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Content
January 2002, Volume 19, Issue 1
- 25-40 The implausible growth effect of partial capital mobility: some neoclassical arithmetic
by Gundlach, Erich
- 41-63 The provision of impure public goods in a non-competitive market
by Cavalletti, Barbara & Levaggi, Rosella
- 65-90 Testing for non-stationarity and cointegration allowing for the possibility of a structural break: an application to EuroSterling interest rates
by Brooks, Chris & Rew, Alistair G.
- 91-104 Common features in UK sectoral output
by Harvey, David I. & Mills, Terence C.
- 105-120 Unemployment and productivity growth: an empirical analysis within an augmented Solow model
by Brauninger, Michael & Pannenberg, Markus
- 121-136 Fiscal policy in Sweden: effects of EMU criteria convergence
by Hatemi-J, Abdulnasser
- 137-152 Contractionary effects of expansionary fiscal policy: theory and tests
by Ahtiala, Pekka & Kanto, Antti
- 153-177 How well does the aggregate demand-aggregate supply framework explain unemployment fluctuations? A France-United States comparison
by Algan, Yann
December 2001, Volume 18, Issue 4
- 503-524 Stationarity and structural breaks -- evidence from classical and Bayesian approaches
by Noriega, Antonio E. & de Alba, Enrique
- 525-550 An investment-function-based measure of capacity utilisation.: Potential output and utilised capacity in the Bank of Italy's quarterly model
by Parigi, Giuseppe & Siviero, Stefano
- 551-568 Computation of non-linear continuous optimal growth models: experiments with optimal control algorithms and computer programs
by Islam, Sardar M. N. & Craven, B. D.
- 569-584 Coordination and price shocks: an empirical analysis
by Caporale, Guglielmo Maria & Chui, Michael & Hall, Stephen G. & Henry, Brian
- 585-611 Identification and dimension of the NAIRU
by Chiarini, Bruno & Piselli, Paolo
- 613-623 Exports, imports, and economic growth in Portugal: evidence from causality and cointegration analysis
by Ramos, Francisco F. Ribeiro
- 625-641 Modelling the spot prices of various coffee types
by Otero, Jesus & Milas, Costas
- 643-658 A fractionally integrated model with a mean shift for the US and the UK real oil prices
by Gil-Alana, Luis A.
August 2001, Volume 18, Issue 3
- 325-348 Leading inflation indicators for Greece
by Gibson, Heather D. & Lazaretou, Sophia
- 349-379 Modeling income policies: some Norwegian experiences 1973-1993
by Bowitz, Einar & Cappelen, Adne
- 381-397 Measuring the stability of the price system
by Fiorencio, Antonio & Bello Moreira, Ajax R.
- 399-414 Price thresholds, price volatility, and the private costs of investment in a developing country grain market
by Shively, Gerald E.
- 415-433 Macroeconomic instability and inflationary financing in Ghana
by Ghartey, Edward E.
- 435-454 Trade liberalization and pollution: a general equilibrium analysis of carbon dioxide emissions in Taiwan
by Yang, Hao-Yen
- 455-474 Empirical macro models under test. A comparative simulation study of the employment effects of a revenue neutral cut in social security contributions
by Buscher, Herbert S. & Buslei, Hermann & Goggelmann, Klaus & Koschel, Henrike & Schmidt, Tobias F. N. & Steiner, Viktor & Winker, Peter
- 475-501 Modelling the long-run demand for money in the United Kingdom: a random coefficient analysis
by Hondroyiannis, George & Swamy, P. A. V. B. & Tavlas, George S.
April 2001, Volume 18, Issue 2
- 159-179 Pitfalls in investment Euler equations
by Chatelain, Jean-Bernard & Teurlai, Jean-Christophe
- 181-202 Macroeconomic equilibrium with illegal immigration
by Agiomirgianakis, George & Zervoyianni, Athina
- 203-222 Expectations and information in second generation currency crises models
by Sbracia, Massimo & Zaghini, Andrea
- 223-231 Interest rate risk, labor supply and unemployment
by Basu, Parantap & Ghosh, Satyajit & Kallianiotis, Ioannis
- 233-252 Fading memory learning in a class of forward-looking models with an application to hyperinflation dynamics
by Barucci, Emilio
- 253-268 Fiscal policy and politics: theory and evidence from Greece 1960-1997
by Lockwood, Ben & Philippopoulos, Apostolis & Tzavalis, Elias
- 269-280 The Chow-Lin method using dynamic models
by Santos Silva, J. M. C. & Cardoso, F. N.
