Content
March 2000, Volume 136, Issue I
- 79-98 Wage data collected by telephone interviews: an empirical analysis of the item nonresponse problem and its implications for the estimation of wage functions
by Alfonso Sousa-Poza & Fred Henneberger - 99-121 Modellrisiko bei Value at Risk-Schätzungen: ein Vergleich zwischen Normalverteilung und hyperbolischer Verteilung
by Frithjof Weber
December 1999, Volume 135, Issue IV
- 539-557 Percentage Retail Mark-Ups
by Thomas von Ungern-Sternberg - 559-575 Announcement Strategies and the Information in the Term Structure: Evidence from the Duration Distribution of Target Changes
by Peter Anker - 577-589 Buffer-Stock-Komponenten in der Geldnachfrage von Deutschlands M3?
by Martin T. Bohl - 591-605 Economie expérimentale et modèle intertemporel du consommateur
by Aurelio Mattei - 607-618 The Impact of Import Competition on Employment and Wages in Swiss Manufacturing
by Javier Suarez
September 1999, Volume 135, Issue III
- 237-252 On the Contribution of Economic Analysis to Social Policy
by Anthony B. Atkinson - 253-271 Reforming Social Policy: Learning from the Dutch Experience
by Philip R. de Jong - 273-281 Nachhaltigkeit in der kantonalen Sozialpolitik
by Ruth Lüthi - 283-286 Société suisse de statistique et d'économie politique. Politique sociale suisse: durabilité pour le 21eme siècle
by Joseph Deiss - 287-301 Human Costs of Chronic Bronchitis in Switzerland
by France Priez & Claude Jeanrenaud - 303-328 Poverty in Switzerland
by Robert E. Leu & Stefan Burri - 329-348 Ansätze für eine effiziente Organisationsstruktur in der Schweizer Sozialversicherung: Lehren aus der ökonomischen Theorie der Clubs
by Michael Breuer - 349-368 Modelling and forecasting the social contributions to the Swiss Old Age and Survivor Insurance scheme
by Gaspard Aeschimann & Gabrielle Antille & Fabrizio Carlevaro & Jean-Paul Chaze & Giovanni Ferro-Luzzi & Yves Flückiger & Manfred Gilli - 369-385 Milestones in the History of the Swiss Pension System: A Politico-Economic Analysis
by Monika Bütler - 387-406 Die Entwicklung der Sozialpolitik in repräsentativen und in direkten Demokratien: Königsweg oder Sackgasse? Einige Bemerkungen aus der "Public Choice"-Perspektive
by Friedrich Schneider - 407-437 Sozialstaat und struktureller Wandel: Eine verhängnisvolle Beziehung?
by Norbert Berthold - 439-454 Does Social Policy Contribute to Economic Growth?
by Mauro Baranzini - 455-476 Politique sociale et solidarité péréquative dans un Etat fédéraliste: le cas suisse
by Bernard Dafflon - 477-508 Wie gross ist der zukünftige Anpassungsbedarf bei der AHV? Rückblick 1948-1998 und Ausblick 1998-2048
by Marcel R. Savioz & Martin Wechsler
June 1999, Volume 135, Issue II
- 127-143 Dynamik der Fristenstruktur der impliziten Volatilitäten
by Thomas Kraus - 145-164 A Current Evaluation of U.S. Banking Legislation: The Federal Deposit Insurance Corporation Improvement Act and Its Performance in Terms of Financial Services Industry Impacts
by Richard J. Cebula - 165-185 Disparité régionale du chômage: population étrangère et courbe de Beveridge suisse
by Augustin de Coulon - 187-206 The Swiss Heroin Policy
by Dominik Egli - 207-220 Financial Markets and the Course of History. Comments on an Article by M. Kucher and B. S. Frey
by Jean-Christian Lambelet - 221-227 Beeinflusst Krieg die Finanzmärkte? Eine Entgegnung auf die Kommentare von Jean-Christian Lambelet
by Marcel Kucher & Bruno S. Frey
March 1999, Volume 135, Issue I
- 3-20 Which is the appropriate administrative level to promote home ownership?
