Content
2004
- 761 Firms' dynamic adjustment to target capital structures in transition economies
by R.T.A. de Haas & H.M.M. Peeters - 760 Palmnet: A pension asset and liability model for the Netherlands
by M.C.J. van Rooij & A.H. Siegmann & P.J.G. Vlaar - 759 Rational Ambiguity and Monitoring the Central Bank
by Maria Demertzis & Andrew Hughes Hallet - 758 Nonlinear monetary policy in europe: fact or myth?
by W.A. Bruinshoofd & B. Candelon - 757 An Anatomy of Futures Returns: Risk Premiums and Trading Strategies
by Frans A. de Roon & Rob W. J. van den Goorbergh & Theo E. Nijman - 756 Dutch corporate liquidity management: new evidence on aggregation
by W.A. Bruinshoofd & C.J.M. Kool - 755 The simple economics of bank fragility
by C.G. de vries
2003
- 752 Pensions and public opinion: a survey among dutch households
by P.J.A. van Els & W.A. van den End & M.C.J. van Rooij - 750 Eurozone money demand: time series and dynamic panel results
by E.M. Bosker - 749 International rent sharing and domestic labour markets: a macroeconomic analaysis
by W. Jos Jansen & Ad C.J. Stokman - 748 The end of the stability and growth pact?
by J. de Haan & H. Berger & D. Jansen - 744 Financial behaviour of dutch households: analysis of the dnb household survey 2003
by P.J.A. van Els & W.A. van den End & M.C.J. van Rooij - 743 Increasing concentration in european banking: a macro-level analysis
by D. Jansen & J. de Haan - 742 Employment dynamics within small, medium and large establishments in the netherlands at the end of the 1990s: where and to what extent did job creation and job destruction occur?
by J. Jakulj & N. Jonker & H.M.M. Peeters - 741 Shortfall allowed: loss aversion and habit formation
by Arjen Siegmann - 740 Trade-volume hysteresis: an investigation using aggregate data
by I. Agur - 739 Modelling time-varying correlations of financial markets
by A.S.K. Wong & P.J.G. Vlaar - 738 A taylor rule for the euro area based on quasi-real time data
by Y. Adema - 735 Pricing Debit Card Payments Services: An IO approach
by W. Bolt & A.F. Tieman - 734 Corporate Investment and Financing Constraints: Connections with Cash Management
by W.A. Bruinshoofd - 729 Central Bank Communication and Interest Rate Rules
by M. Hoeberichts - 728 Optimal Investment Policies for Defined Benefit Pension Funds
by A.H. Siegmann - 726 Statements of ECB Officials and their Effect on the Level and Volatility of the Euro-Dollar Exchange Rate
by D. Jansen & J. de Haan - 724 Archive Survey. The Records of De Nederlandsche Bank
by F. Joustra & J. Mooij - 723 Forecasting Inflation in the Netherlands and the Euro Area
by A.H.J. den Reijer & P.J.G. Vlaar - 722 Retail Payments in the Netherlands: some Facts and Some Theory
by W. Bolt - 721 Investment and Financing Decisions when Liquidation is Costly
by W.A. Bruinshoofd & W.A. Letterie
2002
- 720 The Importance of Multinational Companies for Global Economic Linkages
by W.J. Jansen & A.C.J. Stokman - 719 Wealth Effects and Monetary Policy
by I. Arnold & P.J.A. van Els & J. de Haan - 718 EUROMON: De Nederlandsche Bank's Multi-Country Model
by M. Demertzis & P.J.A. van Els & H.M.M. Peeters - 717 EUROMON-Scenarios for the Euro Area Economy
by P.J.A. van Els & S.G. Grob - 716 External Wealth and the Trade Balance: A Time-Series Analysis for the Netherlands
by S. Holle & M. Demertzis - 715 On the (A)symmetry of Shocks in EMU: Is it that Shocking?
