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Munich Personal RePEc Archive

Items where Subject is "E60 - General"

Group by: Creators Name | Language
Number of items at this level: 280.

Arabic

Alrubaie, falah.K.Ali (2010): تحليل التغييرات : في توجهات السياسات الاقتصادية في العراق.

Asaad, Zeravan (2014): The Economic determinants of foreign direct investment inward to Iraq for period (2004-2011). Published in: Journal of University of Duhok , Vol. 17, No. 1 (2 June 2014): pp. 192-2017.

Kamal, Mona (2010): التحقق من أثر التنسيق بين السياستين المالية والنقدية على الأهداف الاقتصادية باستخدام نموذج قياسي.

Kamal, Mona (2010): تجربة الاتحاد النقدي الأوروبي في مجال التنسيق بين السياستين المالية والنقدية.

Azerbaijani

Aras, Osman Nuri and Süleymanov, Elçin (2010): 1929 və 2008 böhranlarının makroiqtisadi səbəb və nəticələr baxımından müqayisəsi. Published in: Journal of Qafqaz University No. 30 (2010): pp. 45-62.

English

Agnese, Pablo and Sala, Hector (2008): The fading 1990s in Japan: Driving forces behind the unemployment upsurge. Published in: International Review of Economics and Finance , Vol. 18, No. 3 (June 2009): pp. 428-439.

Ahmad, Mahyudin (2008): The effect of financial deregulation on money demand in Malaysia. Published in: Proceedings of the National Seminar on STSS 2008 (4 June 2008): pp. 405-415.

Ahmadzadeh Mashinchi, Sina (2010): The impact of the global economic crisis on non-oil operations of ports in Iran. Published in: Middle East Journal of Scientific Research (ISI Indexed) , Vol. 9, No. 5 (15 November 2011): pp. 596-601.

Ahmed, Salah and Trabelsi, Mohamed Ali (2022): Economic resilience in developing countries: The role of democracy in the face of external shocks. Published in: Entrepreneurial Business and Economics Review , Vol. 10, No. 1 (March 2022): pp. 23-34.

Albers, Scott and Albers, Andrew L. (2012): On the mathematic prediction of economic and social crises: toward a harmonic interpretation of the Kondratiev wave.

Albu, Lucian-Liviu and Georgescu, George (1994): Problems in the structure of Romania’s economy. Published in: (1995): pp. 285-336.

Alcidi, Cinzia and Gros, Daniel (2009): What lessons from the 1930s?

Ali, Amjad and Bibi, Chan (2016): Determinants of Social Progress and its Scenarios under the role of Macroeconomic Instability: Empirics from Pakistan.

Alnaa, Samuel Erasmus and Matey, Juabin (2022): Macroeconomic Policy Formulation: The Driver of Economic Welfare in Ghana. Published in: The Journal of Management Theory and Practice (JMTP) , Vol. 3, No. 1 (10 May 2022): pp. 78-86.

Alsayyed, Nidal (2010): Sukukization: Islamic Economic Risk Factors in Shari’ah View.

Alsayyed, Nidal and Farhan, Malik (2010): Sukukization: Islamic Economic Risk Factors in Shari’ah View.

Alshyab, Nooh (2013): The Political Economy of Reform and Development of the Washington Consensus.

Anton, Roman (2015): Monetary Development and Transmission in the Eurosystem. Forthcoming in: Open Science No. Free Access (December 2015): pp. 1-216.

Antonakakis, Nikolaos and Chatziantoniou, Ioannis and Filis, George (2012): Dynamic Co-movements between Stock Market Returns and Policy Uncertainty.

Antonakakis, Nikolaos and Gupta, Rangan and Andre, Christophe (2015): Dynamic Co-movements between Economic Policy Uncertainty and Housing Market Returns.

Aras, Osman Nuri and Öztürk, Mustafa (2011): Constitutional Economics, Fiscal Policy Rules, and The Case of Turkey. Published in: International Journal of Social Sciences and Humanity Studies , Vol. 2, No. 3 (2011): pp. 399-410.

Arora, Vipin (2015): Consumer Credit, Oil Prices, and the U.S. Economy.

Asongu, Simplice (2017): A Survey on Inequality-Adjusted Human Development in Africa. Forthcoming in: Africagrowth Agenda

Asongu, Simplice and EFOBI, Uchenna and BEECROFT, Ibukun (2014): Inclusive human development in pre-crisis times of globalisation-driven debts.

Asongu, Simplice and Efobi, Uchenna and Tanankem, Belmondo (2017): On the Relationship between Globalisation and the Economic Participation of Women in Sub-Saharan Africa.

Asongu, Simplice and Efobi, Uchenna and Tanankem, Belmondo and Osabuohien, Evans (2019): Globalisation and Female Economic Participation in Sub-Saharan Africa. Forthcoming in: Gender Issues

Asongu, Simplice and Nwachukwu, Jacinta (2016): The Comparative Inclusive Human Development of Globalisation in Africa. Forthcoming in: Social Indicators Research

Asongu, Simplice and Nwachukwu, Jacinta (2016): Globalization and Inclusive Human Development in Africa. Forthcoming in: Man and the Economy

Awijen, Haithem and Ben Zaied, Younes and Nguyen, Duc Khuong and Sensoy, Ahmet (2020): Endogenous Financial Uncertainty and Macroeconomic Volatility: Evidence from the United States.

Aysan, Ahmet Faruk and Pang, Gaobo and Véganzonès -Varoudakis, Marie-Ange (2006): Uncertainty, Economic Reforms and Private Investment in the Middle East and North Africa.

