Content
January 2007, Volume 75, Issue 1
-   131-150 Do Structural Asymmetries Increase The Gains From International Fiscal Policy Coordination?
 by Morten Spange
September 2006, Volume 74, Issue s1
-    1-23 Market Organization And The Prices Of Financial Assets
 by George M. Constantinides
-    24-49 Macroeconometric Modelling With A Global Perspective
 by M. Hashem Pesaran & Ron Smith
-    50-77 A Model Of Bank Capital, Lending And The Macroeconomy: Basel I Versus Basel Ii
 by Lea Zicchino
-    78-92 Multiple Banking Relationships And Over‐Leverage In Italian Manufacturing Firms
 by Stefania Cosci & Valentina Meliciani
-   93-115 The Information Content Of The Term Structure Of Interest Rates About Future Inflation—An Illustration Of The Importance Of Accounting For A Time‐Varying Real Interest Rate And Inflation Risk Premium
 by Christian Mose Nielsen
-   116-139 Do European Central Bank'S Statements Steer Interest Rates In The Euro Zone?
 by Marie Musard‐Gies
December 2006, Volume 74, Issue 6
-    645-669 A Simple Model Of Optimal Tax Systems: Taxation, Measurement And Uncertainty
 by Sanjit Dhami & Ali Al‐Nowaihi
-    670-700 Explaining The Equity Risk Premium
 by Laurian Lungu & Patrick Minford
-    701-710 Coordination Failures In Network Migration
 by Axel Heitmueller
-    711-724 On The Possibility Of Pareto‐Improving Pension Reform
 by Tatiana Damjanovic
September 2006, Volume 74, Issue 5
-   549-557 Bertrand Games With Lifetime Employment Contracts As A Strategic Commitment
 by Kazuhiro Ohnishi
-   558-576 Multiple Facilities, Strategic Splitting And Vertical Structures: Stability, Growth And Distribution Reconsidered
 by Dan Coffey & Philip R. Tomlinson
-    577-592 Two‐Step Empirical Likelihood Estimation Under Stratified Sampling When Aggregate Information Is Available
 by Esmeralda A. Ramalho & Joaquim J. S. Ramalho
-   593-609 A Forward‐Looking Measure Of The Stock Of Human Capital In New Zealand
 by Trinh Le & John Gibson & Les Oxley
-   610-616 Capital Mobility And The Feldstein–Horioka Puzzle: Re‐Examination Of Less Developed Countries
 by James E. Payne & Risa Kumazawa
-   617-625 Employment Risk And The Substitution Between Saving And Unemployment Insurance
 by Iltae Kim
-   626-643 How Sustainable Are Oecd Current Account Balances In The Long Run?
 by Mark J. Holmes
July 2006, Volume 74, Issue 4
-   415-416 Special Issue On Efficiency Analysis In Finance And Macroeconomics: Editors’ Introduction
 by Philip Arestis & Georgios Chortareas
-   417-440 Financial Development And Productive Efficiency In Oecd Countries: An Exploratory Analysis
 by Philip Arestis & Georgios Chortareas & Evangelia Desli
-   441-468 Bank Competition, Concentration And Efficiency In The Single European Market
 by Barbara Casu & Claudia Girardone
-   469-482 Banking And Economic Activity Performance: An Empirical Study At The Country Level
 by Ana Lozano‐Vivas & Jesús T. Pastor
-    483-499 Economies Of Scale And Cost Efficiencies: A Panel‐Data Stochastic‐Frontier Analysis Of Real Estate Investment Trusts
 by Stephen M. Miller & Terrence M. Clauretie & Thomas M. Springer
-   500-525 Productivity, Efficiency And Technological Change In European Union Regional Manufacturing: A Data Envelopment Analysis Approach
 by ALVARO ANGERIZ & JOHN McCOMBIE & MARK ROBERTS
-    526-548 Direct And Indirect Measures Of Capacity Utilization: A Non‐Parametric Analysis Of Us Manufacturing
 by Subhash C. Ray & Kankana Mukherjee & Yanna Wu
June 2006, Volume 74, Issue 3
-   251-265 Optimal Decisions With Linear Random Payoff
 by Carmen F. Menezes & X. Henry Wang
-    266-272 The Choice Of Capacity In Mixed Duopoly Under Demand Uncertainty
 by Yuanzhu Lu & Sougata Poddar
-   273-293 Have Employees In Germany Received Full Wage Compensation After A Cut In Standard Hours?
