Directorate General Economic and Monetary Affairs (DG ECFIN), European Commission
European Economy - Economic Papers
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2013
- 480 Stochastic public debt projections using the historical variance-covariance matrix approach for EU countries
by Katia Berti - 479 Expected sovereign defaults and fiscal consolidations
by Werner Roeger & Jan in 't Veld - 478 The cyclically-adjusted budget balance used in the EU fiscal framework: an update
by Gilles Mourre & George-Marian Isbasoiu & Dario Paternoster & Matteo Salto - 477 Indebtedness, Deleveraging Dynamics and Macroeconomic Adjustment
by Carlos Cuerpo & Inês Drumond & Julia Lendvai & Peter Pontuch & Rafal Raciborski
2012
- 476 The accuracy of the European Commission's forecasts re-examined
by Laura Gonzalez Cabanillas & Alessio Terzi - 475 An early-detection index of fiscal stress for EU countries
by Katia Berti & Matteo Salto & Matthieu Lequien - 474 The impact of structural policies on external accounts in infinite-horizon and finite-horizon models
by Lukas Vogel - 473 National Expenditure Rules – Why, How and When
by Joaquim Ayuso i Casals - 472 Non-bank financial institutions: assessment of their impact on the stability of the financial system
by Patrice Muller & Graham Bishop & Shaan Devnani & Mark Lewis & Rohit Ladher - 471 Energy Inflation and House Price Corrections
by Andreas Breitenfellner & Jesús Crespo Cuaresma & Philipp Mayer - 470 The performance of simple fiscal policy rules in monetary union
by Lukas Vogel & Werner Roeger & Bernhard Herz - 469 Long-term care: need, use and expenditure in the EU-27
by Barbara Lipszyc & Etienne Sail & Ana Xavier - 468 Fiscal Decentralisation and Fiscal Outcomes
by Matteo Governatori & David Yim - 467 Measuring quality and non-cost competitiveness at a country-product level
by Francesco Di Comite - 466 Sovereign debt sustainability scenarios based on an estimated model for Spain
by Jan in 't Veld & Andrea Pagano & Marco Ratto & Werner Roeger & Istvan P. Szekely - 465 The Dutch current account balance and net international investment position
by Windy Vandevyvere - 464 Fiscal Policy, Banks and the Financial Crisis
by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in't Veld - 463 Property taxation and enhanced tax administration in challenging times
by Christian Gayer & Gilles Mourre - 462 Fiscal consolidation in reformed and unreformed labour markets: A look at EU countries
by Alessandro Turrini - 461 Cost-containment policies in public pharmaceutical spending in the EU
by Giuseppe Carone & Christoph Schwierz & Ana Xavier - 460 Fiscal Multipliers and Public Debt Dynamics in Consolidations
by Jocelyn Boussard & Francisco de Castro & Matteo Salto - 459 Stochastic debt simulation using VAR models and a panel fiscal reaction function – results for a selected number of countries
by João Medeiros - 458 Imbalances and rebalancing scenarios in an estimated structural model for Spain
by Jan in 't Veld & Andrea Pagano & Rafal Raciborski & Marco Ratto & Werner Roeger - 457 The housing market in the Netherlands
by Windy Vandevyvere & Andreas Zenthöfer - 456 The economic impact of the Services Directive: A first assessment following implementation
by Josefa Monteagudo & Aleksander Rutkowski & Dimitri Lorenzani - 455 Structural unemployment and its determinants in the EU countries
by Fabrice Orlandi - 454 Benchmarking Unemployment Benefit Systems
by Klara Stovicek & Alessandro Turrini - 453 Evaluating the Macroeconomic Effects of Government Support Measures to Financial Institutions in the EU
by Jan in 't Veld & Werner Roeger - 452 Automatic Fiscal Stabilisers: What they are and what they do
