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Content
2006
- 575 Growth in euro area labour quality
by Schwerdt, Guido & Turunen, Jarkko
- 574 Inflation convergence and divergence within the European Monetary Union
by Busetti, Fabio & Forni, Lorenzo & Harvey, Andrew & Venditti, Fabrizio
- 573 Credit chains and the propagation of financial distress
by Boissay, Frédéric
- 572 Information, habits, and consumption behavior: evidence from micro data
by Kuismanen, Mika & Pistaferri, Luigi
- 571 Are emerging market currency crises predictable? A test
by Peltonen, Tuomas A.
- 570 Household debt sustainability: what explains household non-performing loans? An empirical analysis
by Rinaldi, Laura & Sanchis-Arellano, Alicia
2005
- 569 Towards European monetary integration: the evolution of currency risk premium as a measure for monetary convergence prior to the implementation of currency unions
by González, Fernando & Launonen, Simo
- 568 Exploring the international linkages of the euro area: a global VAR analysis
by Dées, Stéphane & di Mauro, Filippo & Pesaran, Hashem & Smith, Vanessa
- 567 Is time ripe for a currency union in emerging East Asia? The role of monetary stabilisation
by Sánchez, Marcelo
- 566 Real versus financial frictions to capital investment
by Bayraktar, Nihal & Sakellaris, Plutarchos & Vermeulen, Philip
- 565 The timing of central bank communication
by Ehrmann, Michael & Fratzscher, Marcel
- 564 Forecasting the central bank's inflation objective is a good rule of thumb
by Diron, Marie & Mojon, Benoît
- 563 Sticky prices in the euro area: a summary of new micro evidence
by Álvarez, Luis J. & Vermeulen, Philip & Stahl, Harald & Sabbatini, Roberto & Martins, Fernando & Lünnemann, Patrick & Le Bihan, Hervé & Kwapil, Claudia & Hoeberichts, Marco M. & Dhyne, Emmanuel & Vilmunen, Jouko
- 562 The price setting behaviour of Portuguese firms: evidence from survey data
by Martins, Fernando
- 561 Price setting in German manufacturing: new evidence from new survey data
by Stahl, Harald
- 560 The determinants of "domestic" original sin in emerging market economies
by Mehl, Arnaud & Reynaud, Julien
- 559 When did unsystematic monetary policy have an effect on inflation?
by Mojon, Benoît
- 558 Ricardian fiscal regimes in the European Union
by Afonso, António
- 557 How should central banks communicate?
by Ehrmann, Michael & Fratzscher, Marcel
- 556 The role of real wage rigidity and labor market frictions for unemployment and inflation dynamics
by Christoffel, Kai & Linzert, Tobias
- 555 Near-rational exuberance
by Evans, George W. & Honkapohja, Seppo & Bullard, James
- 554 Equilibrium and inefficiency in fixed rate tenders
by Cassola, Nuno & Ewerhart, Christian & Valla, Natacha
- 553 Global bond portfolios and EMU
by Lane, Philip R.
- 552 European Union enlargement and equity markets in accession countries
by Dvorak, Tomas & Podpiera, Richard
- 551 Technological diversification
by Koren, Miklós & Tenreyro, Silvana
- 550 Underwriter competition and gross spreads in the eurobond market
by Kollo, Michael G.
- 549 Eigenvalue filtering in VAR models with application to the Czech business cycle
by Beneš, Jaromír & Vávra, David
- 548 The link between interest rates and exchange rates: do contractionary depreciations make a difference?
by Sánchez, Marcelo
- 547 Bank finance versus bond finance: what explains the differences between US and Europe?
by De Fiore, Fiorella & Uhlig, Harald
- 546 The natural real interest rate and the output gap in the euro area: a joint estimation
by Garnier, Julien & Wilhelmsen, Björn-Roger
- 545 Trade integration of Central and Eastern European countries: lessons from a gravity model
by Schnatz, Bernd & Bussière, Matthieu & Fidrmuc, Jarko
- 544 Forecasting the yield curve in a data-rich environment: a no-arbitrage factor-augmented VAR approach
by Mönch, Emanuel
- 543 Lending booms in the new EU Member States: will euro adoption matter?
by Brzoza-Brzezina, Michał
- 542 Liquidity and real equilibrium interest rates: a framework of analysis
by Stracca, Livio
- 541 Consumer price behaviour in Luxembourg: evidence from micro CPI data
by Lünnemann, Patrick & Mathä, Thomas Y.