 by Thorsten Schank
-   294-313 Mixed Oligopoly, Product Differentiation And Competition For Public Transport Services
 by Pedro Cantos‐Sánchez & Rafael Moner‐Colonques
-   314-333 Tariffs And Subsidies Under Asymmetric Oligopoly: Ad Valorem Versus Specific Instruments
 by David R. Collie
-   334-349 Complementary Monopoly And Welfare: Is Splitting Up So Bad?
 by Jolian Mchardy
-   350-354 On Labour Market Dualism In The Lewis Model: A Comment
 by Richard P. C. Brown
-   355-359 Labour Market Dualism In The Lewis Model: Reply
 by Gary S. Fields
-   360-388 Fiscal Policies And Output In The Long Run: A Panel Cointegration Approach Applied To The Oecd
 by Diego Romero‐Avila
-    389-413 Skill Specificity And Labour Mobility: Occupational And Sectoral Dimensions
 by Robert J. R. Elliott & Joanne Lindley
March 2006, Volume 74, Issue 2
-   123-137 Preferences Over Temporal Frames In Dynamic Decision Problems: An Experimental Investigation
 by John D. Hey & Massimo Paradiso
-   138-155 Profit Maximization And Social Optimum With Network Externality
 by Uriel Spiegel & Uri Ben‐Zion & Tchai Tavor
-   156-169 Wholesale Pricing When Buyers Are Asymmetric Cournot Competitors
 by Giuseppe Colangelo
-   170-189 Income Thresholds And Growth Convergence: A Panel Data Approach
 by Tsung‐Wu Ho
-   190-213 Dynamic Incentive Contracts Under No Commitment To Periodic Auditing And A Retrospective Penalty System
 by Hsiao‐Chi Chen
-   214-230 Canadian Money Demand Functions: Cointegration‐Rank Stability
 by Alfred A. Haug
-   231-249 On Third‐Degree Price Discrimination In Oligopoly
 by Krishnendu Ghosh Dastidar
January 2006, Volume 74, Issue 1
-    1-22 Competition In The Media And Advertising Markets
 by Jean J. Gabszewicz & Didier Laussel & Nathalie Sonnac
-   23-39 To Sample Or Not To Sample
 by Hans Haller & Anthony Pavlopoulos
-   40-51 R&D Competition And Endogenous Spillovers
 by Jim Y. Jin & Michael Troege
-    52-63 The Role Of R&D Technology In Asymmetric Research Joint Ventures
 by Sami Dakhlia & Flavio M. Menezes & Akram Temimi
-    64-84 Quality Choice, Sales Restriction And The Mode Of Competition
 by Nicolas Boccard & Xavier Wauthy
-    85-102 Spillovers And Absorptive Capacity In A Patent Race
 by Christine Halmenschlager
-   103-122 International Cooperation, Coalitions Stability And Free Riding In A Game Of Pollution Control
 by Michèle Breton & Karima Fredj & Georges Zaccour
September 2005, Volume 73, Issue s1
-    1-31 A Generalized Earnings‐Based Stock Valuation Model
 by Ming Dong & David Hirshleifer
-   32-57 Returns To Equity, Investment And Q: Evidence From The Uk
 by Simon Price & Christoph Schleicher
-    58-76 Macroeconomic Uncertainty And Macroeconomic Performance: Are They Related?
