3,405 results
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2. Call for papers and participation
3. Call for papers
4. Raising America’s future: Search for optimal child-related transfers
5. The effect of monetary policy on inflation expectations: Evidence from a financial traders survey
6. Household spending diversity, aggregation, and the value of product variety
7. Detecting statistically significant changes in connectedness: A bootstrap-based technique
8. Decoding market reactions: The certification role of EU-wide stress tests
9. Business cycle synchronization and asymmetry in the European Union
10. Modeling the macroeconomic consequences of natural disasters: Capital stock, recovery dynamics, and monetary policy
11. Revisiting the relation between financial inclusion and economic growth: a global analysis using panel threshold regression
12. Explaining long-term bond yields synchronization dynamics in Europe
13. How do external resources influence a firm's green innovation? A study based on absorptive capacity
14. Does macroprudential policy leak? Evidence from shadow bank lending in EU countries
15. Free trade agreements and domestic value added in exports: An analysis from the network perspective
16. Econometric issues in the estimation of the natural rate of interest
17. A behavioral hybrid New Keynesian model: Quantifying the importance of belief formation frictions
18. Intensity of labor shocks behind the changes in Brazilian hours worked during the pandemic
19. Securitization, shadow banking system and macroprudential regulation: A DSGE approach
20. Structural gravity and the gains from trade under imperfect competition: Quantifying the effects of the European Single Market
21. Misallocation of the immigrant workforce: Aggregate productivity effects for the host country
22. Recent papers
23. Recent papers
24. Recent papers
25. Recent papers
26. On foreign drivers of emerging markets fluctuations
27. Does board diversity in industry-experience boost firm value? The role of corporate innovation
28. The inverted-U effect of inflation on growth: Cross-country evidence
29. Transition risk of a petroleum currency
30. Income inequality as long-term conditioning factor of monetary transmission to bank rates
31. Firms’ responses to foreign demand shocks: Evidence from Indonesia after the global financial crisis
32. The impact of import tariffs on GDP and consumer welfare: A production network approach
33. Human-capital investments as a commitment device
34. Can land misallocation be a greater barrier to development than capital? Evidence from manufacturing firms in Sri Lanka
35. Diligent forecasters can make accurate predictions despite disagreeing with the consensus
36. Wealth distribution and monetary policy
37. How to foresee crises? A new synthetic index of vulnerabilities for emerging economies
38. Has monetary policy fueled the rise in shadow banking?
39. High-speed railway and patent trade in China
40. Robust estimates of vulnerability to poverty using quantile models
41. How does digital finance affect regional innovation capacity? A spatial econometric analysis
42. Idiosyncratic shocks in a currency union: Insights from West Africa
43. Implications of COVID-19 and mitigation measures on gender and the Zimbabwean economy
44. Digital innovation and financial access for small and medium-sized enterprises in a currency union
45. Modelling pandemic risks for policy analysis and forecasting
46. On the identification of the oil-stock market relationship
47. Monetary policy rules and inflation control in the US
48. Corruption and FDI in natural resources: The role of economic downturn and crises
49. Global value chains and external adjustment: Do exchange rates still matter?
50. Does water rights trading affect corporate investment? The role of resource allocation and risk mitigation channels
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