Content
July 2007, Volume 75, Issue 4
- 1143-1174 Do Irrelevant Commodities Matter?
by Marc Fleurbaey & Koichi Tadenuma - 1175-1189 Least Squares Model Averaging
by Bruce E. Hansen - 1191-1208 Nonparametric Instrumental Variables Estimation of a Quantile Regression Model
by Joel L. Horowitz & Sokbae Lee - 1209-1227 Nonparametric Matching and Efficient Estimators of Homothetically Separable Functions
by Arthur Lewbel & Oliver Linton
May 2007, Volume 75, Issue 3
- 609-652 Decision Theory Applied to an Instrumental Variables Model
by Gary Chamberlain - 653-710 Bargaining, Reputation, and Equilibrium Selection in Repeated Games with Contracts
by Dilip Abreu & David Pearce - 711-756 Dynamic Global Games of Regime Change: Learning, Multiplicity, and the Timing of Attacks
by George-Marios Angeletos & Christian Hellwig & Alessandro Pavan - 757-779 Dummy Endogenous Variables in Weakly Separable Models
by Edward Vytlacil & Nese Yildiz - 781-836 Business Cycle Accounting
by V. V. Chari & Patrick J. Kehoe & Ellen R. McGrattan - 837-873 Market Entry Costs, Producer Heterogeneity, and Export Dynamics
by Sanghamitra Das & Mark J. Roberts & James R. Tybout - 875-884 A Mechanism-Design Approach to Speculative Trade
by Kfir Eliaz & Ran Spiegler - 885-893 On the Limits of Communication in Multidimensional Cheap Talk: A Comment
by Gilat Levy & Ronny Razin
March 2007, Volume 75, Issue 2
- 323-363 Changes in the Distribution of Male and Female Wages Accounting for Employment Composition Using Bounds
by Richard Blundell & Amanda Gosling & Hidehiko Ichimura & Costas Meghir - 365-400 A Structure Theorem for Rationalizability with Application to Robust Predictions of Refinements
by Jonathan Weinstein & Muhamet Yildiz - 401-431 The Comparative Statics of Constrained Optimization Problems
by John K.-H Quah - 433-458 Naturally Occurring Preferences and Exogenous Laboratory Experiments: A Case Study of Risk Aversion
by Glenn W Harrison & John A List & Charles Towe - 459-502 Estimating and Testing Structural Changes in Multivariate Regressions
by Zhongjun Qu & Pierre Perron - 503-536 Ellsberg Revisited: An Experimental Study
by Yoram Halevy - 537-551 Estimation of Average Treatment Effects with Misclassification
by Arthur Lewbel - 553-574 The Collective Model of Household Consumption: A Nonparametric Characterization
by Laurens Cherchye & Bram De Rock & Frederic Vermeulen - 575-589 Efficient Wald Tests for Fractional Unit Roots
by Ignacio N Lobato & Carlos Velasco - 591-600 Representing Preferences with a Unique Subjective State Space: A Corrigendum -super-1
by Eddie Dekel & Barton L Lipman & Aldo Rustichini & Todd Sarver
January 2007, Volume 75, Issue 1
- 1-53 Sequential Estimation of Dynamic Discrete Games
by Victor Aguirregabiria & Pedro Mira - 55-81 Contract, Mechanism Design, and Technological Detail
by Joel Watson - 83-119 Experimental Analysis of Neighborhood Effects
by Jeffrey R Kling & Jeffrey B Liebman & Lawrence F Katz - 121-154 Fairness and Contract Design
by Ernst Fehr & Alexander Klein & Klaus M Schmidt - 155-200 Dynamic Matching, Two-Sided Incomplete Information, and Participation Costs: Existence and Convergence to Perfect Competition
by Mark Satterthwaite & Artyom Shneyerov - 201-239 Instrumental Variable Estimation of Nonlinear Errors-in-Variables Models