- 281-295 The rise in house prices in Dublin: bubble, fad or just fundamentals
by Roche, Maurice J.
- 297-311 Aspects of employment and unemployment in a model of the developed and the less developed economies
by Bhattacharya, Prabir C.
- 313-323 Markup, indexation and inflation: a bargaining approach
by Faria, Joao Ricardo
January 2001, Volume 18, Issue 1
- 1-17 The role of international trade on environmental efficiency: a DEA approach
by Taskin, Fatma & Zaim, Osman
- 19-47 Fiscal policy in a stochastic model of endogenous growth
by Canton, Erik
- 49-60 P-STAR analysis in a converging economy: the case of Greece
by Tsionas, Efthymios G.
- 61-73 Detecting rational bubbles in the residential housing markets of Hong Kong
by Chan, Hing Lin & Lee, Shu Kam & Woo, Kai Yin
- 75-96 Methodology for trend estimation
by Pollock, D. S. G.
- 97-116 Public capital and productivity growth: evidence for Belgium, 1953-1996
by Everaert, Gerdie & Heylen, Freddy
- 117-132 Iterative method for finding the balanced growth solution of the non-linear dynamic input-output model and the dynamic CGE model
by Zhang, Jin shui
- 133-157 Dynamic factor demands model: continuous time vs. discrete time
by Debrand, Thierry & Patrat, Nathalie
December 2000, Volume 17, Issue 4
- 455-471 The analysis of consumer demand in Greece. Model selection and dynamic specification
by Tridimas, George
- 473-483 Bootstrapping R2 and adjusted R2 in regression analysis
by Ohtani, Kazuhiro
- 485-496 On the validity and identification of long-run restrictions for a cointegrated system
by Paul Lau, Sau-Him
- 497-513 Linear and non-linear transmission of equity return volatility: evidence from the US, Japan and Australia
by Brooks, Chris & Henry, Olan T.
- 515-544 A monthly econometric model of the transmission of the Great Depression between the principal industrial economies
by Foreman-Peck, James & Hughes Hallett, Andrew & Ma, Yue
- 545-558 Aggregation in macroeconomic models: an empirical input-output approach
by Olsen, J. Asger
- 559-588 Dynamics of money, output and price interaction -- some Indian evidence
by Dutta Roy, Sudipta & Darbha, Gangadhar
- 589-617 Irreversible investment with uncertainty and strategic behavior
by Moretto, Michele
August 2000, Volume 17, Issue 3
- 339-357 Modelling economies in transition: an introduction
by Hall, Stephen & Mizon, Grayham E. & Welfe, Aleksander
- 359-373 Modelling of cointegration in the vector autoregressive model
by Johansen, Soren
- 375-385 Modeling inflation in Poland
by Welfe, Aleksander
- 387-413 Modelling shifts in the wage-price and unemployment-inflation relationships in Italy, Poland and the UK
by Marcellino, Massimiliano & Mizon, Grayham E.
- 415-437 Unemployment and the capital stock: a dynamic structural model of the UK supply side
by Hall, Stephen & Nixon, James
- 439-454 The German labour market and the unification shock
by Hansen, Gerd
April 2000, Volume 17, Issue 2
- 171-193 Fiscal policy rules in macroeconomic models: principles and practice
by Mitchell, Peter R. & Sault, Joanne E. & Wallis, Kenneth F.
- 195-207 Quality and efficiency
by Sengupta, Jati K.
- 209-246 Childcare subsidies, labour supply and public finance: an AGE approach
by Graafland, Johan J.