by B.A. Verhoef - 714 Credit Ratings of the Banking Sector
by N. Jonker - 712 On Wage Formation, Wage Development and Unemployment Flexibility: a Comparison between European Countries and the United States
by H.M.M. Peeters & A.H.J. den Reijer - 709 The Role of Wealth in the Economy: the 2002 Annual Meeting Papers of the Royal Netherlands Economic Association
by R.J.M. Alessie & P.J.A. van Els & L.H. Hoogduin - 708 Corporate Governance, Relationship Lending and Monetary Policy: Firm-Level Evidence for the Euro Area
by L. de Haan & E. Sterken - 706 Financial vulnerability of mortgage owners and mortgage lenders
by M.C.J. van Rooij - 704 Central Bank Transparency in Theory and Practice
by M. Demertzis & A. Hughes Hallet - 703 A Brief History of the Institutional Design of Banking Supervision in the Netherlands
by Joke Mooij & Henriette Prast - 701 Robust versus Optimal Rules in Monetary Policy: A Note
by M. Demertzis & A.F. Tieman - 699 Is Eastern Europe ready for the Euro? A Cointegration Analysis for the Maastricht Criteria
by I.S. Meister - 697 Getting used to the Euro
by C.K. Folkertsma & C. van Renselaar & A.C.J. Stokman - 696 Shocking the Eurozone
by P.J.G. Vlaar - 694 Price Dividend Models Revisited, and their Role as Indicators for Monetary Policy
by N. Valckx - 693 Should Structural Policy be Discontinued? The Macro-Economic Impact of Structural Policy on the EU-15 and the main Candidate Countries
by M. Beugelsdijk - 692 Small and Medium-Sized Enterprises in the Netherlands: an Overview of the Statistics and the Literature (in Dutch)
by N. Jonker - 691 Inflationary Risks for the Euro Area: Simulations with EUROMON
by M. Demertzis & L. de Haan - 689 International Business Cycle Indicators, Measurement and Forecasting
by A.H.J. den Reijer - 688 The Housing Ladder, Taxation, and Borrowing constraints
by J. Swank & J. Kakes & A.F. Tieman - 687 Portfolio Management by Dutch Households: an Analysis on the Basis of Basis of Survey
by W.A. van den End & J.I. Kakes & M.C.J. van Rooij & A.C.J. Stokman - 686 An Independent Central Bank faced with Elected Government: A Political Economy Conflict
by M. Demertzis & A. Hughes Hallett & N. Viegi - 685 Wage payments and foreign coinage in Netherlands Limburg 1839-1914
by J. Mooij - 684 What do we Understand about Exchange Rates
by P.J.G. Vlaar - 683 Interest Rate Stepping, Interest Rate Smoothing and Uncertainty: Some Views from the Literature
by W.H. Verhagen - 682 Smooth Euro Changeover, Higher Prices? Results of a Survey Among Dutch Retailers
by C.K. Folkertsma & C. van Renselaar & A.C.J. Stokman
2001
- 681 When Basle II doesn't work: Contingency Rules versus Fixed Requirements
by W. Bolt & A.F. Tieman - 680 Stock and Bond Market Sensitivities to Monetary Variables
by N. Valckx - 677 On Wage Formation, Wage Development and Unemployment
by H.M.M. Peeters & A.H.J. den Reijer - 674 The Credit Channel in the Netherlands: Evidence from Bank Balance Sheets
by L. de Haan - 673 Constructing Quality Adjusted Price Indexes: a Comparison of Hedonic and Discrete Choice Models
by N. Jonker - 671 Aiming for the Bull's Eye: Inflation Targeting under Uncertainty
by M. Demertzis & N. Viegi - 669 External Shocks and Macroeconomic Policy: Simulations with EUROMON
by M. Demertzis & L. de Haan - 668 On the Strength of the US dollar: Can it be Explained by Output Growth?