- 540 Optimal discretionary policy and uncertainty about inflation persistence
by Moessner, Richhild
- 539 Inflation persistence and monetary policy design: an overview
by Levin, Andrew T. & Moessner, Richhild
- 538 The price setting behaviour of Spanish firms: evidence from survey data
by Hernando, Ignacio & Álvarez, Luis J.
- 537 Global inflation
by Ciccarelli, Matteo & Mojon, Benoît
- 536 Heterogeneity in consumer price stickiness: a microeconometric investigation
by Sevestre, Patrick & Le Bihan, Hervé & Fougère, Denis
- 535 The pricing behaviour of firms in the euro area: new survey evidence
by Fabiani, Silvia & Stahl, Harald & Kwapil, Claudia & Druant, Martine & Stokman, Ad C.J. & Landau, Bettina & Sabbatini, Roberto & Mathä, Thomas Y. & Loupias, Claire & Hernando, Ignacio & Martins, Fernando
- 534 Time-dependent or state-dependent price setting? Micro-evidence from German metal-working industries
by Stahl, Harald
- 533 Discretionary policy, multiple equilibria, and monetary instruments
by Schabert, Andreas
- 532 Intra- and extra-euro area import demand for manufactures
by Anderton, Robert & Skudelny, Frauke & Baltagi, Badi H. & Sousa, Nuno
- 531 Market power, innovative activity and exchange rate pass-through in the euro area
by Brissimis, Sophocles N. & Kosma, Theodora
- 530 Cross-dynamics of volatility term structures implied by foreign exchange options
by Vähämaa, Sami & Krylova, Elizaveta & Nikkinen, Jussi
- 529 Explaining exchange rate dynamics: the uncovered equity return parity condition
by Cappiello, Lorenzo & De Santis, Roberto A.
- 528 How successful are exchange rate communication and interventions? Evidence from time-series and event-study approaches
by Fratzscher, Marcel
- 527 Banking system stability: a cross-Atlantic perspective
by Hartmann, Philipp & Straetmans, Stefan & de Vries, Casper
- 526 On some fiscal effects on mortgage debt growth in the EU
by Wolswijk, Guido
- 525 Distilling co-movements from persistent macro and financial series
by Abadir, Karim & Talmain, Gabriel
- 524 Price setting in the euro area: some stylized facts from individual consumer price data
by Hoffmann, Johannes & Veronese, Giovanni & Álvarez, Luis J. & Le Bihan, Hervé & Dias, Daniel & Dhyne, Emmanuel & Vilmunen, Jouko & Lünnemann, Patrick & Jonker, Nicole & Rumler, Fabio
- 523 How frequently do consumer prices change in Austria? Evidence from micro CPI data
by Baumgartner, Josef & Glatzer, Ernst & Rumler, Fabio & Stiglbauer, Alfred
- 522 Price setting behaviour in Spain: evidence from micro PPI data
by Hernando, Ignacio & Álvarez, Luis J. & Burriel, Pablo
- 521 Inflation persistence in structural macroeconomic models (RG10)
by Berben, Robert-Paul & Mestre, Ricardo & Mitrakos, Theodoros & Morgan, Julian & Zonzilos, Nikolaos G.
- 520 Delegated portfolio management: a survey of the theoretical literature
by Stracca, Livio
- 519 Non-Keynesian effects of fiscal contraction in new member states
by Rzońca, Andrzej & Ciżkowicz, Piotr
- 518 Term structure and the sluggishness of retail bank interest rates in euro area countries
by Mojon, Benoît & Valla, Natacha & de Bondt, Gabe
- 517 Credit ratings and the standardised approach to credit risk in Basel II
by Van Roy, Patrick
- 516 The European Monetary Union as a commitment device for new EU member states
by Ravenna, Federico
- 515 An international analysis of earnings, stock prices and bond yields
by Durré, Alain & Giot, Pierre
- 514 Gains from international monetary policy coordination: does it pay to be different?
by Liu, Zheng & Pappa, Evi
- 513 Does government spending crowd in private consumption? Theory and empirical evidence for the euro area
by Coenen, Günter & Straub, Roland
- 512 Counterfeiting and inflation
by Monnet, Cyril
- 511 Time or state dependent price setting rules? Evidence from Portuguese micro data
by Robalo Marques, Carlos & Dias, Daniel & Santos Silva, João M. C.
