Content
2015, Volume 30, Issue 82
- 187-229 Global dollar credit: links to US monetary policy and leverage
by Robert N. McCauley & Patrick McGuire & Vladyslav Sushko - 231-290 Global liquidity through the lens of monetary aggregates
by Kyuil Chung & Jong-Eun Lee & Elena Loukoianova & Hail Park & Hyun Song Shin - 291-333 The liquidation of government debt
by Carmen M. Reinhart & M. Belen Sbrancia1 - 335-377 Growth, inequality and social welfare: cross-country evidence
by David Dollar & Tatjana Kleineberg & Aart Kraay
2015, Volume 30, Issue 81
- 5-45 Do real exchange rate appreciations matter for growth?
by Matthieu Bussière & Claude Lopez & Cédric Tille - 47-93 What drives the German current account? And how does it affect other EU Member States?
by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in't Veld & Lukas Vogel - 95-139 The euroization of bank deposits in Eastern Europe
by Martin Brown & Helmut Stix - 141-181 Gender gaps in policy making: evidence from direct democracy in Switzerland
by Patricia Funk & Christina Gathmann
2014, Volume 29, Issue 80
- 603-637 Unemployment at risk: the policy determinants of labour market exposure to economic shocks
[Labor market institutions and the business cycle: unemployment rigidities vs wage rigidities]
by Alain de Serres & Fabrice Murtin - 639-689 Cyprus: from boom to bail-in
[The “greatest” carry trade ever? Understanding eurozone bank risks]
by Alexander Michaelides - 691-747 Do oil price increases cause higher food prices?
[Biofuels, binding constraints, and agricultural commodity price volatility]
by Christiane Baumeister & Lutz Kilian - 749-799 Evaluating asset-market effects of unconventional monetary policy: a multi-country review
[Uncertainty of interest rate path as a monetary policy instrument]
by John H. Rogers & Chiara Scotti & Jonathan H. Wright
2014, Volume 29, Issue 79
- 395-446 School and family effects on educational outcomes across countries
[Teaching practices and social capital]
by Richard B. Freeman & Martina Viarengo - 447-493 Financial crises: lessons from history for today
[Optimal caliper widths for propensity-score matching when estimating differences in means and differences in proportions in observational studies]
by Selin Sayek & Fatma Taskin - 495-552 The role of creditor seniority in Europe's sovereign debt crisis
[What is the risk of European sovereign debt defaults? Fiscal space, CDS spreads and market pricing of risk]
by Sven Steinkamp & Frank Westermann - 553-597 Evaluating the cost of government credit support: the Oecd context
[Existence of an equilibrium for a competitive economy]
by Deborah Lucas
2014, Volume 29, Issue 78
- 203-251 Systemic risk, sovereign yields and bank exposures in the euro crisis
[Real effects of the sovereign debt crises in Europe: evidence from syndicated loans]
by Niccolò Battistini & Marco Pagano & Saverio Simonelli - 253-296 Public policy and resource allocation: evidence from firms in Oecd countries
[‘Joseph Schumpeter Lecture. Appropriate growth policy: a unifying framework]
by Dan Andrews & Federico Cingano - 297-341 Mark-to-market accounting and systemic risk: evidence from the insurance industry
[Mark-to-market accounting and cash-in-the-market pricing]
by Andrew Ellul & Chotibhak Jotikasthira & Christian T. Lundblad & Yihui Wang - 343-390 Financial fair play in European football
[v. National Football League, 560 (The Supreme Court May 24, 2010)]
by Thomas Peeters & Stefan Szymanski
2014, Volume 29, Issue 77
- 5-44 Defying gravity: can Japanese sovereign debt continue to increase without a crisis?
[Fiscal discipline and the cost of public debt service: some estimates for OECD countries]
by Takeo Hoshi & Takatoshi Ito - 45-77 Identifying channels of credit substitution when bank capital requirements are varied
[Which financial frictions? Parsing the evidence from the financial crisis]
by Shekhar Aiyar & Charles W. Calomiris & Tomasz Wieladek - 79-137 TARGET2 and central bank balance sheets
[The economics of TARGET2 balances]
by Karl Whelan - 139-197 What drives TARGET2 balances? Evidence from a panel analysis
[What drives Target2 balances? Evidence from a panel analysis]
by Raphael A. Auer
2013, Volume 28, Issue 76
- 569-612 The march of an economic idea? Protectionism isn't counter-cyclic (anymore)
[Is there a consensus among economists in the 1990s?]
by Andrew K. Rose - 613-661 Fragmentation, incomes and jobs: an analysis of European competitiveness
[Who captures value in global supply chains?]
