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Series handle: RePEc:ecb:ecbwps
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Content
2006
- 682 Is reversion to PPP in euro exchange rates non-linear?
by Schnatz, Bernd
- 681 Regional inflation dynamics within and across euro area countries and a comparison with the US
by Hubrich, Kirstin & Marcellino, Massimiliano & Beck, Günter W.
- 680 Comparing alternative predictors based on large-panel factor models
by D'Agostino, Antonello & Giannone, Domenico
- 679 Monetary policy in the media
by Berger, Helge & Ehrmann, Michael & Fratzscher, Marcel
- 678 The geography of international portfolio flows, international CAPM and the role of monetary policy frameworks
by De Santis, Roberto A.
- 677 What drives EU banks' stock returns? Bank-level evidence using the dynamic dividend-discount model
by Castrén, Olli & Fitzpatrick, Trevor & Sydow, Matthias
- 676 The distribution of contract durations across firms: a unified framework for understanding and comparing dynamic wage and price setting models
by Dixon, Huw
- 675 Expansionary fiscal consolidations in Europe: new evidence
by Afonso, António
- 674 A quasi maximum likelihood approach for large approximate dynamic factor models
by Doz, Catherine & Giannone, Domenico & Reichlin, Lucrezia
- 673 Optimal monetary policy in the generalized Taylor economy
by Kara, Engin
- 672 Understanding inflation persistence: a comparison of different models
by Dixon, Huw & Kara, Engin
- 671 Business cycle synchronisation in East Asia
by Moneta, Fabio & Rüffer, Rasmus
- 670 The importance of being mature: the effect of demographic maturation on global per-capita GDP
by Hernández de Cos, Pablo & Gómez, Rafael
- 669 Regular adjustment: theory and evidence
by Rumler, Fabio & Konieczny, Jerzy (Jurek) D.
- 668 Declining valuations and equilibrium bidding in central bank refinancing operations
by Ewerhart, Christian & Cassola, Nuno & Valla, Natacha
- 667 The behaviour of the real exchange rate: evidence from regression quantiles
by Nikolaou, Kleopatra
- 666 Quantifying the impact of structural reforms
by Ernst, Ekkehard & Gong, Gang & Semmler, Willi & Bukeviciute, Lina
- 665 The euro as invoicing currency in international trade
by Kamps, Annette
- 664 Fiscal convergence before entering the EMU
by Onorante, Luca
- 663 Monetary conservatism and fiscal policy
by Adam, Klaus & Billi, Roberto M.
- 662 Cross-border bank contagion in Europe
by Vesala, Jukka & Gropp, Reint & Lo Duca, Marco
- 661 Fiscal policy in a monetary economy with capital and finite lifetime
by Giammarioli, Nicola & Annicchiarico, Barbara & Piergallini, Alessandro
- 660 The Italian block of the ESCB multi-country model
by Angelini, Elena & McAdam, Peter & D'Agostino, Antonello
- 659 Monetary policy rules in the pre-EMU era: Is there a common rule?
by Gerdesmeier, Dieter & Roffia, Barbara & Eleftheriou, Maria
- 658 The response of firms‘ investment and financing to adverse cash flow shocks: the role of bank relationships
by Fuss, Catherine & Vermeulen, Philip
- 657 The impact of ECB monetary policy decisions and communication on the yield curve
by Brand, Claus & Turunen, Jarkko & Buncic, Daniel
- 656 Public debt and long-term interest rates: the case of Germany, Italy and the USA
by Strauch, Rolf & Paesani, Paolo & Kremer, Manfred
- 655 Fiscal and monetary policy in the enlarged European Union
by Pogorelec, Sabina
- 654 The German block of the ESCB multi-country model
by Warmedinger, Thomas & Vetlov, Igor
- 653 Acquisition versus greenfield: the impact of the mode of foreign bank entry on information and bank lending rates
by Claeys, Sophie & Hainz, Christa
- 652 Consumer price adjustment under the microscope: Germany in a period of low inflation
by Hoffmann, Johannes & Kurz-Kim, Jeong-Ryeol
- 651 On the determinants of external imbalances and net international portfolio flows: a global perspective
by De Santis, Roberto A. & Lührmann, Melanie
- 650 A structural break in the effects of Japanese foreign exchange intervention on yen/dollar exchange rate volatility
by Schnabl, Gunther & Hillebrand, Eric
- 649 Monetary and fiscal policy interactions in a New Keynesian model with capital accumulation and non-Ricardian consumers
by von Thadden, Leopold & Leith, Campbell
- 648 Firm-specific production factors in a DSGE model with Taylor price setting
by Smets, Frank & Wouters, Raf & de Walque, Gregory
- 647 The economic effects of exogenous fiscal shocks in Spain: a SVAR approach
by Hernández de Cos, Pablo & de Castro Fernández, Francisco
- 646 The Dutch block of the ESCB multi-country model
by Angelini, Elena & Ciccarelli, Matteo & Boissay, Frédéric
- 645 Are internet prices sticky?
by Lünnemann, Patrick & Wintr, Ladislav
- 644 Adaptive learning, persistence, and optimal monetary policy
by Smets, Frank & Vestin, David & Gaspar, Vítor
- 643 Inflation forecast-based-rules and indeterminacy: a puzzle and a resolution
by McAdam, Peter & Levine, Paul & Pearlman, Joseph G.
