54 documents matched the search for the 2016-06-14 issue of the NEP report on Macroeconomics (nep-mac), currently edited by Daniela Cialfi.
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11121314151
Public finance baseline scenario, Erik Bugyi,
from Council for Budget Responsibility
(2015)
Keywords: long-term sustainability indicator (GAP), budgetary classification, revenues and expenditures, long-term projections
Gauging financial conditions in South Africa, Willem van der Wath,
from Stellenbosch University, Department of Economics
(2016)
Keywords: financial conditions, principle components, factor models, leading indicator, financial survey, business cycle
Monetary Policy and Efficiency in Over-the-Counter Financial Trade, Athanasios Geromichalos and Kuk Mo Jung,
from University Library of Munich, Germany
(2016)
Keywords: monetary-search models, liquidity, asset prices, over-the-counter markets
Yield Curve for Japanese Agency Bonds: From 2002 to the Present, Takahiro Hattori and Hiroki Miyake,
from University Library of Munich, Germany
(2016)
Keywords: Term structure; Interest rates; Par yield curve; Agency bond; Fiscal Investment and Loan Program; Japan
Estimating Egypt’s Potential Output: A Production Function Approach, Osama El-Baz,
from University Library of Munich, Germany
(2016)
Keywords: Potential Output, Output Gap, HP Filter, Production Function Approach
BANK REGULATORY CAPITAL, RISK-TAKING CHANNEL AND MONETARY POLICY: EVIDENCE FROM AN INFLATION TARGETING EMERGING ECONOMY, José Américo Pereira Antunes, Claudio de Moraes and Gabriel Montes,
from ANPEC - Associação Nacional dos Centros de Pós-Graduação em Economia [Brazilian Association of Graduate Programs in Economics]
(2016)
Analysis of the long term effects of a company tax cut, Michael Kouparitsas, Dinar Prihardini and Alexander Beames,
from The Treasury, Australian Government
(2016)
Keywords: optimal taxation, company tax, tax reform, policy simulation
Student loans, fertility, and economic growth, Koichi Miyazaki,
from University Library of Munich, Germany
(2016)
Keywords: Student loans, human capital accumulation, fertility, growth rate of GDP, growth rate of GDP per capita, overlapping generations model
Long-Run Drivers of Current Account Imbalances in the EU: the Role of Trade Openness, Giuseppe Caivano and Nicola Coniglio,
from Dipartimento di Economia e Finanza - Università degli Studi di Bari "Aldo Moro"
(2016)
Keywords: Current account imbalances; panel cointegration; trade openness
Population growth, saving, interest rates and stagnation: Discussing the Eggertsson-Mehrotra model, Peter Spahn,
from University of Hohenheim, Faculty of Business, Economics and Social Sciences
(2016)
Keywords: overlapping generations, zero lower bound, deflation equilibrium, natural versus market interest rates
On the Sources of Business Cycles: Implications for DSGE Models, Michal Andrle, Jan Bruha and Serhat Solmaz,
from Czech National Bank
(2016)
Keywords: Business cycle, demand shocks, DSGE models, dynamic principal component analysis
Terms of Trade Shocks and Monetary Policy in India, Chetan Ghate, Sargam Gupta and Debdulal Mallick,
from University Library of Munich, Germany
(2016)
Keywords: Multi-sector New Keynesian DSGE Models, Terms of Trade Shocks, Reserve Bank of India, Indian Economy, Agricultural Procurement
Determinacy analysis in high order dynamic systems: The case of nominal rigidities and limited asset market participation, Guido Ascari, Andrea Colciago and Lorenza Rossi,
from University of Milano-Bicocca, Department of Economics
(2016)
Keywords: determinacy, high-order dynamics, sticky wages, non-Ricardian household
Respuesta del producto a perturbaciones de oferta y demanda en Colombia: 1981-2015, Daniel Felipe Cuervo and Javier Mondragón,
from Universidad Nacional de Colombia, FCE, CID
(2016)
Keywords: Modelos SVAR, Brecha del Producto, PIB potencial, Ley de Okun
On the Nexus of Monetary Policy and Financial Stability: Effectiveness of Macroprudential Tools in Building Resilience and Mitigating Financial Imbalances, Evren Damar and Miguel Molico,
from Bank of Canada
(2016)
Keywords: Credit and credit aggregates; Financial stability; Financial system regulation and policies
Doves for the Rich, Hawks for the Poor? Distributional Consequences of Monetary Policy, Keith Kuester, Nils Gornemann and Makoto Nakajima,
from C.E.P.R. Discussion Papers
(2016)
Keywords: Monetary policy; Unemployment; Search and matching; Heterogeneous agents; General equilibrium
Currency demand stability in the presence of seasonality and endogenous financial innovation: Evidence from India, Sunny Singh,
from University Library of Munich, Germany
(2016)
Keywords: Currency demand; Seasonal cointegration; Seasonal error correction; Financial innovation; State-space Modeling
Bernanke's No-arbitrage Argument Revisited: Can Open Market Operations in Real Assets Eliminate the Liquidity Trap?, Gauti Eggertsson and Kevin Proulx,
from National Bureau of Economic Research, Inc
(2016)
Why Do Children Take Care of Their Elderly Parents? Are the Japanese Any Different?, Charles Horioka, Emin Gahramanov, Aziz Hayat and Xueli Tang,
from National Bureau of Economic Research, Inc