by Marcel P. Timmer & Bart Los & Robert Stehrer & Gaaitzen J. de Vries - 663-700 Internationalization and innovation of firms: evidence and policy
[Managing knowledge within and outside the multinational corporation]
by Carlo Altomonte & Tommaso Aquilante & Gábor Békés & Gianmarco I.P. Ottaviano - 701-749 Planes, ships and taxes: charging for international aviation and maritime emissions
[Work Stream 2: Paper on potential revenues from international maritime and aviation sector policy measures]
by Michael Keen & Ian Parry & Jon Strand
2013, Volume 28, Issue 75
- 375-422 Fiscal union in Europe? Redistributive and stabilizing effects of a European tax-benefit system and fiscal equalization mechanism
[A strong employment agenda – the pathway to economic recovery]
by Olivier Bargain & Mathias Dolls & Clemens Fuest & Dirk Neumann & Andreas Peichl & Nico Pestel & Sebastian Siegloch - 423-457 Bank lending and monetary transmission in the euro area
[Bank capital, bank lending and monetary policy in the euro area]
by Roberto A. De Santis & Paolo Surico - 459-512 Heterogeneous transmission mechanism: monetary policy and financial fragility in the eurozone
[Which financial frictions? Parsing the evidence from the financial crisis of 2007-9]
by Matteo Ciccarelli & Angela Maddaloni & José-Luis Peydró - 513-563 The Greek debt restructuring: an autopsy
[Greek bond buyback boondoggle]
by Jeromin Zettelmeyer & Christoph Trebesch & Mitu Gulati
2013, Volume 28, Issue 74
- 193-242 Trends in European real exchange rates
[Trade costs]
by Martin Berka & Michael B. Devereux - 243-288 A monetary policy strategy in good and bad times: lessons from the recent past
[Inflation persistence and price-setting behavior in the euro area – a summary of the IPN evidence]
by Stephan Fahr & Roberto Motto & Massimo Rostagno & Frank Smets & Oreste Tristani - 289-333 Bank ratings: what determines their quality?
[Bank risk during the financial crisis: do business models matter?]
by Harald Hau & Sam Langfield & David Marques-Ibanez - 335-369 Why banks are not too big to fail – evidence from the CDS market
[Capital shortfall: a new approach to ranking and regulating systemic risks]
by Andreas Barth & Isabel Schnabel
2013, Volume 28, Issue 73
- 5-44 Supervising cross-border banks: theory, evidence and policy
[Is the international convergence of capital adequacy regulation desirable?]
by Thorsten Beck & Radomir Todorov & Wolf Wagner - 45-100 Educational policies in a long-run perspective
[The governance and performance of universities: evidence from Europe and the U.S]
by Michela Braga & Daniele Checchi & Elena Meschi - 101-142 External imbalances in the eurozone
[Trade effects of the euro: evidence from sectoral data]
by Ruo Chen & Gian Maria Milesi-Ferretti & Thierry Tressel - 143-187 Multiple faces of preferential market access: their causes and consequences
[Gravity with gravitas: a solution to the border puzzle]
by Peter Egger & Georg Wamser
2012, Volume 27, Issue 72
- 521-565 What determines government spending multipliers?
[Mafia and public spending: Evidence of the fiscal multiplier from a quasi-experiment’, mimeo]
by Giancarlo Corsetti & André Meier & Gernot J. Müller - 567-602 Comparative advantage and the welfare impact of European integration
[General equilibrium analysis of the Eaton–Kortum model of international trade]
by Andrei A. Levchenko & Jing Zhang - 603-646 Recapitalization, credit and liquidity
[Liquidity and leverage]
by Mike Mariathasan & Ouarda Merrouche - 647-692 How housing slumps end
[Financial institutions and markets across countries and over time: data and analysis]
by Agustín S. Bénétrix & Barry Eichengreen & Kevin H. O'Rourke
2012, Volume 27, Issue 71
- 365-406 Reassessing the fiscal mix for successful debt reduction
[A historical public debt database]
by Emanuele Baldacci & Sanjeev Gupta & Carlos Mulas-Granados - 407-445 What does a financial shock do? First international evidence
[Financial intermediaries, financial stability and monetary policy]
by Fabio Fornari & Livio Stracca - 447-482 Venture capital and patented innovation: evidence from Europe
[The market for “lemons”: Quality, uncertainty and the market mechanism]
by Alexander Popov & Peter Roosenboom - 483-513 Financial liberalization and reversals: political and economic determinants
[A new database of financial reforms]
by Nauro F. Campos & Fabrizio Coricelli
2012, Volume 27, Issue 70
- 199-230 The eurozone crisis: how banks and sovereigns came to be joined at the hip
[‘A pyrrhic victory? Bank bailouts and sovereign credit risk’]
by Ashoka Mody & Damiano Sandri - 231-273 Sovereign spreads in the eurozone: which prospects for a Eurobond?