Azam, Muhammad and Khan, Hashim and Hunjra, Ahmed Imran and Ahmad, H. Mushtaq and Chani, Muhammad Irfan (2011): Institutions, macroeconomic policy and foreign direct investment: South Asian countries case.

Bahmani, Mohammad and Sheikh Ahmadi, Sayed Amir and Sanginabadi, Bahram (2013): Return Volatility and Asymmetric News of Computer Industry stocks in Tehran Stock Exchange (TEX). Published in: Journal of Scientific Research & Reports , Vol. 3, No. 10 (5 April 2014): pp. 1361-1374.

Balli, Faruk and Basher, Syed Abul and Jean Louis, Rosmy (2012): Risk Sharing in the Middle East and North Africa: The Role of Remittances and Factor Incomes. Forthcoming in: Economics of Transition

Banerjee, Ritwik and Vashisht, Pankaj (2010): The financial crisis: impact on BRIC and policy response. Published in: Revista Tempo Do Mundo , Vol. 2, No. 2 (2010): pp. 57-80.

Barnett, William A. and Duzhak, Evgeniya A. (2008): Empirical assessment of bifurcation regions within new Keynesian models.

Basher, Syed Abul and Haug, Alfred A. and Sadorsky, Perry (2019): The impact of economic policy uncertainty and commodity prices on CARB country stock market volatility.

Basseti, Thomas and Benos, Nikos and Karagiannis, Stelios (2010): How policy can influence human capital accumulation and environment quality.

Beja, Edsel Jr. (2010): Do international remittances cause Dutch disease?

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

Beja Jr., Edsel L. (2012): What do happy people choose: rapid economic growth or stable economy?

Benner, Maximilian (2013): Developing Economies with Industrial Policy: Towards a Toolbox for Economic Growth. With Case Studies of Jordan and Egypt.

Bobeva, Daniela and Atanasov, Atanas (2016): Macroeconomic Imbalances in euro- and non-euro area member states.

Bogoev, Jane and Ramadani, Gani (2012): GDP Data Revisions in Macedonia – Is There Any Systematic Pattern?

Bom, Pedro R.D. and Erauskin, Iñaki (2021): Productive government investment and the labor share.

Bonga-Bonga, Lumengo (2017): Fiscal policy, Monetary policy and External imbalances: Cross-country evidence from Africa’s three largest economies (Nigeria, South Africa and Egypt).

Bos, Frits (2007): Compiling the national accounts demystified. Published in: Statistics Netherlands, National accounts occasional paper nr. NA-095 (2007)

Bos, Frits (2011): National accounts: barometer, telescope and compass for the national economy.

Bos, Frits (2011): Three centuries of macro-economic statistics.

Boskabadi, Elahe (2022): Economic policy uncertainty and forecast bias in the survey of professional forecasters.

Canofari, Paolo and Piergallini, Alessandro and Piersanti, Giovanni (2018): The Fallacy of Fiscal Discipline.

Carfì, David and Schilirò, Daniele (2011): A framework of coopetitive games: applications to the Greek crisis. Published in: AAPP|Atti della Accademia Peloritana dei Pericolanti Classe di Scienze Fisiche, Matematiche e Naturali , Vol. 90, No. No. 1, A1 (June 2012): pp. 1-32.

Chen, Dong and Gao, Yanmin and Kaul, Mayank and Leung, Charles Ka Yui and Tsang, Desmond (2014): The role of sponsor and external management on the capital structure of Asian-Pacific REITs: the case of Australia, Japan, and Singapore.

Cok, Mitja and Majcen, Boris and Verbic, Miroslav and Kosak, Marko (2008): Use of simulation models for the tax reform in Slovenia.

Cole, Stephen (2015): Learning and the effectiveness of central bank forward guidance.

Cole, Stephen (2016): The limits of central bank forward guidance under learning.

Colignatus, Thomas (2014): Cause and cure of the crisis.

Colignatus, Thomas (2011): The crisis and the raison d’être and prospect for the UK office for budget responsibility versus an economic supreme Court.

Costa-Filho, João and Neto, António (2020): Is democracy affecting the economic policy responses to COVID-19? A cross-country analysis.

Coulibaly, Issiaka and Davis, Junior (2013): Exchange rate regimes and economic performance: Does CFA zone membership benefit their economies?

Crotty, James (2011): The great austerity war: what caused the deficit crisis and who should pay to fix it?

Cummins, Matthew (2019): The Macroeconomic and Social Investment Outlook for Children in Eastern and Southern Africa.

Dahiya, Dhruv (2008): Empirical Testing of the Lucas Critique for the U.S. Economy, 1986 – 2005.

Davide, Furceri and Aleksandra, Zdzienicka (2010): Banking Crises and Short and Medium Term Output Losses in Developing Countries: The Role of Structural and Policy Variables.

Davide, Furceri and Aleksandra, Zdzienicka (2011): The Effects of Social Spending on Economic Activity: Empirical Evidence from a Panel of OECD Countries.

De Koning, Kees (2015): Overfunding and underfunding, a main cause of the business cycle?

De Koning, Kees (2014): The benign neglect of the individual households' equity crisis.

Degiannakis, Stavros and Filis, George (2019): Forecasting European Economic Policy Uncertainty. Published in: Scottish Journal of Political Economy , Vol. 1, No. 66 (February 2019): pp. 94-114.

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

Djumashev, R (2007): Corruption, uncertainty and growth.

Djumashev, Ratbek (2006): Corrupt Bureaucracy and Growth.

Duduiala-Popescu, Lorena (2008): Measures of compliance with sustainable development objectives adopted by Romania in the pre-and post-accession.

Duduiala-Popescu, Lorena (2009): The prospects for Romania and state of the conduct ISPA Program.