by Susanne M Schennach - 241-257 Overcoming Incentive Constraints by Linking Decisions -super-1
by Matthew O Jackson & Hugo F Sonnenschein - 259-276 Efficient Semiparametric Estimation of Quantile Treatment Effects
by Sergio Firpo - 277-282 Contagion Equilibria in a Monetary Model
by Charalambos D Aliprantis & Gabriele Camera & Daniela Puzzello
November 2006, Volume 74, Issue 6
- 1447-1498 Ambiguity Aversion, Robustness, and the Variational Representation of Preferences
by Fabio Maccheroni & Massimo Marinacci & Aldo Rustichini - 1499-1544 The Folk Theorem for Games with Private Almost-Perfect Monitoring
by Johannes Hörner & Wojciech Olszewski - 1545-1578 Tests of Conditional Predictive Ability
by Raffaella Giacomini & Halbert White - 1579-1601 Promises and Partnership
by Gary Charness & Martin Dufwenberg - 1603-1636 Optimal Use of Communication Resources
by Olivier Gossner & Penélope Hernández & Abraham Neyman - 1637-1673 Measuring the Implications of Sales and Consumer Inventory Behavior
by Igal Hendel & Aviv Nevo - 1675-1698 Bounds in Competing Risks Models and the War on Cancer
by Bo E. Honoré & Adriana Lleras-Muney - 1699-1714 Bootstrap Algorithms for Testing and Determining the Cointegration Rank in VAR Models -super-1
by Anders Rygh Swensen - 1715-1721 Reciprocal Upper Semicontinuity and Better Reply Secure Games: A Comment
by Adib Bagh & Alejandro Jofre - 1723-1724 Corrigendum to "Existence of Equilibrium in Single and Double Private Value Auctions"
by Luciano I. de Castro
September 2006, Volume 74, Issue 5
- 1161-1190 The Power of the Last Word in Legislative Policy Making
by B. Douglas Bernheim & Antonio Rangel & Luis Rayo - 1191-1230 The Effect of School Choice on Participants: Evidence from Randomized Lotteries
by Julie Berry Cullen & Brian A Jacob & Steven Levitt - 1231-1269 Toward a Strategic Foundation for Rational Expectations Equilibrium
by Philip J Reny & Motty Perry - 1271-1292 Theories of Learning in Games and Heterogeneity Bias
by Nathaniel T Wilcox - 1293-1307 Simultaneous Search
by Hector Chade & Lones Smith - 1309-1364 Bargaining with Interdependent Values
by Raymond Deneckere & Meng-Yu Liang - 1365-1384 Putting Behavioral Economics to Work: Testing for Gift Exchange in Labor Markets Using Field Experiments
by Uri Gneezy & John A List - 1385-1402 Equilibria and Indivisibilities: Gross Substitutes and Complements
by Ning Sun & Zaifu Yang - 1403-1417 Who's Who in Networks. Wanted: The Key Player
by Coralio Ballester & Antoni Calvó-Armengol & Yves Zenou - 1419-1427 Impartiality, Priority, and Solidarity in the Theory of Justice
by Juan D Moreno-Ternero & John E Roemer - 1429-1440 On the Nonparametric Identification of Nonlinear Simultaneous Equations Models: Comment on Brown (1983) and Roehrig (1988)
by C. Lanier Benkard & Steven Berry
July 2006, Volume 74, Issue 4
- 865-883 Dilemmas of an Economic Theorist
by Ariel Rubinstein - 885-928 Admission, Tuition, and Financial Aid Policies in the Market for Higher Education
by Dennis Epple & Richard Romano & Holger Sieg - 929-966 If You're so Smart, why Aren't You Rich? Belief Selection in Complete and Incomplete Markets
by Lawrence Blume & David Easley - 967-1012 Estimation and Inference in Large Heterogeneous Panels with a Multifactor Error Structure
