Content
2020
- 766 Cross-border Investments and Uncertainty: Firm-level Evidence
by Rafael Cezar & Timothée Gigout & Fabien Tripier - 765 Public Opinion on Central Banks when Economic Policy is Uncertain
by Klodiana Istrefi & Anamaria Piloiu - 764 Fiscal Consolidations and Informality in Latin America and the Caribbean
by Thibault Lemaire - 763 How does Financial Vulnerability amplify Housing and Credit Shocks?
by Cyril Couaillier & Valerio Scalone - 762 Does the Liquidity Trap Exist?
by Stéphane Lhuissier & Benoît Mojon & Juan Rubio-Ramírez - 761 Unconventional Monetary Policies: A Stock-Taking Exercise
by Christian Pfister & Jean-Guillaume Sahuc - 760 Carbon Tax in a Production Network: Propagation and Sectoral Incidence
by Antoine Devulder & Noëmie Lisack - 759 Long-term growth impact of climate change and policies: the Advanced Climate Change Long-term (ACCL) scenario building model
by Claire Alestra & Gilbert Cette & Valérie Chouard & Rémy Lecat - 758 A Pitfall of Cautiousness in Monetary Policy
by Stéphane Dupraz & Sophie Guilloux-Nefussi & Adrian Penalver - 757 Stablecoins: A Brave New World?
by Anastasia Melachrinos & Christian Pfister - 756 Job-to-Job Flows and Wage Dynamics in France and Italy
by Clémence Berson & Marta de Philippis & Eliana Viviano - 755 Job Polarization, Skill Mismatch and the Great Recession
by Riccardo Zago - 754 Market Making and Proprietary Trading in the US Corporate Bond Market
by Hugues Dastarac - 753 Le Pont de Londres: interactions between monetary and prudential policies in cross-border lending
by Matthieu Bussière & Robert Hills & Simon Lloyd & Baptiste Meunier & Justine Pedrono & Dennis Reinhardt & Rhiannon Sowerbutts - 752 Questioning the puzzle: Fiscal policy, exchange rate and inflation
by Laurent Ferrara & Luca Metelli & Filippo Natoli & Daniele Siena - 751 Wealth effect on consumption during the sovereign debt crisis: Households heterogeneity in the Euro area
by Bertrand Garbinti & Pierre Lamarche & Charlélie Lecanu & Frédérique Savignac - 750 Basic Model Elasticities of the Macroeconomic Model for France of the Banque de France (FR-BDF)
by Pierre Aldama & Jean-François Ouvrard - 749 Trade, Productivity and (Mis)allocation
by Antoine Berthou & John Jong-Hyun Chung & Kalina Manova & Charlotte Sandoz-Dit-Bragard - 748 A Plucking Model of Business Cycles
by Stéphane Dupraz & Emi Nakamura & Jón Steinsson - 747 Public Liquidity Demand and Central Bank Independence
by Jean Barthélemy & Eric Mengus & Guillaume Plantin - 746 Everyday Regular Prices
by Nicoletta Berardi & Federico Ravenna & Mario Samano
2019
- 745 Population Ageing and the Macroeconomy
by Noëmie Lisack & Rana Sajedi & Gregory Thwaites - 744 The Global Financial Cycle and US Monetary Policy in an Interconnected World
by Stéphane Dées & Alessandro Galesi - 743 Banks' climate commitments and credit to brown industries: new evidence for France
by Jean-Stéphane Mésonnier - 742 Fiscal and Monetary Regimes: A Strategic Approach
by Jean Barthélemy & Guillaume Plantin - 741 Technology-Induced Trade Shocks? Evidence from Broadband Expansion in France
by Clément Malgouyres & Thierry Mayer & Clément Mazet-Sonilhac - 740 A Theory of Falling Growth and Rising Rents
by Philippe Aghion & Antonin Bergeaud & Timo Boppart & Peter J. Klenow & Huiyu Li - 739 The Innovation Premium to Soft Skills in Low-Skilled Occupations
