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Content
March 1987, Volume 19, Issue 2
- 171-201 Capital flows, investment, and exchange rates
by Stockman, Alan C. & Svensson, Lars E. O.
- 203-228 A dynamic equilibrium model of inflation and unemployment
by Greenwood, Jeremy & Huffman, Gregory W.
- 229-254 The stochastic properties of term structure movements
by Oldfield, George S. & Rogalski, Richard J.
- 255-277 News from the U.S. and Japan : Which moves the yen/dollar exchange rate?
by Ito, Takatoshi & Roley, V. Vance
- 279-305 On the outcome of inconsistent programs under exchange rate and monetary rules : Allowing the market to compensate for government mistakes
by Auernheimer, Leonardo
- 307-314 Reserve requirements and optimal seigniorage
by Freeman, Scott
- 315-324 Macroeconomic lessons from Britain : A review essay
by Campbell, John Y.
- 325-332 Gale on monetary theory : A review essay
by Cooper, Russell
January 1987, Volume 19, Issue 1
- 3-24 The Fisher hypothesis and the forecastability and persistence of inflation
by Barsky, Robert B.
- 25-44 The term structure of euromarket interest rates : An empirical investigation
by Campbell, John Y. & Clarida, Richard H.
- 45-67 The relative importance of foreign and domestic disturbances for aggregate fluctuations in the open economy : Switzerland, 1964-1981
by Genberg, Hans & Salemi, Michael K. & Swoboda, Alexander
- 69-87 Tobin's Q and financial policy
by Chirinko, Robert S.
- 89-105 Monetary policy and the timing of wage negotiations
by Fethke, Gary & Policano, Andrew
- 107-123 The Federal Reserve's new operating procedures : A post mortem
by Spindt, Paul A. & Tarhan, Vefa
- 125-127 The Beveridge-Nelson decomposition of economic time series : A quick computational method
by Cuddington, John T. & Winters, L. Alan
- 129-136 The economics of worldwide stagflation : A review essay
by Rogerson, Richard
- 137-142 Exchange rates : A review essay
by Gerlach, Stefan
November 1986, Volume 18, Issue 3
- 227-249 Is the dollar high because of large budget deficits?
by Evans, Paul
- 251-275 The U.S. evidence on optimal taxation over time
by Sahasakul, Chaipat
- 277-284 The optimum quantity of money rule in the theory of public finance
by Kimbrough, Kent P.
- 285-293 Trading uncertainty and the cash-in-advance constraint
by Eden, Benjamin
- 295-312 Single-equation, multiple-regression methodology: Is it an appropriate methodology for the estimation of the structure-performance relationship in banking?
by Clark, Jeffrey A.
- 313-322 International expected real interest rates: New tests of the parity hypothesis and U.S. fiscal policy effects
by Merrick, John Jr. & Saunders, Anthony
- 323-328 Intertemporal optimization and neutrality of money in growth models
by Hayakawa, Hiroaki
- 329-336 European monetary integration? A review essay
by Wood, Geoffrey E.
- 337-346 Money, deflation and seigniorage in the fifteenth century: A review essay
by Bordo, Michael D.
September 1986, Volume 18, Issue 2
- 121-145 The real interest rate and aggregate supply
by Hercowitz, Zvi
- 147-157 Selection criteria for models with non-uniqueness
by Evans, George W.
- 159-179 Costly monitoring, financial intermediation, and equilibrium credit rationing
by Williamson, Stephen D.
- 181-195 Banking technology and the existence of a consistent output aggregate
by Kim, Moshe
- 197-204 Inflationary finance of budget deficits as an automatic stabilizer
by Nuri Erbas, S.
- 205-207 Can money matter in a developing economy?
by Thomas Paul, M. & Bhattacharyay, Biswa N.
- 209-216 Does search theory provide a micro foundation for keynesian models and a rationale for policy activism? A review of Peter Diamond's Wicksell Lectures
by Davis, Steve J.
- 217-223 Issues in keynesian macroeconomics: A review essay
by Gregory Mankiw, N.
July 1986, Volume 18, Issue 1
- 21-31 Seigniorage, inflation, and reputation
by Grossman, Herschel I. & Van Huyck, John B.
- 33-47 Daily monetary impulses and security prices
by Loderer, Claudio & Lys, Thomas & Schweizer, Urs
- 49-75 Univariate detrending methods with stochastic trends
by Watson, Mark W.