by M. Hashem Pesaran - 1013-1062 Minimum Wage Effects on Labor Market Outcomes under Search, Matching, and Endogenous Contact Rates
by Christopher J. Flinn - 1063-1107 Robustly Collusion-Proof Implementation
by Yeon-Koo Che & Jinwoo Kim - 1109-1132 Weak Monotonicity Characterizes Deterministic Dominant-Strategy Implementation
by Sushil Bikhchandani & Shurojit Chatterji & Ron Lavi & Ahuva Mu'alem & Noam Nisan & Arunava Sen - 1133-1150 Confidence Intervals for Diffusion Index Forecasts and Inference for Factor-Augmented Regressions
by Jushan Bai & Serena Ng
May 2006, Volume 74, Issue 3
- 585-610 The Limits of ex post Implementation
by Philippe Jehiel & Moritz Meyer-ter-Vehn & Benny Moldovanu & William R. Zame - 611-629 Bounds on Parameters in Panel Dynamic Discrete Choice Models
by Bo E. Honoré & Elie Tamer - 631-665 Identification and Estimation of Regression Models with Misclassification
by Aprajit Mahajan - 667-680 Assortative Matching with Explicit Search Costs
by Alp E. Atakan - 681-714 Optimal Inference in Regression Models with Nearly Integrated Regressors
by Michael Jansson & Marcelo J. Moreira - 715-752 Optimal Two-Sided Invariant Similar Tests for Instrumental Variables Regression
by Donald W. K. Andrews & Marcelo J. Moreira & James H. Stock - 753-769 Speculation in Standard Auctions with Resale
by Rod Garratt & Thomas Tröger - 771-786 Event Exchangeability: Probabilistic Sophistication Without Continuity or Monotonicity
by Chew Soo Hong & Jacob S. Sagi - 787-817 Local Partitioned Regression
by Norbert Christopeit & Stefan G. N. Hoderlein
March 2006, Volume 74, Issue 2
- 323-364 Wage Bargaining with On-the-Job Search: Theory and Evidence
by Pierre Cahuc & Fabien Postel-Vinay & Jean-Marc Robin - 365-396 Commitment vs. Flexibility
by Manuel Amador & Iván Werning & George-Marios Angeletos - 397-429 Hard-to-Solve Bimatrix Games
by Rahul Savani & Bernhard Stengel - 431-497 Identification and Inference in Nonlinear Difference-in-Differences Models
by Susan Athey & Guido W. Imbens - 499-519 Efficiency in Repeated Games Revisited: The Role of Private Strategies
by Michihiro Kandori & Ichiro Obara - 521-538 Testing a Parametric Model Against a Nonparametric Alternative with Identification Through Instrumental Variables
by Joel L. Horowitz - 539-563 Quantile Regression under Misspecification, with an Application to the U.S. Wage Structure
by Joshua Angrist & Victor Chernozhukov & Iván Fernández-Val - 565-573 Aggregation and Optimization with State-Dependent Pricing: A Comment
by Vladislav Damjanovic & Charles Nolan
January 2006, Volume 74, Issue 1
- 1-46 Intersectoral Labor Mobility and the Growth of the Service Sector
by Donghoon Lee & Kenneth I. Wolpin - 47-92 Efficiency of Large Double Auctions
by Martin W. Cripps & Jeroen M. Swinkels - 93-119 Convergence Properties of the Likelihood of Computed Dynamic Models
by Jesús Fernández-Villaverde & Juan F. Rubio-Ramírez & Manuel S. Santos - 121-146 Random Expected Utility
by Faruk Gul & Wolfgang Pesendorfer - 147-192 GMM with Many Moment Conditions
by Chirok Han & Peter C. B. Phillips - 193-212 Time Consistency of Fiscal and Monetary Policy: A Solution