by Philippe Aghion & Antonin Bergeaud & Richard Blundell & Rachel Griffith - 738 Pensions and Household Savings: Cross-Country Heterogeneity in Europe
by Anna d’Addio & Muriel Roger & Frédérique Savignac - 737 Information Technology and Returns to Scale
by Danial Lashkari & Arthur Bauer & Jocelyn Boussard - 736 The FR-BDF Model and an Assessment of Monetary Policy Transmission in France
by Matthieu Lemoine & Harri Turunen & Mohammed Chahad & Antoine Lepetit & Anastasia Zhutova & Pierre Aldama & Pierrick Clerc & Jean-Pierre Laffargue - 735 The Real Effects of Checks and Balances: Policy Uncertainty and Corporate Investment
by Anne Duquerroy - 734 The Circular Relationship Between Productivity Growth and Real Interest Rates
by Antonin Bergeaud & Gilbert Cette & Rémy Lecat - 733 Bayesian VAR Forecasts, Survey Information and Structural Change in the Euro Area
by Gergely Ganics & Florens Odendahl - 732 Central Bank Digital Currency:One, Two or None?
by Christian Pfister - 731 How Do Short-term Financial Constraints Affect SMEs’ Long-Term Investment: Evidence from the Working Capital Channel
by Théo Nicolas - 730 Secured and Unsecured Interbank Markets: Monetary Policy, Substitution and the Cost of Collateral
by Thibaut Piquard & Dilyara Salakhova - 729 No double standards: quantifying the impact of standard harmonization on trade
by Julia Schmidt & Walter Steingress - 728 French Households’ Portfolio: The Financial Almost Ideal Demand System Appraisal
by Sanvi Avouyi-Dovi & Christian Pfister & Franck Sédillot - 727 Labor Shares in Some Advanced Economies
by Gilbert Cette & Lorraine Koehl & Thomas Philippon - 726 Bayesian Inference for Markov-switching Skewed Autoregressive Models
by Stéphane Lhuissier - 725 In Fed Watchers’ Eyes: Hawks, Doves and Monetary Policy
by Klodiana Istrefi - 724 ALIENOR, a Macrofinancial Model for Macroprudential Policy
by Cyril Couaillier & Thomas Ferrière & Valerio Scalone - 723 Professional Networks and their Coevolution with Executive Careers
by Nicoletta Berardi & Marie Lalanne & Paul Seabright - 722 Sovereign Default and Imperfect Tax Enforcement
by Francesco Pappadà & Yanos Zylberberg - 721 Informal Sector and Mobile Financial Services in Developing Countries: Does Financial Innovation Matter?
by Luc Jacolin & Massil Keneck & Alphonse Noah - 720 Do Minimum Wages Make Wages More Rigid? Evidence from French Micro Data
by Erwan Gautier & Sebastien Roux & Milena Suarez-Castillo - 719 Financial Deepening, Terms of Trade Shocks and Growth in Low-Income Countries
by Kangni Kpodar & Maëlan Le Goff & Raju Jan Singh - 718 Estimating US Consumer Gains from Chinese Imports
by Liang Bai & Sebastian Stumpner - 717 When are Google data useful to nowcast GDP? An approach via pre-selection and shrinkage
by Laurent Ferrara & Anna Simoni - 716 How do lenders price energy efficiency? Evidence from personal consumption loans
by Louis-Gaëtan Giraudet & Anna Petronevich & Laurent Faucheux - 715 Are global value chains receding? The jury is still out. Key findings from the analysis of deflated world trade in parts and components
by Guillaume Gaulier & Aude Sztulman & Deniz Ünal - 714 Regime-Dependent Effects of Uncertainty Shocks: A Structural Interpretation
by Stéphane Lhuissier & Fabien Tripier - 713 Bayesian MIDAS penalized regressions: estimation, selection, and prediction
by Matteo Mogliani - 712 The Cost of Banking Crises: Does the Policy Framework Matter?
