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Munich Personal RePEc Archive

Items where Subject is "E66 - General Outlook and Conditions"

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Number of items at this level: 84.

A

Abdala Rioja, Yamile E (2011): All things considered: the interaction of the reasons for the financial crisis.

Acheampong, Theophilus (2013): Africa’s Economic Growth: A Fallacy of Numbers? Published in: African Agenda , Vol. 16, No. 4 (2013)

Allaoui, Elhassen and Tidjani, Chemseddine and Lacheheb, Miloud (2015): “Middle Income Trap”; the position of Algerian economy: a comparative analysis overview. Published in: International Journal of Economics, Finance and Management Sciences , Vol. Vol. 3, No. No. 4 (17 June 2015): pp. 337-346.

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.

Aslamazishvili, Nana (2013): How innovative is Georgian economy? Forthcoming in: ERENET Profile : pp. 21-23.

Ayoki, Milton (2010): Response of the Financial Markets to the European Central Bank’s Policy Announcements during the Subprime and Global Financial Crisis.

Ayoki, Milton (2011): Small is beautiful but vulnerable: the Swazi economy aftermath of the global financial crisis. Published in:

B

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

Bespalova, Olga (2018): Forecast Evaluation in Macroeconomics and International Finance. Ph.D. thesis, George Washington University, Washington, DC, USA.

Bob, Constantin and Grigorescu, Adriana (2006): Industry structure analysis. A case of Romania. Published in: Conference proceedings No. ISBN 86-83803-21-X (2006)

C

Canares, Michael (2009): Macro-economic trends and their impacts on forests and forestry in Asia and the Pacific, outlook to 2020. Published in: (2009): pp. 1-99.

Cebula, Richard (2004): Presidential Approval Determinants. Published in: Review of Business Research , Vol. 5, No. 3 (12 October 2005): pp. 32-38.

Choudhary, M. Ali and Pasha, Farooq and Waheed, Mohsin (2020): Measuring Economic Policy Uncertainty in Pakistan.

D

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.

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.

Desogus, Marco and Casu, Elisa (2021): A survey on macroeconomic data and trends in the Eurozone and a control dashboard model based on the KAM and Nekhoroshev theorems and the Hénon attractor. Published in: Journal of Academy of Business and Economics , Vol. 21, No. 3 (2021): pp. 67-85.

Dill, Alexander and Gebhart, Nicolas (2016): Redundancy, Unilateralism and Bias beyond GDP – results of a Global Index Benchmark.

Dub, Bohdana (2017): Проблеми ефективного забезпечення економічної безпеки підприємства в умовах нових геополітичних викликів. Published in: Herald of Khmelnytskyi national university / Вісник Хмельницького національного університету No. 5 (2017): pp. 52-62.

E

Ekpeyong, Paul (2023): Econometric Analysis of the impact of inflation, unemployment, and economic growth on poverty reduction: A novel application of Asymmetric technique. Forthcoming in: Asian journal of economics and empirical research , Vol. 10, No. 1

El-Baz, Osama (2016): Estimating Egypt’s Potential Output: A Production Function Approach.

G

Glötzl, Erhard (2016): Continuous time, continuous decision space prisoner’s dilemma: A bridge between game theory and economic GCD-models.

Goldin, Ian and Koutroumpis, Pantelis and Lafond, François and Winkler, Julian (2020): Why is productivity slowing down? Published in: Journal of Economic Literature

Goldin, Ian and Koutroumpis, Pantelis and Lafond, François and Winkler, Julian (2020): Why is productivity slowing down?

Gopalakrishnan, Ambili (2011): Employability and transition to labour market in emerging economies: An Indian perspective on Higher education.

Gould, David and Loening, Josef L. (2008): Central America's Macroeconomic Environment and the Role of the Investment Climate under Free Trade. Published in: Economic Sector Work, Finance and Private Sector Unit, Poverty Reduction and Economic Management Unit, Latin America and the Caribbean Region , Vol. Report, (15 September 2008): pp. 1-15.

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

Gyasi, Genevieve (2020): The Impact of Fiscal Deficit on Economic Growth: Using the Bounds Test Approach in The Case of Morocco.

I

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

J

Jakhotiya, Girish (2019): Directed social economics : China's complicated growth story.

K

Kang, Wensheng and Ratti, Ronald A. and Vespignani, Joaquin L. (2019): Revising the Impact of Global Commodity Prices and Global Stock Market Volatility Shocks: Effects across Countries.

