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Content
December 2006, Volume 23, Issue 6
September 2006, Volume 23, Issue 5
- 737-737 Ninth Annual Conference on Econometric Modelling for Africa, School of Economics, University of Cape Town, 2004
by Fedderke, Johannes & Leibbrandt, Murray
- 738-760 Growth impact and determinants of foreign direct investment into South Africa, 1956-2003
by Fedderke, J.W. & Romm, A.T.
- 761-774 Reconsidering the business cycle and stabilisation policies in South Africa
by du Plessis, S.A.
- 775-791 A structural GARCH model: An application on South African data
by de Wet, W.A.
- 792-804 Optimal timing of defections from price-setting cartels in volatile markets
by Hassan, Shakill
- 805-821 Racial stereotypes, stigma and trust in post-apartheid South Africa
by Burns, Justine
- 822-835 The sensitivity to key data imputations of recent estimates of income poverty and inequality in South Africa
by Ardington, Cally & Lam, David & Leibbrandt, Murray & Welch, Matthew
- 836-853 Labour migration and households: A reconsideration of the effects of the social pension on labour supply in South Africa
by Posel, Dorrit & Fairburn, James A. & Lund, Frances
- 854-874 The demand for sleep: A South African study
by Szalontai, Gabor
July 2006, Volume 23, Issue 4
- 569-578 A Markov regime-switching model for the semiconductor industry cycles
by Liu, Wen-Hsien & Chyi, Yih-Luan
- 579-596 Econometric modelling of slack and tight labour markets
by Akram, Q. Farooq & Nymoen, Ragnar
- 597-621 Short-run and long-run effects of monetary policy in a general equilibrium model with bank reserves
by Gutierrez, Pedro J.
- 622-637 Corruption vs production. A non-linear relationship
by Coppier, Raffaella & Michetti, Elisabetta
- 638-647 The relationship between economic growth and real uncertainty in the G3
by Fountas, Stilianos & Karanasos, Menelaos
- 648-661 Institutional quality and economic growth: Maintenance of the rule of law or democratic institutions, or both?
by Butkiewicz, James L. & Yanikkaya, Halit
- 662-668 Why use Markov-switching models in exchange rate prediction?
by Lee, Hsiu-Yun & Chen, Show-Lin
- 669-682 Modeling the long-run sustainability of Turkish external debt with structural changes
by Onel, Gulcan & Utkulu, Utku
- 683-698 Large shocks and the September 11th terrorist attacks on international stock markets
by Charles, Amelie & Darne, Olivier
- 699-716 Price setting behaviour in Spain: Evidence from consumer price micro-data
by Alvarez, Luis J. & Hernando, Ignacio
- 717-735 Are foreign banks always the best? Comparison of state-owned, private and foreign banks in India
by Sensarma, Rudra
May 2006, Volume 23, Issue 3
- 387-390 Risk preferences under price uncertainties and production risk: A note
by Alghalith, Moawia
- 391-426 A small scale macroeconometric model for the Euro-12 area
by Morana, Claudio
- 427-456 A microsimulation analysis of the 2006 regime change in the Dutch disability scheme
by van Sonsbeek, J.M. & Gradus, R.H.J.M.
- 457-475 Endogenous risk and long run effects of liberalization in a global analysis framework
by Boussard, Jean-Marc & Gerard, Francoise & Piketty, Marie Gabrielle & Ayouz, Mourad & Voituriez, Tancrede
- 476-491 Cross-country efficiency of secondary education provision: A semi-parametric analysis with non-discretionary inputs
by Afonso, Antonio & St. Aubyn, Miguel
- 492-505 Indeterminacy in a log-linearized neoclassical growth model with quasi-geometric discounting
by Maliar, Lilia & Maliar, Serguei
- 506-514 Foreign aid and government fiscal behaviour in developing countries: Panel data evidence
by Ouattara, B.
- 515-533 Vintage technology, optimal investment and technology adoption
by Zou, Benteng
- 534-537 A note on hedging cost and basis risks
by Alghalith, Moawia
- 538-555 The gap between the rich and the poor: Patterns of heterogeneity in the cross-country data
by ArdIc, Oya PInar
- 556-567 Armington elasticities and induced intra-industry specialization: The case of France, 1970-1997
by Welsch, Heinz
March 2006, Volume 23, Issue 2
- 197-214 Chilean growth dynamics
by Chumacero, Romulo A. & Fuentes, J. Rodrigo
- 215-237 A model of the determinants of effort
by Campbell III, Carl M.