by Philippe Thalmann - 21-40 Mesure du degré de concurrence dans le système bancaire suisse à l'aide du modèle de Panzar et Rosse
by Bertrand Rime - 41-74 Ein zweistufiges Verfahren zur Schätzung der Zinskurve
by Jürg Tobler - 75-95 Inflation, Inflation Variability and Relative Price Variability in Switzerland
by Anne Kleinewefers Lehner - 97-124 Examining Predictors of U.S. Recessions: A Regime-Switching Approach
by Ralf Ahrens
December 1998, Volume 134, Issue IV
- 471-497 Krieg und Finanzmarkt. Eine ökonomische Analyse der Bedrohungslage der Schweiz im 2. Weltkrieg
by Marcel Kucher & Bruno S. Frey - 499-526 Portfolioabsicherung mit konstanter Indexpartizipation
by Manuel Ammann & Heinz Zimmermann - 527-543 Family Background, Intergenerational Mobility, and Earnings Distribution: Evidence from the United States
by Ramses H. Abul Naga - 545-564 On Inequality in Consumption Expenditures. The Case of Switzerland
by Jacques Silber - 565-583 Why Are Trade Agreements More Attractive In The Presence Of Foreign Direct Investment?
by Marcelo Olarreaga - 585-585 Erratum to "Are there Shifts in the Output-Inflation Trade-off? The Case of Switzerland"
by Ernst Baltensperger & Thomas J. Jordan - 587-588 Erratum zu "Nachhaltige Entwicklung der Weltwirtschaft: Ein Nord-Süd-Ansatz"
by Lucas Bretschger - 595-598 Capital Adequacy Regulation as an Instrument for the Regulation of Banks - From the Basle Accord of 1988 to... Part I: From the Basle Accord to Precommitment and Other Alternatives
by Niklaus Blattner - 599-616 The Future of Regulatory Capital: General Principles and Specific Proposals
by Arturo Estrella - 617-624 The Role of Precommitment in Future Capital Regulation - The Lessons of the New York Pilot Study
by Tim Shepheard-Walwyn - 625-628 The Future of Regulatory Capital. The Practical Banker's Perspective
by Tobias Guldimann - 629-632 The Practical Banker's Perspective on Precommitment
by Rolf Enderli - 633-638 The Supervisor's Perspective on Precommitment
by Daniel Zuberbühler - 639-644 Some Difficulties with the Pre-commitment Approach
by Alain Duchateau - 645-648 The Question of Bank Capital Regulation
by Ernst Baltensperger - 649-650 The Economist's Perspective: Comments on ARTURO ESTRELLA, "The Future of Regulatory Capital: General Principles and Specific Proposals" and TIM SHEPHEARD-WALWYN, "The Role of Precommitment in Future Capital Regulation - The Lessons of the New York Pilot Study"
by Georg Nöldeke - 651-652 Summary of the General Discussion concluding Part I of the Conference
by Benedikt Gratzl - 653-654 Part II: From the Basle Accord to Measures to Contain Systemic Risk
by Ernst Baltensperger - 655-684 The Term Structure of Interest Rates and the Swiss Regional Bank Crisis - Empirical Evidence and its Limits
by Markus Staub - 685-704 Interbank Lending and Systemic Risk: An Empirical Analysis for Switzerland
by George Sheldon & Martin Maurer - 705-712 Comments on MARKUS STAUB: The Term Structure of Interest Rates and the Swiss Regional Bank Crisis - Empirical Evidence and its Limits. GEORGE SHELDON, MARTIN MAURER: Interbank Lending and Systemic Risk: An Empirical Analysis for Switzerland
by Eva Terberger-Stoy - 713-714 General Discussion: STAUB and SHELDON-MAURER
by Jürg Blum - 715-739 Discussion on International Contagion: What is it and what can be done against it?