 by Don Bredin & Stilianos Fountas
-   77-98 Measuring Monetary Policy In The Uk: A Factor‐Augmented Vector Autoregression Model Approach
 by Gianluca Laganà & Andrew Mountford
-   99-127 Estimating A Risky Term Structure Of Brady Bonds
 by Aneel Keswani
December 2005, Volume 73, Issue 6
-   653-663 Foreign Competition With Licensing
 by Arijit Mukherjee & Soma Mukherjee
-   664-685 Measuring Welfare Changes In Labour Supply Models
 by John Creedy & Guyonne Kalb
-   686-708 Wage Growth, Human Capital And Financial Investment
 by Sarah Brown & Karl Taylor
-   709-727 Forecasting Quarterly Aggregate Crime Series
 by Michael P. Clements & Robert Witt
-   728-736 Output Stabilization And Real Rigidity
 by George J. Bratsiotis & Christopher Martin
-    737-753 Fractional Cointegration And Aggregate Money Demand Functions
 by Guglielmo Maria Caporale & Luis A. Gil‐Alana
September 2005, Volume 73, Issue 5
-   563-581 The Relationship Between Patent Licensing And Competitive Behavior
 by Ana I. Saracho
-   582-598 Licensing Contract In A Stackelberg Model
 by Luigi Filippini
-   599-611 INVESTIGATING OKUN's LAW BY THE STRUCTURAL BREAK WITH THRESHOLD APPROACH: EVIDENCE FROM CANADA
 by Ho‐Chuan (River) Huang & Ya‐Kai Chang
-   612-619 On Labour Demand And Equilibria Of The Firm
 by Robert L. Vienneau
-   620-649 Jevons, Mill And The Private Laboratory Of The Mind
 by Harro Maas
July 2005, Volume 73, Issue 4
-    369-434 The Macroeconomics Of Poverty Reduction
 by Pierre‐Richard Agénor
-    435-478 Dual Economy Models: A Primer For Growth Economists
 by Jonathan Temple
-   479-499 Forecasting Manufacturing Output Growth Using Firm‐Level Survey Data
 by James Mitchell & Richard J. Smith & Martin R. Weale
-   500-521 Distributional Conflict, Political Cycles And Growth
 by Christiane Clemens & Maik Heinemann
-   522-541 The Interaction Between Endogenous Fertility And Inequality In The Political Economy
 by Andreas Schäfer
-    542-562 A Comparison Of Exchange Economies Within A Monetary Business Cycle
 by Szilárd Benk & Max Gillman & Michal Kejak
June 2005, Volume 73, Issue 3
-   269-280 A Monopoly Reason Why Autarky Might Be Best For A Large Country
 by Yochanan Shachmurove & Uriel Spiegel
-   281-299 Subsidy In Licensing: Optimality And Welfare Implications
 by Chun‐Hsiung Liao & Debapriya Sen
-    300-320 Earnings And Linguistic Proficiency In A Bilingual Economy
 by Andrew Henley & Rhian Eleri Jones
-    321-342 Employee Training And Wage Compression In Britain
 by Filipe Almeida‐Santos & Karen Mumford
-   343-363 Consumption Asset Pricing Models: Evidence From The Uk
 by Stuart Hyde & Mohamed Sherif
-   364-367 Book Reviews
 by Terry Peach
March 2005, Volume 73, Issue 2
-   123-140 Modelling The Us/Uk Real Exchange Rate–Real Interest Rate Differential Relation: A Multivariate Regime Switching Approach
 by Angelos Kanas
-   141-164 Regional Trade In Sub‐Saharan Africa: An Analysis Of East African Trade Cooperation, 1970–2001
 by Colin Kirkpatrick & Matsuo Watanabe
-   165-213 Optimal And Adaptive Semi‐Parametric Narrowband And Broadband And Maximum Likelihood Estimation Of The Long‐Memory Parameter For Real Exchange Rates
 by Saeed Heravi & Kerry Patterson
-   214-227 Labour Market Distortion, Technology Transfer And Gainful Effects Of Foreign Capital