Engbom, Niklas and Moser, Christian (2018): Earnings Inequality and the Minimum Wage: Evidence from Brazil.

Epstein, Brendan and Mukherjee, Rahul and Finkelstein Shapiro, Alan and Ramnath, Shanthi (2020): Trends in aggregate employment, hours worked per worker, and the long-run labor wedge.

Escudero, Verónica (2009): Effects of the crisis on the financial sector: Trends and policy issues. Published in: International Labour Office (ILO), IILS Discussion Paper Series No. No. 197 (2009)

Estrada, Fernando (2010): Devouring the Leviathan: fiscal policy and public expenditure in Colombia.

Estrada, Fernando (2011): The power to tax. Published in: Journal Economic Research Guardian , Vol. I, No. 1 (6 September 2011): pp. 1-14.

Estrada, Fernando (2010): The power to tax: a lecture of Hayek.

Estrada, Fernando (2010): The progressive tax.

Fatouros, Nikos (2024): Economic Impact of Natural Disasters Under the New Normal of Climate Change: The Role of Green Technologies.

Fedotenkov, Igor (2018): Corruption vs reforms: Why do voters prefer the former?

Fioramanti, Marco and Waldmann, Robert J. (2017): The Econometrics of the EU Fiscal Governance: is the European Commission methodology still adequate? Forthcoming in: Rivista Internazionale di Scienze Sociali

Foster, John (2018): The Consumption Function: A New Perspective.

Friesenbichler, Klaus and Glocker, Christian (2017): Tradability and productivity growth differentials across EU member states.

Ftiti, Zied and Guesmi, Khaled and Nguyen, Duc Khuong and Teulon, Frédéric (2014): Modeling inflation shifts and persistence in Tunisia: Perspectives from an evolutionary spectral approach. Published in: Applied Economics , Vol. 47, No. 57 (6 August 2015): pp. 6200-6210.

Furceri, Davide and Karras, Georgios (2010): Tax Design in the OECD: A test of the Hines-Summers Hypothesis.

Furceri, Davide and Zdzienicka, Aleksandra (2011): How costly are debt crises?

Fusari, Angelo i (2015): Across the crises of modern capitalism.

Gabriel, Ricardo Duque and Pessoa, Ana Sofia (2020): Adopting the Euro: a synthetic control approach.

Gani, Mohammad Osman (2003): Foundations of Economic Science. Published in: (19 August 2003): pp. 1-272.

Gavresi, Despina and Litina, Anastasia (2021): Past Exposure to Macroeconomic Shocks and Populist Attitudes in Europe.

Gavresi, Despina and Litina, Anastasia (2021): Past Exposure to Macroeconomic Shocks and Populist Attitudes in Europe.

Georgescu, George (2013): Public debt, sovereign risk and sustainable development of Romania. Published in: Elsevier Procedia Economics and Finance , Vol. 8, No. 1st International Conference 'Economic Scientific Research - Theoretical, Empirical and Practical Approaches', ESPERA 2013 (May 2014): pp. 353-361.

Gerdes, William (2013): Adam Smith and the Great Deceleration in the U,S. Economy. Published in: The American Economist No. Fall 2013

Gharleghi, Behrooz (2019): Economic integration and macroeconomic shocks in Eurasia.

Ghosh, Saibal (2001): Financial Stability and Public Policy: An Overview. Published in: Reserve Bank of India Occasional Papers No. 1 (January 2001): pp. 109-131.

Gudum, Melis (2021): Growth Forecasts vs. Realizations: The Role of Stimulus and Stringency Measures during the Pandemic.

Gulam Hassan, Mohamed Aslam (2012): Financial crisis - US versus Asian. Factors and policy response F.

Gupta, Avnesh Kumar (2014): Inclusive Growth Policy: An Analysis of Performance of Indian Government During Eleventh Five Year Plan. Published in: International Journal of Business, Management & Social Sciences , Vol. III, No. 05 (I) (1 January 2014): pp. 13-22.

Gurgul, Henryk and Lach, Łukasz (2012): Two deficits and economic growth: Case of CEE countries in transition. Published in: Managerial Economics , Vol. 12, (2012): pp. 79-108.

Haider, Adnan and Khan, Safdar Ullah (2007): Does Volatility in Government Borrowing Leads to Higher Inflation? Evidence from Pakistan. Published in: Journal of Applied Economic Sciences , Vol. 2008, No. 5 (4 July 2008): pp. 187-202.

Halkos, George (2012): The impact of government expenditure on the environment: An empirical investigation.

Halkos, George and Paizanos, Epameinondas (2014): Exploring the effect of economic growth and government expenditure on the environment.

Harashima, Taiji (2023): Numerical Simulation of an Endogenously Growing Economy and Its Balanced Growth Path.

Harashima, Taiji (2023): Numerical Simulations of How Economic Inequality Increases in Democratic Countries.

Harashima, Taiji (2018): Do Households Actually Generate Rational Expectations? “Invisible Hand” for Steady State.

He, Yijun and Barnett, William A. (2006): Existence of bifurcation in macroeconomic dynamics: Grandmont was right.

Heise, Arne (2019): Post-Keynesian Economics - Challenging the Neo-Classical Mainstream. Published in: Efil Journal of Economic Research , Vol. 2, No. 8 (2019): pp. 8-29.

Herte, Anamaria Diana (2017): SMEs and Start-Ups. Importance and Support Policies in European Union and Romania. Published in: Proceedings of the 8th Conference of Doctoral Students in Economic Sciences, December 2017, Oradea No. 5 (2 December 2017): pp. 56-60.

Ioannidis, Yiorgos (2013): The peculiar distributional character of the Greek taxation system (1995‐2008) and the reform that never took place.