- 510 Factor analysis in a New-Keynesian model
by Beyer, Andreas & Farmer, Roger E. A. & Henry, Jérôme & Marcellino, Massimiliano
- 509 Productivity shocks, budget deficits and the current account
by Fratzscher, Marcel & Müller, Gernot J. & Bussière, Matthieu
- 508 Systemic risk in alternative payment system designs
by Galos, Peter & Soramäki, Kimmo
- 507 Incorporating a "public good factor" into the pricing of large-value payment systems
by Holthausen, Cornelia & Rochet, Jean-Charles
- 506 Settlement finality as a public good in large-value payment systems
by Humphrey, David & Pagès, Henri
- 505 Public good issues in TARGET: natural monopoly, scale economies, network effects and cost allocation
by Bolt, Wilko & Humphrey, David
- 504 Monetary policy predictability in the euro area: an international comparison
by Zaghini, Andrea & Wilhelmsen, Björn-Roger
- 503 World trade and global integration in production processes: a re-assessment of import demand equations
by Barrell, Ray & Dées, Stéphane
- 502 Fiscal and monetary rules for a currency union
by Ferrero, Andrea
- 501 Measuring comovements by regression quantiles
by Cappiello, Lorenzo & Manganelli, Simone & Gérard, Bruno
- 500 Fleshing out the monetary transmission mechanism: output composition and the role of financial frictions
by Müller, Gernot J. & Meier, André
- 499 A trend-cycle(-season) filter
by Mohr, Matthias
- 498 Financial integration and entrepreneurial activity: evidence from foreign bank entry in emerging markets
by Giannetti, Mariassunta & Ongena, Steven
- 497 Early-warning tools to forecast general government deficit in the euro area: the role of intra-annual fiscal indicators
by Pérez, Javier J.
- 496 Estimates of the open economy New Keynesian Phillips curve for euro area countries
by Rumler, Fabio
- 495 Measuring inflation persistence: a structural time series approach
by Dossche, Maarten & Everaert, Gerdie
- 494 Cross-country efficiency of secondary education provision: a semi-parametric analysis with non-discretionary inputs
by Afonso, António & St. Aubyn, Miguel
- 493 Optimal research in financial markets with heterogeneous private information: a rational expectations model
by Tinn, Katrin
- 492 Experimental evidence on the persistence of output and inflation
by Adam, Klaus
- 491 On the fit and forecasting performance of New-Keynesian models
by Smets, Frank & Wouters, Raf & Del Negro, Marco & Schorfheide, Frank
- 490 Unions, wage setting and monetary policy uncertainty
by Grüner, Hans Peter & Hayo, Bernd & Hefeker, Carsten
- 489 Persistence and nominal inertia in a generalized Taylor economy: how longer contracts dominate shorter contracts
by Dixon, Huw & Kara, Engin
- 488 Communication and decision-making by central bank committees: different strategies, same effectiveness?
by Ehrmann, Michael & Fratzscher, Marcel
- 487 Computing second-order-accurate solutions for rational expectation models using linear solution methods
by Sutherland, Alan & Lombardo, Giovanni
- 486 What drives productivity growth in the new EU member states? The case of Poland
by Kolasa, Marcin
- 485 Corporate investment and cash flow sensitivity: what drives the relationship?
by Vermeulen, Philip & Mizen, Paul
- 484 Fiscal federalism and public inputs provision: vertical externalities matter
by Martínez-López, Diego
- 483 Money supply and the implementation of interest rate targets
by Schabert, Andreas
- 482 Forecasting macroeconomic variables for the new member states of the European Union
by Marcellino, Massimiliano & Banerjee, Anindya & Masten, Igor
- 481 Output and inflation responses to credit shocks: are there threshold effects in the euro area?
by Calza, Alessandro & Sousa, João
- 480 Insurance policies for monetary policy in the euro area
by Wieland, Volker & Kuester, Keith
- 479 The performance and robustness of interest-rate rules in models of the euro area
by Adalid, Ramón & Coenen, Günter & McAdam, Peter & Siviero, Stefano
- 478 The conquest of U.S. inflation: learning and robustness to model uncertainty
by Sargent, Thomas J. & Cogley, Timothy
- 477 Parameter misspecification and robust monetary policy rules
by Walsh, Carl E.
