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Content
2018, Volume 100, Issue C
2018, Volume 99, Issue C
- 1-19 Declining labor turnover and turbulence
by Fujita, Shigeru
- 20-40 Exit strategies for monetary policy
by Berentsen, Aleksander & Kraenzlin, Sébastien & Müller, Benjamin
- 41-55 Functional Approximation of Impulse Responses
by Barnichon, Regis & Matthes, Christian
- 56-71 On the welfare and cyclical implications of moderate trend inflation
by Ascari, Guido & Phaneuf, Louis & Sims, Eric R.
- 72-87 Changes in monetary regimes and the identification of monetary policy shocks: Narrative evidence from Canada
by Champagne, Julien & Sekkel, Rodrigo
- 88-105 Sovereign defaults and banking crises
by Sosa-Padilla, César
- 106-123 Fluctuating attention and financial contagion
by Hasler, Michael & Ornthanalai, Chayawat
- 124-137 The transmission of monetary policy through redistributions and durable purchases
by Sterk, Vincent & Tenreyro, Silvana
2018, Volume 98, Issue C
- 1-10 Equilibrium selection, observability and backward-stable solutions
by Evans, George W & McGough, Bruce
- 11-26 Downward nominal wage rigidity and state-dependent government spending multipliers
by Shen, Wenyi & Yang, Shu-Chun S.
- 27-49 Market thickness and the impact of unemployment on housing market outcomes
by Gan, Li & Wang, Pengfei & Zhang, Qinghua
- 50-65 A simple general equilibrium model of large excess reserves
by Ennis, Huberto M.
- 66-79 Trust in the monetary authority
by Bursian, Dirk & Faia, Ester
- 80-97 Interest rate risk and bank equity valuations
by English, William B. & Van den Heuvel, Skander J. & Zakrajšek, Egon
- 98-113 Banks, government Bonds, and Default: What do the data Say?
by Gennaioli, Nicola & Martin, Alberto & Rossi, Stefano
- 114-128 Open market operations
by Rocheteau, Guillaume & Wright, Randall & Xiaolin Xiao, Sylvia
2018, Volume 97, Issue C
- 1-21 Computerizing industries and routinizing jobs: Explaining trends in aggregate productivity
by Aum, Sangmin & Lee, Sang Yoon (Tim) & Shin, Yongseok
- 22-28 Comment on “Computerizing industries and routinizing jobs: Explaining trends in aggregate productivity” by Sangmin Aum, Sang Yoon (Tim) Lee and Yongseok Shin
by Kehrig, Matthias
- 29-44 Short-run pain, long-run gain? Recessions and technological transformation
by Kopytov, Alexandr & Roussanov, Nikolai & Taschereau-Dumouchel, Mathieu
- 45-47 Comment on “Short-run pain, long-run gain? Recessions and technological transformation”
by Siu, Henry E
- 48-67 New technologies and the labor market
by Atalay, Enghin & Phongthiengtham, Phai & Sotelo, Sebastian & Tannenbaum, Daniel
- 68-70 Discussion for JME special issue: APST paper
by Hershbein, Brad
- 71-87 Big data in finance and the growth of large firms
by Begenau, Juliane & Farboodi, Maryam & Veldkamp, Laura
- 88-90 Comments on: Big data in finance and the growth of large firms, by Juliane Begenau & Maryam Farboodi & Laura Veldkamp
by Routledge, Bryan R.
- 91-110 Structural transformation and the rise of information technology
by Gallipoli, Giovanni & Makridis, Christos A.
- 111-116 Comment on “Structural transformation and the rise of information technology” by Gallipoli and Makridis
by Pugsley, Benjamin
- 117-148 Should we fear the robot revolution? (The correct answer is yes)
by Berg, Andrew & Buffie, Edward F. & Zanna, Luis-Felipe
- 149-152 Comment on “Should we fear the robot revolution? (The correct answer is yes)” by Andrew Berg, Ed Buffie, and Felipe Zanna
by Hanley, Douglas
2018, Volume 96, Issue C
- 1-15 The consumption response to positive and negative income shocks
by Bunn, Philip & Le Roux, Jeanne & Reinold, Kate & Surico, Paolo
- 16-32 Benefits of relationship banking: Evidence from consumer credit markets
by Agarwal, Sumit & Chomsisengphet, Souphala & Liu, Chunlin & Song, Changcheng & Souleles, Nicholas S.