Isaacs, Gilad (2014): The myth of “neutrality” and the rhetoric of “stability”: macroeconomic policy in democratic South Africa.

Jayasooriya, Sujith (2020): Macroeconometric Approach: Optimal Taxation Policies for Economic Growth in Emerging Asia.

Jayasooriya, Sujith (2020): Movement of Exchange Rate on Balance-of-Payments Constrained Growth in South Asia: Panel ARDL.

Jean-Bernard, Chatelain and Kirsten, Ralf (2014): A finite set of equilibria for the indeterminacy of linear rational expectations models.

Jerzmanowski, Michal and Cuberes, David (2011): Medium Term Growth: The Role of Policies and Institutions. Published in:

Jiranyakul, Komain (2009): Relationship among Money, Prices and Aggregate Output in Thailand. Published in: Empirical Economics Letters , Vol. 8, No. 11 (2009): pp. 1063-1071.

Jonung, Lars (2004): To be or not to be in the euro? Benefits and costs of monetary unification as perceived by voters in the Swedish euro referendum 2003. Published in: The Cato Journal , Vol. 24, No. numbers 1-2 (2004): pp. 123-149.

Joya, Omar (2011): Macroeconomic instability in Afghanistan: causes and solutions.

Judzik, Dario (2014): Heterogeneous labor demand: sectoral elasticity and trade effects in the U.S., Germany and Sweden.

Kakarot-Handtke, Egmont (2011): Beginning, crises, and end of the money economy.

Kamal, Mona (2011): Bayesian Estimation of Dynamic Stochastic General Equilibrium Model Using UK Data.

Kamal, Mona (2010): Empirical Investigation of Fiscal Policy Shocks in the UK. Published in: The Empirical Economics Letters , Vol. Volume, No. Number 4

Kanao, Koji and Hamori, Shigeyuki (2010): The size of the underground economy in Japan.

Kang, Wensheng and Ratti, Ronald A. (2013): Oil shocks, policy uncertainty and stock market return. Published in: Journal of International Financial Markets, Institutions & Money No. 26 (2013): pp. 305-318.

Kang, Wensheng and Ratti, Ronald A. (2013): Structural oil price shocks and policy uncertainty. Published in: Economic Modelling No. 35 (2013): pp. 314-319.

Kazi Abdul, Mannan and Khandaker Mursheda, Farhana (2023): The new fiscal sociology: a study of universal self-Assessment taxpayers in Bangladesh. Published in: The Cost and Management , Vol. 51, No. 1 (2023): pp. 22-37.

Kerényi, Ádám (2012): Need for rethinking of the Hungarian fiscal and monetary policy. Published in: Crisis Aftermath: Economic policy changes in the EU and its Member States, Conference Proceedings, Szeged, University of Szeged , Vol. ISBN 9, (2012): pp. 234-241.

Khan, Dr. Muhammad Irfan and Mehar, Dr. Muhammad Ayub and Iqbal, Dr. Athar Iqbal (2015): Development Financing and Economic Governance: Analysis of the Liquidity Crisis and Circularity Debts in Pakistan. Published in: Journal of Business Studies-JBS , Vol. 12, No. 2 (December 2016): pp. 1-24.

Kim, Minseong (2020): Re-assessing New Keynesian paradox of flexibility.

Kitov, Ivan and Kitov, Oleg (2008): The driving force of labor force participation in developed countries.

Knolle, Julia (2020): Prosperity in a Low Interest Environment. Published in:

Koshy, Perumal (2023): Unleashing Sustainable Entrepreneurship: Enterprise Ecosystem for Inclusive Growth and Formalization.

Kowalski, Tadeusz (2013): Globalization and Transformation in Central European Countries: The Case of Poland. Published in: Poznan University of Economics Press (2013): p. 1.

Kozhurin, Fedir (2011): Supramacroeconomics: the newest management technology.

Kuklik, Michal (2010): Health insurance reform and bankruptcy.

Kumar, Surender and Managi, Shunsuke (2009): Productivity and Convergence in India: State Level Analysis.

Kyriazis, Nicholas and Economou, Emmanouel/Marios/Lazaros (2016): The Memornada trap and almost fall of the Greek economy.

LEUNG, K. Y. Charles and TANG, C. H. Edward (2011): Comparing two financial crises: the case of Hong Kong real estate markets.

Labintan, Adeniyi Constant (2010): Evaluation of The Necessary of Agriculture Public Expenditure for Poverty Reduction and Food Security in Benin.

Ledenyov, Dimitri O. and Ledenyov, Viktor O. (2016): Digital DNA of economy of scale and scope.

Ledenyov, Dimitri O. and Ledenyov, Viktor O. (2015): General information product theory in economics science.

Ledenyov, Dimitri O. and Ledenyov, Viktor O. (2015): Information money fields of cyclic oscillations in nonlinear dynamic economic system.

Ledenyov, Dimitri O. and Ledenyov, Viktor O. (2016): Precise measurement of macroeconomic variables in time domain using three dimensional wave diagrams.

Levy, Daniel and Mayer, Tamir and Raviv, Alon (2020): Academic Scholarship in Light of the 2008 Financial Crisis: Textual Analysis of NBER Working Papers.

Liu, Tao-Xiong and Hu, An-Gang and Zhou, Bi-Hua (2011): Defense Expenditure and Economic Growth under External Predation.

Lyócsa, Štefan and Výrost, Tomáš and Baumöhl, Eduard (2011): Unit-root and stationarity testing with empirical application on industrial production of CEE-4 countries.

Mackiewicz, Michał (2008): Determinants of Cyclicality of Fiscal Surpluses in The OECD Countries.

