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51. Essays in Macroeconomics and Finance

52. U.S. Real Interest Rates and Default Risk in Emerging Economies.

53. Stock market information and the relationship between real exchange rate and real interest rates.

54. Reducing Public Debt in the Aftermath of the Financial Crisis: Renewing with Financial Repression.

55. A market based approach to inflation expectations, risk premia and real interest rates.

56. Testing the Null Hypothesis of Nonstationary Long Memory Against the Alternative Hypothesis of a Nonlinear Ergodic Model.

57. The real uncovered interest parity: The case of Canada and the USA

58. Global trends in real risk free rates.

59. Inflation Expectations and Risk Premiums in an Arbitrage-Free Model of Nominal and Real Bond Yields.

60. What Determines the Price Elasticity of House Supply? Real Interest Rate Effects and Cyclical Asymmetries.

61. Exploring historical economic relationships: two and a half centuries of British interest rates and inflation.

62. On the Equality of Real Interest Rates Across Borders in Integrated Capital Markets.

63. Capital mobility among advanced countries

64. Real interest rates linkages between the USA and the UK in the postwar period.

65. ROVNOVÁŽNÁ CENA FIXNÍHO AKTIVA V ROSTOUCÍ EKONOMICE.

66. The Relation between Real Wage Rates and Employment: An Intertemporal General- Equilibrium Analysis.

67. Equality of Interest Rates Revisited: the Multi-Country Evidence.

68. Has International Financial Integration Increased?

69. Holding out for a Haircut: Financial Crisis, Moral Hazard, and Interest Rate Policy.

70. Long-term Persistence in the Real Interest Rate: Some Evidence of a Fractional Unit Root.

71. Long-Term Growth and Productivity Trends: Secular Stagnation or Temporary Slowdown?

72. Real Interest Rates and Productivity in Small Open Economies

73. Faktor-Faktor Yang Mempengaruhi Penyerapan Tenaga Kerja Pada Usaha Mikro, Kecil dan Menengah (UMKM) di Kota Jambi

74. Search for Yield

75. On secular stagnation and low interest rates: Demography matters

79. IMPACT OF MONETARY POLICY ON ECONOMIC CYCLES. PERU 2002-2014

80. Inflation Targeting and Exchange Rate Volatility in Emerging Markets

81. Recent Credit Surge in Historical Context

82. Malawi Economic Monitor, May 2016 : Absorbing Shocks, Building Resilience

83. Addressing Debt Vulnerabilities in Small States : The Potential Role of New Financing Instruments

84. A pairwise-based approach to examining the Feldstein–Horioka condition of international capital mobility

85. Business Cycles in the Eastern Caribbean Economies : The Role of Fiscal Policy and Interest Rates

86. Fiscal Stimulus with Spending Reversals

87. Debt Sustainability in Sub-Saharan Africa : Unraveling Country-Specific Risks

90. The effect of monetary unification on public debt and its real return

91. Malawi Economic Monitor, October 2015 : Adjusting in Turbulent Times

92. China Economic Update, June 2015

93. Tanzania Economic Update, July 2015 : Why Should Tanzanians Pay Taxes? The Unavoidable Need to Finance Economic Development

94. Global Liquidity and External Bond Issuance in Emerging Markets and Developing Economies

95. Ethiopia’s Growth Acceleration and How to Sustain It : Insights from a Cross-Country Regression Model

96. Placing Bank Supervision in the Central Bank : Implications for Financial Stability Based on Evidence from the Global Crisis

97. Egypt Economic Monitor, Spring 2015 : Paving the Way to a Sustained Recovery

98. Public Debt Management and Macroeconomic Stability: An Overview

99. Update on the Economic Impact of the 2014-2015 Ebola Epidemic on Liberia, Sierra Leone, and Guinea

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