- 33-52 The chinese saving rate: Long-term care risks, family insurance, and demographics
by İmrohoroğlu, Ayşe & Zhao, Kai
- 53-76 The term structure of CDS spreads and sovereign credit risk
by Augustin, Patrick
- 77-92 Occupational hazards and social disability insurance
by Michaud, Amanda & Wiczer, David
- 93-108 Technological revolutions and the Three Great Slumps: A medium-run analysis
by Cao, Dan & L’Huillier, Jean-Paul
- 109-123 Rational bubbles and public debt policy: A quantitative analysis
by Domeij, David & Ellingsen, Tore
2018, Volume 95, Issue C
- 1-17 The real effects of forced sales of corporate bonds
by Aslan, Hadiye & Kumar, Praveen
- 18-31 Optimal inflation with corporate taxation and financial constraints
by Finocchiaro, Daria & Lombardo, Giovanni & Mendicino, Caterina & Weil, Philippe
- 32-48 A model of labor supply, fixed costs and work schedules
by Castex, Gonzalo & Dechter, Evgenia
- 49-71 The transmission of monetary policy through bank lending: The floating rate channel
by Ippolito, Filippo & Ozdagli, Ali K. & Perez-Orive, Ander
- 72-85 Sovereign default and maturity choice
by Sánchez, Juan M. & Sapriza, Horacio & Yurdagul, Emircan
- 86-96 Price manipulation in the Bitcoin ecosystem
by Gandal, Neil & Hamrick, JT & Moore, Tyler & Oberman, Tali
- 97-108 Asset Quality Cycles
by Fukui, Masao
2018, Volume 94, Issue C
- 1-26 Oil consumption, economic growth, and oil futures: The impact of long-run oil supply uncertainty on asset prices
by Ready, Robert C.
- 27-40 Credit expansion and credit misallocation
by Bleck, Alexander & Liu, Xuewen
- 41-59 Unemployment and the labor share
by Mangin, Sephorah & Sedláček, Petr
- 60-78 Risk, uncertainty, and the dynamics of inequality
by Kasa, Kenneth & Lei, Xiaowen
- 79-93 On the nonlinear relationship between inflation and growth: A theoretical exposition
by Arawatari, Ryo & Hori, Takeo & Mino, Kazuo
- 94-113 Breaking the “iron rice bowl:” Evidence of precautionary savings from the chinese state-owned enterprises reform
by He, Hui & Huang, Feng & Liu, Zheng & Zhu, Dongming
- 114-130 Adverse selection and self-fulfilling business cycles
by Benhabib, Jess & Dong, Feng & Wang, Pengfei
2018, Volume 93, Issue C
- 1-20 Innovation and product reallocation in the great recession
by Argente, David & Lee, Munseob & Moreira, Sara
- 21-23 Comments on “Innovation and product reallocation in the great recession”
by Xu, Daniel Yi
- 24-41 Innovation, productivity, and monetary policy
by Moran, Patrick & Queralto, Albert
- 42-44 Comment on: Innovation, productivity, and monetary policy
by Waugh, Michael E.
- 45-62 The demographic deficit
by Cooley, Thomas & Henriksen, Espen
- 63-67 Comment on the demographic deficit
by Gagnon, Etienne & Johannsen, Benjamin K. & López-Salido, David
- 68-85 Older and slower: The startup deficit’s lasting effects on aggregate productivity growth
by Alon, Titan & Berger, David & Dent, Robert & Pugsley, Benjamin
- 86-88 Older and slower: The startup deficit's lasting effects on aggregate productivity growth by Titan Alon, David Berger, Robert Dent and Benjamin Pugsley
by Haltiwanger, John
- 89-109 Tarnishing the golden and empire states: Land-use restrictions and the U.S. economic slowdown
by Herkenhoff, Kyle F. & Ohanian, Lee E. & Prescott, Edward C.
- 110-113 Comment on “Tarnishing the golden and empire states: Land-use regulations and the U.S. economic slowdown,” by Herkenhoff, Ohanian, and Prescott
by Tonetti, Christopher
- 114-131 Partisan conflict and private investment
by Azzimonti, Marina
- 132-134 Comment on partisan conflict and private investment
by Gomes, Joao F.
