Content
2005
- 65 Price-setting behaviour in Belgium: what can be learned from an ad hoc survey ?
by Luc Aucremanne & Martine Druant
2004
- 63 Asymetric growth and inflation developments in the acceding countries: a new assessment
by Stefaan Ide & Philippe Moës - 62 Voting on pensions: a survey
by Grégory de Walque - 61 Comparing shocks and frictions in US and euro area business cycles: a Bayesian DSGE approach
by Frank Smets & Raf Wouters - 60 Forecasting with a Bayesian DSGE Model: an application to the euro area
by Frank Smets & Raf Wouters - 58 Macroeconomic and monetary policy-making at the EC, from the Rome Treaties to the Hague Summit
by Ivo Maes - 57 Determinants of Euro Term Structure of Credit Spreads
by Astrid Van Landschoot - 55 Liquidity and Financial Market Stability
by Maureen O'Hara - 54 Regulating Financial Conglomerates
by Xavier Freixas & Gyongyi Loranth & Alan D. Morrison & Hyun Song Shin - 53 Does Financial Liberalization Spur Growth?
by Geert Bekaert & Campbell R. Harvey & Christian Lundblad - 52 The Efficiency and Stability of Banks and Markets
by Franklin Allen - 51 Basel II and Operational Risk: Implications for risk measurement and management in the financial sector
by Ariane Chapelle & Yves Crama & Georges Hubner & Jean-Philippe Peeters - 50 Financial consolidation and liquidity: prudential regulation and/or competition policy?
by Patrick Van Cayseele - 49 How does liquidity react to stress periods in a limit order market?
by Helena Beltran & Alain Durré & Pierre Giot - 48 Sectoral vs. country diversification benefits and downside risk
by Marina Emiris - 47 The Determinants of Pass-Through of Market Conditions to Bank Retail Interest Rates in Belgium
by Ferre De Graeve & Olivier De Jonghe & Rudi Vander Vennet - 46 SMEs and Bank Lending Relationships: the Impact of Mergers
by Hans Degryse & Nancy Masschelein & Janet Mitchell - 45 Firms' investment decisions in response to demand and price uncertainty
by Catherine Fuss & Philip Vermeulen - 44 How frequently do prices change? Evidence based on the micro data underlying the Belgian CPI
by Luc Aucremanne & Emmanuel Dhyne - 43 Interbank exposures: an empirical examination of systemic risk in the Belgian banking system
by Hans Degryse & Grégory Nguyen - 42 Modeling the Term Structure of Interest Rates: Where Do We Stand?
by Konstantijn Maes
2003
- 40 The process of European monetary integration : a comparison of the Belgian and Italian approaches
by Ivo Maes & Lucia Quaglia - 36 The labour market and fiscal impact of labour reductions: the case of reduction of employers' social security contributions under a wage norm regime with automatic price indexing of wages
by Koen Burggraeve & Philip Du Caju
2002
- 35 An estimated dynamic stochastic general equilibrium model of the euro area
by Frank Smets & Raf Wouters - 34 On the origins of the Franco-German EMU controversies
by Ivo Maes - 33 Investment, R&D and liquidity constraints
by Pr. D. Patrick Van Cayseele - 32 Financing constraints, fixed capital and R&D investment decisions of belgian firms
by Michele Cincera - 31 Governance as a source of managerial discipline
by Julian Franks & Colin Mayer - 30 Development path and capital structure of belgian biotechnology firms
by Véronique Bastin & Albert Corhay & Georges Hübner & Pierre-Armand Michel - 29 Financing and investment interdependencies in unquoted belgian compagnies: the role of venture capital
by Sophie Manigart & Katleen Baeyens & Ilse Verschueren - 28 Structural modelling of investment and financial constraints: Where do we stand?
by Jean-Bernard Chatelain - 27 Capital structure, firm liquidity and growth
by Ronald W. Anderson - 26 Finance, uncertainty and investment: assessing the gains and losses of a generalized non linear structural approach using Belgian panel data
by Marcel Gérard & Frédéric Verscueren - 25 Investment, protection, ownership, and the cost of capital
by Charles P. Himmelberg & R. Glenn Hubbard & Inessa Love - 24 The impact of uncertainty on investment plans
by Paul Butzen & Catherine Fuss & Philip Vermeulen - 23 Investment, uncertainty and irreversibility: evidence from belgian accounting data
by Danny Cassimon & Peter-Jan Engelen & Hilde Meersman & Martine Van Wouwe - 22 Real options and investment under uncertainty: What do we know?
by Lenos Trigeorgis - 21 Lifting the burden: fundamental tax reform and U.S. economic growth
by Dale W. Jorgenson & Kun-Young Yun - 20 Inflation, relative prices and nominal rigidities
by Luc Aucremanne & Guy Brys & Mia Hubert & Peter J. Rousseeuw & Anja Struyf - 19 Openness, imperfect exchange rate pass-through and monetary policy
by Frank Smets & Raf Wouters
2001
- 18 The interest rate and credit channels in Belgium: an investigation with micro-level firm data
by Paul Butzen & Catherine Fuss & Philip Vermeulen - 16 A guided tour of the world of rational expectations models and optimal policies
by Philippe Jeanfils
2000
- 10 Monetary union and economic growth
by John Vickers - 09 The role of the exchange rate in economic growth: a euro-zone perspective
by Ronald MacDonald - 08 Economic growth and the labor markets: Europe's challenge
by Charles Wyplosz - 07 Fiscal policy and growth in the context of European integration
by Paul Masson - 06 Knowledge technology and economic growth: recent evidence from OECD countries
by Andrea Bassanini & Stefano Scarpetta & Ignazio Visco - 05 Growth in an open economy: some recent developments
by Stephen J. Turnovsky - 04 A model with explicit expectations for Belgium
by Philippe Jeanfils - 02 The use of robust estimators as measures of core inflation
by Luc Aucremanne - 01 Model-based inflation forecasts and monetary policy rules
by Raf Wouters & Michel Dombrecht
Printed from https://ideas.repec.org/s/nbb/reswpp3.html