Content
2013
-   2013_15 Asset Prices, Business Cycles, and Markov-Perfect Fiscal Policy when Agents are Risk-Sensitive
 by Richard Dennis
-   2013_14 Imperfect Credibility and Robust Monetary Policy
 by Richard Dennis
-   2013_11 Indexed versus nominal government debt under inflation and price-level targeting
 by Michael Hatcher
-   2013_10 Human capital, social mobility and the skill premium
 by Konstantinos Angelopoulos & James Malley & Apostolis Philippopoulos
-   2013_09 Monetary policy delegation and equilibrium coordination
 by Andrew P. Blake & Tatiana Kirsanova & Tony Yates
-   2013_08 How Optimal is US Monetary Policy?
 by Xiaoshan Chen & Tatiana Kirsanova & Campbell Leith
-   2013_07 Commitment vs. discretion in the UK: An empirical investigation of the monetary and fiscal policy regime
 by Tatiana Kirsanova & Stephanus le Roux
-   2013_05 On the time-varying relationship between EMU sovereign spreads and their determinants
 by António Afonso & Michael G. Arghyrou & George Bagdatoglou & Alexandros Kontonikas
-   2013_04 No Good Deals - No Bad Models
 by Nina Boyarchenko & Mario Cerrato & John Crosby & Stewart Hodges
-   2013_03 Aggregate and welfare effects of long run inflation risk under inflation and price-level targeting
 by Michael Hatcher
-   2013_02 Expectations Traps and Coordination Failures with Discretionary Policymaking
 by Richard Dennis & Tatiana Kirsanova
-   2013_01 Infrequent Fiscal Stabilization
 by Yuting Bai & Tatiana Kirsanova
2012
-   2012_18 Escaping Expectation Traps: How Much Commitment is Required?
 by Christoph Himmels & Tatiana Kirsanova
-   2012_17 What promotes greater use of the corporate bond market? A study of the issuance behaviour of firms in Asia
 by Paul Mizen & Serafeim Tsoukas
-   2012_16 Why do firms issue abroad? Lessons from onshore and offshore corporate bond finance in Asian emerging markets
 by Paul Mizen & Frank Packer & Eli Remolona & Serafeim Tsoukas
-   2012_14 The determinants of sovereign bond yield spreads in the EMU
 by António Afonso & Michael G. Arghyrou & Alexandros Kontonikas
-   2012_13 Fiscal Sustainability in a New Keynesian Model - Additional Appendix
 by Campbell Leith & Simon Wren-Lewis
-   2012_12 Bayesian forecasting with highly correlated predictors
 by Dimitris Korobilis
-   2012_11 Stock market reaction to fed funds rate surprises: state dependence and the financial crisis
 by Alexandros Kontonikas & Ronald MacDonald & Aman Saggu
-   2012_10 Pareto or log-normal? A recursive-truncation approach to the distribution of (all) cities
 by Giorgio Fazio & Marco Modica
-   2012_09 Financial health, exports, and firm survival: Evidence from UK and French firms
 by Holger Gőrg & Marina-Eliza Spaliara
-   2012_08 The response of the external finance premium in Asian corporate bond markets to financial characteristics, financial constraints and two financial crises
 by Paul Mizen & Serafeim Tsoukas
-   2012_07 Social capital formation across space: proximity and trust in European regions
 by Giorgio Fazio & Luciano Lavecchia
-   2012_06 Why do UK banks securitize?
 by Mario Cerrato & Moorad Choudhry & John Crosby & John Olukuru
-   2012_05 Market familiarity and the location of South and North MNEs
 by Celine Azemar & Julia Darby & Rodolphe Desbordes & Ian Wooton
-   2012_04 Large time-varying parameter VARs
 by Gary Koop & Dimitris Korobilis
-   2012_03 Uncertain Fiscal Consolidations
 by Huixin Bi & Eric M. Leeper & Campbell Leith
-   2012_02 Is there a role for genetics in economic development?