by Mats Persson & Torsten Persson & Lars E. O. Svensson - 213-233 On the Generic (Im)Possibility of Full Surplus Extraction in Mechanism Design
by Aviad Heifetz & Zvika Neeman - 235-267 Large Sample Properties of Matching Estimators for Average Treatment Effects
by Alberto Abadie & Guido W. Imbens - 269-273 A Dynamic Equilibrium Model of International Portfolio Holdings: Comment
by Robert Kollmann
November 2005, Volume 73, Issue 6
- 1723-1770 Estimating the Effects of a Time-Limited Earnings Subsidy for Welfare-Leavers
by David Card & Dean R. Hyslop - 1771-1813 Robust Mechanism Design
by Dirk Bergemann & Stephen Morris - 1815-1847 Over-the-Counter Markets
by Darrell Duffie & Nicolae Garleanu & Lasse Heje Pedersen - 1849-1892 A Smooth Model of Decision Making under Ambiguity
by Peter Klibanoff & Massimo Marinacci & Sujoy Mukerji - 1893-1937 Behavioral Identification in Coalitional Bargaining: An Experimental Analysis of Demand Bargaining and Alternating Offers
by Guillaume Fréchette & John H. Kagel & Massimo Morelli - 1939-1976 Accuracy of Simulations for Stochastic Dynamic Models
by Manuel S. Santos & Adrian Peralta-Alva - 1977-2016 Using Asset Prices to Measure the Persistence of the Marginal Utility of Wealth
by Fernando Alvarez & Urban J. Jermann - 2017-2030 Driving Forces Behind Informal Sanctions
by Armin Falk & Ernst Fehr & Urs Fischbacher
September 2005, Volume 73, Issue 5
- 1401-1430 Adaptive Heuristics
by Sergiu Hart - 1431-1475 The Optimal Degree of Discretion in Monetary Policy
by Susan Athey & Andrew Atkeson & Patrick J. Kehoe - 1477-1524 Affirmative Action in Higher Education: How Do Admission and Financial Aid Rules Affect Future Earnings?
by Peter Arcidiacono - 1525-1550 Nonparametric Identification under Discrete Variation
by Andrew Chesher - 1551-1585 Cross-Section Regression with Common Shocks
by Donald W. K. Andrews - 1587-1621 Zero Expected Wealth Taxes: A Mirrlees Approach to Dynamic Optimal Taxation
by Narayana R. Kocherlakota - 1623-1672 Cursed Equilibrium
by Erik Eyster & Matthew Rabin - 1673-1692 Consistent Estimation with a Large Number of Weak Instruments
by John C. Chao & Norman R. Swanson - 1693-1712 On the Discrete Version of the Aumann-Shapley Cost-Sharing Method
by Yves Sprumont
July 2005, Volume 73, Issue 4
- 1053-1102 Cross Section and Panel Data Estimators for Nonseparable Models with Endogenous Regressors
by Joseph G. Altonji & Rosa L. Matzkin - 1103-1123 Testing Parameters in GMM Without Assuming that They Are Identified
by Frank Kleibergen - 1125-1136 Probabilities as Similarity-Weighted Frequencies
by Antoine Billot & Itzhak Gilboa & Dov Samet & David Schmeidler - 1137-1173 Uncertainty and Learning in Pharmaceutical Demand
by Gregory S. Crawford & Matthew Shum - 1175-1204 On the Bootstrap of the Maximum Score Estimator
by Jason Abrevaya & Jian Huang - 1205-1235 Approximate versus Exact Equilibria in Dynamic Economies
by Felix Kubler & Karl Schmedders - 1237-1282 Stepwise Multiple Testing as Formalized Data Snooping
by Joseph P. Romano & Michael Wolf - 1283-1328 Estimating Long Memory in Volatility
by Clifford M. Hurvich & Eric Moulines & Philippe Soulier - 1329-1350 Multilateral Contracting with Externalities
by Armando Gomes - 1351-1365 Projection-Based Statistical Inference in Linear Structural Models with Possibly Weak Instruments