by Jan in 't Veld & Martin Larch & Marieke Vandeweyer - 451 Inflation forecasting and the crisis: assessing the impact on the performance of different forecasting models and methods
by Christian Buelens - 450 Securities Transaction Taxes: Macroeconomic Implications in a General-Equilibrium Model
by Rafal Raciborski & Julia Lendvai & Lukas Vogel - 449 Corporate balance sheet adjustment: stylized facts, causes and consequences
by Eric Ruscher & Guntram Wolff - 448 Tax avoidance and fiscal limits: Laffer curves in an economy with informal sector
by Lukas Vogel - 447 The impact of state guarantees on banks' debt issuing costs, lending and funding policy
by Patrice Muller & Shaan Devnani & Rasmus Flytkjaer
2011
- 446 The improbable renaissance of the Phillips curve: The crisis and euro area inflation dynamics
by Lourdes Acedo Montoya & Björn Döhring - 445 Household savings and mortgage decisions: the role of the "down-payment channel" in the euro area
by Narcissa Balta & Eric Ruscher - 443 Structural reforms and external rebalancing in the euro area: a model-based analysis
by Lukas Vogel - 442 From CAB to CAAB? Correcting Indicators of Structural Fiscal Positions for Current Account Imbalances
by Julia Lendvai & Laurent Moulin & Alessandro Turrini - 441 Measuring Euro Area Monetary Policy Transmission in a Structural Dynamic Factor Model
by Matteo Barigozzi & Antonio M. Conti & Matteo Luciani - 440 Commodity prices, commodity currencies, and global economic developments
by Paolo A. Pesenti & Jan J.J. Groen - 439 Fiscal policy and the labour market: the effects of public sector employment and wages
by Pedro Gomes - 438 Extension of the Study on the Diffusion of Innovation in the Internal Market
by Jordi Suriñach & Fabio Manca & Rosina Moreno - 437 Food and Energy Prices, Government Subsidies and Fiscal Balances in South Mediterranean Countries
by Ronald Albers & Marga Peeters - 436 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
by Michael G. Arghyrou & Alexandros Kontonikas
2010
- 435 The forecasting horizon of inflationary expectations and perceptions in the EU – Is it really 12 months?
by Lars Jonung & Staffan Linden - 434 The Price and Risk Effects of Option Introductions on the Nordic Markets
by Staffan Linden - 433 Rules and risk in the euro area: does rules-based national fiscal governance contain sovereign bond spreads?
by Anna Iara & Guntram B. Wolff - 432 Trade Elasticities: A Final Report for the European Commission
by Jean Imbs & Isabelle Mejean - 431 The portfolio balance effect and reserve diversification: an empirical analysis
by Costas Karfakis - 430 China's External Surplus: Simulations with a Global Macroeconomic Model
by Lukas Vogel - 429 The Stability and Growth Pact: Lessons from the Great Recession
by Martin Larch & Paul van den Noord & Lars Jonung - 428 Adjustment in the Euro Area and Regulation of Product and Labour Markets: An Empirical Assessment
by Pietro Biroli & Gilles Mourre & Alessandro Turrini - 427 427 - Comparing alternative methodologies for real exchange rate assessment - Matteo Salto and Aless
by Matteo Salto & Alessandro Turrini - 426 Fiscal stimulus and exit strategies in the EU: a model-based analysis
by Werner Roeger & Jan in 't Veld - 425 Determinants of Capital Flows to the New EU Member States Before and During the Financial Crisis
by Anton Jevcak & Ralph Setzer & Massimo Suardi - 424 Quantifying the potential macroeconomic effects of the Europe 2020 strategy: stylised scenarios
by Alexandr Hobza & Gilles Mourre - 423 Assessing financial integration: a comparison between Europe and East Asia
by Rossella Calvi - 422 The Potential Impact of EU Cohesion Policy Spending in the 2007-13 Programming Period: A Model-Based