- 476 Monetary policy with judgment: forecast targeting
by Svensson, Lars E. O.
- 475 Monetary policy analysis with potentially misspecified models
by Del Negro, Marco & Schorfheide, Frank
- 474 Calvo pricing and imperfect common knowledge: a forward looking model of rational inflation inertia
by Nimark, Kristoffer P.
- 473 Fiscal consolidations in the Central and Eastern European countries
by Afonso, António & Nickel, Christiane & Rother, Philipp
- 472 Yield curve prediction for the strategic investor
by Bernadell, Carlos & Coche, Joachim & Nyholm, Ken
- 471 Real wages and local unemployment in the euro area
by Sanz de Galdeano, Anna & Turunen, Jarkko
- 470 Structural filters for monetary analysis: the inflationary movements of money in the euro area
by Bruggeman, Annick & Camba-Méndez, Gonzalo & Fischer, Björn & Sousa, João
- 469 Money and prices in models of bounded rationality in high inflation economies
by Marcet, Albert & Nicolini, Juan Pablo
- 468 Endogeneities of optimum currency areas: what brings countries sharing a single currency closer together?
by Mongelli, Francesco Paolo & De Grauwe, Paul
- 467 Socio-economic development and fiscal policy: lessons from the cohesion countries for the new member states
by Mehrotra, Aaron N. & Peltonen, Tuomas A.
- 466 Regulated and services' prices and inflation persistence
by Lünnemann, Patrick & Mathä, Thomas Y.
- 465 Determinants and consequences of the unification of dual-class shares
by Pajuste, Anete
- 464 The price-setting behavior of Austrian firms: some survey evidence
by Kwapil, Claudia & Baumgartner, Josef & Scharler, Johann
- 463 Break in the mean and persistence of inflation: a sectoral analysis of French CPI
by Bilke, Laurent
- 462 Time-dependent versus state-dependent pricing: a panel data approach to the determinants of Belgian consumer price changes
by Aucremanne, Luc & Dhyne, Emmanuel
- 461 Do decreasing hazard functions for price changes make any sense?
by Álvarez, Luis J. & Burriel, Pablo & Hernando, Ignacio
- 460 Part-time work in EU countries: labour market mobility, entry and exit
by Mourre, Gilles & Buddelmeyer, Hielke & Ward-Warmedinger, Melanie
- 459 Capital flows and the US "New Economy": consumption smoothing and risk exposure
by Miller, Marcus & Castrén, Olli & Zhang, Lei
- 458 Money demand and macroeconomic stability revisited
by Schabert, Andreas & Stoltenberg, Christian
- 457 Transparency, disclosure and the federal reserve
by Ehrmann, Michael & Fratzscher, Marcel
- 456 The French block of the ESCB multi-country model
by Villetelle, Jean-Pierre & Boissay, Frédéric
- 455 Central bank transparency and private information in a dynamic macroeconomic model
by Pearlman, Joseph G.
- 454 European women: Why do(n't) they work?
by Genre, Véronique & Gómez-Salvador, Ramón & Lamo, Ana
- 453 Does product market competition reduce inflation? Evidence from EU countries and sectors
by Przybyla, Marcin & Roma, Moreno
- 452 Stocks, bonds, money markets and exchange rates: measuring international financial transmission
by Ehrmann, Michael & Fratzscher, Marcel & Rigobon, Roberto
- 451 Breaks in the mean of inflation: how they happen and what to do with them
by Corvoisier, Sandrine & Mojon, Benoît
- 450 Using mean reversion as a measure of persistence
by Robalo Marques, Carlos & Dias, Daniel
- 449 Consumer price behaviour in Italy: evidence from micro CPI data
by Veronese, Giovanni & Fabiani, Silvia & Gattulli, Angela & Sabbatini, Roberto
- 448 Price-setting behaviour in Belgium: what can be learned from an ad hoc survey?
