Investment and Uncertainty: A Theory-Based Empirical Approach
Year of publication: |
2004
|
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Authors: | Carlsson, Mikael |
Publisher: |
Uppsala : Uppsala University, Department of Economics |
Subject: | Geldpolitik | Regelbindung | Zins | Preisrigidität | Taylor-Regel | Theorie | Gleichgewicht | Investment | Uncertainty | Dynamic Panel Data Models |
Series: | Working Paper ; 2004:17 |
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Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Working Paper |
Language: | English |
Other identifiers: | 470485817 [GVK] hdl:10419/82683 [Handle] RePEc:hhs:uunewp:2004_017 [RePEc] |
Classification: | C33 - Models with Panel Data ; D21 - Firm Behavior ; D80 - Information and Uncertainty. General ; E22 - Capital; Investment (including Inventories); Capacity |
Source: |
-
Investment and Uncertainty: A Theory-Based Empirical Approach
Carlsson, Mikael, (2004)
-
The impact of uncertainty on investment : a meta-analysis
Koetse, Mark J., (2006)
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Investment and Interest Rate Policy : A Discrete Time Analysis
Carlstrom, Charles T., (2007)
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Carlsson, Mikael, (2009)
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Dispersion over the business cycle: Passthrough, productivity, and demand
Carlsson, Mikael, (2022)
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Wage Adjustment and Productivity Shocks
Carlsson, Mikael, (2011)
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