Mackiewicz, Michał (2005): Making The Stability Pact More Flexible: Can It Lead to Procyclical Fiscal Policies? Published in: Fiscal Studies , Vol. 28, No. 2 (2007): pp. 251-268.

Mackiewicz, Michał and Krajewski, Piotr (2007): On The Mechanisms of Achieving Fiscal (Un)Sustainability – The Case of Poland. Forthcoming in: Empirica (1 April 2009)

Magazzino, Cosimo (2010): Wagner's law and augmented Wagner's law in EU-27. A time-series analysis on stationarity, cointegration and causality. Published in: C.R.E.I. Working Papers No. 05 (October 2010)

Maixé-Altés, J. Carles and Iglesias, Emma M. (2015): Banking, Currency, Stock Market and Debt Crises: Revisiting Reinhart & Rogoff Debt Analysis in Spain, 1850-1995.

Marina, Azzimonti and Marco, Battaglini and Stephen, Coate (2010): On the Case for a Balanced Budget Amendment to the U.S. Constitution.

Mehmood, Shahid (2021): The Economic Consequences of Pandemics.

Mejeha, Remy O. and Nwachukwu, Ifeanyi N. (2008): Microfinance Institutions in Nigeria.

Mencinger, Jernej and Aristovnik, Aleksander (2014): Fiscal Policy Stance Reaction to the Financial/Economic Crisis in the EMU: The Case of Slovenia. Published in: Zagreb international review of economics & business , Vol. 17, No. SCI (December 2014): pp. 17-30.

Mihalyi, David and Mate, Akos (2019): Text-mining IMF country reports - an original dataset.

Mikek, Peter (2009): Does trade integration contribute to synchronization of shocks in Europe?

Miyazaki, Koichi (2023): Efficiency-enhancing role of mandatory leave policy in a search-theoretic model of the labor market.

Moahmed Hassan, Hisham and Haleeb, Amin (2020): Modelling GDP for Sudan using ARIMA.

Moser, Christian and Olea de Souza e Silva, Pedro (2019): Optimal Paternalistic Savings Policies.

Mujahid, Hira and Alam, Shaista (2016): Institutions, human capital, and economic Output volatility: A Case of Open Economies. Published in: Pakistan Journal of Applied Economics No. Special

Mujahid, Hira and Uddin, Imam and Tabash, Mosab and Ayubi, Sharique and Asad, Muhammad (2021): INFLATION VOLATILITY, QUALITY OF INSTITUTIONS, AND OPENNESS. Published in: Academy of Accounting and Financial Studies Journal , Vol. 25, No. 7 (July 2021)

Naqvi, Nadeem (2010): International economic theory and politics: world structure before, during and after the early 21st Century Crisis.

Nguyen Van, Phuong (2014): Sources of exchange rate fluctuation in Vietnam: an application of the SVAR model.

Nishad, Pankaj Nishad (2018): Effectiveness of Japan’s Zero and Negative Interest rate Policy.

Norbu, Nyingtob (2017): Diagnosing the dutch disease: Are the symptoms present in Bhutan?

Nwaobi, Godwin (2019): Emerging African Economies:Digital Structures, Disruptive Responses and Demographic Implications.

Nwaobi, Godwin (2011): Macroeconomic fluctuations,regime switching(structural breaks) and impulse responses:Nigerian evidence.

Ojo, Marianne (2024): Recent Developments in Financial Stability, Macroprudential Arrangements, and Shadow Banking. Published in: Cambridge Scholars Publishers

Ojo, Marianne (2015): Revisions to the simpler approaches to operational risk: the need for enhanced disclosures and risk sensitive measures. Forthcoming in: Bank for International Settlements

Osinubi, Tolulope and Asongu, Simplice (2020): Globalization and Female Economic Participation in MINT and BRICS countries. Forthcoming in: Journal of Economic Studies

PINSHI, Christian P. (2020): Central Bank of Congo : Four Factors Affecting Monetary Policy Effectiveness.

PINSHI, Christian P. (2018): Macroeconomic effects of falling commodity price: Evidence from Democratic Republic of the Congo.

Paccagnini, Alessia (2017): Dealing with Misspecification in DSGE Models: A Survey.

Parekh, Saahil and Pandey, Manish (2012): Growth Accelerations: The Role of Government Expenditures and Revenues.

Peroni, Chiara and DiMaria, Charles Henri (2012): A new unit labour cost changes decomposition four pillars of cost competitiveness recovery.

Pham, Binh T. and Sala, Hector and Silva, José I. (2018): Growth and real business cycles in Vietnam and the ASEAN-5. Does the trend shock matter?

Phiri, Andrew (2013): An Inquisition into Bivariate Threshold Effects in The Inflation-Growth Correlation: Evaluating South Africa’s Macroeconomic Objectives.

Plammoottil, George and Saraogi, Ravi (2007): The market for development.

Popa, Catalin C. (2007): An overview of the new architecture for the international monetary system. Published in: Scientific Bulletin of Naval Academy 'Mircea cel Batran' , Vol. 1, No. ISSN 1454 - 864X (12 December 2007): pp. 403-409.

Popa, Catalin C. (2008): The tendencies in defining an optimum globalization model. Published in: Knowledge Based Organization 2008 International Conference, November 2008, Sibiu, Romania , Vol. 3, No. ISSN 1843-6722 (15 November 2008): pp. 271-277.

Popov, Vladimir (2014): Can Uzbekistan Economy Retain Its High Growth Rates? Scenarios of Economic Development in 2015-30.

Przyłuski, K. Maciej (2014): On Infinite Dimensional Linear-Quadratic Problem with Fixed Endpoints. Continuity Question. Forthcoming in: Internationa Journal of Applied Mathematics and Computer Science , Vol. 24, No. 4 (2014)

Putra, Adhitya (2019): Poverty analysis in the macroeconomic perspective.

