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Content
2024
- 443 Intertemporal MPC and Shock Size
by Jappelli, Tullio & Savoia, Ettore & Sciacchetano, Alessandro
- 442 A Traffic-Jam Theory of Growth
by Finocchiaro, Daria & Weil, Philippe
- 441 Bank fragility and the incentives to manage risk
by Ahnert, Toni & Bertsch, Christoph & Leonello, Agnese & Marquez, Robert
- 440 Quantitative Easing and the Supply of Safe Assets: Evidence from International Bond Safety Premia
by Christensen, Jens H. E. & Mirkov, Nikola & Zhang, Xin
- 439 Inflation-Dependent Exchange Rate Pass-Through in Sweden: Insights from a Logistic Smooth Transition VAR Model
by Linderoth, Gabriella & Meuller, Malte
- 438 Do we need firm data to understand macroeconomic dynamics?
by Lenza, Michele & Savoia, Ettore
- 437 Potential Climate Impact of Retail CBDC Models
by Arvidsson, Niklas & Harahap, Fumi & Urban, Frauke & Nurdiawati , Anissa
- 436 Optimal Contracts and Inflation Targets Revisited
by Persson, Torsten & Tabellini, Guido
- 435 Supply-Chain Finance: An Empirical Evaluation of Supplier Outcomes
by Amberg, Niklas & Jacobson, Tor & Qi, Yingjie
- 434 Quantitative Easing, Bond Risk Premia and the Exchange Rate in a Small Open Economy
by Christensen, Jens H. E. & Zhang, Xin
- 433 Optimal Monetary Policy with r
by Billi, Roberto & Galí, Jordi & Nakov, Anton
- 432 Four Facts about International Central Bank Communication
by Bertsch, Christoph & Hull, Isaiah & Lumsdaine, Robin L. & Zhang, Xin
- 431 Climate impact assessment of retail payment services
by Arvidsson, Niklas & Harahap, Fumi & Urban, Frauke & Nurdiawati, Anissa
- 430 Banking Without Branches
by Amberg, Niklas & Becker, Bo
2023
- 429 Monetary policy in Sweden after the end of Bretton Woods
by Bylund, Emma & Iversen, Jens & Vredin, Anders
- 428 Fed QE and bank lending behaviour:a heterogeneity analysis of asset purchases
by Blix Grimaldi, Marianna & Kapoor, Supriya
- 427 Cash for Transactions or Store-of-Value? A comparative study on Sweden and peer countries
by Claussen, Carl Andreas & Segendorff, Björn & Seitz, Franz
- 426 Price Pass-Through Along the Supply Chain:Evidence from PPI and CPI Microdata
by Ahlander, Edvin & Carlsson, Mikael & Klein, Mathias
- 425 Do Credit Lines Provide Reliable Liquidity Insurance? Evidence from Commercial-Paper Backup Lines
by Amberg, Niklas
- 424 Private Bank Money vs Central Bank Money: A Historical Lesson for CBDC Introduction
by Grodecka-Messi, Anna & Zhang, Xin
- 423 Stablecoins: Adoption and Fragility
by Bertsch, Christoph
- 422 Dynamic Credit Constraints: Theory and Evidence from Credit Lines
by Amberg, Niklas & Jacobson, Tor & Quadrini, Vincenzo & Rogantini Picco, Anna
- 421 Effects of foreign and domestic central bank government bond purchases in a small open economy DSGE model: Evidence from Sweden before and during the coronavirus pandemic
by Akkaya, Yildiz & Belfrage, Carl-Johan & Di Casola, Paola & Strid, Ingvar
- 420 Greenflation?