(2016)
Multiple Equilibria in Open Economy Models with Collateral Constraints: Overborrowing Revisited, Stephanie Schmitt-Grohe and Martín Uribe,
from National Bureau of Economic Research, Inc
(2016)
Allocative and Remitted Wages: New Facts and Challenges for Keynesian Models, Susanto Basu and Christopher House,
from National Bureau of Economic Research, Inc
(2016)
Quantitative Easing and Financial Stability, Michael Woodford,
from National Bureau of Economic Research, Inc
(2016)
Carbon Emissions and Business Cycles, Hashmat Khan, Christopher Knittel, Konstantinos Metaxoglou and Maya Papineau,
from National Bureau of Economic Research, Inc
(2016)
The 'Real' Explanation of the PPP Puzzle, Nicholas Ford and Charles Horioka,
from National Bureau of Economic Research, Inc
(2016)
Bundling Governance: Finance versus Institutions in Private Investment Promotion, Simplice Asongu, Michael Batuo and Vanessa Tchamyou,
from University Library of Munich, Germany
(2015)
Keywords: Finance; Institutions; Investment: Property Rights; Africa
Moving to a new job: the role of home equity, debt, and access to credit, Yuliya Demyanyk, Dmytro Hryshko, Maria Luengo-Prado and Bent Sorensen,
from Federal Reserve Bank of Boston
(2016)
Nowcasting Turkish GDP and News Decomposition, Michele Modugno, Barış Soybilgen and Ege Yazgan,
from Board of Governors of the Federal Reserve System (U.S.)
(2016)
Keywords: Developing economy; dynamic factor models; emerging markets; gross domestic product; news; nowcasting
The interest rate effects of government bond purchases away from the lower bound, Rafael B. De Rezende,
from Sveriges Riksbank (Central Bank of Sweden)
(2016)
Keywords: quantitative easing; signaling channel; portfolio balance channel; yield curve; dynamic affine term structure models; short rate expectations; term premium
The golden rule of public investment – a necessary and sufficient reform of the EU fiscal framework?, Achim Truger,
from IMK at the Hans Boeckler Foundation, Macroeconomic Policy Institute
(2016)
Keywords: Golden rule, public investment, fiscal policy austerity, Euro area
A Basic Model of Real-Financial Market Interactions with Heterogeneous Opinion Dynamics, Florian Hartmann, Matthieu Charpe, Peter Flaschel and Roberto Veneziani,
from Institute of Empirical Economic Research, Osnabrueck University
(2016)
Keywords: Output and share price dynamics, heterogeneous expectations, boundedness, persistent irregular fluctuations, policy measures
Band or Point Inflation Targeting? An Experimental Approach, Camille Cornand and Cheick Kader M'baye,
from Groupe d'Analyse et de Théorie Economique Lyon St-Étienne (GATE Lyon St-Étienne), Université de Lyon
(2016)
Keywords: band inflation target, point inflation target, inflation expectations, monetary policy, New Keynesian model, macroeconomic shocks, laboratory experiments
Political Economics of Fiscal Consolidations and External Sovereign Accidents, Carolina Achury, Christos Koulovatianos and John Tsoukalas,
from Business School - Economics, University of Glasgow
(2016)
Keywords: sovereign debt, rent seeking, international lending, tragedy of the commons, EU crisis, Grexit, Graccident
Why fiscal regimes matter for fiscal sustainability analysis: an application to France, Pierre Aldama and Jerome Creel,
from Observatoire Francais des Conjonctures Economiques (OFCE)
(2016)
Keywords: Fiscal rules, Fiscal regimes, Public debt sustainability, Time varying parameters, Markov switching models
Commodity prices and fiscal policy design: Procyclical despite a rule, Hilde Bjørnland and Leif Thorsrud,
from Centre for Applied Macroeconomic Analysis, Crawford School of Public Policy, The Australian National University
(2016)
Keywords: Time-varying Dynamic Factor Model, commodity prices, fiscal policy, sovereign wealth fund
Demographics and real interest rates: inspecting the mechanism, Carlos Carvalho, Andrea Ferrero and Fernanda Nechio,
from Federal Reserve Bank of San Francisco
(2016)
How Friedman and Schwartz became monetarists, James Lothian and George Tavlas,
from Bank of Greece
(2016)
Keywords: Milton Friedman; Anna Schwartz; Clark Warburton; monetary rules; quantity theory of money; fiscal policy; Great Depression
Is there a need for additional monetary stimulus? Insights from the original Taylor Rule, Cinzia Alcidi, Matthias Busse and Daniel Gros,
from Centre for European Policy Studies
(2016)
Un Análisis de la Capacidad Predictiva del Precio del Cobre sobre la Inflación Global, Carlos A. Medel,
from Central Bank of Chile
(2016)
China’s Slowdown and Global Financial Market Volatility: Is World Growth Losing Out?, Paul Cashin, Kamiar Mohaddes and Mehdi Raissi,
from Faculty of Economics, University of Cambridge
(2016)
Keywords: China’s slowdown, global financial market volatility, international business cycle, and Global VAR
Slow Normalization or No Normalization?: a presentation at OMFIF City Lecture, Beijing, China, May 23, 2016, James Bullard,
from Federal Reserve Bank of St. Louis
(2016)
The Collateral Channel of Open Market Operations, N. Cassola and Francois Koulischer,
from Banque de France
(2016)
Keywords: Collateral, Haircut, Central Bank, Money market.