by P.J.G. Vlaar - 667 Farewell to the Dutch guilder: golden lessons
by C. van Renselaar & A.C.J. Stokman - 666 Going on for twelve: results of the 12th DNB-euro-survey
by C. van Renselaar & A.C.J. Stokman - 665 MAKMODEL: a macroeconometric model for the Republic of Macedonia
by L. de Haan & A. Naumovska & H.M.M. Peeters - 664 (EURO) Exchange Rate Predictability and Monetary Fundamentals in a Small Multi-Country Panel
by J.J.J. Groen - 663 Flexible Inflation Targeting under a Non-Linear Phillipscurve
by W.H. Verhagen & S.C.W. Eijffinger - 662 The impact of the euroconversion on prices. Part II: an empirical investigation for The Netherlands
by P.J.A. van Els & C.K. Folkertsma & A.C.J. Stokman - 661 Forecasting euro area inflation: Does contemponaneous aggregration improve the forecasting performance
by K. Hubrich - 659 The Euro and Psychological Prices: Simulations of the Worst-Case Scenario
by C.K. Folkertsma - 656 Central Bank Independence: Low Inflation at no Cost? A Numeral Simulations Exercise
by M. Demertzis - 655 The conquest of American Inflation' by Thomas J. Sargent: a review
by W. Bolt & M.C.J. van Rooij & A.F. Tieman - 654 How does the introduction of the euro affect prices? Part I: a survey of arguments (in Dutch)
by C.K. Folkertsma & M.C.J. van Rooij - 653 The role of fiscal policy in EMU: a simulation with EUROMON
by M. Demertzis & H.M.M. Peeters - 652 Calendarium of the economic, monetary and political co-operation in Europe, especially within the European Union in the period 1999-2000
by W.F.V. Vanthoor - 651 Corporate Credit, Stock Price Inflation and Economic Fluctuations
by J.J.J. Groen - 650 Eurosentiment recovers: results of the eleventh DNB-euro-survey
by C. van Renselaar & A.C.J. Stokman - 647 Banking competition, risk, and regulation
by W. Bolt & A. F. Tieman - 646 Likelihood-Based Cointegration Analysis in Panels of Vector Error Correction Models
by J.J.J. Groen & F. Kleibergen
2000
- 643 Investing in art: a blend of financial reward and psychic income
by M.M.G. Fase - 640 Preparations for euro conversion stagnate: results of the tenth DNB-euro-survey (in Dutch)
by C. van Renselaar & A.C.J. Stokman - 639 Performance of core inflation measures
by C.K. Folkertsma & K. Hubrich - 637 Capital Structure, Corporate Goverance, and Monetary Policy: Firm-Level Evidence for the Euro Area
by L. de Haan & E. Sterken - 636 Forecasting gdp growth in the US, Japan and the EU on the basis of leading indicators
by M.C.J. van Rooij & A.C.J. Stokman - 635 Wage moderation, innovation and labour productivity: myths and facts revisited (in Dutch)
by M.M.G. Fase & A.F. Tieman - 634 Capital requirements and competition in the banking industry
by P.J.G. Vlaar - 631 Wage Inflation and the Distribution of Output Gaps in Europe: Insiders vs. Outsiders
by M. Demertzis & A. Hughes Hallett - 630 Expropriation and restitution of jewish property in the Netherlands 1940-1999: findings of recent investigations
by C. van Renselaar - 628 Spillover of domestic regulation to emerging markets
by A.F. Tieman - 623 Taking out second mortgages: a statistical analysis of spending and risks
by M.C.J. van Rooij & A.C.J. Stokman - 622 Contagion and capital flows: an empirical analysis of the Asian crisis
by L. van Wersch & P.J.G. Vlaar - 619 When is labour market flexibility welcome? More on asymmetric policy impacts in Europe
by S. Sgherri - 616 The importance of financial structure for monetary transmission in Europe
by G.J. de Bondt & A.C.J. Stokman - 615 The fiscal dimension of a common monetary policy: results with a non-Ricardian global model
by S. Sgherri - 614 A note on fiscal federalism: a case for Europe?
by M. Demertzis - 613 Germany and the euro area: differences in the transmission process of monetary policy
by K.S.E.M. Hubrich & P.J.G. Vlaar - 612 The Goldilocks economy of the United States in comparison with Europe: an analysis with EUROMON (in Dutch)
by H.M.M. Peeters - 611 Herding and financial panics: a role for cognitive psychology?