[Asset pricing with liquidity risk]
by Carlo Favero & Alessandro Missale - 275-317 Capital access bonds: contingent capital with an option to convert
[‘Caught between Scylla and Charybdis? Regulating bank leverage when there is rent seeking and risk shifting’]
by Patrick Bolton & Frédéric Samama - 319-359 Financial frictions, financial integration and the international propagation of shocks
[Optimal monetary policy under commitment with a zero bound on nominal interest rates]
by Luca Dedola & Giovanni Lombardo
2012, Volume 27, Issue 69
- 5-55 Finance and employment
[Credit constraints as a barrier to the entry and post-entry growth of firms]
by Marco Pagano & Giovanni Pica - 57-98 Foreign banks and foreign currency lending in emerging Europe
[Capital structure and financial risk: evidence from foreign debt use in East Asia]
by Martin Brown & Ralph De Haas - 99-142 The international experience of minimum wages in an economic downturn
[The tail of two countries: minimum wage and employment in France and the United-States]
by Peter Dolton & Chiara Rosazza Bondibene - 143-185 Educational achievement of second-generation immigrants: an international comparison
[The economic situation of first and second-generation immigrants in France, Germany and the United Kingdom]
by Christian Dustmann & Tommaso Frattini & Gianandrea Lanzara - 187-193 Erratum to: ‘Assessing the fiscal stance in the European Union and the United States, 1970–2011’
by Vito Polito & Michael Wickens
2011, Volume 26, Issue 68
- 555-598 Fiscal policy, pricing frictions and monetary accommodation
[Expansionary fiscal consolidations in Europe: New evidence]
by Fabio Canova & Evi Pappa - 599-647 Assessing the fiscal stance in the European Union and the United States, 1970–2011
[‘A historical public debt database’]
by Vito Polito & Michael Wickens - 649-695 What should fiscal councils do?
[Fiscal policy when monetary policy is tied to the mast]
by Lars Calmfors & Simon Wren-Lewis - 697-765 Short-time work benefits revisited: some lessons from the Great Recession
[‘Reversed roles? Wage and employment effects of the current crisis’]
by Tito Boeri & Herbert Bruecker
2011, Volume 26, Issue 67
- 347-385 Crime in Europe and the United States: dissecting the ‘reversal of misfortunes’
[Protective or counter-productive? Labour market institutions and the effect of immigration on EU natives]
by Paolo Buonanno & Francesco Drago & Roberto Galbiati & Giulio Zanella - 387-426 Mobile telecommunications and the impact on economic development
[Discussion of “Why is infrastructure important?” in Alicia H. Munnell, (ed.), Is there a shortfall in public capital investment?]
by Harald Gruber & Pantelis Koutroumpis - 427-491 How much do educational outcomes matter in OECD countries?
[‘Accountability and flexibility in public schools: Evidence from Boston’s charters and pilots’]
by Eric A. Hanushek & Ludger Woessmann - 493-549 Keynesian government spending multipliers and spillovers in the euro area
[Fiscal policy and growth: do financial crises make a difference?]
by Tobias Cwik & Volker Wieland
2011, Volume 26, Issue 66
- 135-182 The bank lending channel: lessons from the crisis
[Financial intermediaries and monetary economics]
by Leonardo Gambacorta & David Marques-Ibanez - 183-235 Lessons from a collapse of a financial system
[Looting: The economic underworld of bankruptcy for profit]
by Sigridur Benediktsdottir & Jon Danielsson & Gylfi Zoega - 237-287 Monetary policy and the global housing bubble
[Assessing dynamic efficiency: theory and evidence]
by Jane Dokko & Brian M. Doyle & Michael T. Kiley & Jinill Kim & Shane Sherlund & Jae Sim & Skander Van Den Heuvel - 289-346 The great retrenchment: international capital flows during the global financial crisis
[‘The great trade collapse: what caused it and what does it mean?’]
by Gian-Maria Milesi-Ferretti & Cédric Tille
2011, Volume 26, Issue 65
- 5-55 If you pay peanuts do you get monkeys? A cross-country analysis of teacher pay and pupil performance
[Discrimination in the market for public school teachers]
by Peter Dolton & Oscar D. Marcenaro-Gutierrez - 57-92 Ethnic identity and labour market outcomes of immigrants in Europe
[Assessing the oppositional culture explanation for racial/ethnic differences in school performance]
by Alberto Bisin & Eleonora Patacchini & Thierry Verdier & Yves Zenou - 93-130 Who needs credit and who gets credit in Eastern Europe?
