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1. Quantifying macroeconomic uncertainty in Norway

2. Aggregate density forecast of models using disaggregate data - A copula approach

3. Forecasting core inflation: the case of South Africa

4. Wealth, credit conditions and consumption: evidence from South Africa

5. News media vs. FRED-MD for macroeconomic forecasting

6. Nowcasting Norwegian household consumption with debit card transaction data

7. Assessing Short‑Term and Long‑Term Economic and Environmental Effects of the COVID‑19 Crisis in France

8. IDIOSYNCRATIC RISK, AGGREGATE RISK, AND THE WELFARE EFFECTS OF SOCIAL SECURITY

9. Does South African Affirmative Action Policy Reduce Poverty? A CGE Analysis

10. Asset dynamics, liquidity, and inequality in decentralized markets

11. Структурниий вплив галузей промисловості на макроекономічні показники країни

12. Une comparaison des prévisions macroéconomiques 2018-2020 sur la France

13. Une comparaison des prévisions macroéconomiques 2018-2020 sur la France

14. TESTING THE PREDICTABILITY OF CONSUMPTION GROWTH: EVIDENCE FROM CHINA

15. Forecasting US real private residential fixed investment using a large number of predictors

16. Nonlinear forecasting with many predictors using kernel ridge regression

17. Do Swedish Consumer Confidence Indicators Do What They Are Intended to Do?

18. Job creation and economic impact of renewable energy in Netherlands

19. Une comparaison des prévisions macroéconomiques sur la France

20. Forecasting Consumption: the Role of Consumer Confidence in Real Time with many Predictors

21. The Accuracy of Forecasts Prepared for the Federal Open Market Committee

22. A COMPARATIVE ANALYSIS OF MACROECONOMIC FORECASTS ACCURACY IN SPAIN AND ROMANIA

23. Macroeconomic Uncertainty Indices Based on Nowcast and Forecast Error Distributions

24. Would you Pay for Transparently Useless Advice? A Test of Boundaries of Beliefs in The Folly of Predictions

25. What fiscal policy is most effective? A meta-regression analysis

26. Measuring Uncertainty

27. Information rigidities: Comparing average and individual forecasts for a large international panel

28. Im Lichte neuer Daten: Ostdeutschland absolut 'reicher', beim Wachstumspotenzial jedoch relativ 'ärmer'

29. Investment Ebb and Flow in the Hungarian Economy

30. Az európai növekedési potenciál eróziója és válsága

31. To Love or to Pay

32. Ein Kurzfristindikatormodell für Prognosen der internationalen Konjunktur

33. Global Risk Management â€' A Necessity in a World of Vulnerabilities and of ECO-Economy and BIO -ECO-Economy Needed by ECO-SANO-Genesis

34. Nowcasting GDP in Greece: A Note on Forecasting Improvements from the Use of Bridge Models

35. Fiscal devaluation and structural gaps

36. Real-time forecast evaluation of DSGE models with stochastic volatility

37. Distortions in the neoclassical growth model: A cross-country analysis

38. Artificial neural networks and aggregate consumption patterns in New Zealand

39. An Investment Agenda for Europe

40. Routes and Trends of Romanian Core Economic Variables

41. Okun’s Law: Evidence for the Brazilian Economy

42. How Reliable are Hungarian Macroeconomic forecasts?

43. A Model to Estimate Macroeconomic Parameters for Growth in EU

44. WHAT TYPE OF SOCIAL CAPITAL IS ENGAGED BY THE FRENCH DAIRY STOCKBREEDERS? A CHARACTERIZATION THROUGH THEIR PROFESSIONAL IDENTITIES

45. Chinese Online Unemployment-Related Searches and Macroeconomic Indicators

46. Empirical study regarding the impact of IFRS standard implementation in Romania. Difficulties and obstacles, opinions and solutions

47. IMPROVING THE INFLATION RATE FORECASTS OF ROMANIAN EXPERTS USING A FIXED-EFFECTS MODELS APPROACH

48. FOREIGN DIRECT INVESTMENT (FDI) IN ROMANIA. EMPIRICAL EVIDENCE USING RESTRICTED AND UNRESTRICTED ECM MODELS

49. Schwache Investitionen dämpfen Wachstum in Europa

50. Empirical study regarding the impact of IFRS standard implementation in Romania. Costs incurred by adopting the IFRS provisions

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