by Markus Staub
September 1998, Volume 134, Issue III
- 237-250 Die Rolle der Natur in der ökonomischen Theorie: Ein dogmenhistorischer Überblick
by Hans Christoph Binswanger - 251-269 The concept of sustainable development: An evaluation of its usefulness ten years after Brundtland
by David Pearce & Giles Atkinson - 271-295 Green Tax Reforms: Implications for Welfare and Distribution
by A. Lans Bovenberg - 297-315 Les Ecotaxes dans les pays de l'OCDE: Un premier bilan
by Jean-Philippe Barde - 317-327 Nachhaltige Entwicklung, Umweltschutz und ökonomische Instrumente: Umsetzung in der Schweiz
by Arthur Mohr - 329-353 Ecological Tax Reform and Involuntary Unemployment: Simulation Results for Switzerland
by Gebhard Kirchgässner & Ulrich Müller & Marcel Savioz - 355-367 Effizienz und politische Durchsetzbarkeit: Die Verwendung der Einnahmen einer C02-Abgabe in der Schweiz
by Reto Schleiniger & Stefan Felder - 369-390 Nachhaltige Entwicklung der Weltwirtschaft: Ein Nord-Süd-Ansatz
by Lucas Bretschger - 391-414 Indikatoren für Nachhaltigkeit
by Renate Schubert - 415-436 Neue Aufschlüsse über die Elektrizitätsnachfrage der schweizerischen Haushalte
by Susanne Bonomo & Massimo Filippini & Peter Zweifel - 437-455 Indices de consommation électrique pour les services généraux d'immeuble et évaluation de gisments de "négawatts"
by Fabrizio Carlevaro & Jean-Luc Bertholet
June 1998, Volume 134, Issue II
- 121-132 Are there Shifts in the Output-Inflation Trade-off? The Case of Switzerland
by Ernst Baltensperger & Thomas J. Jordan - 133-158 The Informational Role of Volume Vis-à-Vis No-Trade Results: A Note
by Chiente Hsu & Gerhard O. Orosel - 159-173 Income Distribution Dynamics Across Swiss Cantons
by Boris Zürcher - 175-191 On the Choice Between Capital and Labor Mobility: The Small Country Case
by Volker Meier - 193-230 Inter-Banken-Kredite und systemisches Risiko
by Markus Staub
March 1998, Volume 134, Issue I
- 5-19 International Structural Time Series Evidence on the Cyclical Behaviour of Prices
by Imad A. Moosa & Nabeel E. Al-Loughani - 21-40 Playing a Better Global Warming Game: Does it Help to be Green?
by Alfred Endres & Michael Finus - 41-62 The Geographical Composition of Swiss Foreign Trade: A Semiflexible Approach
by Ulrich Kohli - 63-91 Umverteilungswirkungen einer wirtschaftlichen Öffnung und Abstimmungsverhalten: Eine Analyse am Beispiel des Schweizer EWR-Entscheides
by Aymo Brunetti & Markus Jaggi & Rolf Weder - 93-114 Die Erwerbsbeteiligung von Frauen in der Schweiz: Ein dynamisches Probit-Modell für die Jahre 1991-1995
by Michael Gerfin
December 1997, Volume 133, Issue IV
- 655-672 Ökonomische Nutzung von ökologischen Konkurrenzsystemenin verschiedenen Marktformen
by Holger Wacker - 673-690 Multinationals, production externalities, and complementarity between domestic and foreign activities?
by Michael Pfaffermayr - 691-708 Do Central Banks Need Minimum Reserves?
by Georg Rich - 709-740 Progressivité de l'impôt fédéral direct et de la TVA en Suisse
by Eric Mottu - 741-754 Approche dynamique de la différence d'espérance de vie entre hommes et femmes en Suisse, entre 1910/11 et 1988/93. Une application des méthodes de décomposition de POLLARD et D'ARRIAGA
by Peng Fei & Philippe Wanner & Stephane Cotter
September 1997, Volume 133, Issue III
- 357-368 Sanierung der Bundesfinanzen in einem wirtschaftlich schwierigen Umfeld
by Kaspar Villiger - 369-372 Neuordnung des Finanzausgleichs
by Franz Marty - 373-378 Rigueur budgétaire, crédibilité des politiques budgétaires et comportement de consommation
by Patrick Artus - 379-390 Schweizerische Geldpolitik im Europäischen Umfeld
by Bruno Gehrig - 391-394 L'Union Monétaire en Europe. - Où en sommes-nous?
