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Year of publication
Subject
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Zins 18,892 Interest rate 18,882 Theorie 6,099 Theory 6,091 Geldpolitik 4,689 Monetary policy 4,668 Zinsstruktur 2,745 Yield curve 2,739 USA 2,517 United States 2,486 Schätzung 2,031 Estimation 2,030 Zinspolitik 1,642 Interest rate policy 1,624 Inflation 1,420 Exchange rate 1,330 Wechselkurs 1,318 Geldpolitische Transmission 1,227 Monetary transmission 1,227 Bank 1,158 Bank lending 1,099 Kreditgeschäft 1,096 EU-Staaten 1,053 EU countries 1,051 interest rate 1,034 Volatility 957 Volatilität 952 Deutschland 925 Germany 888 Hypothek 863 Mortgage 863 Öffentliche Schulden 862 Public debt 860 Geldmarkt 830 Money market 809 Impact assessment 792 Wirkungsanalyse 792 Welt 721 World 721 Zentralbank 679
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Online availability
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Free 7,653 Undetermined 2,938 CC license 303
Type of publication
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Book / Working Paper 10,313 Article 9,719 Other 26 Journal 18
Type of publication (narrower categories)
All
Article in journal 8,290 Aufsatz in Zeitschrift 8,290 Graue Literatur 4,203 Non-commercial literature 4,203 Working Paper 4,184 Arbeitspapier 4,098 Aufsatz im Buch 654 Book section 654 Hochschulschrift 390 Thesis 301 Collection of articles of several authors 85 Sammelwerk 85 Bibliografie enthalten 72 Bibliography included 72 Amtsdruckschrift 71 Government document 71 Collection of articles written by one author 67 Sammlung 67 Article 66 Conference paper 66 Konferenzbeitrag 66 Konferenzschrift 64 Aufsatzsammlung 51 Conference proceedings 33 Dissertation u.a. Prüfungsschriften 29 Lehrbuch 26 Textbook 26 Statistik 21 Systematic review 20 Übersichtsarbeit 20 Statistics 17 research-article 17 Mehrbändiges Werk 11 Mikroform 11 Multi-volume publication 11 No longer published / No longer aquired 11 Forschungsbericht 9 Rezension 9 Amtliche Publikation 7 Advisory report 6
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Language
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English 17,593 German 870 Undetermined 839 French 240 Spanish 236 Italian 86 Portuguese 61 Dutch 30 Polish 23 Russian 20 Croatian 16 Czech 12 Norwegian 12 Hungarian 10 Finnish 8 Danish 7 Indonesian 6 Lithuanian 6 Romanian 6 Serbian 5 Swedish 5 Bulgarian 4 Slovak 2 Slovenian 2 Turkish 2 Afrikaans 1 Korean 1 Latin 1 Multiple languages 1 Ukrainian 1 Chinese 1
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Author
All
Belke, Ansgar 64 Akram, Tanweer 59 Caporale, Guglielmo Maria 59 Friedman, Benjamin M. 59 Mishkin, Frederic S. 52 Hendershott, Patric H. 47 Svensson, Lars E. O. 46 Thornton, Daniel L. 43 Cebula, Richard J. 42 Gil-Alaña, Luis A. 42 Hsing, Yu 40 Williams, John C. 40 Frankel, Jeffrey A. 39 Nautz, Dieter 38 Taylor, Alan M. 37 Hein, Eckhard 34 Wolters, Jürgen 34 Berument, Hakan 32 Christiano, Lawrence J. 32 Memmel, Christoph 32 Wieland, Volker 32 Virén, Matti E. E. 31 Edwards, Sebastian 30 Jordà, Òscar 30 Campbell, John Y. 28 Walsh, Carl E. 28 Artus, Patrick 27 Borio, Claudio E. V. 27 Coenen, Günter 27 Engel, Charles 27 Gerlach, Stefan 27 Haan, Jakob de 27 Gros, Daniel 26 Ongena, Steven 26 Carlstrom, Charles T. 25 Fuerst, Timothy S. 25 Moessner, Richhild 25 Zinman, Jonathan 25 Gambacorta, Leonardo 24 Huizinga, Harry 24
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Institution
All
National Bureau of Economic Research 391 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 58 Graduate School of Business, Columbia University 19 European Central Bank 16 Institute for International Economic Studies (IIES), Stockholms Universitet 15 International Monetary Fund 15 Banca d'Italia 12 Banque de France 12 Department of Economics, University of Washington 12 EconWPA 12 Harvard Institute of Economic Research (HIER), Department of Economics 12 Département de Sciences Économiques, Université de Montréal 11 Economics Department, Organisation de Coopération et de Développement Économiques (OCDE) 11 School of Economics, Faculty of Arts and Social Sciences 11 Christian-Albrechts-Universität zu Kiel / Institut für Weltwirtschaft 10 European Parliament / Directorate-General for Internal Policies of the Union 10 OECD 