- 238-264 Monetary policy and forward bias for foreign exchange revisited: Empirical evidence from the US-UK exchange rate
by Lafuente, Juan Angel & Ruiz, Jesus
- 265-275 On the optimal quality of domestic higher education programs
by Lien, Donald
- 276-307 Estimating elasticities for U.S. trade in services
by Marquez, Jaime
- 308-315 Monetary policy determines the long-run Phillips curve: An OLG model of production with cash-in-advance constraints
by Erdogan, Ayse M. & Saglam, Ismail
- 316-338 Dynamic modelling of trade union behaviour: Evidence from the Greek manufacturing sector
by Kouretas, Georgios P. & Yannopoulos, Andreas
- 339-363 Non-nested tests for competing U.S. narrow money demand functions
by Chen, Yi-Ting
- 364-386 Unemployment and endogenous growth with new technologies-skill complementarity
by Moreno-Galbis, E.
January 2006, Volume 23, Issue 1
- 1-19 A general equilibrium model with vertically differentiated industries, skilled labour and trade
by Lutz, Stefan & Turrini, Alessandro
- 20-44 Trade and inequality in wages and unemployment
by Bjornstad, Roger & Skjerpen, Terje
- 45-55 A small macroeconometric model of the Philippine economy
by Cagas, Marie Anne & Ducanes, Geoffrey & Magtibay-Ramos, Nedelyn & Qin, Duo & Quising, Pilipinas
- 56-75 Internal and external shocks in Hong Kong: Empirical evidence and policy options
by Gerlach-Kristen, Petra
- 76-109 Labor market distortions, rural-urban inequality and the opening of China's economy
by Hertel, Thomas & Zhai, Fan
- 110-130 Macroeconomics effects of progressive taxation in a unionized economy
by Sonedda, Daniela
- 131-141 Location choice in a mixed oligopoly
by Li, Changying
- 142-156 Provision of public infrastructure, foreign investment and welfare in the presence of specialisation-based external economies
by Anwar, Sajid
- 157-173 Stochastic temporary stabilization: Undiversifiable devaluation and income risks
by Venegas-Martinez, Francisco
- 174-195 Can the identification puzzle of Taiwan's turning points after 1990 be solved?
by Chen, Shyh-Wei & Shen, Chung-Hua
December 2005, Volume 22, Issue 6
- 955-974 Modeling the impacts of international climate change policies in a CGE context: The use of the GTAP-E model
by Nijkamp, Peter & Wang, Shunli & Kremers, Hans
- 975-1000 Distorting taxes and interest on reserves
by Fernandez, Esther
- 1001-1019 Rational expectations for large CGE models: A practical algorithm and a policy application
by Dixon, Peter B. & Pearson, K.R. & Picton, Mark R. & Rimmer, Maureen T.
- 1020-1063 A multiregional model of China and its application
by Gu, Qingyang & Chen, Kang
- 1064-1073 Monetary transmission mechanism in Turkey under free float using a small-scale macroeconomic model
by Karasoy, Almila & Kunter, Kursat & Us, Vuslat
- 1074-1089 Learning process and rational expectations: An analysis using a small macro-economic model for New Zealand
by Basdevant, Olivier
- 1090-1104 Does market value maximization affect the order of resource exploitation?
by Istvan, Bessenyei
- 1105-1121 Should monetary policy respond to asset price misalignments?
by Kontonikas, Alexandros & Ioannidis, Christos
September 2005, Volume 22, Issue 5
- 777-810 Falsifying economic models
by Buck, Andrew J. & Lady, George M.
- 811-827 Feedback trading and autocorrelation interactions in the foreign exchange market: Further evidence
by Laopodis, Nikiforos T.
- 828-847 Entrepreneurship and labor market institutions
by Kanniainen, Vesa & Vesala, Timo
- 848-867 Forecasting inflation with thick models and neural networks
by McAdam, Peter & McNelis, Paul
- 868-878 Discounting and environmental quality: When should dual rates be used?
by Weikard, Hans-Peter & Zhu, Xueqin
- 879-904 Changes in financial structure and asset price substitutability: A test of the bank lending channel
by Brissimis, Sophocles N. & Magginas, Nicholas S.
- 905-925 The specification of price and income elasticities in computable general equilibrium models: An application of latent separability
by Gohin, Alexandre
- 926-948 Investigating the threshold effects of inflation on PPP
by Ho, Tsung-wu
- 949-953 Modelling consumers' preferences for Novel Protein Foods and environmental quality
by Zhu, Xueqin & van Ierland, Ekko C.