by Janos Varga and Jan in 't Veld - 421 Management of China's foreign exchange reserves: a case study on the state administration of foreign
by Yu-Wei Hu - 420 The production function methodology for calculating potential growth rates and output gaps
by Francesca D'Auria & Cécile Denis & Karel Havik & Kieran Mc Morrow & Christophe Planas & Rafal Raciborski & Werner Roger & Alessandro Rossi - 419 Discretionary measures and tax revenues in the run-up to the financial crisis
by Salvador Barrios & Raffaele Fargnoli - 418 EU fiscal consolidation after the financial crisis. Lessons from past experiences
by Salvador Barrios & Sven Langedijk & Lucio Pench - 417 Projecting future health care expenditure at European level: drivers, methodology and main results
by Bartosz Przywara - 416 Proliferation of risk and policy responses in the EU financial markets
by Lucjan T. Orlowski - 415 The changing pattern of international trade and capital flows of the GCC countries
by Marga Peeters - 414 Fiscal performance and income inequality: Are unequal societies more deficit-prone? Some cross-count
by Martin Larch - 413 What is the growth potential of green innovation? An assessment of EU climate policy options
by Andrea Conte & Ariane Labat & Janos Varga & Ziga Zarnic - 412 The Chinese pension system - First results on assessing the reform options
by Heikki Oksanen - 410 Does capacity utilisation help estimating the TFP cycle?
by Christophe Planas & Werner Roeger & Alessandro Rossi - 409 Assessing the Competitive Behaviour of Firms in the Single Market: A Micro-based Approach
by Carlo Altomonte & Marcella Nicolini & Armando Rungi & Laura Ogliari - 408 Support schemes for renewable electricity in the EU
by Joan Canton & �sa Johannesson Lind�n - 407 Heterogeneity in money holdings across euro area countries: the role of housing
by Ralph Setzer & Paul van den Noord & Guntram B. Wolff - 406 Options for International Financing of Climate Change Mitigation in Developing Countries
by Mark Hayden & Paul J.J. Veenendaal & Žiga Žarnić - 405 EU labour market behaviour during the Great Recession
by Alfonso Arpaia & Nicola Curci - 404 Unexpected changes in tax revenues and the stabilisation function of fiscal policy. Evidence for EU
by Salvador Barrios & Pietro Rizza - 403 Market Integration and Technological Leadership in Europe
by Ren� Belderbos & Leo Sleuwaegen & Reinhilde Veugelers - 402 Business Cycle Synchronization in Europe: Evidence from the Scandinavian Currency Union
by U. Michael Bergman & Lars Jonung - 401 An indicator-based assessment framework to identify country-specific challenges towards greener grow
by Joan Canton & Ariane Labat & Anton Roodhuijzen - 400 The role of technology in health care expenditure in the EU
by Kamil Dybczak & Bartosz Przywara - 399 How to close the productivity gap between the US and Europe: A quantitative assessment using a semi-endogenous growth model
by Werner Roeger & Janos Varga & Jan in 't Veld - 398 External deficits in the Baltics 1995 to 2007: Catching up or imbalances
by Julia Lendvai & Werner Roeger - 397 Using a DSGE model to look at the recent boom-bust cycle in the US
by Marco Ratto & Werner Roeger & Jan in 't Veld
2009
- 396 Did the introduction of the euro impact on inflation uncertainty? - An empirical assessment
by Matthias Hartmann & Helmut Herwartz - 395 The euro: It can't happen, It's a bad idea, It won't last. US economists on the EMU, 1989-2002
by Lars Jonung & Eoin Drea - 394 Study on quality of public finances in support of growth in the Mediterranean partner countries of the EU
by Case - 393 EU accession: A road to fast-track convergence?