by Robert Raymond - 395-420 De la (non-)soutenabilité des politiques budgétaires en Suisse
by Eric Mottu - 421-440 Taxing, Spending, and the Budget Process: The Role of Budget Regimes in the Intertemporal Budget Constraint
by Wm. Stewart Mounts & Jr. & Clifford Sowell - 441-454 Asymmetric Effects of Monetary Policy in Switzerland
by Carlos Lenz - 455-476 What Monetary Authorities do - an Examination of Reaction Functions for Germany, Japan, the UK and the US
by Jagjit S. Chadha & Norbert G. J. Janssen - 477-496 Rigidité des prix nominaux, changement des prix relatifs et inflation
by Attilio Zanetti - 497-512 Vom "Deficit Accounting" zum "Generational Accounting ": Eine Anwendung für die Schweiz
by Stefan Felder - 513-538 Central Bank Independence and the Sacrifice Ratio: The Dark Side of the Force
by Manfred Gärtner - 539-556 Do Institutional Factors Matter for the Speed of Disinflation?
by Andreas M. Fischer - 557-574 Rationalität der Inflationserwartungen in der Schweiz und in Deutschland
by Anne Kleinewefers Lehner - 575-596 Estimating the Benefits of a Common European Fiscal Policy
by Nannette Hechler-Fayd'Herbe - 597-616 Measuring Monetary Policy Shocks in France, Germany and Italy: The Role of The Exchange Rate
by Fank Smets - 617-634 The Composition of Public Expenditure and Economic Growth: Can Anything be Learned from Swiss Data?
by Raju Jan Singh & Rene Weber
June 1997, Volume 133, Issue II
- 95-132 Preisbildung am schweizerischen SMI-Futuresmarkt: Arbitrage und dynamische Preisbeziehungen
by Heinz Zimmermann & Claudia Zogg-Wetter - 133-152 Principles of Seigniorage
by Ernst Baltensperger & Thomas J. Jordan - 153-164 An Analysis of Optimal Size for a Special Economic Zone
by Sugata Marjit & Hamid Beladi - 165-174 Electronic Securities Trading: The options for designing electronic markets and some consequences for investors and intermediaries
by Burkhard Varnholt - 175-188 Computational General Equilibrium Analysis and Economic Reasoning
by Christian Gliesmann & Anna Ruocco - 189-192 CGE Analysis and Economic Reasoning: Reply to Gliesmann and Ruocco
by Stefan Felder & Reto Schleiniger - 201-218 Bounded Rationality: Models of Fast and Frugal Inference
by Gerd Gigerenzer - 219-240 Procedural Fairness and Compliance with the Law
by Tom R. Tyler - 241-274 Norms, Rationalizations and Collective Political Action. A Rational Choice Perspective
by Karl-Dieter Opp - 275-292 Social Norms as a Social Exchange
by Simon Gächter & Ernst Fehr - 293-324 Herding Behavior and Stock Returns: An Exploratory Investigation
by Lillyn L. Teh & Werner F. M. de Bondt - 325-350 From the Price to the Crowding Effect
by Bruno S. Frey
March 1997, Volume 133, Issue I
- 3-18 European Economic Integration and Swiss Foreign Direct Investment
by Marc Bacchetta - 19-27 Federal Government Budget Deficits and Real Long-Term Interest Rates in the United States: An Alternative Perspective