- 642 Financing constraints and firms' cash policy in the euro area
by Ferrando, Annalisa & Pál, Rozália
- 641 A factor risk model with reference returns for the US dollar and Japanese yen bond markets
by Bernadell, Carlos & Coche, Joachim & Nyholm, Ken
- 640 Employment stickiness in small manufacturing firms
by Vermeulen, Philip
- 639 Optimal monetary policy with uncertainty about financial frictions
by Moessner, Richhild
- 638 Detecting and predicting forecast breakdowns
by Giacomini, Raffaella & Rossi, Barbara
- 637 Transparency, expectations, and forecasts
by Bauer, Andrew & Eisenbeis, Robert & Waggoner, Daniel & Zha, Tao
- 636 Exchange rate stabilization in developed and underdeveloped capital markets
by Chmelarova, Viera & Schnabl, Gunther
- 635 Identifying the role of labor markets for monetary policy in an estimated DSGE model
by Linzert, Tobias & Christoffel, Kai & Kuester, Keith
- 634 Expenditure reform in industrialised countries: a case study approach
by Schuknecht, Ludger & Hauptmeier, Sebastian & Heipertz, Martin
- 633 Nowcasting GDP and inflation: the real-time informational content of macroeconomic data releases
by Giannone, Domenico & Reichlin, Lucrezia & Small, David H.
- 632 Does information help recovering structural shocks from past observations?
by Giannone, Domenico & Reichlin, Lucrezia
- 631 Which news moves the euro area bond market?
by Andersson, Magnus & Hansen, Lars Jul & Sebestyén, Szabolcs
- 630 Implications of monetary union for catching-up member states
by Sánchez, Marcelo
- 629 A market microstructure analysis of foreign exchange intervention
by Vitale, Paolo
- 628 Long-run money demand in the new EU Member States with exchange rate effects
by Reimers, Hans-Eggert & Roffia, Barbara & Dreger, Christian
- 627 Euro area banking sector integration: using hierarchical cluster analysis techniques
by Kok, Christoffer & Puigvert Gutiérrez, Josep Maria
- 626 Financial integration, international portfolio choice and the European Monetary Union
by De Santis, Roberto A. & Gérard, Bruno
- 625 Sectoral explanations of employment in Europe: the role of services
by Ward-Warmedinger, Melanie & D'Agostino, Antonello & Serafini, Roberta
- 624 Foreign reserves management subject to a policy objective
by Coche, Joachim & Nyholm, Ken & Koivu, Matti & Poikonen, Vesa
- 623 Human capital, the structure of production, and growth
by Papaioannou, Elias & Ciccone, Antonio
- 622 Short-term forecasts of euro area real GDP growth: an assessment of real-time performance based on vintage data
by Diron, Marie
- 621 Assessing predetermined expectations in the standard sticky-price model: a Bayesian approach
by Welz, Peter
- 620 Does fiscal policy matter for the trade account? A panel cointegration study
by Nickel, Christiane & Funke, Katja
- 619 Cyclical inflation divergence and different labor market institutions in the EMU
by Faia, Ester & Campolmi, Alessia
- 618 The patterns and determinants of price setting in the Belgian industry
by Dossche, Maarten & Cornille, David
- 617 New survey evidence on the pricing behaviour of Luxembourg firms
by Lünnemann, Patrick & Mathä, Thomas Y.
- 616 Global financial transmission of monetary policy shocks
by Ehrmann, Michael & Fratzscher, Marcel
- 615 Quantitative goals for monetary policy
by Fatás, Antonio & Mihov, Ilian & Rose, Andrew K.
- 614 Expenditure switching vs. real exchange rate stabilization: competing objectives for exchange rate policy
by Engel, Charles & Devereux, Michael B.