by Aucremanne, Luc & Druant, Martine
- 447 Foreign exchange option and returns based correlation forecasts: evaluation and two applications
by Castrén, Olli & Mazzotta, Stefano
- 446 Trade effects of the euro: evidence from sectoral data
by Baldwin, Richard E. & Skudelny, Frauke & Taglioni, Daria
- 445 Welfare implications of joining a common currency
by Ca' Zorzi, Michele & De Santis, Roberto A. & Zampolli, Fabrizio
- 444 Keeping up with the Joneses, reference dependence, and equilibrium indeterminacy
by al-Nowaihi, Ali & Stracca, Livio
- 443 Explaining cross-border large-value payment flows: evidence from TARGET and EURO 1 data
by Rosati, Simonetta & Secola, Stefania
- 442 Why do financial systems differ? History matters
by Monnet, Cyril & Quintin, Erwan
- 441 The Phillips curve and long-term unemployment
by Llaudes, Ricardo
- 440 Estimating and analysing currency options implied risk-neutral density functions for the largest new EU member states
by Castrén, Olli
- 439 A look at intraday frictions in the euro area overnight deposit market
by Brousseau, Vincent & Manzanares, Andrés
- 438 Quality of public finances and growth
by Schuknecht, Ludger & Ebert, Werner & Thöne, Michael & Afonso, António
- 437 What drives international bank flows? Politics, institutions and other determinants
by Papaioannou, Elias
- 436 Measuring market and inflation risk premia in France and in Germany
by Cappiello, Lorenzo & Guéné, Stéphane
- 435 Reforming public expenditure in industrialised countries: are there trade-offs?
by Schuknecht, Ludger & Tanzi, Vito
- 434 Interest rates and output in the long-run
by Aksoy, Yunus & León-Ledesma, Miguel A.
- 433 Implementing the stability and growth pact: enforcement and procedural flexibility
by Beetsma, Roel & Debrun, Xavier
- 432 Trading European sovereign bonds: the microstructure of the MTS trading platforms
by Cheung, Yiu Chung & de Jong, Frank & Rindi, Barbara
- 431 Regulation of multinational banks: a theoretical inquiry
by Calzolari, Giacomo & Loranth, Gyongyi
- 430 Public policy and the creation of active venture capital markets
by Da Rin, Marco & Nicodano, Giovanna & Sembenelli, Alessandro
- 429 Cross-border diversification in bank asset portfolios
by Buch, Claudia M. & Driscoll, John C. & Ostergaard, Charlotte
- 428 Who benefits from IPO underpricing? Evidence form hybrid bookbuilding offerings
by Pons-Sanz, Vicente
- 427 Interlinking securities settlement systems: a strategic commitment?
by Kauko, Karlo
- 426 Security fungibility and the cost of capital: evidence from global bonds
by Miller, Darius P. & Puthenpurackal, John J.
- 425 Geographic versus industry diversification: constraints matter
by Ehling, Paul & Ramos, Sofia Brito
2004
- 424 An empirical study of liquidity and information effects of order flow on exchange rates
by Breedon, Francis & Vitale, Paolo
- 423 Price setting in France: new evidence from survey data
by Loupias, Claire & Ricart, Roland
- 422 What determines fiscal balances? An empirical investigation in determinants of changes in OECD budget balances
by Tujula, Mika & Wolswijk, Guido
- 421 EU fiscal rules: issues and lessons from political economy
by Schuknecht, Ludger
- 420 On prosperity and posterity: the need for fiscal discipline in a monetary union
by Detken, Carsten & Winkler, Bernhard & Gaspar, Vítor
- 419 The design of fiscal rules and forms of governance in European Union countries
by Strauch, Rolf & Hallerberg, Mark & von Hagen, Jürgen
- 418 Identifying the influences of nominal and real rigidities in aggregate price-setting behavior
by Levin, Andrew T. & Coenen, Günter
- 417 Staggered price contracts and inflation persistence: some general results
by Whelan, Karl
- 416 Price setting behaviour in Spain: stylised facts using consumer price micro data
by Hernando, Ignacio & Álvarez, Luis J.
- 415 How persistent is disaggregate inflation? An analysis across EU 15 countries and HICP sub-indices
by Lünnemann, Patrick & Mathä, Thomas Y.
- 414 Inflation persistence in the European Union, the euro area, and the United States
by Gadzinski, Gregory & Orlandi, Fabrice
- 413 An empirical analysis of price setting behaviour in the Netherlands in the period 1998-2003 using micro data
by Jonker, Nicole & Folkertsma, Carsten & Blijenberg, Harry
- 412 The real effects of money growth in dynamic general equilibrium
by Graham, Liam & Snower, Dennis J.