 by Sarbajit Chaudhuri
-   228-245 Patent Licensing By A Standard Auction In The Presence Of Network Externality
 by Sumit Sarkar
-   246-265 Pricing In The Customer‐Market Model With Uncertainty
 by M. Ali Choudhary
January 2005, Volume 73, Issue 1
-   1-28 Technology Transfer In A Stackelberg Structure: Licensing Contracts And Welfare
 by Tarun Kabiraj
-    29-39 Innovation, Licensing And Welfare
 by Arijit Mukherjee
-   40-49 Cournot Competition In A Two‐Dimensional Circular City
 by María Isabel Berenguer Maldonado & Santiago Carbó Valverde & Miguel Ángel Fortes Escalona
-    50-74 Information Sharing And Optimum Financing Mode
 by Gabriella Chiesa
-   75-91 Meaning Of ‘More Risk Averse’ When Preferences Are Over Mean And Variance
 by Timothy Mathews
-   92-100 Correlation Coefficients, Heteroskedasticity And Contagion Of Financial Crises
 by Gawon Yoon
-   101-122 A Century Of Economic Growth: The Social Returns To Investment In Equipment And Structures
 by Jakob B. Madsen
September 2004, Volume 72, Issue s1
-    1-18 Elements of a Theory of Design Limits to Optimal Policy
 by William A. Brock & Steven N. Durlauf
-    19-33 Strategic Delegation in Monetary Unions
 by V. V. Chari & Larry E. Jones & Ramon Marimon
-    34-54 Optimal Dynamic Taxation with Indivisible Labour
 by Parantap Basu & Laura Marsiliani & Thomas I. Renström
-    55-71 Endogenous Markups and Fiscal Policy
 by Luís F. Costa
-   72-93 UK Business Investment and the User Cost of Capital
 by Colin Ellis & Simon Price
December 2004, Volume 72, Issue 6
-   677-678 Introduction
 by Armando Barrientos & Colin Kirkpatrick
-   679-690 The Lewis Model After 50 Years
 by Colin Kirkpatrick & Armando Barrientos
-   691-711 Unlimited Supplies Of Labor1
 by Robert Tignor
-   712-723 ARTHUR LEWIS's CONTRIBUTION TO DEVELOPMENT THINKING AND POLICY
 by Gustav Ranis
-   724-735 Dualism In The Labor Market: A Perspective On The Lewis Model After Half A Century
 by Gary S. Fields
-   736-750 W. Arthur Lewis Versus The Lewis Model: Agricultural Or Industrial Development?
 by Mark Figueroa
-   751-773 Institutions And Politics In A Lewis‐Type Growth Model
 by Paul Mosley
September 2004, Volume 72, Issue 5
-   569-590 Is the Feldstein–Horioka Puzzle History?
 by Jerry Coakley & Ana‐Maria Fuertes & Fabio Spagnolo
-   591-600 Income Distribution, Price Elasticity and the ‘Robinson Effect’
 by Corrado Benassi & Alessandra Chirco
-   601-617 Job Creators
 by Marc Cowling & Mark Taylor & Peter Mitchell
-   618-625 Implementation of the Socially Optimal Outcome
 by Chun‐Hsiung Liao & Yair Tauman
-   626-640 Non‐Linear Error Correction: Evidence for UK Interest Rates
 by David G. McMillan
-   641-657 Interest Rates and Information
 by Ferdinando Colombo
-   658-676 Casual Jobs and Internal Labour Markets
 by Colin Green & Gareth Leeves
July 2004, Volume 72, Issue 4
-    423-442 Constructing a Quality‐Adjusted Price Index for a Heterogeneous Oligopoly
 by David Prentice & Xiangkang Yin
-   443-462 Tradeable Emissions Permits, Emissions Taxes and Growth
 by Bertrand Crettez
-    463-482 Research and Development, Regional Spillovers and the Location of Economic Activities
 by Alberto Franco Pozzolo
-   483-496 Testing Export‐Led Growth in India, Pakistan and Sri Lanka Using a Multivariate Framework
 by Jim Love & Ramesh Chandra