- 613 Welfare-based monetary policy rules in an estimated DSGE model of the US economy
by Laxton, Douglas & Pesenti, Paolo & Juillard, Michel & Karam, Philippe
- 612 Optimal fiscal and monetary policy in a medium-scale macroeconomic model
by Schmitt-Grohé, Stephanie & Uribe, Martín
- 611 Monetary policy, determinacy, and learnability in the open economy
by Bullard, James & Schaling, Eric
- 610 Real-time model uncertainty in the United States: the Fed from 1996-2003
by Tetlow, Robert J. & Ironside, Brian
- 609 The elusive welfare economics of price stability as a monetary policy objective: why New Keynesian central bankers should validate core inflation
by Buiter, Willem H.
- 608 How does information affect the comovement between interest rates and exchange rates?
by Sánchez, Marcelo
- 607 Price setting behaviour in the Netherlands: results of a survey
by Stokman, Ad C.J. & Hoeberichts, Marco M.
- 606 Measuring the importance of the uniform nonsynchronization hypothesis
by Robalo Marques, Carlos & Dias, Daniel & Santos Silva, João M. C.
- 605 (Un)Predictability and macroeconomic stability
by Surico, Paolo & Giannone, Domenico & D'Agostino, Antonello
- 604 A dynamic model of settlement
by Monnet, Cyril & Koeppl, Thorsten Volker & Temzelides, Ted
- 603 Estimating multi-country VAR models
by Canova, Fabio & Ciccarelli, Matteo
- 602 Job flow dynamics and firing restrictions: evidence from Europe
by Messina, Julián & Vallanti, Giovanna
- 601 Excess burden and the cost of inefficiency in public services provision
by Gaspar, Vítor & Afonso, António
- 600 A speed limit monetary policy rule for the euro area
by Stracca, Livio
- 599 What effects is EMU having on the euro area and its member countries? An overview
by Mongelli, Francesco Paolo & Vega, Juan Luis
- 598 The impact of the euro on financial markets
by Cappiello, Lorenzo & Manganelli, Simone & Hördahl, Peter & Kadareja, Arjan
- 597 Price setting and inflation persistence: did EMU matter?
by Angeloni, Ignazio & Ciccarelli, Matteo & Aucremanne, Luc
- 596 The effects of EMU on structural reforms in labour and product markets
by Duval, Romain & Elmeskov, Jørgen
- 595 Trends and cycles in the euro area: how much heterogeneity and should we worry about it?
by Giannone, Domenico & Reichlin, Lucrezia
- 594 The euro's trade effects
by Baldwin, Richard E.
- 593 Robustifying learnability
by Tetlow, Robert J. & von zur Muehlen, Peter
- 592 Non-linear dynamics in the euro area demand for M1
by Calza, Alessandro & Zaghini, Andrea
- 591 Cointegration in panel data with breaks and cross-section dependence
by Banerjee, Anindya & Carrion-i-Silvestre, Josep Lluís
- 590 The pecking order of cross-border investment
by Fratzscher, Marcel & Daude, Christian
- 589 Forecasting economic aggregates by disaggregates
by Hendry, David F. & Hubrich, Kirstin
- 588 Rational inattention, inflation developments and perceptions after the euro cash changeover
by Ehrmann, Michael
- 587 Determinants of business cycle synchronisation across euro area countries
by Böwer, Uwe & Guillemineau, Catherine
- 586 A method to generate structural impulse-responses for measuring the effects of shocks in structural macro models
by Beyer, Andreas & Farmer, Roger E. A.
- 585 Are specific skills an obstacle to labor market adjustment? Theory and an application to the EU enlargement
by Lamo, Ana & Messina, Julián & Wasmer, Etienne
- 584 A new theory of forecasting
by Manganelli, Simone
- 583 Back to square one: identification issues in DSGE models
by Canova, Fabio & Sala, Luca
- 582 What accounts for the changes in U.S. fiscal policy transmission?
by Bilbiie, Florin O. & Meier, André & Müller, Gernot J.
- 581 Public sector efficiency: evidence for new EU member states and emerging markets
by Schuknecht, Ludger & Tanzi, Vito & Afonso, António
- 580 Bank interest rate pass-through in the euro area: a cross country comparison
by Kok, Christoffer & Werner, Thomas
- 579 A disaggregated framework for the analysis of structural developments in public finances
by Kremer, Jana & Rodrigues Braz, Cláudia & Brosens, Teunis & Langenus, Geert & Momigliano, Sandro & Spolander, Mikko
- 578 Forecasting ECB monetary policy: accuracy is (still) a matter of geography
by Berger, Helge & Ehrmann, Michael & Fratzscher, Marcel
- 577 Distortionary taxation, debt, and the price level
by Schabert, Andreas & von Thadden, Leopold
- 576 Debt stabilizing fiscal rules
by Michel, Philippe & Vidal, Jean-Pierre & von Thadden, Leopold
- 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