by Uwe B�wer & Alessandro Turrini - 392 A comparison of structural reform scenarios across the EU member states - Simulation-based analysis using the QUEST model with endogenous growth
by Francesca D'Auria & Andrea Pagano & Marco Ratto & Janos Varga - 391 Institutions and performance in European labour markets: taking a fresh look at evidence
by Alfonso Arpaia & Gilles Mourre - 390 Study on the efficiency and effectiveness of public spending on tertiary education
by Miguel St. Aubyn & �lvaro Pina & Filomena Garcia & Joana Pais - 389 Macroeconomic effects of cost savings in public procurement
by Lukas VOGEL - 388 Determinants of intra-euro area government bond spreads during the financial crisis
by Salvador Barrios & Per Iversen & Magdalena Lewandowska & Ralph Setzer - 387 A model-based analysis of the impact of Cohesion Policy expenditure 2000-06: simulations with the QUEST III endogenous R&D model
by Janos Varga & Jan in 't Veld - 386 Growth and economic crises in Turkey: leaving behind a turbulent past?
by Mihai Macovei - 385 Assessing the short-term impact of pension reforms on older workers' participation rates in the EU: a diff-in-diff approach
by Alfonso Arpaia & Kamil Dybczak & Fabiana Pierini - 384 The diffusion/adoption of innovation in the internal market
by Jordi Suriñach & Corinne Autant-Bernard & Fabio Manca & Nadine Massard & Rosina Moreno - 383 Lessons for China from financial liberalization in Scandinavia
by Hongyi Chen & Lars Jonung & Olaf Unteroberdoerster - 382 Gauging by numbers: A first attempt to measure the quality of public finances in the EU
by Salvador Barrios & Andrea Schaechter - 381 The euro and prices: changeover-related inflation and price convergence in the euro area
by Jan-Egbert Sturm & Ulrich Fritsche & Michael Graff & Michael Lamla & Sarah Lein & Volker Nitsch & David Liechti & Daniel Triet - 380 Price rigidity in the euro area - An assessment
by Emmanuel Dhyne & Jerzy Konieczny & Fabio Rumler & Patrick Sevestre - 379 Understanding Labour Income Share Dynamics in Europe
by Alfonso Arpaia & Esther Pérez & Karl Pichelmann - 378 The so-called "sovereign wealth funds": regulatory issues, financial stability and prudential supervision
by Simone Mezzacapo - 377 Achieving and safeguarding sound fiscal positions - Proceedings of the Workshop organised by the Directorate-General for Economic and Financial Affairs in Brussels on 17 January 2008 - Martin Larch
by Martin Larch - 376 Efficiency of public spending in support of R&D activities
by Michele Cincera & Dirk Czarnitzki & Susanne Thorwarth - 375 External rebalancing is not just an exporters' story: real exchange rates, the non-tradable sector and the euro
by Eric Ruscher & Guntram B. Wolff - 374 The cyclically-adjusted budget balance in EU fiscal policy making : A love at first sight turned into a mature relationship
by Martin Larch & Alessandro Turrini - 373 Money demand in the euro area: new insights from disaggregated data
by Ralph Setzer & Guntram B. Wolff - 372 The quest for the best consumer confidence indicator
by Andreas Jonsson & Staffan Lindén - 371 A model-based assessment of the macroeconomic impact of EU structural funds on the new Member States
by Janos Varga & Jan in 't Veld - 370 Saving in an ageing society with public pensions: implications from lifecycle analysis
by Heikki Oksanen - 369 FDI spillovers in the Czech Republic: takeovers vs. greenfields
by Juraj Stančík - 368 Sustainable real exchange rates in the new EU Member States: Is FDI a mixed blessing?
by Jan Babeck� & Aleš Bulíř & Kateřina šmídková - 367 The EU enlargement and economic growth in the CEE new member countries
by Ryszard Rapacki & Mariusz Pr�chniak - 366 The second transition: Eastern Europe in perspective
by Stefania Fabrizio & Daniel Leigh & Ashoka Mody - 365 The consistency of EU foreign policies towards new member states
by Jean-Claude Berth�lemy & Mathilde Maurel - 364 Evolving pattern of intra-industry trade specialization of the new Member States (NMS) of the EU: the case of automotive industry
by Elżbieta Kawecka-Wyrzykowska - 363 Migration in an enlarged EU: A challenging solution?