by Grégory Levieuge & Yannick Lucotte & Florian Pradines-Jobet - 711 Rising inequalities in access to home ownership among young households in France, 1973-2013
by Carole Bonnet & Bertrand Garbinti & Sébastien Grobon - 710 Investment and the WACC: new micro evidence for France
by Juan Carluccio & Clément Mazet-Sonilhac & Jean-Stéphane Mésonnier - 709 Digital vulnerability and performance of firms in developing countries
by Joël Cariolle & Maelan Le Goff & Olicier Santoni - 708 Evaluating the macroeconomic effects of the ECB’s unconventional monetary policies
by Sarah Mouabbi & Jean-Guillaume Sahuc - 707 On the Retirement Effect of Inheritance: Heterogeneity and the Role of Risk Aversion
by Bertrand Garbinti & Simon Georges-Kot - 706 Price effect of mutual fund flows on the corporate bond market. The French case
by Virginie Coudert & Dilyara Salakhova
2018
- 705 Relationship lending and SMEs’ funding costs over the cycle: why diversification of borrowing matters
by Mikael Beatriz & Jérôme Coffinet & Théo Nicolas - 704 Real Interest Rates and Productivity in Small Open Economies
by Tommaso Monacelli & Luca Sala & Daniele Siena - 703 Money and Capital in a Persistent Liquidity Trap
by Philippe Bacchetta & Yannick Kalantzis - 702 Risk-Adjusted Linearizations of Dynamic Equilibrium Models
by Pierlauro Lopez & David Lopez-Salido & Francisco Vazquez-Grande - 701 Impact of the ECB Quantitative Easing on the French International Investment Position
by Rafael Cezar & Maéva Silvestrini - 700 Monetary Rules, Determinacy and Limited Enforcement
by Jean Barthélemy & Eric Mengus - 699 Taxation of Savings and Portfolio Choices of French Households
by Christian Pfister - 698 Flight-to-safety and the Credit Crunch: A new history of the banking crisis in France during the Great Depression
by Patrice Baubeau & Eric Monnet & Angelo Riva & Stefano Ungaro - 697 Monetary Policy and Corporate Debt Structure
by Stépahne Lhuissier & Urszula Szczerbowicz - 696 The Inverted-U Relationship Between Credit Access and Productivity Growth
by Philippe Aghion & Antonin Bergeaud & Gilbert Cette & Rémy Lecat & Hélène Maghin - 695 Does FDI crowd out domestic investment in transition countries?
by Cristina Jude - 694 Monetary Policy and Long-Run Systemic Risk-Taking
by Gilbert Colletaz & Grégory Levieuge & Alexandra Popescu - 693 Inefficient Short-Time Work
by Pierre Cahuc & Sandra Nevoux - 692 When Short-Time Work Works
by Pierre Cahuc & Francis Kramarz & Sandra Nevoux - 691 External Credit Ratings and Bank Lending
by Christophe Cahn & Mattia Girotti & Federica Salvadè - 690 The Toll of Tariffs: Protectionism, Education and Fertility in Late 19th Century France
by Vincent Bignon & Cecilia Garcia-Peñalosa - 689 International Spillovers of Monetary Policy: Evidence from France and Italy
by Julia Schmidt & Marianna Caccavaio & Luisa Carpinelli & Giuseppe Marinelli - 688 Estimating Non-Linear DSGEs with the Approximate Bayesian Computation: an application to the Zero Lower Bound
by Valerio Scalone - 687 Bad Sovereign or Bad Balance Sheets? Euro Interbank Market Fragmentation and Monetary Policy, 2011-2015
by Silvia Gabrieli & Claire Labonne - 686 Measuring “Indirect” Investments in ICT in OECD Countries
by Gilbert Cette & Jimmy Lopez & Giorgio Presidente & Vincenzo Spiezia - 685 Classifying Patents Based on their Semantic Content
by Antonin Bergeaud & Yoann Potiron & Juste Raimbault - 684 An Experimental Analysis Of The Effect Of Quantitative Easing