by Olovsson, Conny & Vestin, David
- 419 Central bank asset purchases: Insights from quantitative easing auctions of government bonds
by Laséen, Stefan
2022
- 418 The Political Costs of Austerity
by Gabriel, Ricardo Duque & Klein, Mathias & Pessoa, Sofia
- 417 Central Bank Mandates and Monetary Policy Stances: through the Lens of Federal Reserve Speeches
by Bertsch, Christoph & Hull, Isaiah & Lumsdaine, Robin L. & Zhang, Xin
- 416 The Curious Incidence of Monetary Policy Across the Income Distribution
by Broer, Tobias & Kramer, John & Mitman, Kurt
- 415 Electoral Cycles in Macroeconomic Forecasts
by Cipullo, Davide & Reslow, André
- 414 Dispersion Over The Business Cycle:Passthrough,Productivity, And Demand
by Carlsson, Mikael & Clymo, Alex & Joslin, Knut-Eric
- 413 Trading volume and liquidity provision in cryptocurrency markets
by Bianchi, Daniele & Babiak, Mykola & Dickerson, Alexander
- 412 Inflation Targeting or Fiscal Activism?
by Billi, Roberto M.
- 411 Pension reform and wealth inequality: evidence from Denmark
by Andersen, Torben M. & Bhattacharya, Joydeep & Grodecka-Messi, Anna & Mann, Katja
- 410 Seemingly Irresponsible but Welfare Improving Fiscal Policy at the Lower Bound
by Billi , Roberto M. & Walsh, Carl E.
- 409 The low-carbon transition, climate commitments and firm credit risk
by Carbone, Sante & Giuzio, Margherita & Kapadia, Sujit & Krämer, Johannes Sebastian & Nyholm, Ken & Vozian, Katia
2021
- 408 On the Performance of Cryptocurrency Funds
by Bianchi, Daniele & Babiak, Mykola
- 407 The cost of disinflation in a small open economy vis-à-vis a closed economy
by Faryna, Oleksandr & Jonsson, Magnus & Shapovalenko, Nadiia
- 406 Revisiting the Properties of Money
by Hull, Isaiah & Sattath, Or
- 405 Dynamic Macroeconomic Implications of Immigration
by Olovsson, Conny & Walentin, Karl & Westermark, Andreas
- 404 When domestic and foreign QE overlap: evidence from Sweden
by Di Casola, Paola & Stockhammar, Pär
- 403 Five Facts about the Distributional Income Effects of Monetary Policy
by Amberg, Niklas & Jansson, Thomas & Klein, Mathias & Rogantini Picco, Anna
- 402 The Liquidity of the Government Bond Market – What Impact Does Quantitative Easing Have? Evidence from Sweden
by Blix Grimaldi, Marianna & Crosta, Alberto & Zhang, Dong
- 401 Narrative Fragmentation and the Business Cycle
by Bertsch, Christoph & Hull, Isaiah & Zhang, Xin
2020
- 400 The Effects of Government Spending in the Eurozone
by Duque Gabriel, Ricardo & Klein, Mathias & Pesso, Ana Sofia
- 399 Modeling extreme events:time-varying extreme tail shape
by Schwaab, Bernd & Zhang, Xin & Lucas, André & D’Innocenzo, Enzo
- 398 Quantum Technology for Economists
by Hull, Isaiah & Sattath, Or & Diamanti, Eleni & Wendin, Göran
- 397 Econometric issues with Laubach and Williams’ estimates of the natural rate of interest
by Buncic, Daniel
- 396 Monetary Policy Surprises, Central Bank Information Shocks, and Economic Activity in a Small Open Economy
by Laséen, Stefan
- 395 Macro Uncertainty and Unemployment Risk
by Oh, Joonseok & Rogantini Picco, Anna
- 394 Labor shortages and wage growth
by Frohm, Erik
- 393 Withering Cash: Is Sweden ahead of the curve or just special?
by Armelius, Hanna & Claussen, Carl Andreas & Reslow, André
- 392 The interaction between macroprudential and monetary policies: The cases of Norway and Sweden
by Cao, Jin & Dinger, Valeriya & Grodecka, Anna & Juelsrud, Ragnar & Zhang, Xin
- 391 MAJA: A two-region DSGE model for Sweden and its main trading partners
by Corbo, Vesna & Strid, Ingvar
- 390 The Role of Money in Monetary Policy at the Lower Bound
by Billi, Roberto M. & Söderström, Ulf & Walsh, Carl E.