- 247-274 The core model of the Reserve Bank of New Zealand's Forecasting and Policy System
by Hunt, Benjamin & Rose, David & Scott, Alasdair
- 275-303 The BOF5 macroeconomic model of Finland, structure and dynamic microfoundations
by Willman, Alpo & Kortelainen, Mika & Mannisto, Hanna-Leena & Tujula, Mika
- 305-336 An econometric model of the Russian Federation
by Basdevant, Olivier
January 2000, Volume 17, Issue 1
- 1-11 A quarterly macroeconometric model for a highly inflationary and indebted country: Turkey
by Ozatay, Fatih
- 13-34 Endogenous technological advance in an econometric model: implications for productivity and potential output in the United States
by Richards, Gordon R.
- 35-47 Trade and growth: a theoretical exploration into foreign debts by NICs
by Leung, Hing-Man
- 49-69 Output price determination and the business cycle
by Smith, Peter N.
- 71-90 International trade and environmental policy: how effective is 'eco-dumping'?
by Xu, Xinpeng
- 91-106 The gains from exchange rate unification in Bangladesh
by Ahammad, Helal & Fane, George
- 107-137 Did Norway gain from the 1979-1985 oil price shock?
by Eika, Torbjorn & Magnussen, Knut A.
- 139-170 Growth cycles with technology shifts and externalities
by Eriksson, Clas & Lindh, Thomas
December 1999, Volume 16, Issue 4
- 475-487 Inflation and capital accumulation in an OLG model with money in the production function
by Petrucci, Alberto
- 489-502 Regional growth in West Germany: convergence or divergence?
by Funke, Michael & Strulik, Holger
- 503-513 An application of dynamic specifications of factor demand equations to interfuel substitution in US industrial energy demand
by Urga, Giovanni
- 515-544 Equilibrium-correction vs. differencing in macroeconometric forecasting
by Eitrheim, Oyvind & Husebo, Tore Anders & Nymoen, Ragnar
- 545-567 Modelling labour market dynamics with on-the-job search
by den Butter, Frank A. G. & Gorter, Cees
- 569-589 Equity and efficiency aspects of the Italian debt reduction
by Fehr, Hans & Ruocco, Anna
- 591-612 Balancing budget through tax increases or expenditure cuts: is it neutral?
by Garcia, Sophie & Henin, Pierre-Yves
- 613-629 Testing fractional integration with monthly data
by Gil-Alana, Luis A.
August 1999, Volume 16, Issue 3
- 307-330 Multiplicative utility and the influence of environmental care on the short-term economic growth rate
by Vellinga, Nico
- 331-353 Modelling the price of industrial commodities
by Baldursson, Fridrik M.
- 355-370 Intertemporal substitution in public and private consumption -- long-run evidence from the US and the UK
by van Dalen, Hendrik P.
- 371-388 Dynamic applied general equilibrium trade policy analysis in the presence of foreign asset cross-ownership
by Willenbockel, Dirk
- 389-409 Modelling the demand and supply sides of the housing market: evidence from Ireland1
by Kenny, Geoff
- 411-427 Population ageing and economic growth in seven OECD countries
by Fougere, Maxime & Merette, Marcel
- 429-453 Modelling and forecasting regional service employment in Great Britain1
by Sarantis, Nicholas & Swales, Caspar
- 455-473 A coupling algorithm for computing large-scale dynamic computable general equilibrium models
by Yang, Zili
April 1999, Volume 16, Issue 2
- 163-177 Labour market regulation and deregulation in Papua New Guinea
by Levantis, Theodore & Fane, George
- 179-188 Multiple international debt equilibria and irreversibility
by Roberts, Mark A. & McCausland, W. David
- 189-219 Fiscal policy and the labour market: An AGE analysis
by Graafland, Johan J. & de Mooij, Ruud A.
- 221-233 Stability in models of money and perfect foresight: implications of non-linearity
by Flaschel, Peter & Sethi, Rajiv
- 235-256 The tax wedge and household demand for services
by Heinesen, Eskil
- 257-278 Estimation of Armington elasticities: an application to the Philippines
by Kapuscinski, Cezary A. & Warr, Peter G.