by Adrian Penalver, Nobuyuki Hanaki, Eizo Akiyama, Yukihiko Funaki, Ryuichiro Ishikawa - 683 Perceived FOMC: The Making of Hawks, Doves and Swingers
by Michael Bordo, Klodiana Istrefi - 682 Shocks vs Menu Costs: Patterns of Price Rigidity in an Estimated Multi-Sector Menu-Cost Model
by Erwan Gautier, Hervé Le Bihan - 681 Non-base wage components as a source of wage adaptability to shocks: Evidence from European firms, 2010–2013
by Jan Babecký, Clémence Berson, Ludmila Fadejeva, Ana Lamo, Petra Marotzke, Fernando Martins, Pawel Strzelecki - 680 ‘New Normal’ or ‘New Orthodoxy’? Elements of a Central Banking Framework for the After-Crisis
by Christian Pfister, Natacha Valla - 679 Countercyclical School Attainment and Intergenerational Mobility
by Andreu Arenas, Clément Malgouyres - 678 The Impact of Exports on Innovation: Theory and Evidence
by Philippe Aghion, Antonin Bergeaud, Matthieu Lequien, Marc J. Melitz - 677 Income Inequality in France, 1900-2014: Evidence from Distributional National Accounts (DINA)
by Bertrand Garbinti, Jonathan Goupille-Lebret & Thomas Piketty - 676 Firm Dynamics and Growth Measurement in France
by Philippe Aghion, Antonin Bergeaud, Timo Boppart & Simon Bunel - 675 (Real-)Time Is Money
by Christian Pfister - 674 Rent creation and sharing: new measures and impacts on TFP
by Gilbert Cette & Jimmy Lopez & Jacques Mairesse - 673 The Cost of Non-Europe, Revisited
by Thierry Mayer & Vincent Vicard & Soledad Zignago - 672 Dissecting the Impact of Imports from Low-Wage Countries on French Consumer Prices
by Juan Carluccio & Erwan Gautier & Sophie Guilloux-Nefussi - 671 Payments delay: propagation and punishment
by B. Craig & D. Salakhova & M. Saldias - 670 The Optimal Inflation Target and the Natural Rate of Interest
by P. Andrade & J. Galí & H. Le Bihan & J. Matheron - 669 Monetary Policy and Collateral Constraints since the European Debt Crisis
by J. Barthélemy & V. Bignon & B. Nguyen - 668 A General Equilibrium Appraisal of Capital Shortfall
by E. Jondeau & J-G. Sahuc - 667 Stabilising virtues of central banks: (re)matching bank liquidity
by V. Legroux & I. Rahmouni-Rousseau & U. Szczerbowicz & N. Valla - 666 Dollar Funding and Firm-Level Exports
by A. Berthou & G. Horny & J-S. Mésonnier - 665 Tax Simplicity and Heterogeneous Learning
by P. Aghion & U. Akcigit & M. Lequien & S. Stantcheva - 664 Credit risk and bank competition in Sub-Saharan Africa
by M. Brei & L. Jacolin & A. Noah - 663 Explaining and Forecasting Euro Area Inflation: the Role of Domestic and Global Factors
by S. Béreau & V. Faubert & K. Schmidt - 662 Firm-level Productivity Dispersion and Convergence
by G. Cette & S. Corde & R. Lecat - 661 Global financial interconnectedness: A Non-Linear Assessment of the Uncertainty Channel
by B. Candelon & L. Ferrara & M. Joëts - 660 Exchange Rate Movements, Firm-Level Exports and Heterogeneity
by A. Berthou & E. Dhyne
2017
- 659 Unconventional Monetary Policy and Bank Lending Relationships
by C. Cahn & A. Duquerroy & W. Mullins - 658 Misallocation Before, During and After the Great Recession
by T. Libert - 657 Firm Size and the Intensive Margin of Import Demand
by J. Blaum & c. Lelarge & M. Peters - 656 A Kinked-Demand Theory of Price Rigidity
by S. Dupraz - 655 Inflation Targeting as a Shock Absorber
by M. Fratzscher & C. Grosse Steffen & M. Rieth - 654 SMEs’ financing: Divergence across Euro area countries?