- 389 The costs of macroprudential deleveraging in a liquidity trap
by Chen, Jiaqian & Finocchiaro, Daria & Lindé, Jesper & Walentin, Karl
- 388 TFP news, stock market booms and the business cycle: Revisiting the evidence with VEC models
by Di Casola, Paola & Sichlimiris, Spyridon
- 387 Drivers of consumer prices and exchange rates in small open economies
by Corbo, Vesna & Di Casola, Paola
- 386 FAQ: How do I extract the output gap?
by Canova, Fabio
- 385 Unemployment Fluctuations and Nominal GDP Targeting
by Billi, Roberto
- 384 Big Broad Banks: How Does Cross-Selling Affect Lending?
by Qi, Yingjie
2019
- 383 Heterogeneity in Households’ Expectations of Housing Prices – Evidence from Micro Data
by Hjalmarsson, Erik & Österholm, Pär
- 382 Risk endogeneity at the lender/investor-of-last-resort
by Caballero, Diego & Lucas, Andr e & Schwaab, Bernd & Zhang, Xin
- 381 How Much Information Do Monetary Policy Committees Disclose? Evidence from the FOMC's Minutes and Transcripts
by Apel, Mikael & Blix Grimaldi, Marianna & Hull, Isaiah
- 380 Inefficient Use of Competitors'Forecasts?
by Reslow, André
- 379 Financial Buffers, Unemployment Duration and Replacement Labor Income
by Levander, Mats
- 378 Mind the gap! Stylized dynamic facts and structural models
by Canova, Fabio & Ferroni, Filippo
- 377 Tax and spending shocks in the open economy: are the deficits twins?
by Klein, Mathias & Linnemann, Ludger
- 376 A Tale of Two Countries: Cash Demand in Canada and Sweden
by Engert, Walter & Fung, Ben & Segendorf, Björn
- 375 Directed technical change as a response to natural-resource scarcity
by Hassler, John & Krusell, Per & Olovsson, Conny
- 374 The Impact of Local Taxes and Public Services on Property Values
by Grodecka, Anna & Hull, Isaiah
- 373 Institutional Investors and Corporate Investment
by Cella, Cristina
- 372 Hamiltonian Monte Carlo with Energy Conserving Subsampling
by Dang, Khue-Dung & Quiroz, Matias & Kohn, Robert & Tran, Minh-Ngoc & Villani, Mattias
- 371 Subsampling Sequential Monte Carlo for Static Bayesian Models
by Gunawan, David & Dang, Khue-Dung & Quiroz, Matias & Kohn, Robert & Tran, Minh-Ngoc
- 370 Does Inflation Targeting Reduce the Dispersion of Price Setters’ Inflation Expectations?
by Paulie, Charlotte
- 369 The Consequences of Uncertainty: Climate Sensitivity and Economic Sensitivity to the Climate
by Hassler, John & Krusell, Per & Olovsson, Conny
- 368 Fixed Wage Contracts and Monetary Non-Neutrality
by Björklund, Maria & Carlsson, Mikael & Nordström Skans, Oskar
- 367 Gains from Wage Flexibility and the Zero Lower Bound
by Billi, Roberto & Galí, Jordi
- 365 The Interaction Between Fiscal and Monetary Policies: Evidence from Sweden
by Ankargren, Sebastian & Shahnazarian, Hovick
- 364 Biased Forecasts to Affect Voting Decisions? The Brexit Case
by Cipullo, Davide & Reslow, André
2018
- 366 Designing a Simple Loss Function for Central Banks: Does a Dual Mandate Make Sense?
