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2014
- 482 Linking Multi-Category Purchases to Latent Activities of Shoppers: Analysing Market Baskets by Topic Models
by Hruschka, Harald
- 481 Job Recruitment and Vacany Durations in Germany
by Davis, Steven J. & Röttger, Christof & Warning, Anja & Weber, Enzo
- 480 Decomposing Beveridge curve dynamics by correlated unobserved components
by Klinger, Sabine & Weber, Enzo
- 478 Matrix Box-Cox Models for Multivariate Realized Volatility
by Weigand, Roland
- 475 Capturing the Interaction of Trend, Cycle, Expectations and Risk Premia in the US Term Structure
by Soloschenko, Max & Weber, Enzo
- 122 Long- versus medium-run identification in fractionally integrated VAR models
by Tschernig, Rolf & Weber, Enzo & Weigand, Roland
- 17 Justification of per-unit risk capital allocation in portfolio credit risk models
by Dorfleitner, Gregor & Pfister, Tamara
2013
- 476 Long- versus medium-run identification in fractionally integrated VAR models
by Tschernig, Rolf & Weber, Enzo & Weigand, Roland
- 474 Implementierung des Marketing-Intelligence Konzepts in B-to-B Unternehmen
by Helm, Roland & Gritsch, Stephanie
- 473 Measuring Persistence in Volatility Spillovers
by Conrad, Christian & Weber, Enzo
- 472 A short introduction to splines in least squares regression analysis
by Kagerer, Kathrin
- 471 Fractionally Integrated VAR Models with a Fractional Lag Operator and Deterministic Trends: Finite Sample Identification and Two-step Estimation
by Tschernig, Rolf & Weber, Enzo & Weigand, Roland
2012
- 470 Trend-Cycle Interactions and the Subprime Crisis: Analysis of US and Canadian Output
by Soloschenko, Max & Weber, Enzo
- 468 Messung von Wettbewerbsvorteilen und Marktattraktivität für die strategische Planung
by Helm, Roland & Gleißner, Werner & Kreiter, Susanne
- 466 Identifying the Shocks behind Business Cycle Asynchrony in Euroland
by Trenkler, Carsten & Weber, Enzo
- 465 Codependent VAR Models and the Pseudo-Structural Form
by Trenkler, Carsten & Weber, Enzo
- 464 Die Unabhängigkeit von Zentralbanken - Ökonomische Begründung, Messung und Zukunftsperspektive
by Jerger, Jürgen & Röhe, Oke
- 463 Identifying the Substitution Effect of Temporary Agency Employment
by Jahn, Elke & Weber, Enzo
2011
- 462 Updating the Option Implied Probability of Default Methodology
by Vilsmeier, Johannes
- 458 Costumer reactions to real out-of-stocks
by Helm, Roland & Hegenbart, Thomas
- 457 The motivation structure of electronic word-of-mouth: Effects of personality on the generation of online articulations
by Helm, Roland & Moeller, Michael
- 456 A Model of Heterogeneous Multicategory Choice for Market Basket Analysis
by Dippold, Katrin & Hruschka, Harald
- 454 Search Unemployment and New Economic Geography
by vom Berge, Philipp
- 453 Testing for Parameter Stability in DSGE Models. The Cases of France, Germany and Spain
by Jerger, Jürgen & Röhe, Oke
- 452 Safety first portfolio choice based on financial and sustainability returns
by Dorfleitner, Gregor & Utz, Sebastian
- 451 Bigger Fish in Small Pond: The Interaction between Foreigners’ Trading and Emerging Stock Market Returns under the Microscope
by Ülkü, Numan & Weber, Enzo
2010
- 450 Non-Stationary Interest Rate Differentials and the Role of Monetary Policy
by Matros, Philipp & Weber, Enzo
- 449 Sand im (Arbeits-) Marktgetriebe: Die Analyse von Suchfriktionen
by Jerger, Jürgen
- 448 Single-Name Credit Risk, Portfolio Risk, and Credit Rationing
by Arnold, Lutz G. & Reeder, Johannes & Trepl, Stefanie
- 447 Long-run Identification in a Fractionally Integrated System
by Tschernig, Rolf & Weber, Enzo & Weigand, Roland
- 446 Testing for Codependence of Non-Stationary Variables
by Trenkler, Carsten & Weber, Enzo
- 445 On the Identification of Codependent VAR and VEC Models
by Trenkler, Carsten & Weber, Enzo
- 444 Foreign and Domestic Growth Drivers in Eastern Europe
by Weber, Enzo
- 443 Variable Selection for Market Basket Analysis
by Dippold, Katrin & Hruschka, Harald
- 442 Mean-Variance Cointegration and the Expectations Hypothesis
by Strohsal, Till & Weber, Enzo
- 441 The Fixed Wage Puzzle: Why Profit Sharing Is So Hard to Implement
by Jerger, Jürgen & Michaelis, Jochen
- 440 Laufzeitanalyse dreier Versionen eines Mehrparteien-Multiplikationsprotokolls
by Wenzl, Jürgen
- 439 On the Sources of U.S. Stock Market Comovement
by Weber, Enzo
- 438 Risk and Policy Shocks on the US Term Structure
by Weber, Enzo & Wolters, Jürgen
2009
- 453 Testing for Parameter Stability in DSGE Models. The Cases of France, Germany and Spain
by Jerger, Jürgen & Röhe, Oke
- 437 Codependence and Cointegration
by Trenkler, Carsten & Weber, Enzo
- 436 The US Term Structure and Central Bank Policy
by Weber, Enzo & Wolters, Jürgen
- 434 Structural Conditional Correlation
by Weber, Enzo
- 433 Stabilisierungsfonds und makroökonomische Governance
by Jerger, Jürgen & Migrow, Dimitri
- 432 A Simultaneous Unobserved Components Analysis of US Output and the Great Moderation
by Weber, Enzo
- 431 Financial Contagion, Vulnerability and Information Flow: Empirical Identification
by Weber, Enzo
- 430 Microfinance and markets: New results for the Besley-Coate group lending model
by Arnold, Lutz G. & Reeder, Johannes & Steger, Susanne E.