by S. Roux & F. Savignac - 653 Price Dispersion, Private Uncertainty, and Endogenous Nominal Rigidities
by G. Gaballo - 652 Eurosystem’s asset purchases and money market rates
by W. Arrata & B. Nguyen & I. Rahmouni-Rousseau & M. Vari - 651 A Quantitative Easing Experiment
by A. Penalver & N. Hanaki & E. Akiyama & Y. Funaki & R. Ishikawa - 650 Why are inflation forecasts sticky? Theory and application to France and Germany
by F. Bec & R. Boucekkine & C. Jardet - 649 Missing Growth from Creative Destruction
by P. Aghion & A. Bergeaud & T. Boppart & P. Klenow & H. Li - 648 An analytical framework to calibrate macroprudential policy
by T. Bennani & C. Couaillier & A. Devulder & S. Gabrieli & J. Idier & P. Lopez & T. Piquard & V. Scalone - 647 Beneath the Gold Points: European Financial Market Integration, 1844-1870
by V. Bignon & J. Chen & S. Ugolini - 646 Corporate Debt Structure and Economic Recoveries
by T. Grjebine & U. Szczerbowicz & F. Tripier - 645 Common Factors of Commodity Prices
by S. Delle Chiaie & L. Ferrara & D. Giannone - 644 Entrepreneurship and Information on Past Failures: A Natural Experiment
by C. Cahn & M. Girotti & A. Landier - 643 Time-varying fiscal spending multipliers in the UK
by C. Glocker & G. Sestieri & P. Towbin - 642 Monetary Policy and Digital Currencies: Much Ado about Nothing?
by C. Pfister - 641 Adjustment Costs and Factor Demand: New Evidence From Firms’ Real Estate
by A. Bergeaud & S.Ray - 640 Asymmetric wage adjustment and employment in European firms
by P. Marotzke & R. Anderton & A. Bairrao & C. Berson & P. Tóth - 639 U.S. Savings Banks' Demutualization and Depositor Welfare
by M. Girotti & R. Meade - 638 The Failure of a Clearinghouse:Empirical Evidence
by V. Bignon & G. Vuillemey - 637 MAPI: Model for Analysis and Projection of Inflation in France
by L. De Charsonville & F. Ferrière & C. Jardet - 636 The Interest of Being Eligible
by J-S.Mésonnier & C. O’Donnell & O. Toutain - 635 Communication Costs and the Internal Organization of Multi-Plant Businesses: Evidence from the Impact of the French High-Speed Rail
by P. Charnoz & C. Lelarge & C. Trevien - 634 Should euro area countries cut taxes on labour or capital in order to boost their growth?
by B. Castelletti-Font & P. Clerc & M. Lemoine - 633 Accounting for Wealth Inequality Dynamics: Methods, Estimates and Simulations for France (1800-2014)
by B. Garbinti & J. Goupille-Lebret & T. Piketty - 632 The Determinants of Consumer Price Dispersion: Evidence from French Supermarkets
by N. Berardi & P. Sevestre & J. Thébault - 631 Illiquid Collateral and Bank Lending during the European Sovereign Debt Crisis
by J. Barthélemy & V. Bignon & B. Nguyen - 630 Why Have Interest Rates Fallen far Below the Return on Capital
by M. Marx & B. Mojon & F. Velde - 629 Brands in Motion: How frictions shape multinational production
by K. Head & T. Mayer - 628 Competition for Global Value Added: Export and Domestic Market Shares
by R. Cezar & A. Duguet & G. Gaulier & V. Vicard - 627 Monetary and Fiscal Policy in England during the French Wars (1793-1821)
by P. Antipa & C. Chamley - 626 Real Estate and Corporate Investmeent: Theory and Evidence of Heterogeneous Effects Across Firms
by D. Fougère & R. Lecat & S. Ray - 625 Can Fiscal Budget-Neutral Reforms Stimulate Growth? Model-Based Results
by M. Bussière & L. Ferrara & M. Juillard & D. Siena - 624 To What Extent Can Long-Term Investment in Infrastructure Reduce Inequality?