2017, Volume 92, Issue C
- 1-15 External financing and the role of financial frictions over the business cycle: Measurement and theory
by Zetlin-Jones, Ariel & Shourideh, Ali
- 16-30 Local and aggregate fiscal policy multipliers
by Dupor, Bill & Guerrero, Rodrigo
- 31-46 Low frequency effects of macroeconomic news on government bond yields
by Altavilla, Carlo & Giannone, Domenico & Modugno, Michele
- 47-63 The new-Keynesian liquidity trap
by Cochrane, John H.
- 64-77 Liquidity regulation and the implementation of monetary policy
by Bech, Morten & Keister, Todd
- 78-95 Is the intrinsic value of a macroeconomic news announcement related to its asset price impact?
by Gilbert, Thomas & Scotti, Chiara & Strasser, Georg & Vega, Clara
- 96-111 How optimal is US monetary policy?
by Chen, Xiaoshan & Kirsanova, Tatiana & Leith, Campbell
- 112-129 Monetary shocks and sticky wages in the U.S. great contraction: A multi-sector approach
by Amaral, Pedro S. & MacGee, James C.
2017, Volume 91, Issue C
- 1-18 Capital accumulation and international trade
by Alvarez, Fernando
- 19-38 Inflation at the household level
by Kaplan, Greg & Schulhofer-Wohl, Sam
- 39-51 Public debt in economies with heterogeneous agents
by Bhandari, Anmol & Evans, David & Golosov, Mikhail & Sargent, Thomas J.
- 52-68 Level and volatility factors in macroeconomic data
by Gorodnichenko, Yuriy & Ng, Serena
- 69-87 Disappearing routine jobs: Who, how, and why?
by Cortes, Guido Matias & Jaimovich, Nir & Siu, Henry E.
- 88-103 Discrete adjustment to a changing environment: Experimental evidence
by Khaw, Mel Win & Stevens, Luminita & Woodford, Michael
2017, Volume 90, Issue C
- 1-12 Measuring uncertainty based on rounding: New method and application to inflation expectations
by Binder, Carola C.
- 13-27 Government purchases reloaded: Informational insufficiency and heterogeneity in fiscal VARs
by Ellahie, Atif & Ricco, Giovanni
- 28-49 Collateral constraints and macroeconomic asymmetries
by Guerrieri, Luca & Iacoviello, Matteo
- 50-63 Sovereign debt renegotiation and credit default swaps
by Salomao, Juliana
- 64-83 Informational rigidities and the stickiness of temporary Sales
by Anderson, Eric & Malin, Benjamin A. & Nakamura, Emi & Simester, Duncan & Steinsson, Jón
- 84-98 Asset price volatility, price markups, and macroeconomic fluctuations
by Iraola, Miguel A. & Santos, Manuel S.
- 99-112 Cash burns: An inventory model with a cash-credit choice
by Alvarez, Fernando & Lippi, Francesco
- 113-124 Capital regulation and credit fluctuations
by Gersbach, Hans & Rochet, Jean-Charles
- 125-141 Job uncertainty and deep recessions
by Ravn, Morten O. & Sterk, Vincent
- 142-157 Unemployment insurance in a three-state model of the labor market
by Popp, Aaron
- 158-175 The politics of government financial management: Evidence from state bonds
by Brown, Craig O.
- 176-192 The effects of the near-zero interest rate policy in a regime-switching dynamic stochastic general equilibrium model
by Chen, Han
- 193-213 Cost-benefit analysis of leaning against the wind
by Svensson, Lars E.O.
2017, Volume 89, Issue C
- 1-19 The global rise of corporate saving
by Chen, Peter & Karabarbounis, Loukas & Neiman, Brent
- 20-24 Comment on the global rise of corporate saving by Peter Chen, Loukas Karabarbounis, and Brent Neiman
by Eisfeldt, Andrea L.