9 Banco de España 8 Caisse des Depots et Consignations - Cahiers de recherche 8 Federal Reserve System / Board of Governors 8 Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse 8 eSocialSciences 8 Centre Emile Bernheim, Solvay Brussels School of Economics and Management 7 Centre Interuniversitaire de Recherche en Économie Quantitative (CIREQ) 7 Department of Economics, University of Warwick 7 Federal Reserve Bank of San Francisco 7 Federal Reserve Bank of St. Louis 7 School of Business, University of Western Sydney 7 School of Economics, UNSW Business School 7 University of Rochester - Center for Economic Research (RCER) 7 Weiss Center for International Financial Research, Wharton School of Business 7 Bank of Canada 6 C.E.P.R. Discussion Papers 6 CentER for Economic Research, Universiteit van Tilburg 6 Department of Economics, School of Business and Economics 6 Département d'Économie / Department of Economics, Université d'Ottawa / University of Ottawa 6 Edward Elgar Publishing 6 Ekonomiska forskningsinstitutet <Stockholm> 6 European Systemic Risk Board 6 Hoover Institution on War Revolution & Peace, Stanford University 6
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Published in...
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NBER working paper series 392 NBER Working Paper 340 Working paper / National Bureau of Economic Research, Inc. 314 Journal of money, credit and banking : JMCB 163 Applied economics 152 IMF working papers 150 Journal of banking & finance 149 Discussion paper / Centre for Economic Policy Research 142 Economic modelling 116 Journal of macroeconomics 115 Working paper series / European Central Bank 113 Journal of international money and finance 112 Finance and economics discussion series 107 Economics letters 104 Journal of monetary economics 103 Working paper 102 Discussion papers / CEPR 99 Finance research letters 81 Applied economics letters 80 Discussion paper 80 Applied financial economics 79 CESifo working papers 78 Journal of economic dynamics & control 69 ECB Working Paper 68 The journal of real estate finance and economics 67 International review of economics & finance : IREF 65 IMF working paper 64 The journal of finance : the journal of the American Finance Association 64 Economic review 63 IMF Working Paper 58 European economic review : EER 57 MPRA Paper 57 The quarterly review of economics and finance : journal of the Midwest Economics Association ; journal of the Midwest Finance Association 56 Staff working paper / Bank of Canada 55 Working papers / Bank for International Settlements 55 International finance discussion papers 51 Journal of economics & business 49 Journal of policy modeling : JPMOD ; a social science forum of world issues 49 The North American journal of economics and finance : a journal of financial economics studies 48 Working papers / The Levy Economics Institute 48
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Source
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ECONIS (ZBW) 18,870 RePEc 896 EconStor 157 USB Cologne (EcoSocSci) 86 BASE 43 Other ZBW resources 18 ArchiDok 6
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Showing 1 - 50 of 20,076
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An integrated risk management methodology for deposits and loans
Hackworth, Gregory R.; Tian, Weidong; Vandenberg, Michael R. - In: Risks : open access journal 13 (2025) 3, pp. 1-26
This paper presents an integrated risk management methodology for measuring and managing the economics, risks, and financial resources/constraints related to deposits and loans in a commercial bank. Within a comprehensive and integrated framework, we develop valuation and risk models for all...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015358910
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Financial policies and corporate income tax administration in Nigeria
Omodero, Cordelia Onyinyechi; Yado, Joy Limaro - In: International Journal of Financial Studies : open … 13 (2025) 2, pp. 1-19
Corporate taxation assumes a pivotal role in all economies, as it constitutes a substantial source of revenue for governmental agencies tasked with fulfilling social obligations. Nonetheless, modifications in financial policies and the unpredictability of macroeconomic factors result in a...
