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~institution:"Banco de España"
~institution:"Faculty of Economics, University of Cambridge"
~institution:"OECD"
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RePEc
63
ECONIS (ZBW)
53
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1
Mortality assumptions and longevity risk : implications for pension funds and annuity providers
2014
Persistent link: https://www.econbiz.de/10010465075
Saved in:
2
Mortality Assumptions and Longevity Risk : Implications for pension funds and annuity providers
2014
Pension funds and annuity providers need to effectively manage the longevity risk they are exposed to. Individuals receiving a lifetime income may live longer than expected or accounted for in the actuarial calculations to provision for these liabilities. Mismanaged longevity risk can...
Persistent link: https://www.econbiz.de/10012449647
Saved in:
3
Environmental Risks and Insurance : A Comparative Analysis of the Role of Insurance in the Management of Environment-Related Risks
2003
From the increasing incidence of environmental pollution and soil contamination, to recurring natural disasters, the risks posed by the constant interaction between human activities and the environment are diverse, manifold and often catastrophic in their consequences. Therefore, the elaboration...
Persistent link: https://www.econbiz.de/10012448741
Saved in:
4
Insurance
OECD
-
20XX
Insurance data include: all gross insurance premiums and those relating only to direct insurance; spending on insurance per capita; and the market share of national insurance by country, relative to the OECD market total.
Persistent link: https://www.econbiz.de/10013524447
Saved in:
5
Heterogeneity and cross-country spillovers in macroeconomic-financial linkages
Ciccarelli, Matteo
;
Ortega, Eva
;
Valderrama, Maria Teresa
-
Banco de España
-
2012
We investigate heterogeneity and spillovers in macro-financial linkages across developed economies, with a particular emphasis on the most recent recession. A panel Bayesian VAR model including real and financial variables identifies a statistically significant common component, which proves to...
Persistent link: https://www.econbiz.de/10010678673
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6
Dynamic panels with predetermined regressors: likelihood-based estimation and Bayesian averaging with an application to cross-country growth
Moral-Benito, Enrique
-
Banco de España
-
2011
This paper discusses likelihood-based estimation of linear panel data models with general predetermined variables and individual-specific effects. The resulting (pseudo) maximum likelihood estimator is asymptotically equivalent to standard GMM but tends to have smaller finite-sample biases as...
Persistent link: https://www.econbiz.de/10009024143
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7
Reforming the Power Sector in Transition: Do Institutions Matter?
Nepal, R.
;
Jamasb, T.
-
Faculty of Economics, University of Cambridge
-
2011
This paper quantitatively explores high-level links between power sector reforms and wider institutional reforms in the economy for a set of 27 diverse countries in rapid political and economic transition since 1990. Panel-data econometrics based on bias corrected dynamic fixed effect analysis...
Persistent link: https://www.econbiz.de/10009024876
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8
Energy efficiency in Market vs Planned Economies: Evidence from Transition Countries
Nepal, Rabindra
;
Jamasb, Tooraj
-
Faculty of Economics, University of Cambridge
-
2013
Economic theory suggests that market-based policies and reforms should promote energy efficiency in developing and transition countries. This paper, therefore, analyses the impacts of a varied set of market-oriented macro-level reforms on macro level energy efficiency across the transition...
Persistent link: https://www.econbiz.de/10010790550
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9
Common Correlated Effects Estimation of Heterogeneous Dynamic Panel Data Models with Weakly Exogenous Regressors
Pesaran, Hashem
;
Chudik, Alexander
-
Faculty of Economics, University of Cambridge
-
2013
This paper extends the Common Correlated Effects (CCE) approach developed by Pesaran (2006) to heterogeneous panel data models with lagged dependent variable and/or weakly exogenous regressors. We show that the CCE mean group estimator continues to be valid but the following two conditions must...
Persistent link: https://www.econbiz.de/10010700217
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10
Does the IMF´s official support affect sovereign bond maturities?
Erce, Aitor
-
Banco de España
-
2012
This paper looks at whether the tendency of some governments to borrow short term is reinforced by financial support from the International Monetary Fund. I first present a model of sovereign debt issuance at various maturities featuring endogenous liquidity crises and maturity mismatches due to...
Persistent link: https://www.econbiz.de/10010862291
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