[Interaction terms in logit and probit models]
by Martin Brown & Steven Ongena & Alexander Popov & Pinar Yeşin
2010, Volume 25, Issue 64
- 597-658 Currency mismatch, systemic risk and growth in emerging Europe
[Capital structure and financial risk: evidence from foreign debt use in East Asia]
by Romain Ranciere & Aaron Tornell & Athanasios Vamvakidis - 659-702 Mitigating the pro-cyclicality of Basel II
[Bank loan loss provisions: a re-examination of capital management, earnings management and signalling effects]
by Rafael Repullo & Jesús Saurina & Carlos Trucharte - 703-753 Multinational banking in Europe – financial stability and regulatory implications: lessons from the financial crisis
[Cross subsidies, external financing constraints, and the contribution of the internal capital market to firm value]
by Giorgio Barba Navaretti & Giacomo Calzolari & Alberto Franco Pozzolo & Micol Levi - 755-806 Inflation risk and the inflation risk premium
[Do macro variables, asset markets or surveys forecast inflation better?]
by Geert Bekaert & Xiaozheng Wang
2010, Volume 25, Issue 63
- 437-482 Monetary policy and financial imbalances: facts and fiction
[‘Liquidity shocks and asset price boom/bust cycles’]
by Katrin Assenmacher-Wesche & Stefan Gerlach - 483-536 Disability, capacity for work and the business cycle: an international perspective
[Has the boom in incapacity benefit claimant numbers passed its peak?]
by Hugo Benítez-Silva & Richard Disney & Sergi Jiménez-Martín - 537-590 Corporate tax harmonization in the EU
[Taxing corporate income]
by Leon Bettendorf & Michael P. Devereux & Albert Van Der Horst & Simon Loretz & Ruud A. de Mooij
2010, Volume 25, Issue 62
- 219-265 From Great Depression to Great Credit Crisis: similarities, differences and lessons
[Germany: Guns, butter, and economic miracles]
by Miguel Almunia & Agustín Bénétrix & Barry Eichengreen & Kevin H. O’Rourke & Gisela Rua - 267-293 Cross-country experiences and policy implications from the global financial crisis
[From Great Depression to Great Credit Crisis: Similarities, differences and lessons]
by Stijn Claessens & Giovanni Dell’Ariccia & Deniz Igan & Luc Laeven - 295-339 Monetary policy in exceptional times
[Preventing deflation: Lessons from Japan’s experience in the 1990s]
by Michele Lenza & Huw Pill & Lucrezia Reichlin - 341-373 Banking crisis management in the EU: an early assessment
[Open letter to European leaders on Europe’s banking crisis: a call for action]
by Jean Pisani-Ferry & André Sapir - 375-399 Post-crisis challenges to bank regulation
[Dividends and bank capital in the financial crisis of 2007–2009]
by Xavier Freixas - 401-431 Credit ratings failures and policy options
[Cash-in-the-market pricing and optimal resolution of bank failures]
by Marco Pagano & Paolo Volpin
2010, Volume 25, Issue 61
- 7-59 The governance and performance of universities: evidence from Europe and the US
[Distance to frontier, selection, and economic growth]
by Philippe Aghion & Mathias Dewatripont & Caroline Hoxby & Andreu Mas-Colell & André Sapir - 61-116 Reforms and re-elections in OECD countries
[Regulation and distrust]
by Marco Buti & Alessandro Turrini & Paul Van den Noord & Pietro Biroli - 117-163 The effects of employment protection legislation and financial market imperfections on investment: evidence from a firm-level panel of EU countries
[Technology and labour regulations]
by Federico Cingano & Marco Leonardi & Julián Messina & Giovanni Pica - 165-211 Drugs policy: what should we do about cannabis?
[Taxes, cigarette consumption and smoking intensity]
by Stephen Pudney
2009, Volume 24, Issue 60
- 603-651 Oil and the Euro area economy
[Labour market implications of EU product market integration]
by Gert Peersman & Ine van Robays - 653-700 What happens during recessions, crunches and busts?
[Business cycles for G-7 and European countries]
by Stijn Claessens & M. Ayhan Kose & Marco E. Terrones - 701-752 Subprime crisis and board (in-) competence: private versus public banks in Germany
[‘Corporate governance and board of directors: Performance effects of changes in board composition’]
by Harald Hau & Marcel Thum - 753-804 Planning to cheat: EU fiscal policy in real time
[‘What do we really know about fiscal sustainability in the EU?’]
by Roel Beetsma & Massimo Giuliodori & Peter Wierts
2009, Volume 24, Issue 59
- 409-461 Beyond Eurosclerosis
[European unemployment: A survey]
by Tito Boeri & Pietro Garibaldi - 463-508 Ageing and unused capacity in Europe: is there an early retirement trap?
[‘The strategic bequest motive: evidence from SHARE’]
by Viola Angelini & Agar Brugiavini & Guglielmo Weber - 509-550 Elections and economic policy in developing countries
[Opportunistic political cycles: test in a young democracy]
by Lisa Chauvet & Paul Collier - 551-596 The rise of obesity in Europe: an economic perspective
[‘Disease and development: the effect of life expectancy on economic growth’]
by Giorgio Brunello & Pierre-Carl Michaud & Anna Sanz-de-Galdeano
2009, Volume 24, Issue 58
- 191-240 What drives spreads in the euro area government bond market?