by Martin Kahanec & Klaus F. Zimmermann - 362 Real convergence, financial markets, and the current account - Emerging Europe versus emerging Asia
by Sabine Herrmann & Adalbert Winkler - 361 An evaluation of the EU's Fifth Enlargement With special focus on Bulgaria and Romania
by Fritz Breuss - 360 The Swedish model for resolving the banking crisis of 1991 - 93. Seven reasons why it was successful
by Lars Jonung - 359 Taxes and employment - is there a Scandinavia puzzle ?
by Torben M. Andersen - 358 Setting targets for government budgets in the pursuit of intergenerational equity
by Heikki Oksanen - 357 Fiscal policy with credit constrained households
by Werner Roeger & Jan in 't Veld - 356 International taxation and multinational firm location decisions
by Salvador Barrios & Harry Huizinga & Luc Laeven & Gaëtan Nicodème - 355 Competitiveness and growth in EMU: The role of the external sector in the adjustment of the Spanish economy
by Carlos Martinez-Mongay & Luis Angel Maza Lasierra - 354 What explains the differences in income and labour utilisation and drives labour and economic growth in Europe? A GDP accounting perspective
by Gilles Mourre
2008
- 353 Constricted, lame and pro-cyclical? Fiscal policy in the euro area revisited
by Servaas Deroose & Martin Larch & Andrea Schaechter - 352 Asia-Europe: the third link
by Jean Pisani-Ferry & J�r�mie Cohen-Setton - 351 Structural Reforms in the EU: A simulation-based analysis using the QUEST model with endogenous growth
by Werner Roeger & Janos Varga & Jan in 't Veld - 350 The great financial crisis in Finland and Sweden - The dynamics of boom, bust and recovery, 1985-2000
by Lars Jonung & Jaakko Kiander & Pentti Vartia - 349 Economic impact of migration flows following the 2004 EU enlargement process - A model based analysis
by Francesca D'Auria & Kieran Mc Morrow & Karl Pichelmann - 348 Costs and benefits of running an international currency
by Elias Papaioannou & Richard Portes - 347 The role of the euro in Sub-Saharan Africa and in the CFA franc zone
by Martin Hallet - 346 Adjustment capacity of labour markets of the Western Balkan countries
by DG ECFIN & Vienna Institute for International Economic Studies - 345 Global Impact of a Shift in Foreign Reserves to Euros
by Fritz Breuss & Werner Roeger & Jan in 't Veld - 344 Fiscal Policy, intercountry adjustment and the real exchange rate within Europe
by Christopher Allsopp & David Vines - 343 Implications of EMU for Global Macroeconomic and Financial Stability
by Bj�rn D�hring & Heliodoro Temprano-Arroyo - 342 Promoting prosperity and stability: the EMU anchor in candidate and potential candidate countries
by Dg Ecfin - 341 How product market reforms lubricate shock adjustment in the euro area
by Jacques Pelkmans & Lourdes Acedo Montoya & Alessandro Maravalle - 340 Mobility in Europe - Why it is low, the bottlenecks, and the policy solutions
by Alexandre Janiak - 339 The EU-US total factor productivity gap : An industry perspective
by Karel Havik & Kieran Mc Morrow & Werner R�ger & Alessandro Turrini - 338 Labour Markets in EMU - What has changed and what needs to change
by Giuseppe Bertola - 337 The quality of public finances and economic growth
by Salvador Barrios & Andrea Schaechter - 336 An analysis of the possible causes of product market malfunctioning in the EU: First results for manufacturing and service sectors
by Fabienne Ilzkovitz & Adriaan Dierx & Nuno Sousa - 335 QUEST III: an estimated DSGE model of the euro area with fiscal and monetary policy
by Marco Ratto & Werner Roeger & Jan in 't Veld - 334 Risk sharing and portfolio allocation in EMU
by Yuliya Demyanyk & Charlotte Ostergaard & Bent E. Sorensen - 333 Time-varying integration, the euro and international diversification strategy
by Lieven Baele & Koen Inghelbrecht - 332 Sovereign bond market integration: the euro, trading platforms and globalisation
by Guntram B. Wolff & Alexander Schulz - 331 The Great Moderation in the euro area: What role have macroeconomic policies played ?