-   497-514 Quantile Regression Estimates of the Union Wage Effect for Great Britain
 by N. C. O'Leary & P. D. Murphy & D. H. Blackaby
-    515-534 Wage Bargaining and Employer Objectives
 by Torberg Falch
-    535-559 Over‐Education and Ethnic Minorities in Britain
 by H. Battu & P. J. Sloane
-    560-567 Monotonicity and the Roy Model
 by Arnaud Chevalier & Gauthier Lanot
June 2004, Volume 72, Issue 3
-    283-297 Incompletely informed policymakers and trade policy in oligopolistic industries
 by Mustafa Caglayan & Murat Usman
-    298-316 Why are realignments postponed? A model of exchange rate revisions with opportunistic governments
 by Pierre‐Guillaume Méon
-   317-346 Ethnicity, educational attainment and the transition from school
 by Steve Bradley & Jim Taylor
-   347-362 Industrial output and stock price revisited: an application of the multivariate indirect causality model
 by Bwo‐Nung Huang & Chin‐Wei Yang
-   363-381 The profitability of european banks: a cross‐sectional and dynamic panel analysis
 by John Goddard & Phil Molyneux & John O. S. Wilson
-   382-402 On (Ultra) rationality and the corporate and government veils
 by Yannis A. Monogios & Christos Pitelis
-    403-413 Habit formation, work ethics and technological progress
 by João Ricardo Faria & Miguel A. León‐Ledesma
-   414-421 A note on capolupo's ‘output taxation, human capital and growth’
 by Antonio Minniti
March 2004, Volume 72, Issue 2
-   167-178 Successive Monopolies and Regulation in a Spatial Model
 by John S. Heywood & Debashis Pal
-   179-187 On the Risk–Downside Risk Tradeoff
 by Carmen F. Menezes & X. Henry Wang
-   188-205 Patent Licensing in a Leadership Structure
 by Tarun Kabiraj
-   206-220 The Evolution of the Financial Contract in Economic Development
 by Niloy Bose & Maria Pereira
-    221-242 Inflation, Inflation Uncertainty and a Common European Monetary Policy
 by S. Fountas & A. Ioannidis & M. Karanasos
-   243-260 Infrequent Shocks, Output Persistence and Economic Growth
 by Massimo Caruso
-   261-282 A Cautionary Note on the Order of Integration of Post‐war Aggregate Wage, Price and Productivity Measures
 by Robert Sollis & Mark E. Wohar
January 2004, Volume 72, Issue 1
-   1-23 Credibility of European Monetary System Interest Rate Policies: A Markov Regime‐Switching Approach
 by Philip Arestis & Kostas Mouratidis
-   24-49 Hedonic Price Indexes and the Matched Models Approach
 by Mick Silver & Saeed Heravi
-   50-59 The Advertising of Credence Goods as a Signal of Product Quality
 by Sunku Hahn
-    60-71 Cointegration Theory, Equilibrium and Disequilibrium Economics
 by Karim Maher Abadir
-   72-99 Interactions between Money, Lending and Investment in the UK Private Non‐Financial Corporate Sector
 by Andrew Brigden & Paul Mizen
-    100-118 Trade Liberalization and the Balance of Payments in Selected Developing Countries
 by Amelia U. Santos‐Paulino
-   119-130 Corporate Retentions and Consumers’ Expenditure
 by Michael Sumner
-   131-151 Segmentation Versus Integration: The Case of Non‐Homogeneous Groups
 by U. Spiegel & J. Templeman
-    152-166 Fiat Money in a Search‐Theoretical Model with Generalist Consumers
 by Xavier Cuadras‐Morató
September 2003, Volume 71, Issue s1
-   1-20 Can Pay‐as‐You‐Go Pensions Raise the Capital Stock?