July 2005, Volume 22, Issue 4
- 601-615 Economic reform and productivity growth in Indian manufacturing industries: an interaction of technical change and scale economies
by Pattnayak, Sanja S. & Thangavelu, S.M.
- 616-627 Foreign aid, domestic savings, and growth in LDCs: An application of likelihood-based panel cointegration
by Irandoust, Manuchehr & Ericsson, Johan
- 628-645 The structure of the Australian growth process: A Bayesian model selection view of Markov switching
by Taylor, Andrew & Shepherd, David & Duncan, Stephen
- 646-664 Incorporating commodity stockholding into a general equilibrium model of the global economy
by Hertel, Thomas W. & Reimer, Jeffrey J. & Valenzuela, Ernesto
- 665-682 Testing for two-regime threshold cointegration in the parallel and official markets for foreign currency in Greece
by Aslanidis, Nektarios & Kouretas, Georgios P.
- 683-706 Decentralised provision of quasi-private goods: The case of Colombia
by Iregui, Ana Maria
- 707-719 A macro-econometric model of Lithuania LITMOD
by Moller Andersen, Frits & Celov, Dmitry & Grinderslev, Dorte & Kazlauskas, Arvydas
- 720-744 A model for consumers' preferences for Novel Protein Foods and environmental quality
by Zhu, Xueqin & van Ierland, Ekko C.
- 745-757 Exchange rate sensitivity of the Canadian bilateral inpayments and outpayments
by Bahmani-Oskooee, Mohsen & Goswamil, Gour G. & Talukdar, Bidyut Kumar
- 758-758 Contents continuedTeacher turnover and non-pecuniary factors
by Falch, Torberg & Strom, Bjarne
May 2005, Volume 22, Issue 3
- 391-422 Evidence on structural changes in U.S. time series
by Jouini, Jamel & Boutahar, Mohamed
- 423-438 Estimating income and price elasticities of imports for Fiji in a cointegration framework
by Narayan, Paresh Kumar & Narayan, Seema
- 439-458 An oversimplified inquiry into the sources of exchange rate variability
by Kempa, Bernd
- 459-471 Currency composition of debt, risk premia and the 1997 Korean crisis
by Bratsiotis, George J. & Robinson, Wayne
- 473-483 An introduction to I([infinity]) processes
by Yoon, Gawon
- 485-502 Markov switching regimes in a monetary exchange rate model
by Frommel, Michael & MacDonald, Ronald & Menkhoff, Lukas
- 503-520 Human capital growth and destruction: the effect of fertility on skill obsolescence
by Alders, Peter
- 521-550 Testing for the New Keynesian Phillips Curve. Additional international evidence
by Jondeau, Eric & Le Bihan, Herve
- 551-569 Modelling the hourly Spanish electricity demand
by Martin-Rodriguez, Gloria & Caceres-Hernandez, Jose Juan
- 571-598 The welfare state, thresholds, and economic growth
by Fic, Tatiana & Ghate, Chetan
March 2005, Volume 22, Issue 2
- 215-217 Modelling monetary economies
by Lin, Jin-Lung
- 219-251 Monetary policy problems for currency unions: asymmetry and the problem of aggregation in the euro area
by Mayes, David G. & Viren, Matti
- 253-284 Interest rate linkages: a Kalman filter approach to detecting structural change
by Barassi, Marco R. & Caporale, Guglielmo Maria & Hall, Stephen G.
- 285-304 Is money informative? Evidence from a large model used for policy analysis
by Altissimo, Filippo & Gaiotti, Eugenio & Locarno, Alberto
- 305-325 Bootstrap bias-correction procedure in estimating long-run relationships from dynamic panels, with an application to money demand in the euro area
by Focarelli, Dario
- 327-346 Is money demand in Taiwan stable?
by Wu, Chung-Shu & Lin, Jin-Lung & Tiao, George C. & Cho, David D.