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Bubble mitigation policies: counterfactual analysis and treatment effect inference
Chen, Ye; Phillips, Peter C. B.; Shi, Shuping - 2025
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Interest rate policy and the assets and financial results of central banks in selected European Union member states
Misztal, Piotr - In: Journal of central banking theory and practice 14 (2025) 3, pp. 139-160
In reaction to the 2008 global financial crisis, central banks made large-scale asset acquisitions using their reserves. This unusual monetary strategy has persisted throughout the pandemic, and in certain cases beyond 2022. By then, central bank balance sheets had grown by up to tenfold. Then,...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015458696
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Unveiling the dynamics : exploring the relationship between emerging stock market prices and macroeconomic factors through ardl analysis
Gümüş, Nihat; Baba, Murtala Mustapha - In: International econometric review 16 (2024) 1, pp. 24-49
Using a panel ARDL model, this study examines the relationship between stock prices and prices in other marketplaces. Examining data for 19 emerging market nations from January 2004 to December 2022, the study investigates how gold prices, interest rates, exchange rates, and inflation affect...
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Relationship among macroeconomic factors and stock prices : cointegration approach from the Indian stock market
Keswani, Sarika; Puri, Veerma; Jha, Rimjhim - In: Cogent economics & finance 12 (2024) 1, pp. 1-20
The performance of a stock market is intrinsically linked to the broader financial and economic landscape of a country. Stock prices, as integral indicators, not only mirror the financial health and collective economic circumstances of a nation but also serve as crucial barometers of tangible...
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Demand for consumer loans in Russia : how strong is the interest rate channel of monetary policy?
Sinyakov, Andrey A.; Shelovanova, Tatyana I. - In: Russian journal of economics 11 (2025) 1, pp. 47-75
The booming retail trade and the above-target consumer prices inflation in 2023-2024 in Russia, amid tightening monetary policy stance, raise an issue of the strength of the monetary policy interest rate channel. The focus of our paper is the interest rate elasticity (given inflation...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015396375
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Optimal monetary policy framework in an emerging market economy under sanctions pressure and restrictions on capital flows
Kharitonchik, Anatoly - In: Central European economic journal 11 (2024) 58, pp. 329-345
The study evaluates the effectiveness of monetary policy regimes that can serve as the basis for economic policy strategies in emerging economies. Based on the macroeconomic gap model for Belarus, simulations of the strong shock impact on the economy using different monetary policy regimes have...
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Reforming the Dutch pension system to ensure sustainability
Westerhout, Ed W. M. T.; Ponds, Eduard; Zwaneveld, Peter J. - In: International social security review 77 (2024) 3, pp. 99-122
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Impact of sovereign debt maturity on fiscal sustainability
Afonso, António; Alves, José; Matvejevs, Ol̨egs; … - 2024
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How do interest rates effect consumption in the UK?
O'Donnell, Matthew; Vasilev, Aleksandar - 2024
This chapter analyses the link between interest rates and consumption in the UK and will allow better understanding of the relationship between these two variables, as this is extremely important to the Bank of England and the monetary policy that it adopts. Analysis of the empirical evidence...
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Did the Bank of England's quantitative easing programme become fiscally wasteful?