by Laura Gonz�lez Cabanillas & Eric Ruscher - 330 ECB Credibility and Transparency
by Petra M. Geraats - 329 Monetary and Financial Integration in East Asia: The Relevance of European Experience
by Yung Chul Park & Charles Wyplosz - 328 The Evolution of Economic Governance in EMU
by Paul van den Noord & Bj�rn D�hring & Sven Langedijk & Jo�o Nogueira Martins & Lucio Pench & Heliodoro Temprano-Arroyo & Michael Thiel - 327 The economic aspects of the energy sector in CIS countries
by Case - 326 "Constrained Flexibility" as a tool to facilitate reform of the EU budget
by Marco Buti & Mario Nava - 325 Growth and income distribution in an integrated Europe: Does EMU make a difference?
by Lars Jonung & Jarmo Kontulainen - 324 Defying the 'Juncker Curse': Can Reformist Governments Be Re-elected?
by Marco Buti & Alessandro Turrini & Paul Van den Noord & Pietro Biroli - 323 Fiscal policy and the cycle in the Euro Area: The role of government revenue and expenditure
by Alessandro Turrini - 322 Adjustment Dynamics in the Euro Area - A Fresh Look at the Role of Fiscal Policy Using a DSGE Approach
by G. Russell Kincaid - 321 Study on the Impact of the Euro on Trade and Foreign Direct Investment
by Richard Baldwin & Virginia DiNino & Lionel Fontagn� & Roberto A. De Santis & Daria Taglioni - 320 Received wisdom and beyond: Lessons from fiscal consolidation in the EU
by Martin Larch & Alessandro Turrini - 319 Recent Developments in the European Private Equity Markets
by Kristiina Raade & Catarina Dantas Machado Rosa - 318 The impact of EMU on growth and employment
by Ray Barrell & Sylvia Gottschalk & Dawn Holland & Ehsan Khoman & Iana Liadze & Olga Pomerantz - 317 The international role of the euro: a status report
by Elias Papaioannou & Richard Portes - 316 Government size and output volatility: should we forsake automatic stabilization?
by Xavier Debrun & Jean Pisani-Ferry & Andr� Sapir - 315 Factor Mobility and the Distribution of Economic Activity in Integrated Economies: Evidence and Implications
by Harry P. Bowen & Haris Munundar & Jean-Marie Viaene - 314 The ECB and the bond market
by Carlo Favero & Francesco Giavazzi - 313 Is the euro advantageous? Does it foster European feelings? Europeans on the euro after five years
by Lars Jonung & Cristina Conflitti - 312 Financial Market Integration under EMU
by Tullio Jappelli & Marco Pagano - 311 Economic governance in an enlarged euro area
by Iain Begg - 310 Taxation Policy in EMU - Julian Alworth and Giampaolo Arachi
by Julian Alworth & Giampaolo Arachi - 309 The Impact of the Euro on International Stability and Volatility
by Stefan Gerlach & Mathias Hoffmann - 308 A Modern Reconsideration of the Theory of Optimal Currency Areas
by Giancarlo Corsetti - 307 A Long Term Perspective on the Euro
by Michael Bordo & Harold James - 306 EMU's Decentralized System of Fiscal Policy
by Jürgen von Hagen & Charles Wyplosz - 305 Coordination without Explicit Cooperation: Monetary-Fiscal Interactions in an Era of Demographic Change
by Andrew Hughes Hallett - 304 Euro Area Enlargement and Euro Adoption Strategies
by Zsolt Darvas & Gy�rgy Szap�ry - 303 Sui Generis EMU