- 77-86 Estimating the long-run relationship between interest rates and inflation: A response to McCallum
by Summers, Lawrence H.
- 87-90 Estimating the long-run relationship between interest rates and inflation: A reply
by McCallum, Bennett T.
- 91-94 The transactions demand for money in a two-currency economy: A note
by Daniel, Betty C.
- 95-102 Sterling in decline: A review essay
by Stockman, Alan C.
- 103-118 Conversations with economists: A review essay
by Howitt, Peter
May 1986, Volume 17, Issue 3
- 331-347 Interest rates and monetary policy uncertainty
by Stulz, ReneM.
- 349-362 Ruling out divergent speculative bubbles
by Obstfeld, Maurice & Rogoff, Kenneth
- 363-377 The effects of a shift in monetary policy regime on the profitability and risk of commercial banks
by Aharony, Joseph & Saunders, Anthony & Swary, Ithzak
- 379-407 The cyclical behavior of prices and quantities: The case of the automobile market
by Blanchard, Olivier J. & Melino, Angelo
- 409-423 Testing short-run neutrality
by Cecchetti, Stephen G.
- 425-431 Bursting bubbles: Further results
by Isaac, Alan G.
- 433-439 Friedman versus hayek on private money: Review essay
by Fischer, Stanley
- 441-448 The International Monetary System: Forty years after Bretton Woods: Review essay
by Engel, Charles
- 449-451 The federal reserve, money, and interest rates: The volcker years and beyond : Michael G. Hadjimichalakis (Praeger Press, New York, 1984) pp. xvi 273
by Aschauer, David
March 1986, Volume 17, Issue 2
- 197-224 Temporary and permanent government spending in an open economy: Some evidence for the United Kingdom
by Ahmed, Shaghil
- 225-238 Wealth effects of open market operations and optimal monetary policy
by Dotsey, Michael
- 239-249 Government revenue from money creation with government and private money
by Dwyer, Gerald Jr. & Saving, Thomas R.
- 251-269 The effect of distributive goals on the time inconsistency of optimal taxes
by Rogers, Carol Ann
- 271-291 Functional equivalence between liquidity costs and the utility of money
by Feenstra, Robert C.
- 293-304 A general model of the banking firm under conditions of monopoly, uncertainty, and recourse
by Prisman, Eliezer Z. & Slovin, Myron B. & Sushka, Marie E.
- 305-313 Money in crisis: A review essay
by Laidler, David
- 315-324 Measuring inflationary expectations: A review essay
by Cukierman, Alex
- 325-328 Inflation, stagflation, relative prices, and imperfect information : Alex Cukierman, (Cambridge University Press, Cambridge and New York, 1984) pp. xiii + 202
by Sheffrin, Steven M.
January 1986, Volume 17, Issue 1
- 1-1 Editorial
by King, Robert & Plosser, Charles I.
- 3-20 Reputation in a model of monetary policy with incomplete information
by Barro, Robert J.
- 21-35 Monetary rules and commodity money schemes under uncertainty
by Fischer, Stanley
- 37-62 Has government any role in money?
by Friedman, Milton & Schwartz, Anna J.
- 63-92 Monetary mystique: Secrecy and central banking
by Goodfriend, Marvin
- 93-115 Money as the mechanism of exchange
by King, Robert G. & Plosser, Charles I.
- 117-134 Principles of fiscal and monetary policy
by Lucas, Robert Jr.
- 135-160 Some issues concerning interest rate pegging, price level determinacy, and the real bills doctrine
by McCallum, Bennett T.
- 161-194 Size, persistence and interrelation of nominal and real shocks : Some evidence from four countries
by Meltzer, Allan H.
November 1985, Volume 16, Issue 3
September 1985, Volume 16, Issue 2
- 141-163 Macroeconomic determinants of growth: Cross-country evidence
by Kormendi, Roger C. & Meguire, Philip G.
- 165-174 Trends, random walks, and tests of the permanent income hypothesis
by Gregory Mankiw, N. & Shapiro, Matthew D.
- 175-194 Financial intermediation, reserve requirements, and inside money: A general equilibrium analysis
by Romer, David
- 195-208 Private fiat money with many suppliers
by Taub, Bart
- 209-226 Long-term contracts, expectations and wage inertia
by Montgomery, Edward & Shaw, Kathryn
- 227-250 The behavior of treasury securities monthly, 1942-1984
by Michael Cox, W.