by Jean-Marie Dufour & Mohamed Taamouti - 1367-1382 Uncovering the Distribution of Motorists' Preferences for Travel Time and Reliability
by Kenneth A. Small & Clifford Winston & Jia Yan - 1383-1387 Information-Based Relative Consumption Effects: Correction
by Georg Nöldeke & Larry Samuelson
May 2005, Volume 73, Issue 3
- 669-738 Structural Equations, Treatment Effects, and Econometric Policy Evaluation
by James J. Heckman & Edward Vytlacil - 739-769 Complexity and Competition
by Douglas Gale & Hamid Sabourian - 771-836 Estimating Semiparametric ARCH(∞) Models by Kernel Smoothing Methods
by O. Linton & E. Mammen - 837-901 Asymptotic Distribution Theory for Nonparametric Entropy Measures of Serial Dependence
by Yongmiao Hong & Halbert White - 903-948 The Bootstrap and the Edgeworth Correction for Semiparametric Averaged Derivatives
by Yoshihiko Nishiyama & Peter M. Robinson - 949-960 Modeling Denomination Structures
by Manjong Lee & Neil Wallace & Tao Zhu - 961-982 Solving Asset Pricing Models when the Price-Dividend Function Is Analytic
by Ovidiu L. Calin & Yu Chen & Thomas F. Cosimano & Alex A. Himonas - 983-1002 GMM, GEL, Serial Correlation, and Asymptotic Bias
by Stanislav Anatolyev - 1003-1004 A Comment on Roland Benabou's "Tax and Education Policy in a Heterogeneous-Agent Economy: What Levels of Redistribution Maximize Growth and Efficiency?"
by Xueli Tang & Ian King
March 2005, Volume 73, Issue 2
- 341-376 Income Maintenance and Labor Force Participation
by Guy Laroque - 377-415 Belief-Free Equilibria in Repeated Games
by Jeffrey C. Ely & Johannes Hörner & Wojciech Olszewski - 417-458 Teachers, Schools, and Academic Achievement
by Steven G. Rivkin & Eric A. Hanushek & John F. Kain - 459-480 Beliefs in Repeated Games
by John H. Nachbar - 481-516 Job Matching and the Wage Distribution
by Giuseppe Moscarini - 517-570 On the Trade off Between Deficit and Inefficiency and the Double Auction with a Fixed Transaction Fee
by Tymon Tatur - 571-627 An Equilibrium Model of Health Insurance Provision and Wage Determination
by Matthew S. Dey & Christopher J. Flinn - 629-645 A Partial Folk Theorem for Games with Unknown Payoff Distributions
by Thomas Wiseman - 647-658 Existence of Equilibria in Economies with Bads
by Chiaki Hara
January 2005, Volume 73, Issue 1
- 1-37 Default and Punishment in General Equilibrium
by Pradeep Dubey & John Geanakoplos & Martin Shubik - 39-68 Strategic Experimentation with Exponential Bandits
by Godfrey Keller & Sven Rady & Martin Cripps - 69-91 Uncertainty about Uncertainty and Delay in Bargaining
by Yossi Feinberg & Andrzej Skrzypacz - 93-139 Existence of Equilibrium in Single and Double Private Value Auctions
by Matthew O. Jackson & Jeroen M. Swinkels - 141-174 The Expected Number of Nash Equilibria of a Normal Form Game
by Andrew McLennan - 175-202 Money in Search Equilibrium, in Competitive Equilibrium, and in Competitive Search Equilibrium
by Guillaume Rocheteau & Randall Wright - 203-243 Uncertainty and Risk in Financial Markets
by Luca Rigotti & Chris Shannon - 245-261 An IV Model of Quantile Treatment Effects
by Victor Chernozhukov & Christian Hansen - 263-277 The Affiliation Effect in First-Price Auctions