Bleaney, Michael F. - 2024
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An econometric analysis of inflation, exchange rate, and interest rate on stock market performance in South Africa
Trecy, Maake; Donald, Semosa; Kanayo, Ogujiuba; … - In: International journal of economics and financial issues … 14 (2024) 6, pp. 357-368
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Impact of sovereign debt maturity on fiscal sustainability
Afonso, António; Alves, José; Matvejevs, Oļegs; … - 2024
In addition to the significant increase in the public debt ratio over the last decades, another major change has been the substantial increase in the maturity of sovereign borrowing. This study is the first to investigate the impact of the term structure of public debt on fiscal sustainability....
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Consumer debt and poverty: the default risk gap
Bertoletti, Lucía; Borraz, Fernando; Sanroman, Graciela - 2024
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Consumer debt and poverty : the default risk gap
Bertoletti, Lucía; Borraz, Fernando; Sanroman, Graciela - 2024
This paper examines the disparity in default risk between vulnerable and non-vulnerable populations in consumer lending. We merge an exhaustive registry of loans granted in the financial system with microdata on vulnerable individuals applying for social programs. We estimate the sources of this...
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Taylor rule and shadow rates : theory and empirical analysis
Lupiani, Camilla - 2024
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The dynamic linkages among gold prices, stock prices, the exchange rate and interest rate in South Africa
Ndlovu, Thabang; Ndlovu, Nozibusiso Mavuso - In: Journal of Economics and Financial Analysis 8 (2024) 1, pp. 35-56
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Bond indices maturities and changing macroeconomic conditions : evidence from South Africa
Moodley, Fabian - In: Journal of Economics and Financial Analysis 8 (2024) 1, pp. 57-73
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Driving forces of the consumer price index during the crises in the Eurozone : heterogeneous panel approach
Pejčić, Jovica; Glavaški, Olgica; Beljić, Marina - In: Economies : open access journal 12 (2024) 11, pp. 1-19
This paper examines key driving forces of inflationary pressures, taking into account supply and demand side determinants and actions of policy makers, during the pandemic and geopolitical crises in the Eurozone. Using heterogeneous nonstationary macro-panel models, especially the Mean Group...
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Climate risk, bank lending and monetary policy
Altavilla, Carlo; Boucinha, Miguel; Pagano, Marco; … - 2024
Combining euro-area credit register and carbon emission data, we provide evidence of a climate risk-taking channel in banks' lending policies. Banks charge higher interest rates to firms featuring greater carbon emissions, and lower rates to firms committing to lower emissions, controlling for...
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Climate risk, bank lending and monetary policy
Altavilla, Carlo; Boucinha, Miguel; Pagano, Marco; … - 2023
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014394228
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Fiscal and monetary policy interactions in a model with low interest rates
Miao, Jianjun; Su, Dongling - 2023
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Inflation as redistribution : creditors, workers, policymakers
Bikler, Šimšōn; Nitzan, Jonathan - 2023
This paper is part of a dialogue with Blair Fix on how inflation redistributes income between creditors and workers and the way in which monetary policy affects this process. In his 2023 paper, 'Inflation! The Battle Between Creditors and Workers', Fix shows, first, that the impact of U.S....
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Analysis of the effect of currency exchange rate, broad money (M3) and oil prices on inflation in India
Sharma, Shikha; Dahiya, Manju - In: International journal of economics and financial issues … 13 (2023) 3, pp. 158-168
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Effects of the domestic and ECB interest rates on Türkiye's stock market : empirical evidence from a newly developed combined co-integration and causality analysis
Samour, Ahmed; Zhakanova, Aliya; Türsoy, Turgut - In: European journal of comparative economics 20 (2023) 2, pp. 223-238
The research examines the influence of the domestic interest rate and spillover effect of the European Central Bank (ECB) interest rates on Türkiye's stock market from January 1999 to January 2019. The research applied the Autoregressive Distributed Lag (ARDL) co-integration method to analyze...