by E. Hooper & S. Peters & P. Pintus - 623 Price impact of bond supply shocks: Evidence from the Eurosystem's asset purchase program
by W. Arrata & B. Nguyen - 622 The Joint Dynamics of U.S. and Euro-area Inflation Rates: Expectations and Time-varying Uncertainty
by O. Grishchenko & S. Mouabbi & J.-P. Renne - 621 Pandemic crises in financial systems: a simulation-model to complement stress-testing frameworks
by J. Idier & T. Piquard - 620 Insight from a Time-Varying VAR Model with Stochastic Volatility of the French Housing and Credit Markets
by S. Avouyi-Dovi & C. Labonne & R. Lecat & S. Ray - 619 Subjective Interest Rate Uncertainty and the Macroeconomy: A Cross-country Analysis
by K. Istrefi & S. Mouabbi - 618 Economic Crises and the Eligibility for the Lender of Last Resort: Evidence from 19th century France
by V. Bignon & C. Jobst - 617 Long-term growth and productivity projections in advanced countries
by G. Cette & R. Lecat & C. Ly-Marin
2016
- 616 The Inverted Leading Indicator Property and Redistribution Effect of the Interest Rate
by P. A. Pintus & Y. Wen & X. Xing - 615 Financial Inclusion, Bank Concentration and Firm Performance
by L. Chauvet & L. Jacolin - 614 Disaster Risk and Preference Shifts in a New Keynesian Model
by M. Isoré & U. Szczerbowicz - 613 Optimal Monitoring of Long-Term Loan Contracts
by A. Penalver - 612 The Gains from Input Trade with Heterogeneous Importers
by J. Blaum & C. Lelarge & M. Peters - 611 National natural rates of interest and the single monetary policy in the Euro Area
by S. Fries & J.-S. Mésonnier & S. Mouabbi & J.-P. Renne - 610 Globalization, Market Structure and Inflation Dynamics
by S. Guilloux-Nefussi - 609 An Early Warning System for Macro-prudential Policy in France
by V. Coudert & J. Idier - 608 Global Trade Flows: Revisiting the Exchange Rate Elasticities
by M. Bussière & G. Gaulier & W. Steingress - 607 Does the volatility of commodity prices reflect macroeconomic uncertainty ?
by M. Joëts & V. Mignon & T. Razafindrabe - 606 Which combination of fiscal and external imbalances to determine the long-run dynamics of sovereign bond yields?
by M. Ben Salem & B. Castelletti-Font - 605 Diversity and Employment Prospects: Neighbors Matter!
by C. Hémet & C. Malgouyres - 604 Labour market regulations and capital labour substitution
by G. Cette & J. Lopez & J. Mairesse - 603 The Impact of Chinese Import Competition on the Local Structure of Employment and Wages: Evidence from France
by C. Malgouyres - 602 A DGSE Model to Assess the Post-Crisis Regulation of Universal Banks
by O. de Bandt & M. Chahad - 601 Quantitative Easing in the Euro Area: The Dynamics of Risk Exposures and the Impact on Asset Prices
by R. S.J. Koijen & F. Koulischer & B. Nguyen & M. Yogo - 600 Rationality of announcements, business cycle asymmetry, and predictability of revisions. The case of French GDP
by M. Mogliani & T. Ferrière - 599 International Banking and Cross-Border Effects of Regulation: Lessons from France
by M. Bussière & J. Schmidt & F. Vinas - 598 The Information Contained in Money Market Interactions: Unsecured vs. Collateralized Lending
by A. Bernales & M. di Filippo - 597 Immigration to the U.S.: A problem for the Republicans or the Democrats?