[‘What “hides” behind sovereign debt ratings?’]
by Simone Manganelli & Guido Wolswijk - 241-305 Financial integration, capital mobility, and income convergence
[Unbundling institution]
by Abdul Abiad & Daniel Leigh & Ashoka Mody - 307-348 The political economy under monetary union: has the euro made a difference?
[‘Income distribution, political instability, and investment’]
by Marcel Fratzscher & Livio Stracca - 349-402 Job protection legislation and productivity growth in OECD countries
[Appropriate growth policy: a unifying framework]
by Andrea Bassanini & Luca Nunziata & Danielle Venn
2009, Volume 24, Issue 57
- 6-53 The euro and the competitiveness of European firms
[‘Optimal currency areas’]
by Gianmarco I.P. Ottaviano & Daria Taglioni & Filippo di Mauro - 56-106 Cross-border mergers and acquisitions and European integration
[‘Capital flows in a globalised world: The role of policies and institutions’]
by Nicolas Coeurdacier & Roberto A. De Santis & Antonin Aviat - 108-140 Household debt repayment behaviour: what role do institutions play?
[‘Welfare implications of the Bankruptcy Reform Act of 1999’]
by Burcu Duygan-Bump & Charles Grant - 142-184 Regional inflation dynamics within and across euro area countries and a comparison with the United States
[‘On the relevance and nature of regional inflation differentials: The case of Spain’, Banco de Espana, Servicio de Estudios n. 9913]
by Guenter W. Beck & Kirstin Hubrich & Massimiliano Marcellino
2008, Volume 23, Issue 56
- 602-649 Labour market institutions and income inequality
[‘Globalisation and the great U-turn: Income inequality trends in 16 OECD countries’]
by Daniele Checchi & Cecilia García-Peñalosa - 652-713 From individual attitudes towards migrants to migration policy outcomes: Theory and evidence
[‘Immigration policy, assimilation of immigrants and natives’ sentiments towards immigrants: Evidence from 12 OECD countries’]
by Giovanni Facchini & Anna Maria Mayda - 716-756 Social spending and automatic stabilizers in the OECD
[‘Real-time output gaps in ex post policy analysis: A red herring?’]
by Julia Darby & Jacques Melitz - 758-795 Declining discount rates: Economic justifications and implications for long-run policy
[‘Regime switches in interest rates’]
by Christian Gollier & Phoebe Koundouri & Theologos Pantelidis
2008, Volume 23, Issue 55
- 418-463 The 35-hour workweek in France: Straightjacket or welfare improvement?
[‘L’evolution des rythmes de travail entre 1995 et 2001: quel impact de l’ARTT?’]
by Marcello Estevão & Filipa Sá - 466-497 Investigating capitalism aversion
[‘Why not a political Coase theorem? Social conflict, commitment and politics’]
by Augustin Landier & David Thesmar & Mathias Thoenig - 500-544 Competition in off-patent drug markets: Issues, regulation and evidence
[‘Substitution laws, insurance coverage, and generic drug use’]
by Panos Kanavos & Joan Costa-Font & Elizabeth Seeley - 546-594 Predictability of aid: Do fickle donors undermine aid effectiveness?
[‘The colonial origins of comparative development: An empirical investigation’]
by Oya Celasun & Jan Walliser
2008, Volume 23, Issue 54
- 202-242 The effect of information and communication technologies on urban structure
[‘Trade and circuses: Explaining urban giants’]
by Yannis M. Ioannides & Henry G. Overman & Esteban Rossi-Hansberg & Kurt Schmidheiny - 244-296 Mass car ownership in the emerging market giants
[‘Petroleum taxes’]
by Marcos Chamon & Paolo Mauro & Yohei Okawa - 298-362 Tied to the mast? National fiscal rules in the European Union
[‘Constitutions, politics, and economics’]
by Xavier Debrun & Laurent Moulin & Alessandro Turrini & Joaquim Ayuso-i-Casals & Manmohan S. Kumar - 364-409 US shocks and global exchange rate configurations
[‘Micro effects of macro announcements: Real-time price discovery in foreign exchange’]
by Marcel Fratzscher
2008, Volume 23, Issue 53
- 6-49 The relative sophistication of Chinese exports
[‘Manufacturing Earnings and Compensation in China’]
by Peter K. Schott - 52-91 Specialization across varieties and North–South competition
[‘Multi-Product Firms and Trade Liberalization’]
by Lionel Fontagné & Guillaume Gaulier & Soledad Zignago - 94-138 What explains the proliferation of antidumping laws?