by H.M. Prast - 610 The Euro: its operational succes
by W.F.V. Vanthoor - 609 Demographic ageing and sustainability of fiscal policy: projections with a renewed generational accounting model
by G.E. Hebbink - 608 Anticipating changes: de Nederlandsche Bank at Leyden 1865-1969
by M.M.G. Fase & J. Mooij - 607 Liquidity effects and the welfare costs of inflation in an endogenous growth model
by C. K. Folkertsma - 606 The Dutch goldclaim 1945-1998
by C. van Renselaar
1999
- 604 The profit-structure relationship, efficiency and mergers in the European banking industry: an empirical assessment
by L.W. Punt & M.C.J. van Rooij - 603 Bank capital ratios in the 1990s: cross-country evidence
by G.J. de Bondt & H.M. Prast - 602 Monetary transmission channels, monetary regimes and consumption behaviour
by S. Sgherri - 601 Outshone by the south: the financial-economic situation in the northern part of the low countries during the reign of Charles V (1500-1558)
by C. van Renselaar - 600 Forecasting at the Central Bank: still à la mode?
by M.M.G. Fase - 599 Institutional environment and monetary transmission in the euro area: a cross-country view (in Dutch)
by M.M.G. Fase & G.J. de Bondt - 598 Biofuels: environmental effects and perspectives with regard to the next WTO talks (in Dutch)
by M.M.G. Fase & C.K. Folkertsma - 596 The significance of the European capital market for the financing of the corporate sector
by L. de Haan & H.M. Prast - 595 Currency Crises Models for Emerging Markets
by P.J.G. Vlaar - 594 The role of prudential supervision in a regulated banking industry
by W. Bolt - 592 Price stability as monetary objective: the importance of a perfect price index number
by M.M.G. Fase - 589 Achieving price stability in the euro zone: Monetary or inflation targeting ?
by H.M.M. Peeters - 588 Wage moderation in the European Union: Experiments with the multi-country model EUROMON
by A.C.J. Stokman - 587 Determinants of foreign direct investment in central and eastern Europe: a cross-section analysis
by J.P. Hania - 580 The euro in the Netherlands: results of the eight' DNB euro survey
by H.M. Prast & A.C.J. Stokman - 579 Value-at-Risk analysis of stock returns: Historical simulation, varinace techniques or tail index estimation ?
by R.W.J. van den Goorbergh & P.J.G. Vlaar - 578 Value-at-Risk and least squares tail index estimation
by R.W.J. van den Goorbergh - 577 Debt or equity? An empirical study of security issues by Dutch companies
by L. de Haan & J. Hinloopen - 576 A theoretical and empirical investigation on the validity of the uncovered interest parity
by M.H.J. Blom - 575 Perspectieven voor een Europese onderhandse kapitaalmarkt
by O.J.P. Lenior
1998
- 567 Credit channels and consumption: European evidence
by G.J. de Bondt - 566 Nominal wage contracts, adjustment costs and real persistence of monetary shocks
by C.K. Folkertsma - 565 Regulation and banking: a survey
by G.E. Hebbink & H.M. Prast - 563 Eurodynamics in the Netherlands: results of the seventh DNB euro survey
by K.F. Roszbach & A.C.J. Stokman - 561 Bank runs in the Diamond-Dybvig model
by J.N.M. Wit - 559 Irving Fisher: Pioneer on distributed lags
by J.N.M. Wit - 558 Comparative trade advantages in Europe: the empirical distribution of the Balassa index
by J. Hinloopen & C. van Marrewijk - 557 Construction harmonized index of consumption prices: the HICP for the Netherlands
by J.N.M. Wit - 555 The equity premium in The Netherlands: an analysis of 21 stock exchange securities based on the Campbell model
by H.J. de Wolff - 550 Output gap and inflation in the EU
by W. Bolt & P.J.A. van Els - 549 Bubbles on the Dutch stockmarket: An investigation with rational and adaptive expectations
by A.I.A. Groustra - 548 The NAIRU and Inflation: An empiral analyses for the Netherlands
by G. H. Wanningen - 547 Monetary Conditions in Europe: a methodological analysis