by Debortoli, Davide & Kim, Jinill & Lindé, Jesper & Nunes, Ricardo
- 363 The Macroeconomic Effects of Trade Tariffs: Revisiting the Lerner Symmetry Result
by Lindé, Jesper & Pescatori, Andrea
- 362 Identification Versus Misspecification in New Keynesian Monetary Policy Models
by Adolfson, Malin & Laséen, Stefan & Lindé, Jesper & Ratto, Marco
- 361 The Housing Wealth Effect: Quasi-Experimental Evidence
by Kessel, Dany & Tyrefors, Björn & Vestman, Roine
- 360 Towards Technology-News-Driven Business Cycles
by Di Casola, Paola & Sichlimiris, Spyridon
- 359 Diversication Advantages During the Global Financial Crisis
by Levander, Mats
- 358 Predictors of Bank Distress:The 1907 Crisis in Sweden
by Grodecka, Anna & Kenny, Seán & Ögren, Anders
- 357 Spread the Word: International Spillovers from Central Bank Communication
by Armelius, Hanna & Bertsch, Christoph & Hull, Isaiah & Zhang, Xin
- 356 Reduced "Border Effects", FTAs and International Trade
by Franco, Sebastian & Frohm, Erik
- 355 A shadow rate without a lower bound constraint
by De Rezende, Rafael B. & Ristiniemi, Annukka
- 354 Trade Credit and Pricing:An Empirical Evaluation
by Amberg, Niklas & Jacobson, Tor & von Schedvin , Erik
- 353 Learning on the Job and the Cost of Business Cycles
by Walentin, Karl & Westermark, Andreas
- 352 Conditional exchange rate pass-through: evidence from Sweden
by Corbo, Vesna & Di Casola, Paola
- 351 The impact of monetary policy on household borrowing - a high-frequency IV identification
by Sandström, Maria
2017
- 350 Should We Use Linearized Models To Calculate Fiscal Multipliers?
by Lindé, Jesper & Trabandt, Mathias
- 349 Manufacturing Decline and House Price Volatility
by Hull, Isaiah & Olovsson, Conny & Walentin, Karl & Westermark, Andreas
- 348 Shock Propagation and Banking Structure
by Giannetti, Mariassunta & Saidi, Farzad
- 347 On the effectiveness of loan-to-value regulation in a multiconstraint framework
by Grodecka, Anna
- 345 Domestic and External Sovereign Debt
by Di Casola, Paola & Sichlimiris, Spyridon
- 344 Identification and Estimation issues in Exponential Smooth Transition Autoregressive Models
by Buncic, Daniel
- 343 House Prices, Home Equity, and Personal Debt Composition
by Li, Jieying & Zhang, Xin
- 342 Household Debt and Monetary Policy: Revealing the Cash-Flow Channel
by Flodén, Martin & Kilström, Matilda & Sigurdsson, Jósef & Vestman, Roine
- 341 Systemic Risk: A New Trade-Off for Monetary Policy?