[‘Antidumping Laws in the US; Use and Welfare Consequences’]
by Hylke Vandenbussche & Maurizio Zanardi - 140-194 Market services productivity across Europe and the US
[‘Distance to Frontier, Selection, and Economic Growth’]
by Robert Inklaar & Marcel P. Timmer & Bart van Ark
2007, Volume 22, Issue 52
- 634-678 Are aid agencies improving?
[‘Who gives foreign aid to whom and why?’]
by William Easterly - 680-729 Do patents over-compensate innovators?
[‘State-dependent intellectual property rights policy’]
by Vincenzo Denicolò - 732-779 Credit constraints as a barrier to the entry and post-entry growth of firms
[‘Dualism and macroeconomic volatility’]
by Philippe Aghion & Thibault Fally & Stefano Scarpetta - 782-861 Does school tracking affect equality of opportunity? New international evidence
[‘Educational opportunities and the role of institutions’]
by Giorgio Brunello & Daniele Checchi
2007, Volume 22, Issue 51
- 436-467 Will there be a dollar crisis?
[‘Current account fact and fiction’]
by Paul Krugman - 470-518 The missing dark matter in the wealth of nations and its implications for global imbalances
[‘The US current account and the dollar’]
by Ricardo Hausmann & Federico Sturzenegger - 520-573 Europe and global imbalances
[‘New rates for new weights’]
by Philip R. Lane & Gian Maria Milesi-Ferretti - 576-627 Assessing China's exchange rate regime
[‘Working with the IMF to strengthen exchange rate surveillance’]
by Jeffrey A. Frankel & Shang-Jin Wei
2007, Volume 22, Issue 50
- 236-287 The effects of competition and equal treatment laws on gender wage differentials
[‘Models of job discrimination’]
by Doris Weichselbaumer & Rudolf Winter-Ebmer - 290-337 Distributional effects of WTO agricultural reforms in rich and poor countries
[‘Elasticities of substitution and factor supply in Canadian, Mexican, and US agriculture’]
by Thomas W. Hertel & Roman Keeney & Maros Ivanic & L. Alan Winters - 340-383 Should we have a WTO for international migration?
[‘The growth of world trade: Tariffs, transport costs and income similarity’]
by Timothy J. Hatton - 386-430 Tax and public input competition
[‘Tax competition and economic geography’]
by Agnès Bénassy-Quéré & Nicolas Gobalraja & Alain Trannoy
2007, Volume 22, Issue 49
- 6-70 Foreign direct investment and the dark side of decentralization
[‘Capture and governance at local and national levels’]
by Sebastian G. Kessing & Kai A. Konrad & Christos Kotsogiannis - 72-116 Capital deepening and wage differentials: Germany versus US
[‘Technical change, inequality, and the labor market’]
by Winfried Koeniger & Marco Leonardi - 118-175 Age, seniority and labour costs: lessons from the Finnish IT revolution
[‘Vertical integration and distance to frontier’]
by Francesco Daveri & Mika Maliranta - 178-229 Valuing ecosystem services as productive inputs
[‘Valuing groundwater recharge through agricultural production in the Hadejia-Jama’are wetlands in northern Nigeria’]
by Edward B. Barbier
2006, Volume 21, Issue 48
- 598-638 Twin deficits: squaring theory, evidence and common sense
[‘Temporary and permanent government spending in an open economy: some evidence for the United Kingdom’]
by Giancarlo Corsetti & Gernot J. Müller - 640-687 Trade spill-overs of fiscal policy in the European Union: a panel analysis
[‘Fiscal policy, profits, and investment’]
by Roel Beetsma & Massimo Giuliodori & Franc Klaassen - 690-739 Can budget institutions counteract political indiscipline?
[‘Constitutions, politics, and economics’]
by Stefania Fabrizio & Ashoka Mody - 742-791 Competition economics and antitrust in Europe
[‘Comment: Airtours/First choice: CFI clips MTF's wings’]
by Damien J. Neven
2006, Volume 21, Issue 47
- 394-442 The international monetary system in the last and next 20 years
[‘On regional monetary arrangements for ASEAN’]
by Barry Eichengreen & Raul Razo-Garcia - 444-489 Fiscal policy and interest rates in Europe
[‘Computing robust standard errors for within-group estimators’]
by Riccardo Faini - 492-534 Improving fiscal policy in the EU: the case for independent forecasts
[‘Fiscal forecasting: The track record of the IMF, OECD and EC’]
by Lars Jonung & Martin Larch - 536-592 Guide to reform of higher education: a European perspective
[‘The efficiency of Australian universities: a data envelopment analysis’]
by Bas Jacobs & Frederick van der Ploeg
2006, Volume 21, Issue 46
- 208-261 European Monetary Union: the dark sides of a major success
[‘The macroeconomics of low inflation’]
by Charles Wyplosz - 264-310 Road pricing: lessons from London
[‘The impact of congestion charging on vehicle emissions in London’]
by Georgina Santos & Gordon Fraser - 312-352 Has the inflation process changed?