- 279-291 Total expenditure endogeneity in a system of demand for public consumption expenditures in the UK
by Pitarakis, Jean-Yves & Tridimas, George
- 293-306 Modelling consumption: permanent-income or rule-of-thumb behaviour?
by Hatzinikolaou, Dimitris
January 1998, Volume 16, Issue 1
- 1-52 COMPACT: a rational expectations, intertemporal model of the United Kingdom economy
by Darby, Julia & Ireland, Jonathan & Leith, Campbell & Wren-Lewis, Simon
- 53-69 An econometric analysis of the bilateral monopoly model
by Oczkowski, Edward
- 71-86 Policy regime changes and the long-run sustainability of fiscal policy: an application to Greece
by Makrydakis, Stelios & Tzavalis, Elias & Balfoussias, Athanassios
- 87-103 Modelling inflation and the demand for money in Pakistan; cointegration and the causal structure
by Price, Simon & Nasim, Anjum
- 105-122 Productivity and efficiency in the UK: a time series application of DEA
by Lynde, Catherine & Richmond, J.
- 123-148 The theoretical and empirical structure of the G-Cubed model
by McKibbin, Warwick J. & Wilcoxen, Peter J.
- 149-161 Long-run structural estimation of labour market equations with an application to Greece1
by Milas, Costas
October 1998, Volume 15, Issue 4
- 477-499 Labor force growth and the environment in Costa Rica
by Abler, David G. & Rodriguez, Adrian G. & Shortle, James S.
- 501-517 A model of fashions and status
by Frijters, Paul
- 519-541 Confident expectations, rational expectations and the optimal conduct of monetary policy
by Maa[beta], Henrich & Sell, Friedrich L.
- 543-573 The econometric critique of computable general equilibrium modeling: the role of functional forms
by McKitrick, Ross R.
- 575-620 A four-sector macroeconometric model for Greece and the evaluation of the community support framework 1994-1999
by Christodoulakis, Nicos M. & Kalyvitis, Sarantis C.
- 621-640 Fiscal expansion, monetary policy, interest rate risk premia, and wage reactions
by Hall, Viv B. & Rae, David
July 1998, Volume 15, Issue 3
- 307-308 Empirical models and policy making: special issue of economic modelling
by Dummy, Dummy
- 309-316 The relevance of economic modelling for policy decisions
by Zalm, G.
- 317-339 Interaction between model builders and policy makers in the Norwegian tradition
by Bjerkholt, Olav
- 341-356 CPB models and employment policy in the Netherlands
by Donders, Jan & Graafland, Johan
- 357-375 Macroeconomic models and policy making at the bank of canada
by Duguay, Pierre & Longworth, David
- 377-394 Transparency and accountability: Empirical models and policy making at the Reserve Bank of New Zealand
by Mayes, David G. & Razzak, W. A.
- 395-410 The IMF monetary model at 40
by Polak, Jacques J.
- 411-428 US monetary policy and econometric modeling: tales from the FOMC transcripts 1984-1991
by Edison, Hali J. & Marquez, Jaime
- 429-442 Emergent policy-making with macroeconometric models
by Smith, Ron
- 443-475 What makes the models-policy interaction successful?
by den Butter, Frank A. G. & Morgan, Mary S.
April 1998, Volume 15, Issue 2
- 163-195 GDP-spillovers in multi-country models
by Douven, Rudy & Peeters, Marga
- 197-216 Non-linear error correction, asymmetric adjustment and cointegration
by Escribano, Alvaro & Pfann, Gerard A.
- 217-235 Defying the conventional wisdom: US consumers are found to be more risk averse than those of Japan
by Hamori, Shigeyuki
- 237-255 Is the Korean economy export-driven?
by Moosa, Imad A. & Choe, Chongwoo
- 257-286 Economic openness, trade restrictions and external shocks: modelling short run effects in Sub-Saharan Africa
by Rattso, Jorn & Torvik, Ragnar
- 287-305 Economic development and trade in the world economy
by van de Klundert, Theo & Nahuis, Richard
January 1998, Volume 15, Issue 1
- 1-48 Comparing global economic models
by Mitchell, Peter R. & Sault, Joanne E. & Smith, Peter N. & Wallis, Kenneth F.