by Joris Pinkse & Guofu Tan - 279-296 Correcting the Errors: Volatility Forecast Evaluation Using High-Frequency Data and Realized Volatilities
by Torben G. Andersen & Tim Bollerslev & Nour Meddahi
November 2004, Volume 72, Issue 6
- 1631-1665 Large Robust Games
by Ehud Kalai - 1667-1714 Empirical Likelihood-Based Inference in Conditional Moment Restriction Models
by Yuichi Kitamura & Gautam Tripathi & Hyungtaik Ahn - 1715-1736 On Optimal Rules of Persuasion
by Jacob Glazer & Ariel Rubinstein - 1737-1772 Polarization: Concepts, Measurement, Estimation
by Jean-Yves Duclos & Joan Esteban & Debraj Ray - 1773-1808 Estimation of Continuous-Time Markov Processes Sampled at Random Time Intervals
by Darrell Duffie & Peter Glynn - 1809-1844 Consistent Testing of Cointegrating Relationships
by Francesc Marmol & Carlos Velasco - 1845-1857 Confidence Intervals for Partially Identified Parameters
by Guido W. Imbens & Charles F. Manski - 1859-1876 Panel Binary Variables and Sufficiency: Generalizing Conditional Logit
by Thierry Magnac - 1877-1897 Efficient Semiparametric Estimation via Moment Restrictions
by Whitney K. Newey - 1899-1925 Asymptotic Distributions of Quasi-Maximum Likelihood Estimators for Spatial Autoregressive Models
by Lung-Fei Lee - 1927-1929 Corrigendum to "Communication and Equilibrium in Discontinuous Games of Incomplete Information"
by Matthew O. Jackson & Leo K. Simon & Jeroen M. Swinkels & William R. Zame
September 2004, Volume 72, Issue 5
- 1329-1376 Measuring Expectations
by Charles F. Manski - 1377-1407 A General Formula for Valuing Defaultable Securities
by P. Collin-Dufresne & R. Goldstein & J. Hugonnier - 1409-1443 Women as Policy Makers: Evidence from a Randomized Policy Experiment in India
by Raghabendra Chattopadhyay & Esther Duflo - 1445-1480 Likelihood Estimation and Inference in a Class of Nonregular Econometric Models
by Victor Chernozhukov & Han Hong - 1481-1517 Likelihood-Based Estimation of Latent Generalized ARCH Structures
by Gabriele Fiorentini & Enrique Sentana & Neil Shephard - 1519-1563 Wavelet-Based Testing for Serial Correlation of Unknown Form in Panel Models
by Yongmiao Hong & Chihwa Kao - 1565-1581 Social Indeterminacy
by Gil Kalai - 1583-1599 The Theory of Global Games on Test: Experimental Analysis of Coordination Games with Public and Private Information
by Frank Heinemann & Rosemarie Nagel & Peter Ockenfels - 1601-1615 Consistent Estimation of Models Defined by Conditional Moment Restrictions
by Manuel A. Domínguez & Ignacio N. Lobato - 1617-1626 Mechanism Design with Interdependent Valuations: Efficiency
by Claudio Mezzetti
July 2004, Volume 72, Issue 4
- 1023-1061 Financial Intermediaries and Markets
by Franklin Allen & Douglas Gale - 1063-1103 A Dynamic Theory of Holdup
by Yeon-Koo Che & József Sákovics - 1105-1125 On the Existence of Pure Strategy Monotone Equilibria in Asymmetric First-Price Auctions
by Philip J. Reny & Shmuel Zamir - 1127-1177 A PANIC Attack on Unit Roots and Cointegration
by Jushan Bai & Serena Ng - 1179-1219 The Organization of Supplier Networks: Effects of Delegation and Intermediation
by Dilip Mookherjee & Masatoshi Tsumagari - 1221-1246 Statistical Treatment Rules for Heterogeneous Populations
by Charles F. Manski - 1247-1275 Price Manipulation and Quasi-Arbitrage