- 251-257 Monetary anticipations and the demand for money: Reply to MacKinnon and Milbourne
by Carr, Jack & Darby, Michael R. & Thornton, Daniel L.
- 259-266 Indexation and related issues: A review essay
by Eden, Benjamin
- 267-276 Banking theory and free banking history: A Review Essay
by Gorton, Gary
- 277-279 Disequilibrium Macroeconomics in Open Economies : J.T. Cuddington, P.-O. Johansson and K.-G. Lofgren, (Basil Blackwell, Oxford, 1984) pp. IX + 246, $24.95
by Lucas, Robert F.
July 1985, Volume 16, Issue 1
- 3-18 On time varying risk premia in the foreign exchange market: An econometric analysis
by Mark, Nelson C.
- 19-44 The backing of government bonds and monetarism
by Rao Aiyagari, S. & Gertler, Mark
- 45-54 An historical decomposition of the great depression to determine the role of money
by Burbidge, John & Harrison, Alan
- 55-71 Dynamic behavior of capital accumulation in a cash-in-advance model
by Abel, Andrew B.
- 73-85 Inflation, wealth and interest rates in an intertemporal optimizing model
by Cohen, Daniel
- 87-94 International evidence on misspecification of the standard money demand equation
by Kohn, Meir & Manchester, Joyce
- 95-107 Fixed versus flexible exchange rates in an equilibrium business cycle model
by Lachler, Ulrich
- 109-120 A model of the classical gold standard with depletion
by Bordo, Michael David & Ellson, Richard Wayne
- 121-131 Does government debt matter? A review
by Seater, John J.
- 133-135 Futures markets : edited by Manfred E. Streit
by Cornell, Bradford
- 135-137 Contemporary macroeconomic modelling : edited by Pierre Malgrange and Pierre-Alain Muet (Blackwell, Oxford, 1984) pp. x + 319, $37.95
by Leroy, Stephen
May 1985, Volume 15, Issue 3
- 269-277 Bank runs, the deposit-currency ratio and the interest rate
by Waldo, Douglas G.
- 279-290 Interest on reserves
by Sargent, Thomas & Wallace, Neil
- 291-308 Stochastic inflation and government provision of indexed bonds
by Peled, Dan
- 309-321 Unexpected monetary disturbances during the gold standard era
by Rush, Mark
- 333-341 Relative price variability: Evidence from supply and demand events
by Davidson, Lawrence S. & Hafer, R. W.
- 343-362 The role of expectations in stabilization policy
by Baxter, Marianne
- 363-382 A duopoly theory of government money production: The 1930s and 1940s
by Toma, Mark
- 383-388 Monetary theory and practice, the U.K. experience: Book review
by Goodfriend, Marvin
- 389-397 The current state of macroeconomics: A view from the textbooks
by Policano, Andrew J.
March 1985, Volume 15, Issue 2
January 1985, Volume 15, Issue 1
- 1-1 To the readers of the journal of monetary economics
by Brunner, Karl
- 7-27 Forecasting, rational expectations and the phillips-curve: An empirical investigation
by Wasserfallen, Walter
- 29-39 What's different about banks?
by Fama, Eugene F.
- 41-68 Adjustment costs, durables, and aggregate consumption
by Bernanke, Ben
- 69-79 Futures markets and monetary policy
by Kimbrough, Kent P.
- 81-94 Monetary policy and commodity money equilibria
by Nickelsburg, Gerald
- 95-112 Macroeconomic implications of the government budget: Some basic considerations
by Calvo, Guillermo A.
- 113-120 Tight money and inflation: Further Results
by Drazen, Allan
- 121-135 On the construction of marginal federal personal and social security tax rates in the U.S
by Seater, John J.
- 137-140 A rational expectations approach to macroeconometrics : Frederic S. Mishkin (University of Chicago Press for the National Bureau of Economic Research, Chicago, 1983) pp. xii + 172, $20.00
by Boschen, John F.
- 141-142 Histoire monetaire de la France, 1800-1980 : Michele Saint Marc (Presses Universitaire de France, Paris, 1983) pp. 441
by Rodrik-Bali, Ghila
November 1984, Volume 14, Issue 3
- 267-291 The causes of free bank failures : A detailed examination
by Rolnick, Arthur J. & Weber, Warren E.