- 13 Anything is Possible: On the Existence and Uniqueness of Equilibria in the Shleifer-Vishny Model of Limits of Arbitrage
by Arnold, Lutz G.
2008
2007
- 426 Mindestlohneffekte des Entsendegesetzes? Eine Mikrodatenanalyse für die deutsche Bauwirtschaft
by Koenig, Marion & Möller, Joachim
- 425 Verzerrungswirkungen des besonderen Kirchgelds in glaubensverschiedener Ehe
by Morawitz, Markus
- 424 Existence of Equilibrium in Models of International Trade with Perfect or Imperfect Competition
by Arnold, Lutz G.
- 423 Three Theorems on Growth and Competition
by Arnold, Lutz G. & Bauer, Christian J.
- 422 Success in the Academic Labour Market for Economics - The German Experience
by Heining, Jörg & Jerger, Jürgen & Lingens, Jörg
- 421 Low Fertility of Highly Educated Women: The Impact of Child Care Infrastructure
by Schrage, Andrea
- 420 Skewness and Location of Distributions of Wage Change Rates in the Presence of Downward Nominal Wage Rigidity
by Knoppik, Christoph
2006
- 419 Traffic Congestion and Accidents
by Schrage, Andrea
- 418 Anything is Possible: On the Existence and Uniqueness of Equilibria in the Shleifer-Vishny Model of Limits of Arbitrage
by Arnold, Lutz G.
- 417 Reducing Asset Weights' Volatility by Importance Sampling in Stochastic Credit Portfolio Optimization
by Tilke, Stephan
- 416 Ausmaß und reale Konsequenzen nach unter starrer Nominallöhne. Eine Untersuchung für den deutschen Arbeitsmarkt
by Bläs, Barno
- 415 A Cluster Based Scatter Search Heuristic for the Vehicle Routing Problem
by Wendolsky, Rolf & Scheuerer, Stephan
- 414 Insolvenzplan, optionsbasierte Lösungen, Verlustvorträge und vom Gesetzgeber verursachte Sanierungshemmnisse
by Drukarczyk, Jochen & Schöntag, Stefanie
- 413 The Dynamics of the Romer R&D Growth Model with Quality Upgrading
by Arnold, Lutz G. & Kornprobst, Wolfgang
- 411 Durchbrechungen des Kongruenzprinzips und Residualgewinne Broken Link Between Accounting and Finance?
by Krotter, Simon
2005
- 410 On autoregressive errors in singular systems of equations
by Haupt, Harry & Oberhofer, Walter
- 409 Auswirkungen unterschiedlicher Assetkorrelationen in Mehr-Sektoren-Kreditportfoliomodellen
by Hamerle, Alfred & Knapp, Michael & Wildenauer, Nicole
- 408 Unternehmensbewertung, Basiszinssatz und Zinsstruktur: Kapitalmarktorientierte Bestimmung des risikolosen Basiszinssatzes bei nicht-flacher Zinsstruktur
by Obermaier, Robert
- 407 Vorgehensmodell für die Auswahl elektronischer Zahlungsverfahren für E-Government
by Krabichler, Thomas & Breitschaft, Markus & Stahl, Ernst & Wittmann, Georg
- 406 Consistency of nonlinear regression quantiles under Type I censoring weak dependence and general covariate design
by Oberhofer, Walter & Haupt, Harry
- 405 The Jones R&D Growth Model: Comment on Stability
by Arnold, Lutz G.
- 404 Multi-Country Endogenous Growth Models
by Arnold, Lutz G.
- 403 On the Possibility of Credit Rationing in the Stiglitz-Weiss Model
by Arnold, Lutz G.
- 402 Downward Nominal Wage Rigidity in Europe: An Analysis of European Micro Data from the ECHP 1994-2001
by Knoppik, Christoph & Beissinger, Thomas
2004
2003
- 391 Capital Adequacy Requirements and the Bank Lending Channel of Monetary Policy
by Gontermann, Andreas
- 390 Die Verantwortlichkeiten von Lohn- und Nachfragepolitik für die Beschäftigung
by Jerger, Jürgen & Landmann, Oliver
- 389 Strukturelle Arbeitslosigkeit in Europa: Eine Bestandsaufnahme
by Beissinger, Thomas
- 388 Nonlinear quantile regression under dependence and heterogeneity
by Oberhofer, Walter & Haupt, Harry
- 387 Bank-runs und Moral-hazard
by Gontermann, Andreas
- 382 Conjoint-Analyse und Marktsegmentierung
by Steiner, Winfried J. & Baumgartner, Bernhard
- 380 Correlations and Business Cycles of Credit Risk: Evidence from Bankruptcies in Germany
by Rösch, Daniel
- 379 Understanding Fixed Point Theorems
by Arnold, Lutz G.
2002