- 49-65 The long-run diversification benefits available from investing across geographical regions and property type: evidence from cointegration tests1
by Tarbert, Heather
- 67-89 Internal finance and corporate investment: Belgian evidence with panel data
by Barran, Fernando & Peeters, Marga
- 91-112 Unit roots and long-run causality: investigating the relationship between output, money and interest rates
by Caporale, Guglielmo Maria & Hassapis, Christis & Pittis, Nikitas
- 113-123 Environment, growth and fiscal and monetary policies
by Faria, Joao Ricardo
- 125-134 A framework to analyze comparative dynamics in a continuous time stochastic growth model
by Joshi, Sumit
- 135-149 Economic fluctuations in a model of input and output growth in Japan (1965-90)
by Sengupta, Jati K.
- 151-161 Modelling trends, expectations and the cyclical behaviour of prices
by Smant, David J. C.
October 1997, Volume 14, Issue 4
- 483-484 Modelling residential property markets
by Nixon, James
- 485-499 Time to default in the UK mortgage market
by Lambrecht, Bart & Perraudin, William & Satchell, Stephen
- 501-516 Housing investment in the Netherlands
by Hakfoort, Jacco & Matysiak, George
- 517-527 Switching error-correction models of house prices in the United Kingdom
by Hall, Stephen & Psaradakis, Zacharias & Sola, Martin
- 529-548 Forecasting UK house prices: A time varying coefficient approach
by Brown, Jane P. & Song, Haiyan & McGillivray, Alan
- 549-565 House prices since the 1940s: Cointegration, demography and asymmetries
by Holly, Sean & Jones, Natasha
- 567-585 The impact of speculation on house prices in the United Kingdom
by Levin, Eric J. & Wright, Robert E.
- 587-610 Modelling structural change in the UK housing market: A comparison of alternative house price models
by Pain, Nigel & Westaway, Peter
July 1997, Volume 14, Issue 3
- 311-340 Stability and the structure of continuous-time economic models
by Nieuwenhuis, Herman J. & Schoonbeek, Lambert
- 341-367 Endogenizing technological progress: The MESEMET Model
by van Bergeijk, Peter A. G. & van Hagen, Gilbert H. A. & de Mooij, Ruud A. & van Sinderen, Jarig
- 369-394 Modelling economic growth in the UK: An econometric case for disaggregated sectoral analysis
by Lee, Kevin
- 395-416 Explaining trade in industrialized countries by country-specific human capital endowments
by Corvers, Frank & de Grip, Andries
- 417-433 Was the Babson Prize deserved? An enquiry into an early forecasting model
by Gordon, Daniel V. & Kerr, William A.
- 435-478 Simulating the impact of foreign capital in an open-economy macroeconomic model of China
by Tsang, Shu-ki & Ma, Yue
April 1997, Volume 14, Issue 2
- 155-173 Recursive methods for computing equilibria of general equilibrium dynamic Stackelberg games
by Ambler, Steve & Paquet, Alain
- 175-201 The Irish expansionary fiscal contraction: A tale from one small European economy
by Bradley, John & Whelan, Karl
- 203-214 Public fiscal behaviour and foreign aid: Some model solutions
by Gupta, Kanhaya L.
- 215-236 Evaluating the real effects of devaluation expectations in Greece under alternative policies
by Kalyvitis, Sarantis C.
- 237-269 Morocco's free trade agreement with the EU: A quantitative assessment
by Rutherford, Thomas F. & Rutstrom, E. Elisabet & Tarr, David
- 271-278 The moving equilibrium theorem again
by Schlicht, Ekkehart
- 279-300 Fiscal policy and public capital in interdependent economics
by van Tuijl, Martin A. & de Groof, Robert J. & Kolnaar, Ad H. J.
- 301-306 Estimating portfolio models from financial flow data: A comment
by Dorian Owen, P.
- 307-308 Estimating portfolio models from financial flow data: A reply
by Lim, G. C.
January 1997, Volume 14, Issue 1
October 1996, Volume 13, Issue 4
- 463-465 Preface
by Masson, Paul R.
- 467-497 German unification: What have we learned from multi-country models?
by Gagnon, Joseph E. & Masson, Paul R. & McKibbin, Warwick J.
- 499-518 German Monetary Union: An historical counterfactual analysis
by Barrell, Ray & Pain, Nigel & Hurst, Ian
- 519-544 Unification and the policy predicament in Germany
by Hughes Hallett, A. & Ma, Y. & Melitz, J.
