt, Muhammad Danial and Ahmed, Mumtaz (2019): Testing for Multiple Bubbles in Inflation for Pakistan.

Butt, Muhammad Danial and Ahmed, Mumtaz (2019): Testing for Multiple Bubbles in Inflation for Pakistan.

Błażejowski, Marcin and Kufel, Paweł and Kwiatkowski, Jacek (2018): Model simplification and variable selection: A Replication of the UK inflation model by Hendry (2001). Published in: Journal of Applied Econometrics , Vol. 35, No. 5 (2 August 2020): pp. 645-652.

beldi, lamia and djelassi, mouldi and kadria, mohamed (2017): Revisiting the Exchange Rate Pass-through in Emerging Markets.

beldi, lamia and djelassi, mouldi and kadria, mohamed (2017): Revisiting the Exchange Rate Pass-through in Emerging Markets.

C

Caglayan, Mustafa and Filiztekin, Alpay (2012): The law of one price and the role of market structure.

Calani, Mauricio (2007): Testing Globalization-Disinflation Hypothesis.

Campbell, Carl (2013): Efficiency wage setting, labor demand, and Phillips curve microfoundations.

Campiglio, Luigi Pierfranco (2014): Unbundling the Great European Recession (2009-2013): Unemployment, Consumption, Investment, Inflation and Current Account.

Castro, César and Jiménez-Rodríguez, Rebeca (2016): Oil price pass-through along the price chain in the euro area. Forthcoming in:

Cazacu (NEAMTU), Andreea - Lavinia (2017): Transfer prices - an international problem. Published in: Junior Scientific Researcher , Vol. 3, No. 2 (November 2017): pp. 19-25.

Ceballos, Luis and Naudon, Alberto and Romero, Damian (2014): Nominal Term Structure and Term Premia. Evidence from Chile.

Cebula, Richard (2010): Effects of Health Insurance and Medical Care Inflation on Voluntary Enlistment in the Army: An Empirical Study in the United States. Published in: International Journal of Management , Vol. 28, No. 1 (30 March 2011): pp. 349-362.

Cebula, Richard (1997): An Empirical Analysis of the Impact of Federal Budget Deficits on Long-term Nominal Interest Rate Yields, 1973.2-1995.4, Using Alternative Expected Inflation Measures. Published in: Review of Financial Economics , Vol. 7, No. 1 (17 April 1998): pp. 55-64.

Cebula, Richard (1996): An Empirical Note on the Impact of the Federal Budget Deficit on Ex Ante Real Long-Term, Interest Rates, 1973-1995. Published in: Southern Economic Journal , Vol. 63, No. 4 (28 April 1997): pp. 1094-1099.

Cebula, Richard (1987): Federal Government Budget Deficits and Interest Rates: A Brief Note. Published in: Southern Economic Journal , Vol. 55, No. 1 (20 July 1988): pp. 206-210.

Cebula, Richard (2014): An Investigation into the Impact of Federal Government Budget Deficits on the Ex Ante Real Interest Rate Yield on Treasury Notes in the U.S.

Cebula, Richard (1979): More on Analyzing the Phillips Curve for the United States, 1950-1975. Published in: Economia Internazionale , Vol. 33, No. 1 (26 February 1980): pp. 26-35.

Cebula, Richard and Barth, James and Belton, Willie (1994): A Tobit Analysis of Determinants of Geographic Differentials in the Commercial Bank Closing Rate in the United States. Published in: Rivista Internazionale di Scienze Economiche e Commerciali , Vol. 42, No. 10-11 (25 November 1995): pp. 863-869.

Cebula, Richard and McGrath, Richard (2006): Identifying Determinants of the Cost of Long Term Borrowing for U.S. Firms: Insights for Management. Published in: Gitam Journal of Management , Vol. 5, No. 4 (10 November 2007): pp. 22-28.

Cebula, Richard and McGrath, Richard and Saadatmand, Yassamand and Toma, Michael (2001): An Empirical Note on the Impact of the Price of Imported Crude Oil on Inflation in the United Kingdom. Published in: The Journal of American Academy of Business, Cambridge , Vol. 2, No. 1 (30 September 2002): pp. 115-117.

Cebula, Richard and Saadatmand, Yassaman and Piccone, Yvonne (2002): An Empirical Note on the Inflation Impact of the Price of Imported Crude Oil: The Case of Germany. Published in: Rivista Internazionale di Scienze Economiche e Commerciali , Vol. 49, No. 4 (28 December 2002): pp. 531-537.

Cebula, Richard and Scott, Gerald (1990): Deficits and Real Interest Rates: A Note Extending the Hoelscher Model. Published in: The Indian Journal of Economics , Vol. 71, No. 4 (30 April 1991): pp. 519-522.

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