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Year of publication
Subject
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Theorie 266 Theory 266 Welt 114 World 114 Estimation 87 Schätzung 87 Economic growth 56 Wirtschaftswachstum 56 Financial crisis 41 Finanzkrise 41 USA 40 United States 39 Impact assessment 37 Wirkungsanalyse 37 China 36 Developing countries 35 Einkommensverteilung 35 Entwicklungsländer 35 Income distribution 35 Geldpolitik 34 Monetary policy 34 Panel 34 Panel study 34 Climate change 32 Klimawandel 32 Auslandsinvestition 31 Foreign investment 31 Agent-based modeling 29 Agentenbasierte Modellierung 29 EU countries 29 EU-Staaten 29 Export 29 Business cycle 28 Konjunktur 28 Nachhaltige Entwicklung 28 Sustainable development 28 Risiko 27 Risk 27 Experiment 25 Productivity 24
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Online availability
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Free 808 CC license 5
Type of publication
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Book / Working Paper 809
Type of publication (narrower categories)
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Graue Literatur 782 Non-commercial literature 782 Arbeitspapier 647 Working Paper 647 Article in journal 27 Aufsatz in Zeitschrift 27 Systematic review 13 Übersichtsarbeit 13
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Language
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English 809
Author
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Reed, W. Robert 9 Buiter, Willem H. 6 Martínez-Zarzoso, Inmaculada 5 Ryu, Doojin 5 Tol, Richard S. J. 5 Ali, Mohamed Sami Ben 4 Anthoff, David 4 Baert, Stijn 4 Chen, Pu 4 Dadush, Uri 4 Gylfi Zoega 4 Jusélius, Katarina 4 Mason-D'Croz, Daniel 4 Mora, Jhon James 4 Nelson, Gerald C. 4 Palazzo, Amanda 4 Qin, Duo 4 Schlicht, Ekkehart 4 Snower, Dennis J. 4 Vetter, Henrik 4 Wagner, Joachim 4 Aiginger, Karl 3 Aoki, Masanao 3 Bak, Céline 3 Barbier, Edward 3 Bossone, Biagio 3 Buccella, Domenico 3 Chen, Shu-Heng 3 Chen, Siyan 3 Cincotti, Silvano 3 Desiderio, Saul 3 Edenhofer, Ottmar 3 Elgin, Ceyhun 3 Fanti, Luciano 3 Feng, Zhao 3 Fujiwara, Yoshi 3 Gallegati, Mauro 3 Gao, Jianwei 3 Grimalda, Gianluca 3 Gupta, Rangan 3
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Economics : the open-access, open-assessment e-journal 809
Source
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ECONIS (ZBW) 809
Showing 1 - 10 of 809
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A comment on the dynamic factor model with dynamic factors
Poncela, Pilar; Ruiz, Esther - 2020
In this paper, the authors comment on the Monte Carlo results of the paper by Lucchetti and Veneti (A replication of "A quasi-maximum likelihood approach for large, approximate dynamic factor models" (Review of Economics and Statistics), 2020)) that studies and compares the performance of the...
Persistent link: https://www.econbiz.de/10012208913
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The portfolio theory of inflation and policy (in)effectiveness revisited : corroborating evidence
Bossone, Biagio; Cuccia, Andrea - 2020
This study revisits and tests empirically the Portfolio Theory of Inflation (PTI), which analyzes how the effectiveness of macroeconomic policy in open and globally financially integrated economies is influenced by global investor decisions (Bossone, The portfolio theory of inflation and policy...
Persistent link: https://www.econbiz.de/10012140238
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The sources of the evolution of China's provincial economic gap : a green economic growth accounting perspective
Yang, Wenju; Long, Ruiyun - 2020
The inter-provincial economic gap in China is obvious and tends to expand, although it is still unclear why this occurs. This paper combines DEA-based green economic growth accounting, growth convergence test and distribution dynamic analysis to show that China's inter-provincial labor...
Persistent link: https://www.econbiz.de/10012173779
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The delimitation of Giffenity for the Wold-Juréen (1953) utility function using relative prices : a note
Sproule, Robert A. - 2020
In the study of Giffen behavior or "Giffenity", there remains a paradox. On one hand, the Wold-Juréen (Demand analysis: A study in Econometrics, 1953) utility function has been touted as the progenitor of a multi-decade search for those two-good, particular utility functions, which exhibit...
Persistent link: https://www.econbiz.de/10012173780
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A replication of "a quasi-maximum likelihood approach for large, approximate dynamic factor models" (Review of Economics and Statistics, 2012)
Lucchetti, Riccardo; Venetis, Ioannis A. - 2020
The authors replicate and extend the Monte Carlo experiment presented in Doz et al. (2012) on alternative (time-domain based) methods for extracting dynamic factors from large datasets; they employ open source software and consider a larger number of replications and a wider set of scenarios....
Persistent link: https://www.econbiz.de/10012173815
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Keynes's investment theory as a micro-foundation for his grandchildren
Nisticò, Sergio - 2020
In contrast with the "missing micro-foundations" argument against Keynes's macroeconomics, the paper argues that it is the present state of microeconomics that needs more solid "Keynesian foundations". It is in particular Keynes's understanding of investors' behaviour that can be fruitfully...
Persistent link: https://www.econbiz.de/10012173825
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Do remittances worsen export diversification?
Vardanyan, Erik - 2019
The paper explores the impact of workers' remittances on the level of export diversification. The hypothesis is that significant inflow of remittances causes overvaluation of real exchange rate, which in turn deteriorates diversity of export. The theoretical base is in line with the Dutch...
Persistent link: https://www.econbiz.de/10012051031
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Export activity, innovation and institutions in Southern European nascent entrepreneurship
Marques, Helena - 2019
This paper studies the role of personal characteristics, perceptual variables and country-level conditioning (financial environment, government quality and support, education quality and entrepreneurship know-how, innovation environment and support, business infrastructure, entrepreneurial...
Persistent link: https://www.econbiz.de/10012051756
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Overpricing persistence in experimental asset markets with intrinsic uncertainty
Sornette, Didier; Andraszewicz, Sandra; Wu, Ke; Murphy, … - 2019
To study coordination in complex social systems such as financial markets, the authors introduce a new prediction market set -up that accounts for fundamental uncertainty. Nonetheless, the market is designed so that its total value is known, and thus its rationality can be evaluated. In two...
Persistent link: https://www.econbiz.de/10012001782
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Behavioural effects and market dynamics in field and laboratory experimental asset markets
Andraszewicz, Sandra; Wu, Ke; Sornette, Didier - 2019
A vast literature investigating behavioural underpinnings of financial bubbles and crashes relies on laboratory experiments. However, it is not yet clear how findings generated in a highly artificial environment relate to the human behaviour in the wild. It is of concern that the laboratory...
Persistent link: https://www.econbiz.de/10012001796
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