Kebalo, Léleng (2017): Incidence de l'ouverture économique et de la libéralisation financière des pays de la Communauté Économique des États de l'Afrique de l'Ouest sur leurs activités économiques.

Kim, Steven (2016): Complex Factors Behind Misguided Policies in Socioeconomics: From Mass Migration and Persistent Alienation to Rampant Crime and Economic Malaise. Published in: Journal of Economic and Social Thought , Vol. 3, No. 3 (September 2016): pp. 376-399.

Kitchen, John and Chinn, Menzie (2010): Financing U.S. debt: Is there enough money in the world – and at what cost?

Kitchen, John and Monaco, Ralph (2003): Real-Time Forecasting in Practice: The U.S. Treasury Staff's Real-Time GDP Forecast System. Published in: Business Economics , Vol. 38, No. 4 (October 2003): pp. 10-19.

Kohnert, Dirk (2018): Togo - 2017: domestic politics, foreign affairs and socio-economic development. Forthcoming in: Africa Yearbook , Vol. 14, (November 2018)

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

Koumparoulis, Dimitrios Nikolaou (2014): BRICs versus Other Emerging Economies: The Case of India. Published in: International Journal of Advanced Multidisciplinary Research and Review , Vol. 2, No. 2 (2014): pp. 115-121.

Kucera, Jakub (2015): Russia's current economic conundrum. Published in: Vestnik: The Journal of Russian and Asian Studies No. Issue 17, Spring 2015 (21 April 2015)

L

LaGarda, Guillermo and Manzano, Osmel and Prat, Jordi (2015): The Legacy of the Crisis: Policy Options in a Favorable Environment. Published in: IDB Publications (February 2015): pp. 1-62.

Lim, Shu Yi and Sek, Siok Kun (2014): Examining the volatility of exchange rate: Does monetary policy matter?

M

Mahmood, Haroon and Rehman, Kashif-ur- (2013): An Analysis of Macroeconomic State and Prospects of Pakistan during Recent Global Financial Turmoil.

Mannan, Kazi Abdul and Farhana, Khandaker Mursheda (2014): Rural Household Contribution to the Financial and Capital Market in Bangladesh: A Micro Level Study of Remittances from Italy. Published in: International Journal of Management Sciences and Business Research , Vol. 3, No. 10 (1 November 2014): pp. 112-122.

Mat Isa, Norshamshina and Abdullah, Azrul and Hassan, Zunairah (2012): Relationship between Macroeconomic Variables and Malaysia Available Shariah Indices. Published in: Humanities, Science and Engineering (CHUSER), 2012 IEEE Colloquium , Vol. 134578, No. 978-1-4673-4615-3 (3 December 2012): pp. 227-232.

Medel, Carlos (2015): Producers, Politicians, Warriors, and Forecasters: Who's Who in the Oil Market? Published in: Nottingham Economic Review , Vol. 15, (March 2015): pp. 28-30.

Medel, Carlos A. (2015): Geopolitical Tensions, OPEC News, and Oil Price: A Granger Causality Analysis.

Mesa Callejas, Ramon Javier and Rhenals Monterrosa, Remberto (2003): La economia colombiana en el 2003 mejora pero a un ritmo lento. Perspectivas para el 2004. Published in: Perfil de Coyuntura Economica No. No. 2 (1 October 2003): pp. 5-20.

Mesa Callejas, Ramon Javier and Rhenals Monterrosa, Remberto and Londoño T., Carlos Mario (2003): La desinflación reciente en Colombia y los riesgos de la política monetaria. Published in: Perfil de Coyuntura Economica No. No. 1 (1 February 2003): pp. 25-38.

Mogaji, Peter Kehinde (2018): Some Stylised Facts for the Economies of Anglophone West Africa and Guinea.

Mogaji, Peter Kehinde (2019): Validity Assessments of International Parity in the ‘Ecozone’: Implications for Monetary Models of Exchange Rate Determination. Published in: International Journal of Entrepreneurship Management Innovation and Development , Vol. 3(1), (2019): pp. 97-131.

Moreno, María Antonia and Pagliacci, Carolina (2010): Análisis de Riesgo Macro-financiero para Venezuela. Published in: Revista BCV , Vol. XIX, No. 2 (September 2013)

N

Naimoli, Antonio (2022): The information content of sentiment indices for forecasting Value at Risk and Expected Shortfall in equity markets.

Naqvi, Nadeem (2009): Structure versus Agency in the Great Deprivation of 21st Century.