 by Luis Angeles
-   2012_01 Optimal taxation and the skill premium
 by Konstantinos Angelopoulos & James Malley & Apostolis Philippopoulos
2011
-   2011_24 Causes of corruption in European countries: history, law, and political stability
 by Ronald MacDonald & Muhammad Tariq Majeed
-   2011_23 Debt stabilization in a Non-Ricardian economy
 by Campbell Leith & Ioana Moldovan & Simon Wren-Lewis
-   2011_21 The distributional consequences of tax reforms under market distortions
 by Konstantinos Angelopoulos & James R. Malley & Wei Jiang
-   2011_20 Productivity shocks and aggregate fluctuations in an estimated endogenous growth model with human capital
 by Jim Malley & Ulrich Woitek
-   2011_19 Forecasting US bond default ratings allowing for previous and initial state dependence in an ordered probit model
 by Paul Mizen & Serafeim Tsoukas
-   2011_18 Corruption and financial intermediation in a panel of regions: cross-border effects of corruption
 by Muhammad Tariq Majeed & Ronald MacDonald
-   2011_17 Measuring the economic significance of structural exchange rate models
 by Mario Cerrato & John Crosby & Muhammad Kaleem
-   2011_16 Adaptive continuous time Markov chain approximation model to general jump-diffusions
 by Mario Cerrato & Chia Chun Lo & Konstantinos Skindilias
-   2011_15 Ordering policy rules with an unconditional welfare measure
 by Tatiana Damjanovic & Vladislav Damjanovic & Charles Nolan
-   2011_14 Transaction costs and institutions
 by Charles Nolan & Alex Trew
-   2011_08 A nonlinear panel unit root test under cross section dependence
 by Mario Cerrato & Christian de Peretti & Rolf Larsson & Nicholas Sarantis
-   2011_07 Testing for convergence from the micro-level
 by Giorgio Fazio & Davide Piacentino
-   2011_06 Time-consistent fiscal policy under heterogeneity: Conflicting or common interests?
 by Konstantinos Angelopoulos & James Malley & Apostolis Philippopoulos
-   2011_05 The Fair Trade movement:an economic perspective
 by Alexander Kadow
-   2011_04 Realised and Optimal Monetary Policy Rules in an Estimated Markov-Switching DSGE Model of the United Kingdom
 by Xiaoshan Chen & Ronald MacDonald
-   2011_03 Institutions, property rights, and economic development in historical perspective
 by Luis Angeles
-   2011_01 International capital flows to emerging and developing countries: national and global determinants
 by Joseph P. Byrne & Norbert Fiess
2010
-   2011_22 Transmission of macro-liquidity shocks to liquidity-sorted stock portfolios’ returns: The role of the financial crisis
 by Chris Florackis & Alexandros Kontonikas & Alexandros Kostakis
-   2010_35 First-and second-best allocations under economic and environmental uncertainty
 by Konstantinos Angelopoulos & George Economides & Apostolis Philippopoulos
-   2010_34 Corruption and the military in politics: theory and evidence from around the world
 by Muhammad Tariq Majeed & Ronald MacDonald
-   2010_33 Investment and financing constraints in China: does working capital management make a difference?
 by Sai Ding & Alessandra Guariglia & John Knight
-   2010_32 Does China overinvest? Evidence from a panel of Chinese firms
 by Sai Ding & Alessandra Guariglia & John Knight
-   2010_31 Negative investment in China: financing constraints and restructuring versus growth
 by Sai Ding & Alessandra Guariglia & John Knight
-   2010_30 Microstructure order flow: statistical and economic evaluation of nonlinear forecasts
 by Mario Cerrato & Hyunsok Kim & Ronald MacDonald
-   2010_29 On monetary policy and stock market anomalies
 by Alexandros Kontonikas & Alexandros Kostakis
-   2010_28 The rise and fall of the ABS market
 by Mario Cerrato
-   2010_27 Primary commodity prices: co-movements, common factors and fundamentals
 by Joseph P. Byrne & Giorgio Fazio & Norbert Fiess
-   2010_26 The distributional consequences of supply-side reforms in general equilibrium
 by Konstantinos Angelopoulos & Bernardo X. Fernandez & James Malley
-   2010_25 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
 by Michael G. Arghyrou & Alexandros Kontonikas
-   2010_24 Fear of model misspecification and the robustness premium
 by Konstantinos Angelopoulos & James Malley
-   2010_23 Discretionary policy in a monetary union with sovereign debt
 by Campbell Leith & Simon Wren-Lewis
-   2010_22 Distributional and Poverty Consequences of Globalization: A Dynamic Comparative Analysis for Developing Countries
 by Muhammad Tariq Majeed & Ronald MacDonald
-   2010_21 Does the euro dominate Central and Eastern European money markets?