Fiscal Consolidation Under Imperfect Credibility, Matthieu Lemoine and Jesper Lindé,
from Banque de France
(2016)
Keywords: monetary and fiscal policy, front-loaded vs. gradual consolidation, DSGE model, sticky prices and wages, currency union.
Human Capital, Inequality and Growth, Torben M Andersen,
from Directorate General Economic and Financial Affairs (DG ECFIN), European Commission
(2015)
The Centralization-Decentralization Issue, Charles Wyplosz,
from Directorate General Economic and Financial Affairs (DG ECFIN), European Commission
(2015)
Stabilisation and rebalancing with fiscal or monetary devaluation: a model-based comparison, Lukas Vogel,
from Directorate General Economic and Financial Affairs (DG ECFIN), European Commission
(2015)
Global Commodity Prices and Inflation in a Small Open Economy, Muhammad Hanif, Javed Iqbal and Imran Naveed Khan,
from State Bank of Pakistan, Research Department
(2016)
Keywords: Global Commodity Prices, Exchange Rate, Money Supply, Inflation
Monopoly Power and Endogenous Product Variety: Distortions and Remedies, Florin Bilbiie, Fabio Ghironi and Marc Melitz,
from C.E.P.R. Discussion Papers
(2016)
Keywords: Efficiency; Entry; Monopoly power; Product creation; Variety; Welfare costs; Optimal fiscal policy
Bangladesh Quarterly Economic Update (March-June 2015), Asian Development Bank (adb), Asian Development Bank (adb), Asian Development Bank (adb) and Asian Development Bank (adb),
from Asian Development Bank (ADB)
(2015)
Keywords: bangladesh economy, bangladesh macroeconomic updates, fiscal year 2015, bangladesh gdp growth estimates, revenue collection, bangladesh economic growth, bangladesh agriculture growth, bangladesh services sector growth, inflation, fy2015, fiscal management
Do nations just get the inequality they deserve? The ‘Palma Ratio’ re-examined, José Gabriel Palma,
from Faculty of Economics, University of Cambridge
(2016)
Keywords: income distribution; inequality; ‘Palma Ratio’; homogeneous middle; ideology; neoliberalism; ‘new left’; institutional persistence; Latin America; Chile; South Africa; United States.
Economic Policy Uncertainty and the Credit Channel: Aggregate and Bank Level U.S. Evidence over Several Decades, Michael Bordo, John Duca and Christoffer Koch,
from Hoover Institution, Stanford University
(2016)
Keywords: money and banking, economic policy uncertainty, business cycle
Insurance in Human Capital Models with Limited Enforcement, Tom Krebs, Moritz Kuhn and Mark Wright,
from Institute of Labor Economics (IZA)
(2016)
Keywords: human capital risk, limited enforcement, insurance
What does it take to grow out of recession? An error-correction approach towards growth convergence of European and transition countries, Olivier Damette, Mathilde Maurel and Michael Stemmer,
from Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne
(2016)
Keywords: Economic growth; business cycles; transition economies; error-correction models; panel cointegration; smooth-transition models
Islamic Financing and Bank Behaviour in a Dual Banking System: Evidence from Malaysia, Muhamed Zulkhibri,
from The Islamic Research and Teaching Institute (IRTI)
(2016)
Keywords: Islamic Banks; Base Financing Rate; Bank Financing; Panel Regression Analysis
Sentiments in SVARs, Patrick Fève and Alain Guay,
from Toulouse School of Economics (TSE)
(2016)
Keywords: Sentiment Shocks; News Shocks; SVARs; Identifying Restrictions
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