- 25-44 Bank liabilities channel
by Quadrini, Vincenzo
- 45-50 Comment on bank liabilities channel
by Zakrajšek, Egon
- 51-67 Network reactions to banking regulations
by Erol, Selman & Ordoñez, Guillermo
- 68-70 Comment on network reactions to banking regulations by Selman Erol and Guillermo Ordonez
by Farboodi, Maryam
- 71-87 Redemption risk and cash hoarding by asset managers
by Morris, Stephen & Shim, Ilhyock & Shin, Hyun Song
- 88-91 Comment on “Redemption risk and cash hoarding by asset managers” by Morris, Shim, and Shin
by Goldstein, Itay
- 92-109 Dealer balance sheets and bond liquidity provision
by Adrian, Tobias & Boyarchenko, Nina & Shachar, Or
- 110-112 Comment on: “Dealer balance sheets and bond liquidity provision” by Adrian, Boyarchenko and Shachar
by Di Maggio, Marco
2017, Volume 88, Issue C
- 1-14 Time-varying idiosyncratic risk and aggregate consumption dynamics
by McKay, Alisdair
- 15-34 Structural reforms in a debt overhang
by Andrés, Javier & Arce, Óscar & Thomas, Carlos
- 35-49 Estimating DSGE models with zero interest rate policy
by Kulish, Mariano & Morley, James & Robinson, Tim
- 50-69 The cross-section and time series of stock and bond returns
by Koijen, Ralph S.J. & Lustig, Hanno & Van Nieuwerburgh, Stijn
- 70-89 Innocent Bystanders? Monetary policy and inequality
by Coibion, Olivier & Gorodnichenko, Yuriy & Kueng, Lorenz & Silvia, John
2017, Volume 87, Issue C
2017, Volume 86, Issue C
2017, Volume 85, Issue C
- 1-22 The spillovers, interactions, and (un)intended consequences of monetary and regulatory policies
by Forbes, Kristin & Reinhardt, Dennis & Wieladek, Tomasz
- 28-45 The real effects of financial (dis)integration: A multi-country equilibrium analysis of Europe
by Chakraborty, Indraneel & Hai, Rong & Holter, Hans A. & Stepanchuk, Serhiy
- 50-64 The growth of multinational firms in the Great Recession
by Alviarez, Vanessa & Cravino, Javier & Levchenko, Andrei A.
- 69-86 After the tide: Commodity currencies and global trade
by Ready, Robert & Roussanov, Nikolai & Ward, Colin
- 90-109 Bond finance, bank credit, and aggregate fluctuations in an open economy
by Chang, Roberto & Fernández, Andrés & Gulan, Adam
- 114-130 Capital controls and monetary policy autonomy in a small open economy
by Davis, J. Scott & Presno, Ignacio
2016, Volume 84, Issue C
- 1-16 Government as borrower of first resort
by Chemla, Gilles & Hennessy, Christopher A.
- 17-29 Commitment versus discretion in a political economy model of fiscal and monetary policy interaction
by Miller, David S.
- 30-65 Credit Frictions and Optimal Monetary Policy
by Cúrdia, Vasco & Woodford, Michael
- 66-83 Evaluation of long-dated assets: The role of parameter uncertainty
by Gollier, Christian
- 84-93 Uncertainty and the geography of the great recession
by Shoag, Daniel & Veuger, Stan
- 94-115 Payment choice and currency use: Insights from two billion retail transactions
by Wang, Zhu & Wolman, Alexander L.
- 116-133 Aggregate external financing and savings waves
by Eisfeldt, Andrea L. & Muir, Tyler
- 134-146 Unique equilibrium in the Eaton–Gersovitz model of sovereign debt
by Auclert, Adrien & Rognlie, Matthew
- 147-165 Optimal capital controls and real exchange rate policies: A pecuniary externality perspective
by Benigno, Gianluca & Chen, Huigang & Otrok, Christopher & Rebucci, Alessandro & Young, Eric R.
- 166-181 Job displacement risk and severance pay
by Cozzi, Marco & Fella, Giulio
- 182-200 Decomposing real and nominal yield curves
by Abrahams, Michael & Adrian, Tobias & Crump, Richard K. & Moench, Emanuel & Yu, Rui
- 201-215 Exploiting the monthly data flow in structural forecasting
by Giannone, Domenico & Monti, Francesca & Reichlin, Lucrezia
- 216-232 Some unpleasant properties of loglinearized solutions when the nominal rate is zero
by Boneva, Lena Mareen & Braun, R. Anton & Waki, Yuichiro
- 233-249 Optimal reputation building in the New Keynesian model
by Lu, Yang K. & King, Robert G. & Pasten, Ernesto
2016, Volume 83, Issue C
- 1-13 Illiquidity and its discontents: Trading delays and foreclosures in the housing market
by Hedlund, Aaron
- 14-26 The fossil episode
by Hassler, John & Sinn, Hans-Werner
- 27-38 Fertility choice in a life cycle model with idiosyncratic uninsurable earnings risk
by Sommer, Kamila
- 39-53 Optimal money and debt management: Liquidity provision vs tax smoothing
by Canzoneri, Matthew & Cumby, Robert & Diba, Behzad
- 54-70 What should I be when I grow up? Occupations and unemployment over the life cycle
by Gervais, Martin & Jaimovich, Nir & Siu, Henry E. & Yedid-Levi, Yaniv
- 71-89 Interest rates and prices in an inventory model of money with credit
by Dotsey, Michael & Guerron-Quintana, Pablo A.