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The Impact of interest rate spillover on output gap : a dynamic spatial durbin model
Wuri, Josephine; Hardanti, Yuliana Rini; Laurentius … - In: Economies : open access journal 12 (2024) 1, pp. 1-17
The recent multidimensional crisis has harmed the global economy because countries are currently integrated. In this study, we examine the spillover effect of the United States (US) interest rate on the output gap of ASEAN+3 countries using the dynamic spatial Durbin model from 2010 to 2020....
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Macroeconomic risks and monetary policy in Central European countries : parallels in the Czech Republic, Hungary, and Poland
Ábel, István; Siklos, Pierre L. - In: Risks : open access journal 11 (2023) 11, pp. 1-26
Changes in interest rates, inflation, and exchange rates are the main components of macroeconomic risks (financial risks) in projects evaluation. However, the conduct of monetary policy as well as its impact on the economic environment is seldom considered as an important component of...
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Housing and the secular decline in real interest rates
Knell, Markus - 2023
In this paper, I study the role of housing for wealth accumulation and the determination of the equilibrium real interest rate within a continuous-time overlapping generations model that incorporates a realistic demographic structure and households that save for life-cycle and bequest reasons....
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Interest rate uncertainty and macroeconomics in Turkey
Güney, Pelin Öge - In: Prague economic papers : a bimonthly journal of … 32 (2023) 2, pp. 184-204
Uncertainty about monetary policy associated with uncertainty in interest rate is an important determinant of economic decisions. Due to the dominant position of the US economy on global financial markets, in addition to countries' own uncertainties, uncertainty related to the monetary policy of...
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Financial development and intra-trade relationships : evidence from panel analysis of regional comprehensive economic partnership countries
Yan, Chen; Zhang, Leilei - In: Prague economic papers : a bimonthly journal of … 32 (2023) 5, pp. 473-487
This study accounts for the nexus between financial development and intra-trade relationships using nine Regional Comprehensive Economic Partnership (RCEP) countries with the extraction of data from secondary sources spanning between 1990 and 2021. The following are the con- clusions drawn from...
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Climate risk, bank lending and monetary policy
Altavilla, Carlo; Boucinha, Miguel; Pagano, Marco; … - 2023
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014420291
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Oil price changes and stock market performance in UAE : evidence of cointegration persists in economic diversification era
Banerjee, Rachna; Majumdar, Sudipa; Mohammed, Zahra - In: International Journal of Energy Economics and Policy : IJEEP 13 (2023) 1, pp. 552-561
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Banking sector, distributive conflict, and monetary theory of distribution
Zolea, Riccardo - 2023
This paper analyzes the implications of distributional contrast for the monetary theory of distribution. The first step is to try to introduce the banking sector within Pivetti's monetary distribution theory approach. Pivetti in fact does not analyze the links between the central bank and the...
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The relationship between bank concentration and interest rates
Kaličanin, Tijana; Grubišić, Zoran; Kamenković, Sandra - In: Journal of central banking theory and practice 12 (2023) 3, pp. 23-39
The aim of this paper was to analyse the relationship be-tween market concentration and market interest rate. Taking intothought the relationship between the level of concentration within amarket and the level of competition, it can be deduced that an incre-ment in concentration results in a...
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External debt determinants : do macroeconomic and institutional ones matter for selected ASEAN developing countries?
Harsono, Edi; Kusumawati, Andi; Nirwana, Nirwana - In: Economies : open access journal 12 (2024) 1, pp. 1-16
Developing nations have the task of effectively managing their external debt. The government is urged to comprehend the decisive component in managing its external debt, despite the varying viewpoints among economists. In addition, the world sees the need for institutional quality to optimize...
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Investigating the effects of monetary policy shocks on growth and inflation in Egypt : asymmetry and the long-term impact
Omar, Nadeen; Yousri, Dina - Economic Research Forum for the Arab Countries, Iran … - 2023
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Modern money theory : some basics in response to Drumetz/Pfister
Leclaire, Joëlle - In: European journal of economics and economic policies : … 20 (2023) 1, pp. 34-42
This article examines the misconceptions about modern money theory (MMT) put forward by . The author divides her critique into three categories. First, the Drumetz/Pfister article erroneously indicates that MMT focuses exclusively on the means-of-payment function of money, that it considers...
