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Theorie 41 Theory 41 Financial crisis 26 Finanzkrise 26 Geldpolitik 25 Monetary policy 25 EU countries 15 EU-Staaten 15 Euro area 15 Eurozone 15 Geldtheorie 15 Monetary theory 15 Welt 14 World 14 Yield curve 14 Zinsstruktur 14 Economic crisis 12 Wirtschaftskrise 12 Financial market 11 Finanzmarkt 11 USA 11 United States 11 Central bank 10 Finanzpolitik 10 Fiscal policy 10 Public bond 10 Zentralbank 10 Öffentliche Anleihe 10 Impact assessment 9 Wirkungsanalyse 9 Business cycle 8 Einkommensverteilung 8 History of economic thought 8 Income distribution 8 Interest rate 8 Keynesian economics 8 Keynesianismus 8 Konjunktur 8 Zins 8 Ökonomische Ideengeschichte 8
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Free 188
Type of publication
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Book / Working Paper 189
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English 188 Undetermined 1
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Akram, Tanweer 15 Wray, L. Randall 14 Bibow, Jörg 9 Masterson, Thomas 8 Chakraborty, Lekha 7 Felipe, Jesus 7 Nikiforos, Michalis 7 Rios‐Avila, Fernando 7 Tcherneva, Pavlina R. 6 Li, Huiqing 5 Tymoigne, Eric 5 Zezza, Gennaro 5 Binder, Martin 4 Das, Anupam 4 Hallaq, Sameh 4 Kim, Kijong 4 Kregel, Jan A. 4 McCombie, John S. L. 4 Tymoigne, Éric 4 Zacharias, Ajit 4 Botta, Alberto 3 Caldentey, Esteban Pérez 3 Esposito, Lorenzo 3 Hannsgen, Greg 3 Khitarishvili, Tamar 3 Mastromatteo, Giuseppe 3 Papadimitriou, Dimitri Basil 3 Sen, Sunanda 3 Wolff, Edward N. 3 Yajima, Giuliano Toshiro 3 Young-Taft, Tai 3 Abdon, Arnelyn 2 Antonopoulos, Rania 2 Bajaro, Donna Faye 2 Coad, Alexander 2 Giovannoni, Olivier G. 2 Godin, Antoine 2 Kongar, Ebru 2 Kumar, Utsav 2 Nalin, Lorenzo 2
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Levy Economics Institute, Working Papers Series 129 Levy Economics Institute Working Papers Series 13 Levy Economics Institute, Working Papers Series, Working Paper 6 Levy Economics Institute, Working Papers Series, 2020 5 Levy Economics Institute, Working Papers Series, November 4 Levy Economics Institute, Working Papers Series Paper 2 Levy Economics Institute, Working Papers Series WP 2 Levy Economics Institute, Working Papers Series, 2019 2 Levy Economics Institute, Working Papers Series, December 2 Levy Economics Institute, Working Papers Series, Paper 2 Levy Economics Institute, Working Papers Series #933 1 Levy Economics Institute, Working Papers Series (2019) 1 Levy Economics Institute, Working Papers Series (2020) 1 Levy Economics Institute, Working Papers Series (2022) 1 Levy Economics Institute, Working Papers Series (No. 863) 1 Levy Economics Institute, Working Papers Series 1002 (2022) 1 Levy Economics Institute, Working Papers Series 1003 (2022) 1 Levy Economics Institute, Working Papers Series 2020 1 Levy Economics Institute, Working Papers Series 2021 1 Levy Economics Institute, Working Papers Series 893 1 Levy Economics Institute, Working Papers Series 920 (2019) 1 Levy Economics Institute, Working Papers Series 931 (2019) 1 Levy Economics Institute, Working Papers Series July 2021 1 Levy Economics Institute, Working Papers Series WP # 916 1 Levy Economics Institute, Working Papers Series, 2016 1 Levy Economics Institute, Working Papers Series, 864 1 Levy Economics Institute, Working Papers Series, 99 1 Levy Economics Institute, Working Papers Series, No 881 1 Levy Economics Institute, Working Papers Series, WP 1 Levy Economics Institute, Working Papers Series, Working Paper 767 1 Levy Economics Institute, Working Papers Series, Working Paper 879 1 Levy Economics institute, Working Papers Series, 2020 1
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ECONIS (ZBW) 189
Showing 161 - 170 of 189
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Measuring Macroprudential Risk : Financial Fragility Indexes
Tymoigne, Eric - 2011
With the Great Recession and the regulatory reform that followed, the search for reliable means to capture systemic risk and to detect macrofinancial problems has become a central concern. In the United States, this concern has been institutionalized through the Financial Stability Oversight...