 by Mario Cerrato & Alexander Kadow & Ronald MacDonald
-   2010_20 Assessing the Parfit's Repugnant Conclusion within a canonical endogenous growth set-up
 by Raouf Boucekkine & Giorgio Fabbri
-   2010_19 Exchange Rate Pass Through To Import Prices: Panel Evidence From Emerging Market Economies
 by Joseph P. Byrne & Aditya S. Chavali & Alexandros Kontonikas.
-   2010_18 International evidence on the new Keynesian Phillips Curve using aggregate and disaggregate data
 by Joseph P. Byrne & Alexandros Kontonikas & Alberto Montagnoli
-   2010_17 Nominal interest rates and stationarity
 by Mario Cerrato & Hyunsok Kim & Ronald MacDonald
-   2010_16 Revisiting the Dollar-Euro Permanent Equilibrium Exchange Rate: Evidence from Multivariate Unobserved Components Models
 by Xiaoshan Chen & Ronald MacDonald
-   2010_14 Equilibrium exchange rate determination and multiple structural changes
 by Hyunsok Kim & Ronald MacDonald
-   2010_12 What is the best environmental policy? Taxes, permits and rules under economic and environmental uncertainty
 by Konstantinos Angelopoulos & George Economides & Apostolis Philippopoulos
-   2010_11 Interprovincial disparities in China since the reforms: convergence or divergence?
 by Farhad Noorbakhsh & Zhikai Wang
-   2010_10 Interest Rate Co-movements, Global Factors and the Long End of the Term Spread
 by Joseph P. Byrne & Giorgio Fazio & Norbert Fiess
-   2010_09 Inflation and Globalisation: A Dynamic Factor Model with Stochastic Volatility
 by Joseph P. Byrne & Fatima Kaneez & Alexandros Kontonikas
-   2010_08 Financial liberalisation and industrial development in Malawi
 by Grant P. Kabango & Alberto Paloni
-   2010_07 Catching-up with the "locomotive": a simple theory
 by Raouf Boucekkine & Benteng Zou
-   2010_06 Spatial dynamics and convergence: the spatial AK model
 by Raouf Boucekkine & Carmen Camacho & Giorgio Fabbri
-   2010_05 A Bootstrap Neural Network Based Heterogeneous Panel Unit Root Test: Application to Exchange Rates
 by Christian de Peretti & Carole Siani & Mario Cerrato
-   2010_04 The role of institutions in cross-section income and panel data growth models: a deeper investigation on the weakness and proliferation of instruments
 by Aderbal Damasceno & Ronald MacDonald & Flávio Vieira
-   2010_03 Institutions and economic development: panel evidence
 by Luis Angeles
-   2010_02 Who ultimately bears the burden of greater non-wage labour costs?