Nenovski, Tome (2012): EMU crisis creates regional groupings: are Balkan countries challenged by that? Published in: Regionalni Razvoj i Demografski Tokovi Zemalja Jugoistocne Evrope No. 17 (June 2012): pp. 23-38.

Nenovski, Tome (2011): Facing the crisis and implementing sustainable growth of Macedonian economy by developing small and medium enterprises. Published in: Sustainable Regional Economic Development through SMEs (2011): pp. 132-146.

Nenovski, Tome and Makrevska, Elena (2012): Comparative advantage or sophisticated restrain in the international trade of EU? Forthcoming in: Globalization, Development, Public Policy & Management: A Business Development Perspective

Niermann, Lennart and Pitterle, Ingo A. (2021): The COVID-19 crisis: what explains cross-country differences in the pandemic’s short-term economic impact? Published in: UN Department of Economic and Social Affairs (DESA) Working Papers No. WP 174 (10 August 2021)

Nizar, Muhammad Afdi (2017): Pilar-pilar Kebijakan Fiskal. Published in: APBN Newsletter , Vol. 1, No. 4 (December 2017): pp. 5-9.

Nägele, Johannes (2017): Eine keynesianische Analyse der Beschäftigungswirkung einer Arbeitszeitverkürzung.

O

Okotori, Tonprebofa Waikumo and Ayunku, Peter (2020): The Mundell-Fleming Trilemma: Implications for the CBN and the financial markets.

Ozili, Peterson K (2017): Discretionary Provisioning Practices among Western European Banks. Published in:

P

Pachankis, Yang (2023): Futures or Retail?: The Financial Ambiguities Behind Internet Market. Published in: SunText Review of Economics & Business , Vol. 4, No. 4 (2 October 2023): p. 193.

Peter, Eckley (2015): Measuring economic uncertainty using news-media textual data.

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.

R

Razzak, Weshah (2010): Predicting Instability.

Rosli, Aini Rafiqah (2017): The Relationship Between Hong Leong Bank’s Performance with Leverage and Inflation.

Ruiz, Juan (2004): Causas y consecuencias de la evolución reciente del precio del petróleo. Published in: Banco de España, Boletín Económico (Bank of Spain, Economic Bulletin) No. December (December 2004): pp. 29-45.

Russo, Alberto (2010): Elementi di novità, meccanismi noti e cause di fondo della recente crisi.

Russo, Alberto (2012): Elements of novelty, known mechanisms, and the fundamental causes of the recent crisis.

Russo, Alberto (2012): From the Neoliberal crisis to a new path of development.

Russo, Alberto and Zanini, Adelino (2010): On the expansion of finance and financialisation.

S

Stacey, Brian (2016): The Effects of Non-Existent Property Ownership Rights Within the Electricity Production Sector on Labor Force Participation in the Dominican Republic.

Susanu, Monica (2008): Controversies and Challenges along the Access - Absorption Route of the European Structural Funds.

T

TAGANOV, BORIS (2014): FDI and Long-term Economic Growth in Russia.

Taguchi, Hiroyuki (1998): The sustainability of foreign borrowing in selected ASEAN countries. Published in: The Bulletin of the Graduate School of Social Science of WASEDA University No. 2 (1998): pp. 133-146.

Turhan, Ibrahim M. and Kilinc, Zubeyir (2011): Turkey's response to the global economic crisis. Published in: Insight Turkey , Vol. 13, No. 1 (2011): pp. 37-45.

U

Ubreziová, Iveta and Wach, Krzysztof and Majorová, Martina (2008): Development of small business sector in Slovakia in years 1993-2006. Published in: Folia Oeconomica Stetinensia , Vol. 7, No. 1 (2008): pp. 144-162.

Ugur, Mehmet (2008): Economic implications of Turkish EU membership: the advantages of tying one’s hands.

V

Van Den Hauwe, Ludwig (2017): Monetary Constitutionalism: Some Recent Developments. Forthcoming in: Procesos de Mercado

van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design.

van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design.

van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design.

W

Wahyudi, Imam and Luxianto, Rizky and Iwani, Niken and Sulung, Liyu Adhika Sari (2008): Early Warning System in ASEAN Countries Using Capital Market Index Return: Modified Markov Regime Switching Model. Published in: Indonesian Capital Market Review , Vol. III, No. 1 (January 2011): pp. 41-58.

Wohlrabe, Klaus and Bührig, Pascal (2015): Forecasting Revisions of German Industrial Production.

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