- 293-317 Private information, deposit interest rates, and the `stability' of the banking system
by Smith, Bruce D.
- 319-338 Forward and spot exchange rates
by Fama, Eugene F.
- 339-363 Tests of rationality, neutrality and market efficiency : A Monte Carlo analysis of alternative test statistics
by Hoffman, Dennis L. & Low, Stuart A. & Schlagenhauf, Don E.
- 365-374 Time-consistent fiscal policy and government cash-flow
by Persson, Torsten & Svensson, Lars E. O.
- 375-384 Predicting the money multiplier : Forecasts from component and aggregate models
by Hafer, R. W. & Hein, Scott E.
- 385-393 Money : Endogeneity and neutrality
by King, Robert G. & Trehan, Bharat
- 395-396 Macroeconomics : Robert Barro, (Wiley, New York, 1984) pp. 580, $32.95
by Siegel, Jeremy J.
- 397-400 Modern macroeconomic theory : Jean-Paul Fitoussi, ed., (Basil Blackwell, Oxford, 1983) pp. ix + 209, [UK pound]17.50
by Fethke, Gary
September 1984, Volume 14, Issue 2
- 131-131 Editorial policy and data
by Brunner, Karl & King, Robert G. & Plosser, Charles I.
- 133-150 On the effects of sterilized intervention : An analysis of weekly data
by Rogoff, Kenneth
- 151-170 Wage contingencies, the pattern of negotiation and aggregate implications of alternative contract structures
by Fethke, Gary & Policano, Andrew
- 171-181 On measuring the nearness of near moneys revisited
by Husted, Steven & Rush, Mark
- 183-208 The neutrality of the real equilibrium under alternative financing of government expenditures
by Benninga, Simon & Protopapadakis, Aris
- 209-224 Instrument instability and short-term monetary control
by Lane, Timothy D.
- 241-250 The transactions demand for money in a two-currency economy
by Poloz, Stephen S.
- 251-264 On core inflation by Otto Eckstein : A review essay
by Parkin, Michael
July 1984, Volume 14, Issue 1
- 3-14 On low-frequency estimates of long-run relationships in macroeconomics
by McCallum, Bennett T.
- 29-35 Bursting bubbles : On the rationality of hyperinflations in optimizing models
by Farmer, Roger E. A.
- 37-53 Inflationary finance in an open economy
by Brock, Philip L.
- 55-70 Rational expectations and the effects of government debt
by Hirschhorn, Eric
- 71-96 Rational expectations and the smoothing properties of inventories of finished goods
by Eichenbaum, Martin S.
- 97-104 Federal open market committee structure and decisions
by Puckett, Richard H.
- 105-122 Money shocks and deviations from purchasing power parity
by Koh, Ai-Tee
- 123-126 Monopoly welfare losses in U.S. banking : Comment
by Craven, B. M. & Thompson, R. S.
- 127-130 Money and Inflation : Frank Hahn, (MIT Press, Cambridge, 1983) pp. xii + 116, $12.50
by Mayer, Thomas
May 1984, Volume 13, Issue 3
- 297-305 Permanent income in general equilibrium
by Michener, Ron
- 307-325 The role of saving and investment in exchange rate determination under alternative monetary mechanisms
by Helpman, Elhanan & Razin, Assaf
- 327-348 A comparison of inflation forecasts
by Fama, Eugene F. & Gibbons, Michael R.
- 349-369 Real transfers in fixed exchange rate systems and the international adjustment mechanism
by Persson, Torsten
- 371-379 The government budget constraint and standard macrotheory
by Mayer, Thomas
- 381-385 Can money matter?
by Startz, Richard
- 387-392 A `rational' explanation for `irrational' forecasts of inflation
by Vanderhoff, James
- 393-405 Scale and scope economies in the multi-product banking firm
by Gilligan, Thomas & Smirlock, Michael & Marshall, William
March 1984, Volume 13, Issue 2
- 165-181 Testing the interpretation of indices in a macroeconomic index model
by Watson, Mark W. & Kraft, Dennis F.
- 195-210 An analysis of bank risk and deposit rate ceilings : Evidence from the capital markets
by Smirlock, Michael
- 211-224 Optimal monetary policy, endogenous supply and rational expectations
by Fethke, Gary & Jackman, Richard
- 225-236 The government's revenue from money creation and the inflationary effects of a decline in the rate of growth of G.N.P
by Melnick, Rafi & Sokoler, Meir
- 237-249 The social costs of unit banking restrictions
by Flannery, Mark J.