by A.-M. Mayda & G. Peri & W. Steingress - 596 The PRISME model: can disaggregation on the production side help to forecast GDP?
by C. Thubin & T. Ferrière & E. Monnet & M. Marx & V. Oung - 595 Fiscal Consolidation Under Imperfect Credibility
by M. Lemoine & J. Lindé - 594 Bailouts, Moral Hazard and Banks' Home Bias for Sovereign Debt
by G. Gaballo & A. Zetlin-Jones - 593 The Collateral Channel of Open Market Operations
by N. Cassola & F. Koulischer - 592 Has Globalization Really Increased Business Cycle Synchronization?
by E. Monnet & D. Puy - 591 Demographic Cycle, Migration and Housing Investment: a Causal Examination
by E. Monnet & C. Wolf - 590 How Monetary Policy Changes Bank Liability Structure and Funding Cost
by M. Girotti - 589 UK term structure decompositions at the zero lower bound
by A. Carriero & S. Mouabbi & E. Vangelista - 588 The role of production factor quality and technology diffusion in 20th century productivity growth
by A. Bergeaud & G. Cette & R. Lecat - 587 The Impact of the National Minimum Wage on Industry-Level Wage Bargaining in France
by E. Gautier & D. Fougère & S. Roux - 586 The Pre-Great Recession Slowdown in Productivity
by G. Cette & J. Fernald & B. Mojon - 585 In Search of the Transmission Mechanism of Fiscal Policy in the Euro Area
by P. Fève & J.-G. Sahuc - 584 Accounting for Labor Gaps
by F. Langot & A. Pizzo - 583 Credit frictions and the cleansing effect of recessions
by S. Osotimehin & F. Pappadà - 582 Measuring Financial Fragmentation in the Euro Area Corporate Bond Market
by G. Horny & M. Manganelli & B. Mojon - 581 Margin rate and the cycle: the role of trade openness
by G. Cette & R. Lecat & A. Ould Ahmed Jiddou
2015
- 580 Offshoring and Skill-upgrading in French Manufacturing: A Heckscher-Ohlin-Melitz View
by R. Carluccio & A. Cuñat & H. Fadinger & C. Fons-Rosen - 579 Institutional distance and foreign direct investment
by R. Cezar & O. R. Escobar - 578 Approximating time varying structural models with time invariant structures
by F. Canova & F. Ferroni & C. Matthes - 577 On the sources of macroeconomic stability in the euro area
by S. Avouyi-Dovi & J-G. Sahuc - 576 Delayed Overshooting Puzzle in Structural Vector Autoregression Models
by K. Istrefi & B. Vonnak - 575 Financial incentives and labor market duality
by C. Berson & N. Ferrari - 574 The behaviour of French Firms during the Crisis: Evidence from the Wage Dynamics Network Survey
by C. Jadeau & E. Jousselin & S. Roux & G. Verdugo - 573 Forward Guidance and Heterogeneous Beliefs
by P. Andrade & G. Gaballo & E. Mengus & B. Mojon - 572 The Long Landing Scenario: Rebalancing from Overinvestment and Excessive Credit Growth. Implications for Potential Growth in China
by M. Albert & C. Jude & C. Rebillard - 571 Explaining the Recent Slump in Investment: the Role of Expected Demand and Uncertainty
by M. Bussière & L. Ferrara & J. Milovich - 570 Real Wage Cyclicality in the Eurozone before and during the Great Recession: Evidence from micro data
by G. Verdugo - 569 Mega-deals: What Consequences for sub-Saharan Africa?
by H. Guimbard & M. Le Goff