- 347-387 Underpinnings of Taiwan's economic growth: 1978-1999 productivity study
by Liang, Chi-yuan & Mei, Jia-yuan
January 2005, Volume 22, Issue 1
- 1-19 Non-linearity in stock index returns: the volatility and serial correlation relationship
by Venetis, Ioannis A. & Peel, David
- 21-38 Wage growth and income tax revenue elasticities with endogenous labour supply
by Creedy, John & Gemmell, Norman
- 39-59 An area-wide model for the euro area
by Fagan, Gabriel & Henry, Jerome & Mestre, Ricardo
- 61-80 Threshold effects and regional economic growth--evidence from West Germany
by Funke, Michael & Niebuhr, Annekatrin
- 81-108 Taxation and unemployment: an applied general equilibrium approach
by Bohringer, Christoph & Boeters, Stefan & Feil, Michael
- 109-125 Regime linkages between the Mexican currency market and emerging equity markets
by Kanas, Angelos
- 127-146 Employment protection and the stock market: the common shock case
by Henin, Pierre-Yves & Weitzenblum, Thomas
- 147-158 Has the U.S. economy really become less correlated with that of the rest of the world?
by Yoon, Gawon
- 159-186 Incorporating labour market frictions into an optimising-based monetary policy model
by Moyen, Stephane & Sahuc, Jean-Guillaume
- 187-205 Estimating large rational expectations models by FIML--some experiments using a new algorithm with bootstrap confidence limits
by Minford, Patrick & Webb, Bruce
- 207-211 Corrigendum to ''Common features in UK sectoral output'': [Economic Modelling 19 (2002) 91-104]
by Harvey, David I. & Mills, Terence C.
December 2004, Volume 21, Issue 6
- 933-948 The welfare cost of monopolistic competition: a quantitative assessment
by Matheron, Julien & Maury, Tristan-Pierre
- 949-964 Would adopting the Australian dollar provide superior monetary policy in New Zealand?
by Drew, Aaron & Hall, Viv B. & McDermott, C. John & Clair, Robert St.
- 965-989 Dynamic modelling of pollution abatement in a CGE framework
by Dellink, Rob & Hofkes, Marjan & van Ierland, Ekko & Verbruggen, Harmen
- 991-998 An empirical, small scale 'Traded-Nontraded Goods' model for New Zealand
by Cagatay, Selim & Lattimore, Ralph
- 999-1002 A Note on adding-up restrictions when modelling trade flows
by Satchi, Mathan
- 1003-1014 Using pre-EMU money market rates to assess monetary policy in the euro area
by Crespo-Cuaresma, Jesus & Gnan, Ernest & Ritzberger-Grunwald, Doris
- 1015-1037 Learning-by-doing and input demand of a rate-of-return regulated firm
by Baffoe-Bonnie, John
- 1039-1050 Regionalization, public spending and growth: a stylized model dealing with 'predatory states'
by Duret, Elsa & Ventelou, Bruno
- 1051-1064 Central Bank's interventions and the Fisher hypothesis: a threshold cointegration investigation
by Million, Nicolas
- 1065-1099 Specification choice and robustness in CGE trade policy analysis with imperfect competition
by Willenbockel, Dirk
- 1101-1115 The choice and timing of foreign direct investment under uncertainty
by Pennings, Enrico & Sleuwaegen, Leo
- 1117-1144 Estimating an equilibrium exchange rate for the dollar and other key currencies
by Hughes Hallett, Andrew & Richter, Christian
- 1145-1160 Credit risk and sustainable debt: a model and estimations of why the Euro is stable in the long-run
by Semmler, Willi & Wohrmann, Peter
September 2004, Volume 21, Issue 5
- 719-722 Empirical macro-models of the euro economy: an introduction
by Hughes Hallett, Andrew & Wallis, Kenneth F.
- 723-734 The role of macroeconomic projections within the monetary policy strategy of the ECB
by Issing, O.
- 735-758 Comparing empirical models of the euro economy
by Wallis, Kenneth F.
- 759-783 Some simulation properties of the major euro area economies in MULTIMOD
by Hunt, Benjamin & Laxton, Douglas
- 785-832 Some selected simulation experiments with the European commission's QUEST model
by Roeger, Werner & in 't Veld, Jan
- 833-875 The euro area viewed as a single economy: how does it respond to shocks?
by Dieppe, Alistair & Henry, Jerome
- 877-931 Macroeconomic policy in Europe: experiments with monetary responses and fiscal impulses
by Barrell, Ray & Becker, Bettina & Byrne, Joseph & Gottschalk, Sylvia & Hurst, Ian & van Welsum, Desiree
July 2004, Volume 21, Issue 4
- 619-619 Seventh Annual Conference on Econometric Modelling for Africa
by du Toit, Charlotte & Koekemoer, Renee & Moolman, Elna
- 621-630 The role of asymmetric information on investments in emerging markets
by de Wet, W. A.