- 90-105 The savings multiplier
by Mehlum, Halvor & Torvik, Ragnar & Valente, Simone
- 106-128 Fundamental disagreement
by Andrade, Philippe & Crump, Richard K. & Eusepi, Stefano & Moench, Emanuel
- 129-146 The rise and fall of unions in the United States
by Dinlersoz, Emin & Greenwood, Jeremy
2016, Volume 82, Issue C
- 1-19 Surprise and uncertainty indexes: Real-time aggregation of real-activity macro-surprises
by Scotti, Chiara
- 20-35 Uncertainty shocks are aggregate demand shocks
by Leduc, Sylvain & Liu, Zheng
- 36-51 Political economy of debt and growth
by Barseghyan, Levon & Battaglini, Marco
- 52-69 Risks for the long run: Estimation with time aggregation
by Bansal, Ravi & Kiku, Dana & Yaron, Amir
- 70-84 Asset bubbles, economic growth, and a self-fulfilling financial crisis
by Kunieda, Takuma & Shibata, Akihisa
- 85-106 Indeterminacy and learning: An analysis of monetary policy in the Great Inflation
by Lubik, Thomas A. & Matthes, Christian
- 107-118 Signals from the government: Policy disagreement and the transmission of fiscal shocks
by Ricco, Giovanni & Callegari, Giovanni & Cimadomo, Jacopo
- 119-137 When bonds matter: Home bias in goods and assets
by Coeurdacier, Nicolas & Gourinchas, Pierre-Olivier
2016, Volume 81, Issue C
- 1-20 Income inequality and asset prices under redistributive taxation
by Pástor, Lˇuboš & Veronesi, Pietro
- 25-43 The intended and unintended consequences of financial-market regulations: A general-equilibrium analysis
by Buss, Adrian & Dumas, Bernard & Uppal, Raman & Vilkov, Grigory
- 48-64 Credit market frictions and political failure
by Aney, Madhav S. & Ghatak, Maitreesh & Morelli, Massimo
- 70-85 Bailouts, moral hazard and banks׳ home bias for Sovereign debt
by Gaballo, Gaetano & Zetlin-Jones, Ariel
- 89-101 Lending on hold: Regulatory uncertainty and bank lending standards
by Gissler, Stefan & Oldfather, Jeremy & Ruffino, Doriana
- 111-132 Phasing out the GSEs
by Elenev, Vadim & Landvoigt, Tim & Van Nieuwerburgh, Stijn
2016, Volume 80, Issue C
- 1-16 Rational inattention, multi-product firms and the neutrality of money
by Pasten, Ernesto & Schoenle, Raphael
- 17-34 Portfolio choice in retirement: Health risk and the demand for annuities, housing, and risky assets
by Yogo, Motohiro
- 35-50 Unions in a frictional labor market
by Krusell, Per & Rudanko, Leena
- 51-68 Fiscal deficits, financial fragility, and the effectiveness of government policies
by Kirchner, Markus & Wijnbergen, Sweder van
- 69-85 Heterogeneity and Government revenues: Higher taxes at the top?
by Guner, Nezih & Lopez-Daneri, Martin & Ventura, Gustavo
- 86-105 Land prices and unemployment
by Liu, Zheng & Miao, Jianjun & Zha, Tao
- 106-123 Government intervention in the housing market: Who wins, who loses?
by Floetotto, Max & Kirker, Michael & Stroebel, Johannes
- 124-140 Uncertainty as commitment
by Nosal, Jaromir B. & Ordoñez, Guillermo
2016, Volume 79, Issue C
- 1-16 Labor market polarization and international macroeconomic dynamics
by Mandelman, Federico S.
