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1. A Theory of the Term Structure of Interest Rates under Limited Household Risk Sharing.

3. Money Market Disconnect.

6. Differences in euro‐area household finances and their relevance for monetary‐policy transmission.

7. The geometry of multi-curve interest rate models.

8. Asking Price for the Assessment of a Fruit Orchard: Some Evidence Using the Remote Segments Approach.

9. Real Effects of Search Frictions in Consumer Credit Markets.

12. Revisiting the Pasinetti Index: Understanding Its Cyclical and Long-Term Features and Its Important Implications for Macroeconomic Policy.

13. The interplay between economic policy uncertainty and corporate bond yield in emerging Asian markets.

14. Central Bank Operations Under Foreign Exchange Accumulation: The Case of the Macedonian Central Bank (2005–2022)

15. The discrete-time arbitrage-free Nelson-Siegel model: a closed-form solution and applications to mixed funds representation.

16. Assessing the market value of a pioneering fruit orchard when comparison data are missing: the Remote Segments Approach

17. The Constructs of Short-Term Consumer Credit from the Perspective of Merchants and Employers as Key Stakeholders in Zambia

18. Impact of Money Supply on Inflation in Uzbekistan—VAR Approach

32. Stagnation and the Natural Rate of Interest: Tracing the Roots of Lawrence Summers’s Theory of Secular Stagnation.

33. Where do the Pasinetti Rule and the Pasinetti Index Come from?

34. Interest Received by Banks during the Financial Crisis: LIBOR vs Hypothetical SOFR Loans.

35. Perceptions on jurisdiction risk: a cross-country analysis.

36. Yield curve momentum.

37. Assessing the influence of fiscal and monetary policies on carbon dioxide emissions

48. Russian aggression against Ukraine and the changes in European Union countries’ macroeconomic situation: Do energy intensity and energy dependence matter?

49. Tony Lawson on money

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