by Richard J. Cebula & Ira S. Saltz - 29-48 Real Estate Price Indices and Performance: The Case of Geneva
by Martin Hoesli & Philippe Favarger & Carmelo Giaccotto - 49-63 Die Entwicklung des Drogenkonsums in der Schweiz seit 1990
by Helmut Knolle - 65-91 Der Museumsvoucher: Eine mögliche Form der Internalisierung positiver externer Effekte für Basel
by Andrea Attenhofer
December 1996, Volume 132, Issue IV
- 515-538 Structure des Coûts des Stations d'Epuration en Suisse et Gestion Efficace des Eaux Usées
by Andrea Baranzini - 539-562 Permanent Components in Swiss Macroeconomic Variables
by Sylvia Kaufmann - 563-574 Collateral, Credit Rationing and the Real Effect of Monetary Policy
by Raju Jan Singh - 575-590 Pollution Control in a Stochastic Environment
by Thomas Wiedmer & Anthony C. Fisher & Urvashi Nahrain - 591-600 Zur Oekonometrie mit Fehlerkorrekturmodellen
by Herrmann Garbers - 609-612 Capital Adequacy Rules as Instruments for the Regulation of Banks
by Martin Hellwig - 613-636 Some Regulatory Concerns
by Charles A. E. Goodhart - 637-648 An Incentive Structure for Financial Regulation
by Charles A. E. Goodhart - 649-650 Some Regulatory Concerns; and An Incentive Structure for Financial Regulation
by Charles A. E. Goodhart - 651-654 Comment on CHARLES GOODHART, "Some Regulatory Concerns" and "An Incentive Structure for Financial Regulation"
by Ernst Baltensperger - 655-656 Summary of the Discussion of the Paper by CHARLES A.E. GOODHART
by Tilo Kaufmann - 657-678 Capital Adequacy Regulation: There is Hardly an Alternative
by Niklaus Blattner - 679-682 Comment on the paper by NIKLAUS BLATTNER "Capital Adequacy Regulation"
by Jean Dermine - 683-684 Discussion on "Capital Adequacy Regulation: There is Hardly an Alternative" by NIKLAUS BLATTNER
by Stefan Hoffmann - 685-702 Market Structure, Monitoring and Capital Adequacy Regulation
by Thomas Gehrig - 703-706 Comments on the paper by THOMAS GEHRIG: "Market Structure, Monitoring and Capital Adequacy Regulation"
by Arnoud W.A. Boot - 707-708 Protocol of the Discussion on "Market Structure, Monitoring and Capital Adequacy Rules" by THOMAS GEHRIG
by Markus Staub - 709-734 Capital Adequacy Rules and the Risk-Seeking Behavior of Banks: A Firm-Level Analysis
by George Sheldon - 735-740 Comments on George Sheldon "Capital Adequacy Rules and the Risk-Seeking Behavior of Banks: A Firm-Level Analysis"
by Klaus Spremann - 741-742 Summary of the Discussion of the Paper by G. Sheldon
by Benedikt Gratzl - 743-754 Capital Asset Ratios and Bank Default Probabilities: An International Comparison Based on Accounting Data
by George Sheldon - 755-776 Capital Requirements for Market Risks Based on Inhouse Models - Aspects of Quality Assessment
by Martin Hellwig & Markus Straub
September 1996, Volume 132, Issue III
- 241-256 Global versus Local: Lessons from the Swiss Experience
by Remigio Ratti - 257-278 Liberalisation of Air Transport in Europe: The Survival of the Fittest?