- 17-29 Labor market participation, unemployment and monetary policy
by Campolmi, Alessia & Gnocchi, Stefano
- 30-48 Tax multipliers: Pitfalls in measurement and identification
by Riera-Crichton, Daniel & Vegh, Carlos A. & Vuletin, Guillermo
- 49-66 What do inventories tell us about news-driven business cycles?
by Crouzet, Nicolas & Oh, Hyunseung
- 67-80 Long-run growth uncertainty
by Kuang, Pei & Mitra, Kaushik
- 81-93 What are the macroeconomic effects of asset purchases?
by Weale, Martin & Wieladek, Tomasz
- 94-108 Housework and fiscal expansions
by Gnocchi, Stefano & Hauser, Daniela & Pappa, Evi
- 109-125 Fiscal sentiment and the weak recovery from the Great Recession: A quantitative exploration
by Kydland, Finn E. & Zarazaga, Carlos E.J.M.
2016, Volume 78, Issue C
- 5-22 Unemployment history and frictional wage dispersion
by Ortego-Marti, Victor
- 23-34 Retirement, home production and labor supply elasticities
by Rogerson, Richard & Wallenius, Johanna
- 35-49 Towards a quantitative theory of automatic stabilizers: The role of demographics
by Janiak, Alexandre & Santos Monteiro, Paulo
- 50-66 Time-dependent or state-dependent wage-setting? Evidence from periods of macroeconomic instability
by Sigurdsson, Jósef & Sigurdardottir, Rannveig
- 67-79 Labor market frictions and optimal steady-state inflation
by Carlsson, Mikael & Westermark, Andreas
- 80-95 Does wage rigidity make firms riskier? Evidence from long-horizon return predictability
by Favilukis, Jack & Lin, Xiaoji
- 96-111 The evolution of comparative advantage: Measurement and welfare implications
by Levchenko, Andrei A. & Zhang, Jing
- 112-131 Credit constraints, firms׳ precautionary investment, and the business cycle
by Pérez-Orive, Ander
2016, Volume 77, Issue C
- 1-25 The evolution of wealth inequality over half a century: The role of taxes, transfers and technology
by Kaymak, Barış & Poschke, Markus
- 30-47 Positive and normative judgments implicit in U.S. tax policy, and the costs of unequal growth and recessions
by Lockwood, Benjamin B. & Weinzierl, Matthew
- 53-69 Fiscal multipliers in the 21st century
by Brinca, Pedro & Holter, Hans A. & Krusell, Per & Malafry, Laurence
- 72-98 On the optimal provision of social insurance: Progressive taxation versus education subsidies in general equilibrium
by Krueger, Dirk & Ludwig, Alexander
- 103-124 Fertility, social mobility and long run inequality
by Córdoba, Juan Carlos & Liu, Xiying & Ripoll, Marla
- 130-145 Wealth inequality, family background, and estate taxation
by De Nardi, Mariacristina & Yang, Fang
2015, Volume 76, Issue S
- 1-20 Leveraged bubbles
by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.
- 21-36 Long-run bulls and bears
by Albuquerque, Rui & Eichenbaum, Martin & Papanikolaou, Dimitris & Rebelo, Sergio
- 37-56 The international transmission of credit bubbles: Theory and policy
by Martin, Alberto & Ventura, Jaume
- 57-70 Asset bubbles, collateral, and policy analysis
by Miao, Jianjun & Wang, Pengfei & Zhou, Jing
- 71-89 Asset bubbles and bailouts
by Hirano, Tomohiro & Inaba, Masaru & Yanagawa, Noriyuki
- 90-109 Can a financial transaction tax prevent stock price booms?
by Adam, Klaus & Beutel, Johannes & Marcet, Albert & Merkel, Sebastian
2015, Volume 76, Issue C
- 1-14 Are capital controls countercyclical?
by Fernández, Andrés & Rebucci, Alessandro & Uribe, Martín
- 15-28 The long-run Phillips curve: A structural VAR investigation
by Benati, Luca
- 29-37 The reset inflation puzzle and the heterogeneity in price stickiness
by Kara, Engin
- 38-54 Inter-industry wage differentials revisited: Wage volatility and the option value of mobility
by Neumuller, Seth
- 55-70 A modern history of fiscal prudence and profligacy
by Mauro, Paolo & Romeu, Rafael & Binder, Ariel & Zaman, Asad
- 71-86 Pricing in inflationary times: The penny drops
by Chakraborty, Ratula & Dobson, Paul W. & Seaton, Jonathan S. & Waterson, Michael
- 87-106 Asset pricing in production economies with extrapolative expectations
by Hirshleifer, David & Li, Jun & Yu, Jianfeng
- 107-123 Homeownership and the scarcity of rentals
by Halket, Jonathan & Pignatti Morano di Custoza, Matteo