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  • Search: subject:"Economic volatility"
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Year of publication
Subject
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economic volatility 6 Economic volatility 3 Theorie 3 human capital formation 3 migration 3 Bildungsinvestition 2 Developing countries 2 Entwicklungsländer 2 Financial market 2 Finanzmarkt 2 Humankapital 2 Migrationstheorie 2 Mobilität 2 Produktionsfunktion 2 Volatility 2 Volatilität 2 Armut 1 Business Reprocess Engineering 1 Business cycle 1 Central banking 1 China 1 Committees 1 DEA 1 Disaster 1 ECONOMIC DOWNTURN 1 ECONOMIC VOLATILITY 1 Economic growth 1 Economic vulnerability 1 Environmental economics 1 Environmental policy 1 External shock 1 FINANCIAL CRISIS 1 FINANCIAL DEVELOPMENT 1 FUTURE GROWTH 1 Financial crisis 1 Financial development 1 Financial market regulation 1 Financial sector 1 Finanzkrise 1 Finanzmarktregulierung 1
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Online availability
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Free 10 CC license 3
Type of publication
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Article 5 Book / Working Paper 5
Type of publication (narrower categories)
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Article in journal 3 Aufsatz in Zeitschrift 3 Working Paper 2 research-article 1
Language
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English 7 Undetermined 3
Author
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Poutvaara, Panu 3 Ahmad Shauqi Mohamad Zubir 1 Ariff, Akmalia M. 1 Cebula, Richard 1 Farvaque, Etienne 1 Huang, Yongfu 1 Nguyen Phuc Canh 1 Rud, Olivia Parr 1 Schinckus, Christophe 1 Shao, Yu 1 Stanek, Piotr Leszek 1 Thanh Dinh Su 1 Ullah, Wasim 1 Vigeant, Stéphane 1 Zhang, Zhipeng 1 Zhou, Jian 1
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Institution
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CESifo 1 Narodowy Bank Polski 1 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 1
Published in...
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Borsa Istanbul Review 1 Business Systems Research 1 CESifo Working Paper 1 CESifo Working Paper Series 1 Fulbright review of economics and policy 1 IZA Discussion Papers 1 MPRA Paper 1 National Bank of Poland Working Papers 1 The B.E. journal of macroeconomics 1 The World Bank Economic Review 1
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Source
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RePEc 4 ECONIS (ZBW) 3 EconStor 2 Other ZBW resources 1
Showing 1 - 10 of 10
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Exploring the moderating effect of regulatory quality on the relationship between financial development and economic growth/economic volatility for developed and developing countri...
Ullah, Wasim; Ahmad Shauqi Mohamad Zubir; Ariff, Akmalia M. - In: Borsa Istanbul Review 24 (2024) 5, pp. 934-944
economic growth/economic volatility. We employ the Panel Corrected Standard Error estimation method, supplemented by a … mitigates the contribution of banking-based financial development to economic volatility, a phenomenon observed in both …
Persistent link: https://www.econbiz.de/10015141700
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Credit resource misallocation and macroeconomic fluctuations in China : from the perspective of heterogeneous financial frictions
Zhou, Jian; Zhang, Zhipeng; Shao, Yu - In: The B.E. journal of macroeconomics 24 (2024) 1, pp. 97-134
Persistent link: https://www.econbiz.de/10014580384
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Asymmetric effects of global uncertainty : the socioeconomic and environmental vulnerability of developing countries
Nguyen Phuc Canh; Schinckus, Christophe; Thanh Dinh Su - In: Fulbright review of economics and policy 2 (2022) 1, pp. 92-116
Purpose This study aims to investigate the influences of global uncertainty indicators volatility on the domestic socioeconomic and environmental vulnerability in a sample of 54 developing countries. Design/methodology/approach: The two-step system generalized method of moments estimator is...
Persistent link: https://www.econbiz.de/10013549746
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On the performance of Monetary Policy Committees
Farvaque, Etienne; Stanek, Piotr Leszek; Vigeant, Stéphane - Narodowy Bank Polski - 2013
This paper examines the influence of the biographical experience of monetary policy committee members on their performance in managing inflation and output volatility. Our sample covers major OECD countries in the 1999 to 2010 period. Using data envelopment analysis, we study the efficiency of...
Persistent link: https://www.econbiz.de/10010667396
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Is Economic Volatility Detrimental to Global Sustainability?
Huang, Yongfu - In: The World Bank Economic Review 26 (2012) 1, pp. 128-146
In a dynamic panel data model allowing for error cross-section dependence, output volatility is found to impede sustainable development. Through a financial development channel (liquidity liability ratio), output volatility exerts a significant effect on depletion of natural resources, a key...
Persistent link: https://www.econbiz.de/10015360650
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Invited article: Adaptability
Rud, Olivia Parr - In: Business Systems Research 2 (2011) 2, pp. 4-12
implies that change can be managed. In a world of economic volatility, this approach is no longer viable. The continuous …
Persistent link: https://www.econbiz.de/10009399032
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On human capital formation with exit options : comment and new results
Poutvaara, Panu - 2006
Katz and Rapoport (2005) conclude that with linear production technology and the possibility of unilateral migration, region-specific shocks may increase the average level of education. Previously, Poutvaara (2000) derived a corresponding result with Cobb-Douglas technology and migration which...
Persistent link: https://www.econbiz.de/10010261404
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On Human Capital Formation with Exit Options: Comment and New Results
Poutvaara, Panu - CESifo - 2006
Katz and Rapoport (2005) conclude that with linear production technology and the possibility of unilateral migration, region-specific shocks may increase the average level of education. Previously, Poutvaara (2000) derived a corresponding result with Cobb-Douglas technology and migration which...
Persistent link: https://www.econbiz.de/10005181463
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On human capital formation with exit options: comment and new results
Poutvaara, Panu - 2005
Katz and Rapoport (2005) conclude that with linear production technology and the possibility of unilateral migration, region-specific shocks may increase the average level of education. Previously, Poutvaara (2000) derived a corresponding result with Cobb-Douglas technology and migration which...
Persistent link: https://www.econbiz.de/10010267605
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The Regional Distribution of Bank Closings in the United States: An Extension of the Amos Analysis
Cebula, Richard - Volkswirtschaftliche Fakultät, … - 1993
This study investigates factors that influenced interstate differentials in bank closing rates in the U.S. over the 1982-1992 time period. The estimation reveals that the bank failure rate is a decreasing function of the average mortgage portfolio yield, the capital requirement, the real price...
Persistent link: https://www.econbiz.de/10011111763
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