[‘Did the underlying behaviour of inflation change in the 1980s? A study of 22 countries,’]
by Stephen G. Cecchetti & Guy Debelle - 354-387 Price setting and inflation persistence: did EMU matter?
[‘One market, one money, one price? Price dispersion in the European Union’]
by Ignazio Angeloni & Luc Aucremanne & Matteo Ciccarelli
2006, Volume 21, Issue 45
- 6-59 European unemployment: the evolution of facts and ideas
[‘The macroeconomics of low inflation’]
by Olivier Blanchard - 62-118 Financial dollarization: evaluating the consequences
[‘A simple model of monetary policy and currency crises’]
by Eduardo Levy Yeyati - 120-152 Evaluation of currency regimes: the unique role of sudden stops
[‘Gravity with gravitas: A solution to the border puzzle’]
by Assaf Razin & Yona Rubinstein - 154-201 International competition in corporate taxation: evidence from the OECD time series
[‘Agglomeration, integration and tax harmonization’]
by Kenneth Stewart & Michael Webb
2005, Volume 20, Issue 44
- 630-703 Why are Europeans so tough on migrants?
[‘What a difference a constant makes: how predictable are international migration flows?’ in OECD]
by Tito Boeri & Herbert Brücker - 706-749 Parallel trade, price discrimination, investment and price caps
[‘First report (final) to the Committee on International Trade Law of the International Law Association on the subject of parallel importation’]
by Stefan Szymanski & Tommaso Valletti - 758-798 Pharmaceutical parallel trade in Europe: stakeholder and competition effects
[‘First report (final) to the Committee on International Trade Law of the International Law Association on the subject of parallel importation’]
by Panos Kanavos & Joan Costa-Font - 800-844 Deflation and monetary policy in a historical perspective: remembering the past or being condemned to repeat it?
[‘The macroeconomics of low inflation’]
by Michael Bordo & Andrew Filardo
2005, Volume 20, Issue 43
- 398-444 The Russian ‘flat tax’ reform
[‘Income tax evasion: A theoretical analysis’]
by Anna Ivanova & Michael Keen & Alexander Klemm - 446-504 Educational production in Europe
[‘Does class size matter?’]
by Ludger Wößmann - 506-565 Inter vivos transfers and bequests in three OECD countries
[‘Precautionary savings and accidental bequests’]
by Ernesto Villanueva - 568-624 The impact of rules of origin on trade flows
[‘Rules of origin and the EU-Med partnership: the case of textiles’]
by Patricia Augier & Michael Gasiorek & Charles Lai Tong
2005, Volume 20, Issue 42
- 216-265 Securitization of taxes implicit in PAYG pensions
[‘The Hungarian Pension System Before and After the 1998 Reform’]
by Salvador Valdés-Prieto - 268-306 Capital quality improvement and the sources of economic growth in the euro area
[‘Decomposing Learning by Doing in New Plants’]
by Plutarchos Sakellaris & Focco Vijselaar - 308-347 Fear of service outsourcing: is it justified?
[‘Location of vertically linked industries: agglomeration versus comparative advantage’]
by Mary Amiti & Shang-Jin Wei - 350-391 Trade liberalization in the Doha Development Round
[Trade in Manufactures, the Outcome of the Uruguay Round and Developing Country Interests]
by Joseph Francois & Hans Van Meijl & Frank Van Tongeren
2005, Volume 20, Issue 41
- 6-50 Marketization of household production and the EU–US gap in work
[‘Gender effect on housework allocation: Evidence from Spanish two-earner couples’]
by Richard B. Freeman & Ronald Schettkat - 52-110 Determinants and effects of foreign direct investment: evidence from German firm-level data
[‘Estimating the knowledge-capital model of the multinational enterprise: comment on Carr, David L.’]
by Claudia M. Buch & Jörn Kleinert & Alexander Lipponer & Farid Toubal & Richard Baldwin - 112-157 Television in a digital age: what role for public service broadcasting?
[‘Market provision of broadcasting: A welfare analysis’, mimeo]
by Shaun P. Hargreaves Heap & Paul Seabright - 160-209 The transition to digital television
[‘Balladurette and Juppette: A discrete analysis of scrapping subsidies’]
by Jérôme Adda & Marco Ottaviani & Paul Seabright
2004, Volume 19, Issue 40
- 390-439 The two pillars of the European Central Bank
[‘The demand for M3 in the euro area’]
by Stefan Gerlach - 442-481 Obstacles to disinflation: what is the role of fiscal expectations?