 by Mark A. Roberts
-   21-38 Behavioural Central Bank Loss Functions, Skewed Risks and Certainty Equivalence
 by Ali Al‐Nowaihi & Livio Stracca
-   39-53 Purchasing Power Parity Adjustment Speeds in High Frequency Data when the Equilibrium Real Exchange Rate is Proxied by a Deterministic Trend
 by Ivan Paya & David A. Peel
-    54-67 Testing the Expectations Hypothesis of the Term Structure of Interest Rates in the Presence of a Potential Regime Shift
 by Markku Lanne
-    68-84 Testing for Common Cycles in Money, Nominal Income and Prices
 by Stephen Hall & David Shepherd
December 2003, Volume 71, Issue 6
-   567-592 Propagation of Nominal Shocks in Open Economies
 by Torben M. Andersen & Niels C. Beier
-   593-610 Are Employment Effects of Gender Discrimination Important? Some Evidence from Great Britain
 by Michael P. Kidd & Euan Phimister & Ivan Ferko
-   611-625 Durable Goods, Commitment Power and Public Monopolies
 by Gregory E. Goering & Michael K. Pippenger
-   626-640 On the Theory of the Price‐ and Quality‐Setting Firm with Uncertain Demand
 by Iltae Kim
-    641-658 The Revenue Responsiveness of Income and Consumption Taxes in the UK
 by John Creedy & Norman Gemmell
-   659-672 Foreign Direct Investment, Technology Sourcing and Reverse Spillovers
 by Nigel Driffield & James H. Love
-   673-679 Bounds Tests of the Gibson Paradox and the Fisher Effect: Evidence from Low‐Frequency International Data
 by Frank J. Atkins & Apostolos Serletis
-   680-710 The Faculty of Commerce and Manchester Economics, 1903–44
 by Keith Tribe
September 2003, Volume 71, Issue 5
-   473-477 Editorial Introduction
 by Philip Arestis & Georgios Chortareas
-    478-497 Monetary policy transparency: transparent about what?
 by Daniel L. Thornton
-   498-520 Imperfect transparency and the strategic use of information: an ever present temptation for central bankers?
 by Andrew Hughes Hallett & Nicola Viegi
-   521-540 Does monetary policy transparency reduce disinflation costs?
 by Georgios Chortareas & David Stasavage & Gabriel Sterne
-    541-565 The inflation bias revisited: theory and some international evidence
 by Alex Cukierman & Stefan Gerlach
July 2003, Volume 71, Issue 4
-   363-380 Growth and Finance
 by John Driffill
-   381-395 Recursive Modeling of Nonlinear Dynamics in UK Stock Returns
 by Massimo Guidolin & Allan Timmermann
-   396-416 A Small Open Economy with Staggered Wage Setting and Intertemporal Optimization: The Basic Analytics
 by John Fender & Neil Rankin
-   417-447 The Distributional Heterogeneity of Growth Effects: Some Evidence
 by Brendan M. Cunningham
-    448-469 Stochastic Pollution and Environmental Care in an Endogenous Growth Model
 by Susanne Soretz
-   470-471 Book Review
 by Rob Elliott
June 2003, Volume 71, Issue 3
-    217-241 Maximum Sustainable Government Debt in the Overlapping Generations Model
 by Neil Rankin & Barbara Roffia
-   242-264 On Public Investment, the Real Exchange Rate and Growth: Some Empirical Evidence from the UK and the USA
 by Sugata Ghosh & Iannis A. Mourmouras & Sarmistha Pal & Ivan Paya
-    265-292 A Tale of Two Cycles: Co‐Fluctuations Between UK Regions and the Euro Zone
 by Salvador Barrios & Marius Brülhart & Robert J.R. Elliott & Marianne Sensier
-    293-307 Some Econometric Issues in Convergence Regressions
 by Adriana Di Liberto & James Symons
-   308-329 Wage Centralization and the Scope of Firm–Union Bargaining: ‘Efficient Bargains’ or ‘Labour Demand’?
