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  • Search: isPartOf:"Graduate Institute of International and Development Studies Working Paper"
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Year of publication
Subject
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Welt 35 Theorie 32 Schätzung 20 Theory 19 World 19 USA 17 Schock 16 Finanzmarktregulierung 15 Handelseffekt 14 Geldpolitik 13 Monetary policy 13 Kapitalmobilität 12 monetary policy 12 Estimation 11 Finanzpolitik 11 Portfolio-Management 11 Shock 11 Panel 10 Wirkungsanalyse 10 Großbritannien 9 Switzerland 9 United States 9 Wirtschaftswachstum 9 Öffentliche Schulden 9 Corporate Governance 8 Financial market regulation 8 Finanzkrise 8 Fiscal policy 8 Geschichte 8 Kreditgeschäft 8 Economic growth 7 Entwicklungsländer 7 Internationaler Finanzmarkt 7 Länderrisiko 7 Public debt 7 Schweiz 7 Trade effect 7 VAR model 7 VAR-Modell 7 exchange rate 7
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Online availability
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Free 388
Type of publication
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Book / Working Paper 388
Type of publication (narrower categories)
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Working Paper 385 Arbeitspapier 98 Graue Literatur 98 Non-commercial literature 98
Language
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English 387 French 1
Author
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Panizza, Ugo 51 Flandreau, Marc 25 Tille, Cédric 17 Gulati, Mitu 12 Huang, Yi 10 Djajić, Slobodan 9 Neven, Damien J. 9 Berman, Nicolas 8 Rieger, Matthias 8 Sola, Sergio 8 Trani, Tommaso 8 Mukherjee, Rahul 7 Vandewalle, Lore 7 Benavente, Daniela 6 Kingombe, Christian K.M. 6 Kohler, Pierre 6 Wagner, Natascha 6 Arcand, Jean-Louis L. 5 Dell'Erba, Salvatore 5 Langus, Gregor 5 Lipatov, Vilen 5 Oosterlinck, Kim 5 Ugolini, Stefano 5 Ahmadov, Vugar 4 Arcand, Jean-Louis 4 Bacchetta, Philippe 4 Berkes, Enrico 4 Bignon, Vincent 4 Eichengreen, Barry 4 Gori, Filippo 4 Hausmann, Ricardo 4 Kamuganga, Dick N. 4 McLoughlin, Cameron 4 Nivin, Rafael 4 Rahimov, Vugar 4 Reinhardt, Dennis 4 Rodella-Boitreaud, Aude-Sophie 4 Solleder, Olga 4 Somville, Vincent 4 Vézina, Pierre-Louis 4
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Published in...
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Graduate Institute of International and Development Studies Working Paper 290 Working paper / Graduate Institute of International and Development Studies 98
Source
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EconStor 287 ECONIS (ZBW) 101
Showing 1 - 10 of 388
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Shockwaves from Ukraine: Trends and gaps in agricultural commodity prices
Bondarenko, Olga - 2025
I propose partial-equilibrium models that describe the dynamics of global wheat and corn markets. These models extend the classic competitive storage framework by incorporating nonstationary variables. They are calibrated using data from Ukraine and key importing and exporting countries. The...
Persistent link: https://www.econbiz.de/10015325408
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Measuring natural rate of interest in Uzbekistan
Inkhomiddinov, Islomjon - 2025
The natural rate of interest, often interpreted as the equilibrium real interest rate, serves as a critical benchmark for evaluating the stance of monetary policy. This paper investigates the natural rate of interest in Uzbekistan using three econometric approaches: the HLW-type model1 , a...
Persistent link: https://www.econbiz.de/10015325435
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Nowcasting Peru's GDP with machine learning methods
Flores, Jairo; Gonzaga, Bruno; Ruelas-Huanca, Walter; … - 2025
This paper explores the application of machine learning (ML) techniques to nowcast the monthly year-over-year growth rate of both total and non-primary GDP in Peru. Using a comprehensive dataset that includes over 170 domestic and international predictors, we assess the predictive performance of...
Persistent link: https://www.econbiz.de/10015325462
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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...
Persistent link: https://www.econbiz.de/10015325479
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Development of the near-term forecast of inflation for Uzbekistan: Application of FAVAR and BVAR models
Boymirzaev, Temurbek - 2025
This study investigates the application of Factor-Augmented Vector Autoregression (FAVAR) and Bayesian Vector Autoregression (BVAR) models for inflation forecasting. FAVAR models deal with high-dimensional data by extracting latent factors from extensive macroeconomic indicators, while BVAR...
Persistent link: https://www.econbiz.de/10015325518
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Forecasting banking system liquidity using payment system data in Uzbekistan
Makhmudov, Shakhzod Abdullaevich - 2025
Forecasting banking system liquidity is crucial for the effective monetary policy implementation. This study investigates the effectiveness of various econometric and machine learning models in predicting the autonomous factors of banking system liquidity. The research compares widely used...
Persistent link: https://www.econbiz.de/10015325524
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Impact of the central bank's communication on macro financial outcomes
Yukhymenko, Tetiana; Sorochan, Oleh - 2024
The study explores the impact of central bank communications on a range of macro-financial indicators. Specifically, we examine whether information posted on the National Bank of Ukraine (NBU) website influences foreign exchange (FX) markets and the inflation expectations of experts. Our main...
Persistent link: https://www.econbiz.de/10014476128
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Firm support measures, credit payment behavior, and credit risk
Gómez, Camilo; Rodríguez-Novoa, Daniela - 2024
This paper examines the relationship between three government support measures (debt moratorium, credit guarantee programs, and payroll subsidies) and the firm's payment behavior on loans in Colombia. To do so, we take advantage of the COVID-19 pandemic and use it as a case study. Using highly...
Persistent link: https://www.econbiz.de/10014476150
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Impact of interoperability regulation on the use of digital payments in Peru
Ancalle, Celene; Garcia, Maria Gracia - 2024
Interoperability is the characteristic of a payment service (e.g. digital wallets) to allow its users to pay any person or company, regardless of the financial institution providing services to the payer or payee. On October 7, 2022, the Central Reserve Bank of Peru (BCRP) issued the Payment...
Persistent link: https://www.econbiz.de/10014476356
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Modelling risk-weighted assets: Looking beyond stress tests
Sveda, Josef; Panos, Jiri; Siuda, Vojtech - 2024
We propose an improved methodology for modelling potential scenario paths of banks' riskweighted assets, which drive the denominator of capital adequacy ratios. Our approach centres on modelling the internal risk structure of bank portfolios and thus aims to provide more accurate estimations...
Persistent link: https://www.econbiz.de/10014517427
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