Radosevic, Dubravko (2016): Financial Markets and Debt Crisis in European Union: Preventing spillover effects of financial crisis between EU periphery and the eurozone.

Raheem, Aremu Idowu and Ayodeji, Musa Adebiyi (2016): Analysis of the relationship between Oil price, Exchange rate and Stock market in Nigeria.

Reinhart, Carmen and Kaminsky, Graciela and Vegh, Carlos (2004): When it rains, it pours: Procyclical capital flows and macroeconomic policies. Published in: NBER Macroeconomics Annual 2004 (2005): pp. 11-53.

Reinhart, Carmen and Reinhart, Vincent (2009): Fiscal stimulus for debt intolerant countries?

Reinhart, Carmen and Rogoff, Kenneth (2012): Causes of Financial Crises Past and Present: The Role of the This Time is Different Syndrome. Published in: The Occupy Handbook,. New York: Little, Brown and Co (2012)

Ricco, Giovanni and Callegari, Giovanni and Cimadomo, Jacopo (2014): Signals from the Government: Policy Uncertainty and the Transmission of Fiscal Shocks.

Riveros Gavilanes, John Michael (2020): Military Expenditure and Economic Growth: The South American Case.

Ruiz Estrada, M.A. (2009): Measuring the Energy of Economics (Ё): Theoretical Framework.

SAHIBI, YOUNESS and HAMZAOUI, Moustapha (2016): Local fiscal policy and poverty reduction.

SAIBU, Olufemi Muibi and FAKANBI, KEHINDE Ernest and AGBOOLA, Olawode Wasiu (2011): Political dispensation and macroeconomic performance in Nigeria (1970-2009).

Sabaj, Ernil (2018): Cyclical Behavior of Fiscal Policy in the Western Balkans.

Saito, Yuta (2016): Dynamic Bargaining over Redistribution with Endogenous Distribution of Political Power.

Schiliro, Daniele (2017): Governance and institutions for stability and growth in the Eurozone.

Schilirò, Daniele (2016): Rules, Imbalances and Growth in the Eurozone.

Schilirò, Daniele (2011): A new governance for the EMU and the economic policy framework.

Shaikh, Salman (2010): Monetary Policy & Monetary Regime in an Interest Free Economy: An Alternate Approach In Monetary Economics amidst Great Recession.

Shaikh, Salman (2009): Role of Central Bank in Islamic Finance. Published in: Journal of Independent Studies & Research , Vol. 1, No. 2 (1 June 2010)

Shobande, Olatunji and Shodipe, Oladimeji and Simplice, Asongu (2019): Global Shocks Alert and Monetary Policy Responses.

Siregar, Reza and Wihardja, Monica (2013): Fragile Balance of Payment in Indonesia in the Midst of Recent Global Economic Uncertainties.

Siregar, Reza and Wiranto, Willeam (2009): In the Midst of Global Financial Slowdown: the Indonesian Experience.

Siyan, Peter and Adegoriola, Adewale E. and Adolphus, James Ademola (2016): Unemployment and Inflation: Implication on Poverty Level in Nigeria. Published in: Journal of Development and Society , Vol. 3, No. 4 (10 November 2016): pp. 17-45.

Soldatos, Gerasimos T. (2015): Global Recession: A Money Gift Cure Possibly. Published in: American Journal of Economics, Finance and Management , Vol. 1, No. 5 (1 October 2015): pp. 574-578.

Solis-Garcia, Mario (2017): Yes we can! Teaching DSGE models to undergraduate students.

Spiliopoulos, Leonidas (2010): The determinants of macroeconomic volatility: A Bayesian model averaging approach.

Stauvermann, Peter Josef and Kumar, Ronald (2013): Financing human capital development via government debt: a small country case using overlapping generations framework.

Stone, Joe A. and Jacobs, David (2019): Presidential party affiliation and electoral cycles in the U.S.economy: evidence from party changes in adjacent terms.

Sunakawa, Takeki (2011): Efficiency in a search and matching model with right-to-manage bargaining.

Syed, Shabib Haider and Majeed, Muhammad Tariq (2007): Public Policy and Private Investment in Pakistan. Published in: The Forman Journal of Economic Studies , Vol. 3, (2007): pp. 100-110.

Teka, Henok Gebremedhin (2014): Determinants and Impediments of FDI inflows in Ethiopia- A Firm Level Investigation. Forthcoming in:

Tóth, Csaba G. (2017): Own or inherited? The effect of national fiscal rules after changes of government. Forthcoming in:

Valdivia Coria, Joab Dan and Valdivia Coria, Daney David (2019): Microfoundations of a Monetary Policy Rule, Poole's Rule. Published in:

Vardhan, Harsh and Vij, Madhu and Sinha, Pankaj (2013): Insight of Indian sector indices for the post subprime crisis period: a vector error correction model approach.

Vespignani, Joaquin L. and Yanotti, Maria Belen (2020): COVID-19 and Tasmanian Youth Unemployment: A Policy Recommendation.

Veysov, Alexander and Stolbov, Mikhail (2011): The impact of financial sector on innovation activity: theoretical background and new evidence from russian banking sector.

Vîntu, Denis (2022): Model of Government Ponzi Games and Debt Dynamics Under Uncertainty. Published in: Sochi Journal of Economy , Vol. I, No. 2022. (2) (2022)

Wu, Cheng (2016): New Result in Consumption Theory: Change in Savings and Income Growth – Nineteen Years Later.

Yamamura, Eiji (2015): Long-term effect on suicidal thoughts of graduating during a recession.