 by Céline Azémar & Rodolphe Desbordes
-   2010_01 Industrial structure, trade and regional economics : market segmentation
 by Vito Amendolagine & Gabriel Talmain
2009
-   2010_15 An Empirical Investigation of the Lucas Hypothesis: the Yield Curve and Non Linearity in the Money-Output Relationship
 by Matteo Modena
-   2009_35 Measuring the Euro area output gap using multivariate unobserved components models containing phase shifts
 by Xiaoshan Chen & Terence C. Mills
-   2009_34 Sustainability, optimality, and viability in the Ramsey model
 by Noël Bonneuil & Raouf Boucekkine
-   2009_33 Colonialism, European descendants and democracy
 by Luis Angeles
-   2009_32 Monetary and fiscal policy under deep habits
 by Campbell Leith & Ioana Moldovan & Raffaele Rossi
-   2009_31 A spatial multilevel analysis of Italian SMEs Productivity
 by Giorgio Fazio & Davide Piacentino
-   2009_30 The fractal nature of inequality in a fast growing world: new version
 by Guido Cozzi & Fabio Privileggi
-   2009_29 The evolution of ideology, fairness and redistribution
 by Alberto Alesina & Guido Cozzi & Noemi Mantovan
-   2009_28 A Nonlinear Panel Unit Root Test under Cross Section Dependence
 by Mario Cerrato & Christian de Peretti & Rolf Larsson & Nick Sarantis
-   2009_27 Optimal martingales and American option pricing
 by Mario Cerrato & Abdollah Abbasyan
-   2009_26 Technical Appendix-3-Regime asymmetric STAR modeling and exchange rate reversion
 by Mario Cerrato & Hyunsok Kim & Ronald MacDonald
-   2009_25 An investigation of customer order flow in the foreign exchange market
 by Mario Cerrato & Nicholas Sarantis & Alex Saunders
-   2009_24 Short-run strategies for attracting Foreign Direct Investment
 by Céline Azémar & Rodolphe Desbordes
-   2009_23 Productivity shocks and aggregate cycles in an estimated endogenous growth model
 by Jim Malley & Ulrich Woitek
-   2009_22 On the distributional consequences of epidemics
 by Raouf Boucekkine & Jean-Pierre Laffargue
-   2009_21 Maintenance and investment: complements or substitutes? A reappraisal
 by Raouf Boucekkine & Giorgio Fabbri & Fausto Gozzi
-   2009_20 Upstream Innovation Protection: Common Law Evolution and the Dynamics of Wage Inequality
 by Guido Cozzi & Silvia Galli
-   2009_19 Science-Based R&D in Schumpeterian Growth
 by Guido Cozzi & Silvia Galli
-   2009_18 When is monetary policy all we need?
 by Fabian Eser & Campbell Leith & Simon Wren-Lewis
-   2009_17 A New Test of the Real Interest Rate Parity Hypothesis: Bounds Approach and Structural Breaks
 by George Bagdatoglou & Alexandros Kontonikas
-   2009_15 Technology shocks and aggregate fluctuations in an estimated hybrid RBC model
 by Jim Malley & Ulrich Woitek
-   2009_13 Exchange rate forecasters’ performance: evidence of skill?
 by Ronald MacDonald & Lukas Menkhoff & Rafael R. Rebitzky
-   2009_12 Do political incentives matter for tax policies? Ideology, opportunism and the tax structure
 by Konstantinos Angelopoulos & George Economides & Pantelis Kammas
-   2009_10 Do children make us happier?
 by Luis Angeles
-   2009_08 Adaption and anticipation effects to life events in the United Kingdom
 by Luis Angeles
-   2009_06 Promoting clean technologies under imperfect competition
 by Théophile T. Azomahou & Raouf Boucekkine & Phu Nguyen-Vanc
-   2009_01 Climbing to the top? Foreign Direct Investment and property rights
 by Fathi Ali & Norbert Fiess & Ronald MacDonald
2008
-   2009_16 Dynamic Option Adjusted Spread and the Value of Mortgage Backed Securities
 by Mario Cerrato & Abdelmadjid Djennad
-   2009_14 Why the Rich Should Like R&D Less
 by Guido Cozzi
-   2009_11 Electoral uncertainty and the deficit bias in a New Keynesian Economy
 by Campbell Leith & Simon Wren-Lewis
-   2009_09 Adaption or social comparison? The effects of income on happiness
 by Luis Angeles
-   2009_07 Environmental negotiations as dynamic games: Why so selfish?