[‘Disinflation with imperfect credibility’]
by Oya Celasun & R. Gaston Gelos & Alessandro Prati - 484-521 Cross-country price dispersion in the euro era: a case study of the European car market
[‘The Law of One Price in Scandinavian duty-free stores’]
by Pinelopi Koujianou Goldberg & Frank Verboven - 524-577 Financial market integration and economic growth in the EU
[‘International measures of schooling years and schooling quality’]
by Luigi Guiso & Tullio Jappelli & Mario Padula & Marco Pagano
2004, Volume 19, Issue 39
- 222-266 What determines EU decision making? Needs, power or both?
[‘Implications of the EC expansion for European agricultural policies, trade and welfare’]
by Heikki Kauppi & Mika Widgrén - 268-311 Are contributions to public pension programmes a tax on employment?
[‘Welfare state and competitiveness’]
by Richard Disney - 314-346 Budgetary risks from real estate and stock markets
[‘Kapitalvinster, hushållens konsumtion och sparande’]
by Felix Eschenbach & Ludger Schuknecht - 348-384 European product market integration after the euro
[‘The law of one price in Scandinavian duty-free stores,’]
by Charles Engel & John H. Rogers
2004, Volume 19, Issue 38
- 6-62 Seeking asylum in Europe
[‘Violence against citizens in civil wars: looting or terror?’]
by Timothy J. Hatton - 64-115 Lessons for an ageing society: the political sustainability of social security systems
[‘Assessing dynamic efficiency: theory and evidence’]
by Vincenzo Galasso & Paola Profeta - 118-163 Not only Nokia: what Finland tells us about new economy growth
[‘The role of Nokia in the Finnish economy’]
by Francesco Daveri & Olmo Silva - 166-216 The case for GDP-indexed bonds
[‘World income components: measuring and exploiting risk-sharing opportunities’]
by Eduardo Borensztein & Paolo Mauro
2003, Volume 18, Issue 37
- 315-356 The currency union effect on trade: early evidence from EMU
[‘A theoretical foundation for the gravity equation’]
by Alejandro Micco & Ernesto Stein & Guillermo Ordoñez - 357-394 Divergent inflation rates in EMU
[‘European financial integration and equity returns: a theory-based assessment’]
by Patrick Honohan & Philip R. Lane - 395-434 Inflation measurement and the ECB's pursuit of price stability: a first assessment
[‘Optimal monetary policy responses to relative price changes’]
by Stephen G. Cecchetti & Mark A. Wynne - 435-467 The execution of monetary policy: a tale of two central banks
[‘Estimating continuous-time stochastic volatility models of the short-term interest rate’]
by Leonardo Bartolini & Alessandro Prati - 469-501 Monetary transmission in the euro area: early evidence
[‘Micro effects of macro announcements: real-time price discovery in foreign exchange’]
by Ignazio Angeloni & Michael Ehrmann - 503-532 Yield spreads on EMU government bonds
[‘Fiscal policy events and interest rate swap spreads: some evidence from the EU’]
by Lorenzo Codogno & Carlo Favero & Alessandro Missale - 533-572 Fiscal policy and monetary integration in Europe
[‘Consumption smoothing through fiscal policy in OECD and EU countries’]
by Jordi Galí & Roberto Perotti - 573-613 Life on the outside: economic conditions and prospects outside euroland
[‘Do domestic firms benefit from foreign direct investment? Evidence from Venezuela’]
by David Barr & Francis Breedon & David Miles
2003, Volume 18, Issue 36
- 9-72 Regulation, productivity and growth: OECD evidence
[‘A model of growth through creative destruction’]
by Giuseppe Nicoletti & Stefano Scarpetta - 73-122 Economic aspects of human cloning and reprogenetics
[‘Market making inroads in organ transplantation, assisted reproduction’]
by Gilles Saint-Paul - 123-170 Household stockholding in Europe: where do we stand and where do we go?
[‘Limited market participation and volatility of assets prices’]
by Luigi Guiso & Michael Haliassos & Tullio Jappelli - 171-213 European takeover regulation
[‘Efficient and inefficient sales of corporate control’]
by Erik Berglöf & Mike Burkart - 215-268 Awarding telecom licences: the recent European experience
[‘The German and Austrian UMTS Spectrum Auctions’]
by Tilman Börgers & Christian Dustmann - 269-308 An economic perspective on auctions
[‘An efficient as cending-bid auction for multiple objects’]
by Philippe Jehiel & Benny Moldovanu
2002, Volume 17, Issue 35
- 279-319 More power to the European Parliament?
[‘Nice try: Should the Treaty of Nice be ratified’?]
by Abdul G. Noury & Gérard Roland - 321-359 Delocation and European integration: is structural spending justified?
[‘Specialization patterns in Europe’]
by Karen Helene Midelfart-Knarvik & Henry G. Overman - 361-408 Unions and labour market institutions in Europe
[‘Deunionisation, technical change and inequality’]
by Daniele Checchi & Claudio Lucifora