- 251-262 Optimal wage re-negotiation in a closed and open economy
by Aizenman, Joshua
- 263-274 Monetary anticipations and the demand for money
by MacKinnon, James G. & Milbourne, Ross D.
- 275-293 The United States treasury review of the multilateral development banks : An economic critique
by Goldman, Morris B.
January 1984, Volume 13, Issue 1
- 1-2 Editors note
by Brunner, Karl
- 3-3 Editorial data
by Brunner, Karl
- 5-15 Tight money and inflation
by Liviatan, Nissan
- 17-30 The anticipated real interest rate, capital utilization and the cyclical pattern of real wages
by Merrick, John Jr.
- 41-65 The interrelationship between price and output decisions and investment decisions : Microfoundations and aggregate implications
by Maccini, Louis J.
- 67-86 Aggregation and stabilization policy in a multi-contract economy
by Blinder, Alan S. & Mankiw, N. Gregory
- 87-111 Short-run monetary control : Evidence under a non-borrowed reserve operating procedure
by Lindsey, David E. & Farrx, Helen T. & Gillum, Gary P. & Kopecky, Kenneth J. & Porter, Richard D.
- 113-126 On the constancy of the international real rate of interest
by Saunders, Anthony & Tress, Richard B.
- 127-163 An empirical analysis of the effect of monetary disequilibria in open economies
by Sassanpour, Cyrus & Sheen, Jeffrey
November 1983, Volume 12, Issue 4
- 485-518 Long- and short-term interest rates in a risky world
by Mascaro, Angelo & Meltzer, Allan H.
- 519-541 Indexing and inflation
by Fischer, Stanley
- 543-569 Expectations, the exchange rate, and the current account
by Greenwood, Jeremy
- 571-593 The standard of living debate, rational expectations, and neutrality : Some evidence from the industrial revolution
by Modest, David M. & Smith, Bruce D.
- 595-603 The indicator properties of the St. Louis monetary base
by Neumann, Manfred J. M.
- 605-616 Government borrowing and monetary accommodation
by Allen, Stuart D. & Smith, Michael D.
September 1983, Volume 12, Issue 3
- 343-356 Discount window borrowing, monetary policy, and the post-October 6, 1979 federal reserve operating procedure
by Goodfriend, Marvin
- 357-382 Monetary instruments and policy rules in a rational expectations environment
by Dotsey, Michael & King, Robert G.
- 383-398 Staggered prices in a utility-maximizing framework
by Calvo, Guillermo A.
- 399-416 Monetary and commercial policy in a two-country flexible exchange rate model with perfect capital mobility
by Djajic, Slobodan
- 417-432 An analysis of intra-industry differences in the effect of regulation : The case of deposit rate ceilings
by James, Christopher
- 433-452 Interest rate management in LDC's
by Van Wijnbergen, S.
- 453-465 Rational expectations and the expectations model of the term structure : A test using weekly data
by Jones, David S. & Vance Roley, V.
- 467-474 On expectations, term premiums and the volatility of long-term interest rates
by Pesando, James E.
- 475-482 Money, interest rates, and risk
by Slovin, Myron B. & Sushka, Marie Elizabeth
1983, Volume 12, Issue 2
- 199-234 Interest rates, aggregate information, and monetary policy
by King, Robert G.
- 235-258 Some aspects of the monetary economics of Richard Cantillon
by Bordo, Michael David
- 259-277 A rational expectations equilibrium model of inventories of finished goods and employment
by Eichenbaum, Martin
- 279-295 Process consistency and monetary reform : Some further evidence
by Flood, Robert P. & Garber, Peter M.
- 297-308 Support for rational expectations models with U.S. data
by Vanderhoff, James
- 309-319 The determinants of contract length : An empirical analysis based on Canadian micro data
by Christofides, L. N. & Wilton, D. A.
- 321-330 Stochastic reserve losses, bank credit expansion and Bayesian information
by Stanhouse, Bryan E.
- 331-341 Bank earning asset behavior and causality between reserves and money : Lagged versus contemporaneous reserve accounting
by Tarhan, Vefa & Spindt, Paul A.
1983, Volume 12, Issue 1