by H.M.M. Peeters - 545 Revision of the DNB-business cycle indicator
by L. de Haan & F.W. Vijselaar - 544 Monetary transmission and controllability of money in Europe: a structural vector error correction approach
by P.J.G. Vlaar & H. Schuberth - 543 Credit channels in Europe: bank-level panel data analyses
by G.J. de Bondt - 541 Active labour market policy in The Netherlands: overview and assessment
by G.E. Hebbink - 539 On the asymptotic distribution of impulse response functions with long run restrictions
by P.J.G. Vlaar - 534 The European economy in 1998 and 1999: a forecast with EUROMON
by G.J. de Bondt & A.C.J. Stokman - 533 Monetary transmission in the West-African monetary union
by P.M.J.O.K. Compernolle. - 532 Cash management and choice of payment media: a critical survey of the theory
by C.K. Folkertsma & G.E. Hebbink - 531 Newspaper articles about gold: May-December 1997 (in Dutch)
by C. van Renselaar
1997
- 530 Calendar of the economic, monetary and political co-operation in Western-Europe, especially within the European Community in the period 1945-1997
by W.F.V. Vanthoor - 529 Monetary policy and fiscal discipline in the EMU: a game-theoretic analysis of the Stability Pact
by W. Bolt - 528 Off-balance-sheet diffusion: European evidence from bank-level panel data
by G.J. de Bondt - 527 Monetary transmission in six EU-countries: an introduction and overview
by G.J. de Bondt - 526 Central bank independence and monetary policy: on a national and European level
by W.F.V. Vanthoor - 521 On the determination of the DM-dollar exchange rate: Bekx and Tullio's 1989-study revisited
by C.C.A. Winder - 520 The benefits of a common European currency
by P.J.A. van Els & H.M.M. Peeters - 519 International convergence of capital market interest rates
by M.M.G. Fase & P.J.G. Vlaar - 518 EMU: a story of success if the rules of the game are followed
by W.F.V. Vanthoor - 516 More than a century De Nederlandsche Bank in Haarlem: 1865-1969
by M.M.G. Fase & J. Mooij - 515 The Economic and Financial Development of the United Kingdom of the Netherlands 1814-1830
by C. van Renselaar & W.F.V. Vanthoor - 513 Liquidity effects and welfare costs of inflation in a monetary equilibrium model for Europe
by W. Bolt & C.K. Folkertsma - 512 The consequences of the dynamics in the term structure of interest rates for risk management by banks: an analysis of value-at-risk models
by P.J.G. Vlaar - 511 Bank mergers, banking efficiency, and economies of scale and scope: a review of the empirical literature
by M.C.J. van Rooij - 509 An econometric analysis of the bank note circulation in the Netherlands (in Dutch)
by A.E. Förch & H.M.M. Peeters - 508 Inflation, distortionary taxation and the design of monetary policy: the role of social cohesion
by H.M. Prast - 506 Generational accounting with feedback effects on productivity growth: an application to the public sector of the Netherlands
by G.E. Hebbink - 505 The bias of the cpi: a critical discussion of the Boskin-report
by C.K. Folkertsma - 502 Newspaper reports on looted gold: October 1996-May 1997
by C. van Renselaar - 499 On the construction of European area-wide aggregates: a review of the issues and empirical evidence
by C.C.A. Winder - 498 Policy making and model development: the case of the Nederlandsche Bank's model MORKMON
by P.J.A. van Els - 495 Effects of the Marshall aid according to two models
by P.J.A. van Els & C.K. Folkertsma - 493 Corporate governance in the Netherlands
by W. Bolt & H.M.M. Peeters - 492 Strategies for monetary policy: the differences between money and direct inflation targeting in theory and practice (in Dutch)
by J.H. Schoenmaker - 490 Electronic money and seigniorage of EU central banks
by G.E. Hebbink - 488 Term structure of interest rates, economic activity and the implications for monetary policy: an empirical analysis for the Netherlands
by W.B. ten Brinke