 by Raouf Boucekkine & Jacek B. Krawczyk & T. Vallée
-   2009_05 3-Regime symmetric STAR modeling and exchange rate reversion
 by Mario Cerrato & Hyunsok Kim & Ronald MacDonald
-   2009_04 Public Governance, Health and Foreign Direct Investment in Sub-Saharan Africa
 by Céline Azémar & Rodolphe Desbordes
-   2009_03 International corporate taxation and US multinationals' behaviour: an integrated approach
 by Céline Azémar
-   2009_02 Government spending composition, technical change and wage inequality
 by Guido Cozzi & Giammario Impullitti
-   2008_38 Do institutions matter for economic fluctuations? Weak property rights in a business cycle model for Mexico
 by Konstantinos Angelopoulos & George Economides & Vangelis Vassilatos
-   2008_37 Welfare implications of public education spending rules
 by Konstantinos Angelopoulos & Jim Malley & Apostolis Philippopoulos
-   2008_36 The Term Structure and the Expectations Hypothesis: a Threshold Model
 by Matteo Modena
-   2008_35 An Empirical Analysis of the Curvature Factor of the Term Structure of Interest Rates
 by Matteo Modena
-   2008_34 Trade Liberalisation and Informality: New stylized facts
 by Norbert Fiess & Marco Fugazza
-   2008_31 Democratization as a cost-saving device
 by Luis Angeles
-   2008_30 Optimal monetary policy in a new Keynesian model with habits in consumption
 by Campbell Leith & Ioana Moldovan & Raffaele Rossi
-   2008_29 Structural Breaks in the Real Exchange Rate and Real Interest Rate Relationship
 by Joseph P. Byrne & Jun Nagayasu
-   2008_28 Common and idiosyncratic factors of the exchange risk premium in emerging European markets
 by Joseph P. Byrne & Jun Nagayasu
-   2008_27 Is the consumption-income ratio stationary? Evidence from a nonlinear panel unit root test for OECD and non-OECD countries
 by Mario Cerrato & Christian de Peretti & Chris Stewart
-   2008_26 Do Institutions Matter for Foreign Direct Investment?
 by Fathi Ali & Norbert Fiess & Ronald MacDonald
-   2008_25 Demographic Transitions: analyzing the effects of mortality on fertility
 by Luis Angeles
-   2008_24 Citations Profile and the Complexity of Innovation
 by Guido Cozzi & Francesco Schettino
-   2008_22 Trade Unions go global!
 by Alejandro Donado & Klaus Wälde
-   2008_21 A theory of dynamics and inequalities under epidemics
 by Raouf Boucekkine & Jean-Pierre Laffargue
-   2008_20 Technological progress, organizational change and the size of the Human Resources Department
 by Raouf Boucekkine & Patricia Criffo & Claudio Mattalia
-   2008_18 Why the rich should like R&D less
 by Guido Cozzi
-   2008_16 Chebyshev polynomial approximation to approximate partial differential equations
 by Guglielmo Maria Caporale & Mario Cerrato
-   2008_15 Countercyclical Fiscal Policy and Cyclical Factor Utilization
 by Ioana Moldovan
-   2008_14 The Global Side of the Investments-Savings Puzzle
 by Joseph P. Byrne & Giorgio Fazio & Norbert Fiess
-   2008_12 Valuing American Derivatives by Least Squares Methods
 by Mario Cerrato
-   2008_10 The Global Dimension to Fiscal Sustainability
 by Joseph P. Byrne & Norbert Fiess & Ronald MacDonald
-   2008_08 A Nonlinear Panel Unit Root Test under Cross Section Dependence
 by Mario Cerrato & Christian de Peretti & Nick Sarantis
-   2008_05 Tax Structure, Growth and Welfare in the UK
 by Konstantinos Angelopoulos & Jim Malley & Apostolis Philippopoulos
2007
-   2016_16 Long-run Negotiations with Dynamic Accumulation
 by Francesca Flamini
-   2007_45 The Fractal Nature of Inequality in a Fast Growing World
 by Guido Cozzi & Fabio Privileggi
-   2007_44 Rule of Thumb Consumers, Public Debt and Income Tax
 by Raffaele Rossi
-   2007_43 Child’s play? Skills, regulation and reward amongst ‘early years’ workers
 by Jeanette Findlay
-   2007_43figures Child’s play? Skills, regulation and reward amongst ‘early years’ workers
 by Jeanette Findlay
-   2007_42 Countercyclical Taxes in a Monopolistically Competitive Environment
 by Ioana Moldovan
-   2007_41 Euro Area Inflation: Aggregation Bias and Convergence
 by Joseph P. Byrne & Norbert Fiess
-   2007_40 How should the government allocate its tax revenues between productivity-enhancing and utility-enhancing public goods?