- 631-646 A Markov switching regime model of the South African business cycle
by Moolman, Elna
- 647-660 A neoclassical investment function of the South African economy
by du Toit, Charlotte & Moolman, Elna
- 661-683 Multivariate tests for autocorrelation in the stable and unstable VAR models
by Hatemi-J, Abdulnasser
- 685-701 Stretching the South African business cycle
by du Plessis, S. A.
- 703-717 Contagion in Africa: South Africa and a troubled neighbour, Zimbabwe
by Pretorius, Anmar & de Beer, Jesse
May 2004, Volume 21, Issue 3
- 387-408 The macroeconomic impact of UK withdrawal from the EU
by Pain, Nigel & Young, Garry
- 409-428 Indeterminacy under non-separability of public consumption and leisure in the utility function
by Fernandez, Esther & Novales, Alfonso & Ruiz, Jesus
- 429-444 Energy saving technical progress and optimal capital stock: the role of embodiment
by Boucekkine, Raouf & Pommeret, Aude
- 445-470 Modeling spillovers and feedback of international trade in a disequilibrium framework
by Beck, Martin & Winker, Peter
- 471-508 Theoretical and operational issues in sub-regional economic modelling, illustrated through the development and application of the LINE model
by Madsen, Bjarne & Jensen-Butler, Chris
- 509-524 Why did the term structure of interest rates lose its predictive power?
by Jardet, Caroline
- 525-543 Inflation and inflation uncertainty in the United Kingdom, evidence from GARCH modelling
by Kontonikas, A.
- 545-560 Bonding, shirking and adverse selection
by Lin, Chung-cheng
- 561-572 Modelling Taylor rule uncertainty: an application to the euro area
by Martins, Fernando & Machado, Jose A. F. & Esteves, Paulo Soares
- 573-594 Cycles in dynamic economic modelling
by Manfredi, Piero & Fanti, Luciano
- 595-617 Modelling excess profit
by Magni, Carlo Alberto
March 2004, Volume 21, Issue 2
- 191-215 Production, supply and factor shares: an application to estimating German long-run supply
by McAdam, Peter & Willman, Alpo
- 217-232 Sectoral output trends and cycles in Victorian Britain
by Mills, Terence C. & Crafts, Nicholas F. R.
- 233-247 Modelling the commodity prices in the OECD countries: a stochastic approach
by Selvanathan, E. A. & Selvanathan, S.
- 249-265 Near-rational expectations in animal spirits models of aggregate fluctuations
by Weder, Mark
- 267-284 A reinvestigation of the markup and the business cycle
by Banerjee, Anindya & Russell, Bill
- 285-322 Cyclical features of the Uzawa-Lucas endogenous growth model
by Restrepo-Ochoa, Sergio I. & Vazquez, Jesus
- 323-343 Thick modeling
by Granger, Clive W. J. & Jeon, Yongil
- 345-360 The role of global vs. local negativity in functional form selection: an application to Canadian consumer demands
by Cranfield, J. A. L. & Pellow, Scott
- 361-385 Simultaneous estimation of an implicit directly additive demand system and the distribution of expenditure--an application of maximum entropy
by Cranfield, J. A. L. & Preckel, Paul V. & Eales, James S. & Hertel, Thomas W.
January 2004, Volume 21, Issue 1
- 1-35 How important are automatic stabilisers in Europe? A stochastic simulation assessment
by Barrell, Ray & Pina, Alvaro M.
- 37-71 Business cycles asymmetry and monetary policy: a further investigation using MRSTAR models
by Dufrenot, Gilles & Mignon, Valerie & Peguin-Feissolle, Anne
- 73-93 The term premium and the puzzles of the expectations hypothesis of the term structure
by Tzavalis, Elias
- 95-98 On dual-rate discounting
by Tol, Richard S. J.
- 99-129 Projecting world food demand using alternative demand systems
by Yu, Wusheng & Hertel, Thomas W. & Preckel, Paul V. & Eales, James S.
- 131-146 Can the labor market search model explain the fluctuations of allocations of time?
by Tripier, Fabien
- 147-174 Life expectancy, retirement and endogenous growth
by Echevarria, Cruz A.
- 175-189 Alternative ways of measuring and decomposing equivalent variation
by Fane, George & Ahammad, Helal
December 2003, Volume 20, Issue 6
- 1053-1081 Accumulation and distribution of human capital: the interaction between individual and aggregate variables
by Giannini, Massimo
- 1083-1095 A model of the G-3
by Chamberlin, G. & Henry, S. G. B. & Satchi, M.