Zdravka, Todorova (2009): Employer of Last Resort Policy and Feminist Economics: Social Provisioning and Socialization of Investment.

Zhao, Kai (2011): Social security and the rise in health spending: a macroeconomic analysis.

de la Fonteijne, Marcel R. (2014): The (F)Laws of Piketty’s Capitalism: A Fundamental Approach.

de la Fonteijne, Marcel R. (2015): Jones on Piketty's r>g: A critique.

doğru, bülent (2013): Seigniorage Revenue and Inflation Tax in Turkish economy.

French

ANDRIANADY, Ravahiny Josué (2021): Note de conjoncture Madagascar second trimestre 2021.

BENYOUB, Mohammed (2018): L’impact De L’investissement Des Revenus Pétroliers Sur La Croissance, L’inflation Et Le Chômage : Cas D’Algérie (2000-2015).

Buda, Rodolphe (1995): Abrégé de comptabilité nationale.

Charles, Sebastien and Dallery, Thomas (2013): L’expiation par l’austérité ou la stratégie de l’échec : une interprétation post-keynésienne de la crise des pays périphériques en zone euro.

Landais, Bernard (2011): Conduite et efficacité de la politique économique : les leçons de la crise.

PINSHI, Christian P. (2020): Préserver l’Économie à l’Ere de la COVID-19 : Une Pensée Optimale à la Fujita.

PINSHI, Christian P. (2021): Repenser le modèle à correction d’erreurs dans l’analyse macroéconométrique : Une revue.

Pinshi, Christian P. (2018): Les effets macroéconomiques de la chute des cours des produits de base: Evaluation sur la République démocratique du Congo. Published in: International Journal of Innovation and Applied Studies , Vol. 24, No. ISSN 2028-9324 (1 August 2018): pp. 167-180.

Recuero Virto, Laura and Bacache, Maya (2009): TIC et croissance économique. Published in: Les Dilemmes de l'Economie Numérique, FYP Editions (2009)

Trabelsi, Mohamed Ali and Ahmed, Salah (2020): Chocs externes, Institutions démocratiques et Résilience économique.

German

Glötzl, Erhard (2023): Theorie der kapitalismusbedingten Finanzkrisen - Tractatus logico oeconomicus.

Heise, Arne (2019): Postkeynesianismus Ein heterodoxer Ansatz auf der Suche nach einer Fundierung. Published in: List Forum für Wirtschafts- und Finanzpolitik , Vol. 44, No. 4 (April 2019): pp. 867-888.

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.

Greek

Ioannidis, Yiorgos (2013): Ο ιδιότυπός διανεμητικός χαρακτήρας του ελληνικού φορολογικού συστήματος (1995-2008) και η αναγκαία μεταρρύθμιση που ποτέ δεν έγινε. Published in: ΣΥΓΧΡΟΝΑ ΘΕΜΑΤΑ , Vol. 120, No. Ιανουάριος - Μάρτιος 2013 (January 2013): pp. 61-68.

Indonesian

Mansur, Alfan and Al Arif, Munafsin (2017): Dampak Kepemilikan Asing terhadap Pasar Surat Berharga Negara (SBN) Indonesia. Published in: Buku Penguatan Fundamental Sektor Keuangan Dalam Mendukung Stabilitas Perekonomian , Vol. -, No. - (June 2017): pp. 117-139.

Italian

Cavalieri, Duccio (2009): Neoliberismo, interventismo, keynesismo. Alcune considerazioni sulla crisi economica odierna.

Greco, Maria Giuseppina and Torrisi, Gianpiero (2009): UN’ANALISI DEI FLUSSI FINANZIARI DELLA REGIONE SICILIA.

Pica, Federico and Villani, Salvatore (2010): Le scelte tributarie del federalismo fiscale. Implicazioni per le Regioni del Mezzogiorno. Published in: Rivista economica del Mezzogiorno , Vol. Anno X, No. 4 (December 2010): pp. 839-861.

Russo, Alberto (2017): Dopo il keynesismo: teorie economiche per una (non-) politica economica. Published in: Scienza & Politica , Vol. XXIX, No. 57 (18 December 2017): pp. 85-103.

SALERNO, Nicola Carmine (2013): Il Pay-as-You-Go in Europa attraverso i Programmi di Stabilità. Le risorse che gli attivi/occupati dovranno mettere a disposizione per finanziare il welfare.

SALERNO, Nicola Carmine (2013): La demografia dell’Italia e delle Regioni italiane. Uno sguardo alle proiezioni a medio-lungo termine.

Salerno, Nicola Carmine (2013): Pensionamento flessibile e (ri)equilibrio tra generazioni.

Schilirò, Daniele (2014): Crescita e debito pubblico. L’economia italiana e la crisi.

Schilirò, Daniele (1999): Sviluppo economico e occupazione.

Travaglini, Giuseppe (2010): Mezzogiorno e Italia. Produttività, accumulazione e divario territoriale. Published in: Mezzogiorno una questione nazionale, a cura di G. Altieri e E. Galossi, ed. Ediesse, Roma (April 2010): pp. 39-96.

Polish

Augustynowicz, Paweł (2005): Stabilność gospodarcza Rosji w najbliższej przyszłości. Published in: Annales Universitatis Mariae Curie-Sklodowska , Vol. XL, No. Sectio H Oeconomia (2006): pp. 219-232.

Romanian

Zaman, Gheorghe and Georgescu, George (2016): Stabilitatea financiară a României. Determinanți și proiecții pentru următoarele două decenii. Published in:

Russian

Daskovskiy, Vadim and Kiselyov, Vladimir (2011): О мере и формах государственного участия. Published in: Экономист (The Economist (Russian) No. No.8 (August 2011): pp. 27-50.