 by George Economides & Hyun Park & Apostolis Philippopoulos
-   2007_39 The Contribution of Sectoral Productivity Differentials to Inflation in Greece
 by Heather D. Gibson & Jim Malley
-   2007_38 Estimating the Demand for Union-Led Learning in Scotland
 by Jeanette Findlay & Patricia Findlay & Chris Warhurst
-   2007_37 IMF Support and Inter-regime Exchange rate Volatility
 by Ivo J.M. Arnold & Ronald MacDonald & Casper G. de Vries
-   2007_35 Do institutions matter for economic fluctuations? Weak property rights in a business cycle model for Mexico
 by Konstantinos Angelopoulos & George Economides & Vangelis Vassilatos
-   2007_34 Pareto-Improving Unemployment Policies
 by Jörg Lingens & Klaus Wälde
-   2007_32 How to Get Tenured (in Germany, in Economics)
 by Michael Graber & Andrey Launov & Klaus Wälde
-   2007_31 The Tax Sparing Provision Influence: A Credit versus Exempt Investors Analysis
 by Céline Azémar & Andrew Delios
-   2007_30 Does public sector efficiency matter? Revisiting the relation between fiscal size and economic growth in a world sample
 by Konstantinos Angelopoulos & Apostolis Philippopoulos & Efthymios Tsionas
-   2007_29 Rent-seeking competition from state coffers in a calibrated DSGE model of the euro area
 by Konstantinos Angelopoulos & Apostolis Philippopoulos & Vanghelis Vassilatos
-   2007_27 Bridging the gap between growth theory and the new economic geography: The spatial Ramsey model
 by Raouf Boucekkine & C. Camacho & B. Zou
-   2007_26 A note on global dynamics and imbalance effects in the Lucas-Uzawa model
 by Raouf Boucekkine & B. Martínez & J. R. Ruiz-Tamarit
-   2007_25 How do epidemics induce behavioral changes?
 by Raouf Boucekkine & Rodolphe Desbordes & Hélène Latzer
-   2007_24 A closer look at the relationship between life expectancy and economic growth
 by Raouf Boucekkine & Bity Diene & Theophile Azomahou
-   2007_22 Learning-by-Exporting? Firm-Level Evidence for UK Manufacturing and Services Sectors
 by Richard Harris & Qian Cher Li
-   2007_21 Do real interest rates converge? Evidence from the European Union
 by Michael G. Arghyrou & Andros Gregoriou & Alexandros Kontonikas
-   2007_20 Implementing innovation in the UK National Health Service A case study in patient compliance
 by Robin Milne & Stewart Cully
-   2007_19 Disaggregate Real Exchange Rate Behaviour
 by Giorgio Fazio & Ronald MacDonald & Peter McAdam
-   2007_18 Trade Costs, Trade Balances And Current Accounts: An Application Of Gravity To Multilateral Trade
 by Giorgio Fazio & Ronald MacDonald & Jacques Melitz
-   2007_17 Financial Transition in Pre-World War II Japan and Southeast Asia
 by Gregg Huff
-   2007_16 Globalization, Natural Resources and Foreign Investment: A View from the Resource-Rich Tropics
 by Gregg Huff
-   2007_15 A proper farewell to Kuznets' hypothesi
 by Luis Angeles
-   2007_14 Globalization and Labor Market Integration in Late Nineteenth- and Early Twentieth-Century Asia
 by Gregg Huff & Giovanni Caggiano
-   2007_13 Euro Area Inflation Differentials: Unit Roots, Structural Breaks and Non-Linear Adjustment
 by Alberto Montagnoli & Andros Gregoriou & Alexandros Kontonikas
-   2007_12 Behavioural equilibrium exchange rate estimates and implied exchange rate adjustments for ten countries
 by Ronald MacDonald & Preethike Dias