by Barry Eichengreen - 302 European Economic and Monetary Integration, and the Optimum Currency Area Theory
by Francesco Paolo Mongelli - 301 The effectiveness and efficiency of public spending
by Ulrike Mandl & Adriaan Dierx & Fabienne Ilzkovitz - 300 Government expenditure and economic growth in the EU: long-run tendencies and short-term adjustment
by Alfonso Arpaia & Alessandro Turrini - 299 Hedging and invoicing strategies to reduce exchange rate exposure - a euro-area perspective
by Bj�rn D�hring
2007
- 298 Imposing a unilateral carbon constraint on European energy-intensive industries and its impact on their international competitiveness - data & analysis
by Manfred Bergmann & Andreas Schmitz & Mark Hayden & Katri Kosonen - 297 Fiscal indicators - Proceedings of the the Directorate-General for Economic and Financial Affairs Workshop held on 22 September 2006 in Brussels
by Martin Larch & Jo�o Nogueira Martins - 296 The euro - what's in it for me? An economic analysis of the Swedish euro referendum of 2003
by Lars Jonung & Jonas Vlachos - 295 Where does Capital Flow? A Comparison of U.S. States and EU Countries 1950-2000
by Sebnem Kalemli-Ozcan & Bent E. Sorensen & Belgi Turan - 294 Growth and Economic Policy: Are There Speed Limits to Real Convergence?
by Istv�n P. Sz�kely & Max Watson - 293 Asset Booms and Tax Receipts: The case of Spain, 1995-2006
by C. Martinez-Mongay & L.A. Maza Lasierra & J. Yaniz Igal - 292 Price convergence in the enlarged internal market
by Christian Dreger & Konstantin Kholodilin & Kirsten Lommatzsch & Jirka Slacalek & Przemyslaw Wozniak - 291 The track record of the Commission's forecasts - an update
by A. Melander & G. Sismanidis & D. Grenouilleau - 290 An overview of the EU KLEMS Growth and Productivity Accounts
by Douglas Koszerek & Karel Havik & Kieran Mc Morrow & Werner R�ger & Frank Sch�nborn - 289 Pension Systems, Ageing and the Stability and Growth Pact
by Roel Beetsma & Heikki Oksanen - 288 Towards Inflation Targeting in Egypt: Fiscal and institutional reforms to support disinflation efforts
by Hoda Abdel-Ghaffar Yousse - 287 A fresh look at business cycle synchronisation in the euro area
by Christian Gayer - 286 The economic analysis of state aid: Some open questions
by Christian Buelens & Gaëlle Garnier & Roderick Meiklejohn & Matthew Johnson - 285 Testing the EU fiscal surveillance: How sensitive is it to variations in output gap estimates?
by Sven Langedijk & Martin Larch - 284 What drives inflation perceptions? A dynamic panel data analysis
by Bj�rn D�hring & Aurora Mordonu - 283 The potential impact of the fiscal transfers under the EU Cohesion Policy Programme
by Jan in 't Veld - 282 Quantitative assessment of Structural Reforms: Modelling the Lisbon Strategy
by Alfonso Arpaia & Werner Roeger & Janos Varga & Jan in 't Veld & Alexandr Hobza & Isabel Grilo & Peter Wobst - 281 Nominal and real wage flexibility in EMU
by Alfonso Arpaia & Karl Pichelmann - 280 Tax revenues in the European Union: Recent trends and challenges ahead
by Giuseppe Carone & Jan Host Schmidt & Gaetan Nicodeme - 279 Provisions of the welfare state: employment protection versus unemployment insurance
by Michael Neugart