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Fiscal and monetary policy for difficult times : MMT solutions
Leclaire, Joëlle - In: European journal of economics and economic policies : … 20 (2023) 2, pp. 356-368
This article considers the current economic situation from the lens of modern money theory (MMT) and expresses a policy response rooted in post-Keynesian theory and empirical data for the US and the euro area. First, MMT supports targeted deficit spending to promote production. Increasing...
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Financialization historically contemplated : putting old wine in new barrels
Tsalikē, Persephonē; Tsoulfidis, Lefteris - In: World review of political economy : journal of the … 14 (2023) 3, pp. 328-356
This article examines the extent to which financialization is a new phase of capital accumulation characterized by its own economic laws in which the real (production) economy adjusts accordingly. In order to examine this hypothesis, the authors invoke the share of the financial sector in the...
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Financial stability in the Indonesian monetary policy analysis
Hudaya, Afaqa; Firmansyah, Firmansyah - In: Cogent economics & finance 11 (2023) 1, pp. 1-17
Financial stability is one of the main factors for a country's economic sustainability nowadays. Financial instability has adverse effects on the economy which can lead to the financial crisis. This research tries to answer how monetary policy related to Indonesian financial stability in the...
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Dealing with debt : less risk for more growth in Latin America and the Caribbean
Powell, Andrew (ed.); Valencia, Oscar M. (ed.) - 2023
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Asymmetric effects of commodity prices on stock returns of the BRICS countries
Kaur, Parminder; Singla, Ravi - In: Romanian journal of economic forecasting 26 (2023) 1, pp. 145-164
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Monetary policy and real estate asset prices in Morocco
Hammou Ou Ali, Hassnae - 2025
This study investigates the role of housing prices in the Moroccan economy and their response to monetary policy shocks. Using a Structural Vector Autoregression (SVAR) model, we explore the transmission mechanisms of monetary policy through various channels, including interest rates, credit...
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Are private banks more sensitive to changes in reserve requirements? Evidence from an emerging market
Swamy, Vighneswara; Narayanamurthy, Vijayakumar - In: Journal of Economics, Finance and Administrative Science 30 (2025) 59, pp. 79-115
Purpose - This article explores the effects of monetary policy rates and interest rate structures on bank profitability. Design/methodology/approach We studied 65 Indian commercial banks over time, including economic cycles, consolidation and the Great Financial Crisis. We categorized commercial...
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Banking in the negative : a vector error correction analysis of bank-specific lending and deposit rates
Agati, Alessandra; Sigmund, Michael - 2025
We analyze the impact of negative reference rates on the interest rate behavior of more than 500 Austrian banks from 2009Q1 to 2021Q4. Using panel vector error correction analysis with the Engle-Granger procedure in two steps, we establish a cointegration vector that links bank-specific lending...
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Interest rate control and the transmission of monetary policy
Holm-Hadulla, Fédéric; Pool, Sebastiaan - 2025
We study how short-term interest rate volatility affects the transmission of monetary policy. To identify exogenous changes in volatility, we exploit the pronounced heteroskedasticity visible in the time-series of euro area short-term rates over the past two and a half decades. Interacting the...
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Long-term risk with stochastic interest rates
Severino, Federico - In: Mathematical finance : an international journal of … 35 (2025) 1, pp. 3-39
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Decline of interest rates under inflation targeting and previous regimes : evidence from Latin America and developed countries
Chión-Chacón, Sergio Julio; Álvarez García, Kevin … - In: Ekonomika : mokslo žurnalas 104 (2025) 1, pp. 6-29
This study empirically investigates the impact of Inflation Targeting (IT) on nominal interest rates over the past 40 years, focusing on 10 advanced and emerging economies. By using a Binary Regime Model embedded within a Backward-Looking Taylor, our findings confirm that IT adoption has...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015359705
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Monetary-fiscal forward guidance
Kopiec, Paweł - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015359826
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