by Laséen, Stefan & Pescatori, Andrea & Turunen, Jarkko
- 340 International business cycles: quantifying the effects of a world market for oil
by Gars, Johan & Olovsson, Conny
- 339 How big is the toolbox of a central banker? Managing expectations with policy-rate forecasts: Evidence from Sweden
by Åhl, Magnus
- 338 Latency Arbitrage When Markets Become Faster
by Hollifield, Burton & Sandås, Patrik & Todd, Andrew
- 337 Asymmetric Macro-Financial Spillovers
by Bluwstein, Kristina
- 336 What Broker Charges Reveal about Mortgage Credit Risk
by Berndt, Antje & Hollifield, Burton & Sandås, Patrik
- 335 Quantitative easing and the price-liquidity trade-off
by Ferdinandusse, Marien & Freier, Maximilian & Ristiniemi, Annukka
- 333 Financial Literacy Externalities
by Haliassos, Michael & Jansson, Thomas & Karabulut, Yigitcan
2016
- 334 The timing of uncertainty shocks in a small open economy
by Armelius, Hanna & Hull, Isaiah & Stenbacka Köhler, Hanna
- 332 Oil prices in a real-businesscycle model with precautionary demand for oil
by Olovsson, Conny
- 331 Money, Credit and Banking and the Cost of Financial Activity
by Boel, Paola & Camera, Gabriele
- 330 Uncertain pension income and household saving
by van Santen, Peter
- 329 Economic Scarcity and Consumers’ Credit Choice
by Bos, Marieke & Le Coq, Chloé & van Santen, Peter
- 328 Adjusting for Information Content when Comparing Forecast Performance
by Andersson, Michael K. & Aranki, Ted & Reslow, André
- 327 Renovatio Monetae: Gesell Taxes in Practice
by Svensson, Roger & Westermark, Andreas
- 326 Endogenous Separations, Wage Rigidities and Employment Volatility
by Carlsson, Mikael & Westermark, Andreas
- 325 Covenant-Light Contracts And Creditor Coordination
by Becker, Bo & Ivashina, Victoria
- 324 The interest rate effects of government bond purchases away from the lower bound
by De Rezende, Rafael B.
- 323 Challenges for Central Banks´ Macro Models
by Lindé, Jesper & Smets, Frank & Wouters, Rafael
- 322 Fiscal Consolidation Under Imperfect Credibility
by Lemoine, Matthieu & Lindé, Jesper
- 321 Firms’ Strategic Choice of Loan Delinquencies
by Morales-Acevedo, Paola
- 320 Curbing Shocks to Corporate Liquidity: The Role of Trade Credit
by Amberg, Niklas & Jacobson, Tor & von Schedvin, Erik & Townsend, Robert
- 319 Fed Liftoff and Subprime Loan Interest Rates: Evidence from the Peer-to-Peer Lending Market
by Bertsch, Christoph & Hull, Isaiah & Zhang, Xin
- 318 Real-Time Forecasting for Monetary Policy Analysis: The Case of Sveriges Riksbank
by Iversen, Jens & Laséen, Stefan & Lundvall, Henrik & Söderström, Ulf
- 317 Subprime Borrowers, Securitization and the Transmission of Business Cycles
by Grodecka, Anna
- 315 Trade Credit: Contract-Level Evidence Contradicts Current Theories
by Ellingsen, Tore & Jacobson, Tor & von Schedvin, Erik
2015
- 314 Debt, equity and the Equity price puzzle
by Finocchiaro, Daria & Mendicino, Caterina
- 313 Since you’re so rich, you must be really smart”: Talent and the Finance Wage Premium
by Böhm, Michael & Metzger, Daniel & Strömberg, Per
- 312 Optimal Bank Capitalization in Crowded Markets
by Bertsch, Christoph & Mariathasan, Mike
- 311 Optimal Inflation with Corporate Taxation and Financial Constraints
by Finocchiaro, Daria & Lombardo, Giovanni & Mendicino, Caterina & Weil, Philippe
- 310 On the Theoretical Efficacy of Quantitative Easing at the Zero Lower Bound
by Boel, Paola & Waller, Christopher J.
- 309 Score Driven Exponentially Weighted Moving Averages and Value-at-Risk Forecasting
by Lucas, André & Zhang, Xin
- 308 Modeling financial sector joint tail risk in the euro area
by Lucas, André & Schwaab, Bernd & Zhang, Xin
- 307 Speeding Up Mcmc By Delayed Acceptance And Data Subsampling
by Quiroz, Matias
- 306 Scalable Mcmc For Large Data Problems Using Data Subsampling And The Difference Estimator
by Quiroz, Matias & Villani, Mattias & Kohn, Robert
- 305 Bringing Financial Stability into Monetary Policy
by Leeper, Eric M. & Nason, James M.