- 411 Fiscal discipline and the cost of public dept service: some estiames for OECD countries
by Ardagna, Silvia & Caselli, Francesco & Lane, Timothy
- 410 Do options-implied RND functions on G3 currencies move around the times of interventions on the JPY/USD exchange rate?
by Castrén, Olli
- 409 Currency mismatch, uncertainty and debt maturity structure
by Fratzscher, Marcel & Bussière, Matthieu & Koeniger, Winfried
- 408 The great inflation, limited asset markets participation and aggregate demand: FED policy was better than you think
by Bilbiie, Florin O.
- 407 Banking consolidation and small business lending
by Takáts, Elöd
- 406 Labour market reform and the sustainability of exchange rate pegs
by Takalo, Tuomas & Castrén, Olli & Wood, Geoffrey
- 405 A joint econometric model of macroeconomic and term structure dynamics
by Tristani, Oreste & Vestin, David & Hördahl, Peter
- 404 An analysis of systemic risk in alternative securities settlement architectures
by Iori, Giulia
- 403 Financial market integration and loan competition: when is entry deregulation socially beneficial?
by Kaas, Leo
- 402 Forecasting euro area inflation using dynamic factor measures of underlying inflation
by Camba-Méndez, Gonzalo & Kapetanios, George
- 401 Foreign direct investment and international business cycle comovement
by Jansen, W. Jos & Stokman, Ad C.J.
- 400 Cross-country differences in monetary policy transmission
by Morgan, Julian & Locarno, Alberto & Vallés, Javier & Berben, Robert-Paul
- 399 Sporadic manipulation in money markets with central bank standing facilities
by Cassola, Nuno & Ejerskov, Steen & Ewerhart, Christian & Valla, Natacha
- 398 Mergers and acquisitions and bank performance in Europe: the role of strategic similarities
by Altunbas, Yener & Marqués-Ibáñez, David
- 397 Determinants of euro term structure of credit spreads
by Van Landschoot, Astrid
- 396 The short-term impact of government budgets on prices: evidence from macroeconomic models
by Henry, Jérôme & Hernández de Cos, Pablo & Momigliano, Sandro
- 395 Fiscal sustainability and public debt in an endogenous growth model
by Vidal, Jean-Pierre & Fernández-Huertas Moraga, Jesús
- 394 Liquidity, money creation and destruction, and the returns to banking
by de O. Cavalcanti, Ricardo & Erosa, Andrés & Temzelides, Ted
- 393 The determinants of the overnight interest rate in the euro area
by Moschitz, Julius
- 392 The role of central bank capital revisited
by Bindseil, Ulrich & Manzanares, Andrés & Weller, Benedict
- 391 Comparing shocks and frictions in US and euro area business cycles: a Bayesian DSGE approach
by Smets, Frank & Wouters, Raf
- 390 Financial markets' behavior around episodes of large changes in the fiscal stance
by Ardagna, Silvia
- 389 Forecasting with a Bayesian DSGE model: an application to the euro area
by Smets, Frank & Wouters, Raf
- 388 Euro area inflation differentials
by Angeloni, Ignazio & Ehrmann, Michael
- 387 Horizontal and vertical integration and securities trading and settlement
by Tapking, Jens & Yang, Jing
- 386 Intergenerational altruism and neoclassical growth models
by Michel, Philippe & Vidal, Jean-Pierre & Thibault, Emmanuel
- 385 Euro area sovereign yield dynamics: the role of order imbalance
by Menkveld, Albert J. & Cheung, Yiu Chung & de Jong, Frank
- 384 Price rigidity. Evidence from the French CPI micro-data
by Sevestre, Patrick & Baudry, Laurent & Le Bihan, Hervé & Tarrieu, Sylvie
- 383 Explicit inflation objectives and macroeconomic outcomes
by Levin, Andrew T. & Piger, Jeremy M. & Natalucci, Fabio M.
- 382 Longer-term effects of monetary growth on real and nominal variables, major industrial countries, 1880-2001
by Dewald, William G. & Haug, Alfred A.
- 381 Fiscal rules and sustainability of public finances in an endogenous growth model
by Giammarioli, Nicola & Annicchiarico, Barbara
- 380 Optimal monetary policy under discretion with a zero bound on nominal interest rates
by Adam, Klaus & Billi, Roberto M.
- 379 Do financial market variables show (symmetric) indicator properties relative to exchange rate returns?
by Castrén, Olli
- 378 Liquidity, information, and the overnight rate
by Cassola, Nuno & Ejerskov, Steen & Ewerhart, Christian & Valla, Natacha