- 545-559 Modelling economies subject to structural change: The case of Germany
by Greenslade, Jennifer V. & Hall, Stephen G.
- 561-573 On the mark(s): Optimum currency areas in Germany
by Ghosh, Atish R. & Wolf, Holger C.
- 575-601 Germany before and after unification: A structural VAR analysis
by Weber, Axel A.
July 1996, Volume 13, Issue 3
- 315-331 Price dynamics in agriculture: An exercise in historical econometrics
by Barten, Anton P. & Vanloot, Chris
- 333-353 Modelling sustainable development: An economy-ecology integrated model
by Hofkes, Marjan W.
- 355-382 Tax policy, housing and the labour market: An intertemporal simulation approach
by Jensen, Svend Erik Hougaard & Bo Nielsen, Soren & Pedersen, Lars Haagen & Sorensen, Peter Birch
- 383-406 Stochastic trends and fluctuations in the interest rate, exchange rate and the current account balance: An empirical investigation
by Kumah, Francis Y. & Ibrahim, Saifu B.
- 407-426 Macroeconomic activity dynamics and Granger causality: New evidence from a small developing economy based on a vector error-correction modelling analysis
by Masih, Rumi & Masih, Abul M. M.
- 427-462 Dynamic adjustment and long-run economic stability
by Sjoo, Boo
April 1996, Volume 13, Issue 2
- 169-184 Targeting inflation: Comparative control exercises on models of the UK economy
by Church, Keith B. & Mitchell, Peter R. & Smith, Peter N. & Wallis, Kenneth F.
- 185-233 SLIM, a small linear interdependent model of eight EU-member states, the USA and Japan
by Douven, R. C. & Plasmans, J. E. J.
- 235-256 Global properties of well-behaved demand systems: A generalized logit model specification
by Dumagan, Jesus C. & Mount, Timothy D.
- 257-287 The use of RAS in manpower forecasting: A microeconomic approach
by van Eijs, Patrick & Borghans, Lex
- 289-314 Effective interest rate policies for price stability
by Brayton, Flint & Tinsley, P. A.
January 1996, Volume 13, Issue 1
October 1995, Volume 12, Issue 4
- 339-341 On model reduction and multiperiod ahead prediction in vector autoregressive models
by Otter, Pieter W.
- 343-375 A forecasting model of the Sri Lankan economy
by Rankaduwa, Wimal & Rao, U. L. Gouranga & Ogwang, Tomson
- 377-389 Trans-Tasman CGE modelling : Some illustrative results from the Joani model
by Nana, G. & Hall, V. B. & Philpott, B. P.
- 391-413 Inflation and stabilization in Argentina
by Wang, Baotai & Klein, Erwin & Rao, U. L. Gouranga
- 415-424 A long-run simulation model for analysing social security retirement policies
by Richardson, David H.
- 425-434 Leisure time, savings and trade patterns A two-country growth model
by Wei-Bin Zhang
- 435-441 A varying-coefficients model of export expansion, factor accumulation and economic growth: Evidence from cross-country, time series data
by Amirkhalkhali, Saleh & Dar, Atul A.
July 1995, Volume 12, Issue 3
- 219-220 Modelling in the EU periphery : The HERMIN project
by Bradley, John & Herce, Jose-Antonio & Modesto, Leonor
- 221-247 HERMIN : A macroeconometric modelling framework for the EU periphery
by Bradley, John & Modesto, Leonor & Sosvilla-Rivero, Simon
- 249-274 HERMIN Ireland
by Bradley, John & Whelan, Karl & Wright, Jonathan
- 275-294 HERMIN Portugal
by Modesto, Leonor & Neves, Pedro D.
- 295-311 HERMIN Spain
by Herce, Jose-Antonio & Sosvilla-Rivero, Simon
- 313-322 Similarity and diversity in the EU periphery : A HERMIN-based investigation
by Bradley, John & Modesto, Leonor & Sosvilla-Rivero, Simon
- 323-333 The macroeconomic effects of the CSF 1994-1999 in the EU periphery : An analysis based on the HERMIN model
by Bradley, John & Herce, Jose-Antonio & Modesto, Leonor
April 1995, Volume 12, Issue 2