- 304 Jump-Starting the Euro Area Recovery: Would a Rise in Core Fiscal Spending Help the Periphery?
by Blanchard, Olivier & Erceg, Christopher J. & Lindé, Jesper
- 303 Central bank policy paths and market forward rates: A simple model
by De Graeve, Ferre & Iversen, Jens
- 302 Price Level Targeting and Risk Management
by Billi, Roberto
- 301 What Broke First? Characterizing Sources of Structural Change Prior to the Great Recession
by Hull, Isaiah
- 300 Searching for Information
by Han, Jungsuk & Sangiorgi, Francesco
- 299 Fuel for Economic Growth?
by Gars, Johan & Olovsson, Conny
- 298 Amortization Requirements and Household Indebtedness: An Application to Swedish- Style Mortgages
by Hull, Isaiah
- 297 Speeding Up Mcmc By Efficient Data Subsampling
by Quiroz, Matias & Villani, Mattias & Kohn, Robert
- 296 The Importance of Reallocation for Productivity Growth: Evidence from European and US Banking
by Bos, Jaap W.B. & van Santen, Peter C.
- 295 Risks in macroeconomic fundamentals and excess bond returns predictability
by De Rezende, Rafael B.
2014
- 290 Selection Effects in Producer-Price Setting
by Carlsson, Mikael
- 289 Systematic bailout guarantees and tacit coordination
by Bertsch, Christoph & Calcagno, Claudio & Le Quement, Mark
- 288 Does Trading Anonymously Enhance Liquidity?
by Dennis, Patrick J. & Sandås, Patrik
- 287 The Macro-Financial Implications of House Price-Indexed Mortgage Contracts
by Hull, Isaiah
- 286 How Subprime Borrowers and Mortgage Brokers Shared the Pie
by Berndt, Antje & Hollifield, Burton & Sandås, Patrik
- 285 Incompatible European Partners? Cultural Predispositions and Household Financial Behavior
by Haliassos, Michael & Jansson, Thomas & Karabulut, Yigitcan
- 284 Optimal taxation with home production
by Olovsson, Conny
2013
- 283 Debt Dynamics and Monetary Policy: A Note
by Laséen, Stefan & Strid, Ingvar
- 282 A wake-up call: information contagion and strategic uncertainty
by Ahnert, Toni & Bertsch, Christoph
- 281 Lines of Credit and Investment: Firm-Level Evidence of Real Effects of the Financial Crisis
by Holmberg, Karolina
- 280 Firm-Level Evidence of Shifts in the Supply of Credit
by Holmberg, Karolina
- 279 Predicting the Spread of Financial Innovations: An Epidemiological Approach
by Hull, Isaiah
- 278 Distortionary Fiscal Policy and Monetary Policy Goals
by Adam, Klaus & Billi, Roberto M.
- 277 A detrimental feedback loop: deleveraging and adverse selection
by Bertsch, Christoph
- 276 Approximate dynamic programming with postdecision states as a solution method for dynamic economic models
by Hull, Isaiah
- 275 Business Cycle Implications of Mortgage Spreads
by Walentin, Karl
- 274 The Redistributive Effects of Inflation: an International Perspective
by Boel, Paola
- 273 Identifying Fiscal Inflation
by De Graeve, Ferre & Queijo von Heideken, Virginia
- 272 Housing Choices and Labor Income Risk
by Jansson, Thomas
- 271 Un-truncating VARs
by De Graeve, Ferre & Westermark, Andreas
- 270 Nominal GDP Targeting and the Zero Lower Bound: Should We Abandon Inflation Targeting?
by Billi, Roberto M.