by Gur Huberman & Werner Stanzl - 1277-1293 Efficient Semiparametric Estimation of Censored and Truncated Regressions via a Smoothed Self-Consistency Equation
by Stephen R. Cosslett - 1295-1319 Jackknife and Analytical Bias Reduction for Nonlinear Panel Models
by Jinyong Hahn & Whitney Newey
May 2004, Volume 72, Issue 3
- 673-700 the Block-Block Bootstrap: Improved Asymptotic Refinements
by Donald W. K. Andrews - 701-746 Moral Hazard Contracting and Private Credit Markets
by In-Uck Park - 747-780 Relational Contracts and the Nature of Market Interactions
by Martin Brown & Armin Falk & Ernst Fehr - 781-822 Behavior in a Dynamic Decision Problem: An Analysis of Experimental Evidence Using a Bayesian Type Classification Algorithm
by Daniel Houser & Michael Keane & Kevin McCabe - 823-852 Repeated Games with Private Monitoring: Two Players
by Hitoshi Matsushima - 853-884 Financial Market Globalization, Symmetry-Breaking, and Endogenous Inequality of Nations
by Kiminori Matsuyama - 885-925 Econometric Analysis of Realized Covariation: High Frequency Based Covariance, Regression, and Correlation in Financial Economics
by Ole E. Barndorff-Nielsen & Neil Shephard - 927-936 Simple Finite Horizon Bubbles Robust to Higher Order Knowledge
by John R. Conlon - 937-946 The Error in Rejection Probability of Simple Autocorrelation Robust Tests
by Michael Jansson - 947-962 Twicing Kernels and a Small Bias Property of Semiparametric Estimators
by Whitney K. Newey & Fushing Hsieh & James M. Robins - 963-977 The Measurement of Intellectual Influence
by Ignacio Palacios-Huerta & Oscar Volij
March 2004, Volume 72, Issue 2
- 351-381 The Consumer Gains from Direct Broadcast Satellites and the Competition with Cable TV
by Austan Goolsbee & Amil Petrin - 383-405 Expedient and Monotone Learning Rules
by Tilman Börgers & Antonio J. Morales & Rajiv Sarin - 407-432 Imperfect Monitoring and Impermanent Reputations
by Martin W. Cripps & George J. Mailath & Larry Samuelson - 433-465 Information in Securities Markets: Kyle Meets Glosten and Milgrom
by Kerry Back & Shmuel Baruch - 467-522 GMM Estimation of Autoregressive Roots Near Unity with Panel Data
by Hyungsik Roger Moon & Peter C. B. Phillips - 523-540 Ordinally Bayesian Incentive Compatible Voting Rules
by Dipjyoti Majumdar & Arunava Sen - 541-567 The Time Consistency of Optimal Monetary and Fiscal Policies
by Fernando Alvarez & Patrick J. Kehoe & Pablo Andrés Neumeyer - 569-614 Adaptive Local Polynomial Whittle Estimation of Long-range Dependence
by Donald W. K. Andrews & Yixiao Sun - 615-625 Neoclassical Theory Versus Prospect Theory: Evidence from the Marketplace
by John A. List - 627-640 Fair Production and Allocation of an Excludable Nonrival Good
by François Maniquet & Yves Sprumont - 641-646 Asymptotic Normality of the QMLE Estimator of ARCH in the Nonstationary Case
by Søren Tolver Jensen & Anders Rahbek - 647-662 Testing for the Cointegrating Rank of a VAR Process with Level Shift at Unknown Time
by Helmut Lütkepohl & Pentti Saikkonen & Carsten Trenkler
January 2004, Volume 72, Issue 1
- 1-32 Income Variance Dynamics and Heterogeneity
by Costas Meghir & Luigi Pistaferri - 33-75 Estimation of Nonlinear Models with Measurement Error
by Susanne M. Schennach