Daskovskiy, Vadim and Kiselyov, Vladimir (2013): О неоиндустриальной модели и стратегии развития экономики. Published in: Экономист (The Economist (Russian) No. 6 (June 2013): pp. 34-49.

Daskovskiy, Vadim and Kiselyov, Vladimir (2013): Основы новой стратегии, модели и политики неоиндустриальной реконструкции. Published in: Экономист (Economist (Russian) No. 1 (January 2014): pp. 32-49.

Daskovskiy, Vadim and Kiselyov, Vladimir (2014): Об управлении экономическим ростом и развитием. Published in: Инвестиции в России No. 2 (February 2014): pp. 3-14.

Maslov, Alexander (2012): Исследование возможностей и диапазонов применения методологии экономико-математического моделирования на основе тензорного анализа денежного поля: теоретические и методологические вопросы взаимодействия финансового и реального сектора экономики. Published in: TERRA Economicus , Vol. 10, No. 1 (April 2012): pp. 8-13.

Popov, Vladimir (2014): СОХРАНИТ ЛИ ЭКОНОМИКА УЗБЕКИСТАНА ВЫСОКИЕ ТЕМПЫ РОСТА? СЦЕНАРИИ РАЗВИТИЯ В 2015-30гг.

Serbian

Bukvić, Rajko (2012): Вашингтонски консензус и деиндустријализација источне и југоисточне Европе. Published in: Нова српска политичка мисао (New Serbian Political Thought) , Vol. 20, No. 1-2 (2012): pp. 7-28.

Bukvić, Rajko (2011): Transformaciona kriza i perspektive privrede Srbije u epohi globalizacije i finansijske krize. Published in: Svetska finansijska kriza - izazovi i strategija, Beograd, 2011 (2011): pp. 139-174.

Spanish

Calabria, Alejandro A. (2008): La contribución del aumento del precio de las materias primas para las cuentas fiscales y el sector externo.

Estrada, Fernando (2010): Política tributaria y economía fiscal La posición Hayek (1959, 1979) con comentarios de Brenann/Buchanan (1980).

Estrada, Fernando (2006): Políticas sociales y teoría de contratos.

Estrada, Fernando and Trujillo, Marlyn Tatiana and Pardo, Diego (2018): Política Fiscal, Ingresos y Desigualdad en Colombia (1990-2015).

Gachet, Ivan and Girjalva, Diego and Rivadeneira, Ana and Uribe, Carlos (2007): Un Marco de Consistencia Macroeconómica para la Economía Ecuatoriana: Un Regreso a los Fundamentos. Published in: Cuestiones Económicas , Vol. 23, No. 3 (2007): pp. 5-65.

Mesa Callejas, Ramon Javier and Lopez Gonzalez, Mauricio and Gonzalez Henao, Jenifer (2009): Medición y características del mercado laboral del Municipio de Rionegro, Antioquia. Published in: (1 November 2009): pp. 1-136.

Mora-Alfaro, Jorge (2006): Desarrollo Territorial Rural en America Latina: Discurso y Realidades.

Sour, Laura (2007): Evaluando al gobierno electrónico: avances en la transparencia de las finanzas públicas estatales. Published in: Economía, Sociedad y Territorio , Vol. VI, No. 23 (2007): pp. 613-654.

Valdivia Coria, Joab Dan and Valdivia Coria, Daney David (2019): Microfundamentos de una Regla de Política Monetaria, Regla de Poole.

Turkish

Aras, Osman Nuri and Erdoğan, Eren and Kök, Rukiye (2014): Türkiye’de Uygulanan Orta Vadeli Programın Ödemeler Dengesi Tahminleri Doğrultusunda Performansının Analizi. Published in: Finans Politik & Ekonomik Yorumlar , Vol. 595, No. 51 (2014): pp. 7-24.

Bilgili, Faik (2017): Piyasa ekonomisine geçiş süreci ve sonrasında Türkiye'de GINI katsayılarının analizi: Alternatif GINI formülü yaklaşımı.

Bilgili, Faik (1999): Türkiye'de bütçe açıklarının makro ekonomik sonuçları. Published in: Journal of Faculty of Economics and Administrative Sciences, Erciyes University No. 15 (1999): pp. 153-169.

Dogru, Bülent and Recepoglu, Mursit (2013): TÜRKİYE’DE HİSSE SENEDİ FİYATLARI VE DÖVİZ KURU ARASINDA DOĞRUSAL VE DOĞRUSAL OLMAYAN EŞ BÜTÜNLEŞME İLİŞKİSİ.

ERMİŞOĞLU, ERGUN and KANIK, BİROL (2013): Türkiye Ekonomik Politika Belirsizliği Endeksi.

Kibritçioğlu, Aykut (2011): Avro Bölgesi Ülkelerindeki Güncel Borç Krizi. Published in: İktisat ve Toplum Dergisi No. 10 (25 August 2011): pp. 30-41.

Kibritçioğlu, Aykut (2010): Küresel Finans Krizinin Türkiye'ye Etkileri.

Unal, Umut (2015): Özal Dönemi Ekonomisine Genel Bir Bakış. Published in:

toprak, metin (2002): Türk Ekonomisinde Modernleşme Krizleri: Menderes Dönemi ve Planlı Dönem Ekonomik Krizleri. Published in: Türkoloji ve Türk Tarihi Araştırmaları III , Vol. 45, No. 2002/45 (2002): pp. 557-576.

Ukrainian

Stepanenko, Bohdana (2011): Фінансовий механізм розвитку зеленого бізнесу в Європі. Published in: Економічний простір , Vol. 52/1, (September 2011): pp. 305-321.

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