Persistent link: https://www.econbiz.de/10013128524
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Hegemonic Currencies During the Crisis : The Dollar Versus the Euro in a Cartalist Perspective
Fields, David - 2011
This paper suggests that the dollar is not threatened as the hegemonic international currency, and that most analysts are incapable of understanding the resilience of the dollar, not only because they ignore the theories of monetary hegemonic stability or what, more recently, has been termed the...
Persistent link: https://www.econbiz.de/10013125788
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China in the Global Economy
Sen, Sunanda - 2010
China occupies a unique position among developing countries. Its success in achieving relative stability in the financial sector since the institution of reforms in 1979 has given way to relative instability since the beginning of the current global financial crisis. Over the last few years,...
Persistent link: https://www.econbiz.de/10014044380
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As You Sow so Shall You Reap : From Capabilities to Opportunities
Felipe, Jesus; Kumar, Utsav; Abdon, Arnelyn - 2010
We develop an Index of Opportunities for 130 countries based on their capabilities to undergo structural transformation. The Index of Opportunities has four dimensions, all of them characteristic of a country’s export basket: (1) sophistication; (2) diversification; (3) standardness; and (4)...
Persistent link: https://www.econbiz.de/10014044789
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Decomposition of the Black-White Wage Differential in the Physician Market
Tsao, Tsu-Yu; Pearlman, Andrew - 2010
This paper proposes a difference-in-differences strategy to decompose the contributions of various types of discrimination to the black-white wage differential. The proposed estimation strategy is implemented using data from the Young Physicians Survey. The results suggest that potential...
Persistent link: https://www.econbiz.de/10014196368
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Modeling Technological Progress and Investment in China : Some Caveats
Felipe, Jesus - 2010
Since the early 1990s, the number of papers estimating econometric models and using other quantitative techniques to try to understand different aspects of the Chinese economy has mushroomed. A common feature of some of these studies is the use of neoclassical theory as the underpinning for the...
Persistent link: https://www.econbiz.de/10013135132
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The Central Bank 'Printing Press' : Boon or Bane? Remedies for High Unemployment and Fears of Fiscal Crisis
Hannsgen, Greg - 2010
In recent years, the US public debt has grown rapidly, with last fiscal year's deficit reaching nearly $1.3 trillion. Meanwhile, many of the euro nations with large amounts of public debt have come close to bankruptcy and loss of capital market access. The same may soon be true of many US states...
Persistent link: https://www.econbiz.de/10013135135
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Household Sector Financial Balance, Financing Gap, Financial Markets, and Economic Cycle in the US Economy : A Structural VAR Analysis
Casadio, Paolo - 2010
This paper investigates private net saving in the US economy - divided into its principal components, households and (nonfinancial) corporate financial balances - and its impact on the GDP cycle from the 1980s to the present. Furthermore, we investigate whether the financial markets (stock...
Persistent link: https://www.econbiz.de/10013136368
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What Do Banks Do? What Should Banks Do?
Wray, L. Randall - 2010
Before we can reform the financial system, we need to understand what banks do; or, better, what banks should do. This paper will examine the later work of Hyman Minsky at the Levy Institute, on his project titled “Reconstituting the United States' Financial Structure.” This led to a number...
Persistent link: https://www.econbiz.de/10013138874
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Changes in Central Bank Procedures During the Subprime Crisis and Their Repercussions on Monetary Theory
Lavoie, Marc - 2010
The subprime financial crisis has forced several North American and European central banks to take extraordinary measures and to modify some of their operational procedures. These changes have made even clearer the deficiencies and lack of realism in mainstream monetary theory, as can be found...
Persistent link: https://www.econbiz.de/10013139646
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