- 269 Conditional euro area sovereign default risk
by Lucas, André & Schwaab, Bernd & Zhang, Xin
- 268 Dynamic mixture-of-experts models for longitudinal and discrete-time survival data
by Quiroz, Matias & Villani, Mattias
- 267 Using Financial Markets To Estimate the Macro Effects of Monetary Policy:
by Pitschner, Stefan
- 266 Long-Term Relationship Bargaining
by Westermark, Andreas
- 265 Pension Wealth and Household Savings in Europe: Evidence from SHARELIFE
by Alessie, Rob & Angelini, Viola & van Santen, Peter
2012
- 264 Structural and Cyclical Forces in the Labor Market During the Great Recession: Cross-Country Evidence
by Sala, Luca & Söderström, Ulf & Trigari, Antonella
- 263 Trade Credit and the Propagation of Corporate Failure: An Empirical Analysis
by Jacobson, Tor & von Schedvin, Erik
- 262 The Cost of Consumer Payments in Sweden
by Segendorf, Björn & Jansson, Thomas
- 261 The Information Content of Central Bank Minutes
by Apel, Mikael & Blix Grimaldi, Marianna
- 260 Output Gaps and Robust Monetary Policy Rules
by Billi, Roberto M.
- 259 Labor-Market Frictions and Optimal Inflation
by Carlsson, Mikael & Westermark, Andreas
- 258 On the Non-Exclusivity of Loan Contracts: An Empirical Investigation
by Degryse, Hans & Ioannidou , Vasso & von Schedvin, Erik
- 257 Collateralization, Bank Loan Rates and Monitoring: Evidence from a Natural Experiment
by Cerqueiro, Geraldo & Ongena, Steven & Roszbach, Kasper
2011
- 256 Taking the Twists into Account: Predicting Firm Bankruptcy Risk with Splines of Financial Ratios
by Giordani, Paolo & Jacobson, Tor & von Schedvin , Erik & Villani, Mattias
- 255 Hedging Labor Income Risk
by Betermier, Sebastien & Jansson, Thomas & Parlour, Christine A. & Walden, Johan
- 254 Refining Stylized Facts from Factor Models of Inflation
by De Graeve, Ferre & Walentin, Karl
- 253 Wage Adjustment and Productivity Shocks
by Carlsson, Mikael & Messina, Julián & Nordström Skans, Oskar
- 252 Up for count? Central bank words and financial stress
by Blix Grimaldi, Marianna
- 251 Parameter Identification in a Estimated New Keynesian Open Economy Model
by Adolfson, Malin & Lindé, Jesper
- 250 The Effects of Endogenous Firm Exit on Business Cycle Dynamics and Optimal Fiscal Policy
by Vilmi, Lauri
- 249 MOSES: Model of Swedish Economic Studies
by Bårdsen, Gunnar & den Reijer, Ard & Jonasson, Patrik & Nymoen, Ragnar
- 248 Anticipated Alternative Policy-Rate Paths in Policy Simulations
by Laséen, Stefan & Svensson, Lars E.O.
2010
- 247 Density-Conditional Forecasts in Dynamic Multivariate Models
by Andersson, Michael K. & Palmqvist, Stefan & Waggoner, Daniel F.
- 246 The Output Gap, the Labor Wedge, and the Dynamic Behavior of Hours
by Sala, Luca & Söderström, Ulf & Trigari, Antonella
- 245 Modeling Conditional Densities Using Finite Smooth Mixtures
by Li, Feng & Villani, Mattias & Kohn, Robert
- 244 Identifying VARs through Heterogeneity: An Application to Bank Runs
by De Graeve, Ferre & Karas, Alexei
- 243 Equilibrium asset prices and the wealth distribution with inattentive consumers
by Finocchiaro, Daria
- 242 Bayesian Inference in Structural Second-Price common Value Auctions
by Wegmann , Bertil & Villani, Mattias
- 241 Monetary Regime Change and Business Cycles
by Cúrdia, Vasco & Finocchiaro, Daria
- 240 The Discursive Dilemma in Monetary Policy
by Claussen , Carl Andreas & Røisland, Øistein
- 239 Housing collateral and the monetary transmission mechanism
by Walentin, Karl & Sellin, Peter