- 1097-1111 Asymmetric adjustment costs and the dynamics of housing supply
by Kenny, Geoff
- 1113-1136 Money and growth in a cash-in-advance economy with costly credit
by Hromcova, Jana
- 1137-1149 Saving-investment correlations, capital mobility and crowding out: some further results
by AmirKhalkhali, Saleh & Dar, Atul & AmirKhalkhali, Samad
- 1151-1173 Liquidity constraints, precautionary saving and aggregate consumption: an international comparison
by Sarantis, Nicholas & Stewart, Chris
- 1175-1189 On the time stability of the output-capital ratio
by D'Adda, Carlo & Scorcu, Antonello E.
September 2003, Volume 20, Issue 5
- 895-921 The welfare effects of housing taxation in a distorted economy: a general equilibrium analysis
by Bye, Brita & Avitsland, Turid
- 923-940 The coefficient of relative risk aversion: a Monte Carlo study investigating small sample estimator problems
by Pozzi, Lorenzo
- 941-957 Dual-rate discounting in dynamic economic-environmental modeling
by Yang, Zili
- 959-985 Monetary and fiscal policy in the transition to EMU: what do SVAR models tell us?
by Bruneau, Catherine & De Bandt, Olivier
- 987-1013 The budgeting and economic consequences of ageing in the Netherlands
by Beetsma, Roel & Bettendorf, Leon & Broer, Peter
- 1015-1051 Voting on monetary policy in the Council of the European Central Bank
by Monticelli, Carlo
July 2003, Volume 20, Issue 4
- 679-701 Long-run Phillips-type trade-offs in European Union countries
by Koustas, Zisimos & Serletis, Apostolos
- 703-727 Trade liberalisation and effects on pollutive emissions to air and deposits of solid waste. A general equilibrium assessment for Norway
by Faehn, Taran & Holmoy, Erling
- 729-740 Convergence in a model with technological diffusion and capital mobility
by Duczynski, Petr
- 741-763 Balanced growth and public capital: an empirical analysis with I(2) trends in capital stock data
by Everaert, Gerdie
- 765-775 Evaluating core inflation indicators
by Robalo Marques, Carlos & Duarte Neves, Pedro & Morais Sarmento, Luis
- 777-789 Another look about the evolution of the risk premium: a VAR-GARCH-M model
by Iglesias, Emma M. & Phillips, Garry D. A.
- 791-807 Target zone credibility and economic fundamentals
by Tronzano, Marco & Psaradakis, Zacharias & Sola, Martin
- 809-838 Some international evidence on price determination: a non-stationary panel approach
by Ashworth, Paul & Byrne, Joseph P.
- 839-871 The adoption of energy-efficiency enhancing technologies.: Market performance and policy strategies in case of heterogeneous firms
by Verhoef, Erik T. & Nijkamp, Peter
- 873-893 The allocation of benefits under uncertainty: a decision-theoretic framework
by Abul Naga, Ramses H.
May 2003, Volume 20, Issue 3
- 437-453 Regime changes and econometric modeling of the demand for money in Korea
by Cheong, ChongCheul
- 455-486 A macroeconometric model with oligopolistic banks: monetary control, inflation and growth in Israel
by Beenstock, Michael & Azoulay, Eddy & Offenbacher, Akiva & Sulla, Olga
- 487-506 A model of the world's wine markets
by Wittwer, Glyn & Berger, Nick & Anderson, Kym
- 507-527 International monetary policy coordination: an evaluation using a large econometric model
by Barrell, Ray & Dury, Karen & Hurst, Ian
- 529-562 Assessment criteria for output gap estimates
by Camba-Mendez, Gonzalo & Rodriguez-Palenzuela, Diego
- 563-570 Does underground economy respond symmetrically to tax changes? Evidence from Greece
by Christopoulos, Dimitris K.
- 571-592 The performance of the Greek banking system in view of the EMU: results from a non-parametric approach
by Tsionas, Efthymios G. & Lolos, Sarantis E. G. & Christopoulos, Dimitris K.
- 593-603 Is there a relationship between real exchange rate movements and the output cycle?
by Mills, Terence C. & Pentecost, Eric J.
- 605-622 Is growth useful in RBC models?
by Matheron, Julien
- 623-649 An aggregate model for the European Union
by Bagnai, Alberto & Carlucci, Francesco
- 651-677 A nation divided? Price and output dynamics in English regions
by Fielding, David & Shields, Kalvinder
March 2003, Volume 20, Issue 2