 by Minas Vlassis
-    330-340 Indexation Rules, Risk Aversion and Imperfect Information
 by Corrado Benassi & Antonello E. Scorcu
-   341-362 Estimation of Technical and Allocative Inefficiency Using Fourier Flexible Cost Frontiers for Taiwan's Banking Industry
 by Tai‐Hsin Huang & Mei‐Hui Wang
March 2003, Volume 71, Issue 2
-   97-112 Overtime Working, The Phillips Curve And The Wage Curve: British Engineering, 1926–66
 by Robert A. Hart
-    113-131 Option Or Obligation? The Determinants Of Labour Supply Preferences In Britain
 by René Böheim & Mark P. Taylor
-   132-155 Housing Markets And Regional Unemployment Flows In Great Britain
 by Martin T. Robson
-   156-171 Real Exchange Rate Dynamics Under The Current Float: A Re–Examination
 by Michael Bleaney & Stephen J. Leybourne
-    172-204 The Functional Form Of The Demand For Euro Area M1
 by Livio Stracca
-   205-216 The Capital Investment Problem With Technological Change
 by Neslihan Ozkan
January 2003, Volume 71, Issue 1
-    1-19 ‘Footloose’ Multinationals?
 by Holger Görg & Eric Strobl
-    20-34 Financial Liberalization And The Sensitivity Of House Prices To Monetary Policy: Theory And Evidence
 by Matteo Iacoviello & Raoul Minetti
-   35-50 The Backward–Bending Phillips Curve And The Minimum Unemployment Rate Of Inflation: Wage Adjustment With Opportunistic Firms
 by Thomas I. Palley
-   51-64 Does The Exchange Rate Regime Affect Export Volume? Evidence From Bilateral Exportsin US–UK Trade: 1900–98
 by Stilianos Fountas & Kyriacos Aristotelous
-    65-77 Real Interest Rates And Real Exchange Rates: Evidence From Indexed Bonds
 by Michael Bleaney & Douglas Laxton
-   78-88 Twin Peaks—A Reassessment
 by Joseph G. Pearlman
2002, Volume 70, Issue S1
-   1-15 The Responsiveness of Consumer Prices to Exchange Rates: A Synthesis Of Some New Open Economy Macro Models
 by Charles Engel
-   16-36 Credit Channel and Industrial Firms’ Market Power
 by Marco Mazzoli
-   37-54 Multiple Banking Relationships: Evidence from the Italian Experience
 by Stefania Cosci & Valentina Meliciani
-   55-86 Monetary Policy with an Endogenous Capital Stock When Inflation is Persistent
 by Richard Mash
-   87-106 Explaining Stock Market Correlation: A Gravity Model Approach
 by Thomas J Flavin & Margaret J Hurley & Fabrice Rousseau
-   107-126 The Impact of Information and Communications Technology Investment on UK Productive Potential 1986–2000: New Statistical Methods and Tests
 by Peter Spencer
December 2002, Volume 70, Issue 6
-   747-767 Selecting From Amongst Non–Nested Conditional Variance Models: Information Criteria and Portfolio Determination
 by Chris Brooks & Simon P. Burke
-   768-791 The Stochastic Structure of the Time–Varying Beta: Evidence from UK Companies
 by Taufiq Choudhry
-   792-811 The Utilization of Education and Skills: Evidence from Britain
 by Francis Green & Steven McIntosh & Anna Vignoles
-   812-821 On the Effectiveness of the Lifetime–Employment–Contract Policy
 by Kazuhiro Ohnishi
-   822-832 Term Structure Forecasts of Inflation: Some Further Results
 by N. Blake & S.G.B. Henry & D. Robertson
September 2002, Volume 70, Issue 5
-    651-665 Seasonal Time Series and Autocorrelation Function Estimation
 by Hahn Shik Lee & Eric Ghysels & William R. Bell
-   666-681 A Note on Estimating Market–based Minimum Capital Risk Requirements: A Multivariate GARCH Approach
 by C. Brooks & A. D. Clare & G. Persand
-   682-709 Comparison of Economic Efficiency Estimation Methods: Parametric and Non–parametric Techniques
 by Tai–Hsin Huang & Mei–Hui Wang
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 Printed from https://ideas.repec.org/s/bla/manchs5.html