-   2007_11 GDP per capita or Real Wages? Making sense of coflicting views on pre-industrial Europe
 by Luis Angeles
-   2007_10 Stock Market Valuation and Monopolistic Competition: a Dynamic Stochastic General Equilibrium Approach
 by Gabriel Talmain
-   2007_09 Public Education Expenditure, Growth and Welfare
 by Konstantinos Angelopoulos & Jim Malley & Apostolis Philippopoulos
-   2007_07 Unit Roots in Inflation and Aggregation Bias
 by Joseph Byrne & Alexandros Kontonikas & Alberto Montagnoli
-   2007_02 To React or Not? Fiscal Policy, Volatility and Welfare in the EU-3
 by Jim Malley & Apostolis Philippopoulos & Ulrich Woitek
2006
-   2007_36 A Re-examination of the link between Real Exchange Rates and Real Interest Rate Differentials
 by Mathias Hoffmann & Ronald MacDonald
-   2007_33 Natural volatility, welfare and taxation
 by Olaf Posch & Klaus Wälde
-   2007_01 Aid Effectiveness: The Role of the Local Elite
 by Luis Angeles & Kyriakos C Neanidis
-   2006_17 Informal Labor Markets and Macroeconomic Fluctuations
 by N Fiess & M Fugazza & WF Maloney
-   2006_15 Monetary Policy Shocks and Stock Returns: Evidence from the British Market
 by A Gregoriou & A Kontonikas & R MacDonald & A Montagnoli
-   2006_12 Monetary Policy and the Stock Market: Some International evidence
 by Christos Ioannidis & Alexandros Kontonikas
-   2006_11 Fiscal Sustainability in a New Keynesian Model
 by Campbell Leith & Simon Wren-Lewis
-   2006_10 Unit Roots and Structural Breaks: A Survey of the Literature
 by Joseph P. Byrne & Roger Perman
-   2005_23 The Costs of Fiscal Inflexibility - Extended
 by Campbell Leith & Simon Wren-Lewis
-   2005_13 The EURO and Inflation Uncertainty In The EMU
 by Guglielmo maria Coporale & Alexandros Kontonikas
-   2005_11 Stock Returns and Inflation: The Impact of Inflation Targeting
 by Alexandros Kontonikas & Alberto Montagnoli & Nicola Spagnolo
-   2006_9 US Trade and Exchange Rate Volatility: A Real Sectoral Bilateral Analysis
 by Joseph P. Byrne & Julia Darby & Ronald MacDonald
-   2006_8 Reexamining the linkages between inflation and output growth: A bivariate ARFIMA-FIGARCH approach
 by Mustafa Caglayan & Feng Jiang
-   2006_7 Governance of the Regulatory Decision Making Process
 by B. Quinn
-   2006_6 Monetary and fiscal policy interactions in a New Keynesian model with capital accumulation and non-Ricardian consumers
 by Campbell Leith & Leopold von Thadden
-   2006_1 Uncertainty Determinants of Corporate Liquidity
 by Christopher F. Baum & Mustafa Caglayan & Andreas Stephan & Oleksandr Talavera
2005
-   2005_27 The second moments matter: The response of bank lending behaviour to macroeconomic uncertainty
 by Christopher F Baum & Mustafa Caglayan & Neslihan Ozkan
-   2005_26 The Impact of Macroeconomic Uncertainty onNon-Financial Firms’ Demandf or Liquidity
 by Christopher F Baum, & Mustafa Caglayan & Neslihan Ozkan & Oleksandr Talavera
-   2005_25 Cadaveric Vs. Live-Donor Kidney Transplants: The Interaction Of Institutions And Inequality
 by Nejat Anbarci & Mustafa Caglayan
-   2005_22 Fundamental Volatility is Regime Specific
 by Ivo. J.M. Arnold & Ronald MacDonald & Casper G. de Vries
-   2005_16 Regime-Switching in Exchange Rate Policy and Balance Sheet Effects
 by Norbert Fiess & Rashmi Shankar
 Printed from https://ideas.repec.org/s/gla/glaewp2.html
 Printed from https://ideas.repec.org/s/gla/glaewp2.html