by Peter Nijkamp - 279-292 Wettbewerb der Standorte - und die Schweiz? Bemerkungen aus Sicht der Export-Industrie
by Thomas P. Gasser - 293-298 Wechselwirkungen zwischen der schweizerischen Aussenpolitik und Wirtschaftspolitik
by Flavio Cotti - 299-316 Les défis pour la politique économique extérieure suisse dans le nouveau contexte économique mondial
by Philippe Gugler - 317-334 Das Technologieportfolio der Schweizer Industrie im In- und Ausland
by Beat Hotz-Hart & Carsten Küchler - 335-358 Das Innovationsprofil der Schweizer Industrie: Determinanten, Zielorientierung und Hemmnisfaktoren der Innovationstätigkeit
by Spyros Arvanitis & Heinz Hollenstein - 359-374 Les exportations industrielles des régions suisses: analyse des années 1988-1994
by Fabio Rossera & Siegfried Alberton & Emidio Borradori - 375-394 Patientenwanderungen in der EU: Modellierung und Implikationen für die Schweiz
by Luca Crivelli & Peter Zweifel - 395-414 Bevölkerungsentwicklung und Wirtschaftswachstum. Eine Simulationsanalyse für die Schweiz
by Christian Schmidt & Thomas Straubhaar - 415-426 Skalenineffîzienz der städtischen Elektrizitätsverteilswerke
by Massimo Filippini - 427-440 The Location Effects of Isolation
by Gianmarco I. P. Ottaviano - 441-456 Relative Attraktivität von Standorten: Eine empirische Analyse der Schweiz
by Rolf Weder - 457-472 Deregulierung der Gebäudeversicherung im Europäischen Binnenmarkt: Lehren für die Schweiz?
by Stefan Felder & Henrik Brinkmann - 473-494 Swiss Exchange Rate Appreciation and Domestic Economic Activity
by John A. Tatom
June 1996, Volume 132, Issue II
- 127-151 Biais du taux de change à terme: une approche multifactorielle
by Philippe Cornu & Henri Loubergé - 153-176 Term Premium and Volatility: A Nonlinear Analysis of the Swiss Interest Rates
by Chiente Hsu & Peter Kugler - 177-195 Bankenfreiheit und Noten-Überemission MCCULLOCH, LONGFIELD, der Schweizer Franken und die "small note mania" in Schottland
by Manfred Neldner - 197-201 Schweizerische Notenbanken im 19. Jahrhundert und Free Banking: Diskussionsbeitrag zu M. NELDNER, Bankenfreiheit und Noten-Überemission
by F. Ritzmann - 203-206 Schweizerische Notenbanken im 19. Jahrhundert und Free Banking: Eine Erwiderung
by Manfred Neldner - 207-222 Price and Output Effects of Heterogeneous Expectations
by Tobias F. Rötheli - 223-235 The European Monetary System and Real Interest Parity: Is there any Connection?
by Imad A. Moosa & Razzaque H. Bhatti
March 1996, Volume 132, Issue I
- 3-30 L'acceptabilité des taxes incitatives en Suisse
by Nicolas Wallart & Beat Buergenmeier - 31-61 Why is Swiss Politics so Stable?
by Peter Moser - 63-85 Eine spieltheoretische Analyse des Schweizerischen Parlaments
by Markus König - 87-108 Varianz der Eigenkapitalkosten von Schweizer Aktiengesellschaften
by Andreas Jacobs & Pius Z'graggen - 109-123 Contingent Valuation of Traffic Noise Reduction Benefits
by Nils Soguel
December 1995, Volume 131, Issue IV
- 599-615 Income Inequality Decomposition by Income Source and the Breakdown of Inequality Differences Between Two Population Subgroups
by Yves Flückiger & Jacques Silber - 617-636 Konsequenzen einer Abweichung vom Geldmengenziel für die Geldpolitik
by Volker Clausen - 637-647 The Causal Relationship Between Government Expenditure and Revenue: The Case of Switzerland
by Antonio Manzini & Milad Zarin-Nejadan - 649-672 Calcul d'un indice des loyers par post-stratification
by Gilbert Ritschard & Alessandro Dozio - 673-700 Performance-Messung: Eine empirische Untersuchung unter Berücksichtigung von Modellen mit variablen Parametern
by Alfred Bühler - 701-710 Einkommensungleichheit zwischen Frauen und Männern. Eine ökonometrische Analyse der Schweizer Arbeitskräfteerhebung: Kommentar
by Dorothé Bonjour & Michael Gerfin - 711-716 Konsequenzen alternativer Modellspezifikation - Eine Antwort auf die Kritik von Bonjour und Gerfin
by Andreas Diekmann & Henriette Engelhardt - 719-721 Capital Adequacy Rules as Instruments for the Regulation of Banks
by Niklaus Blattner - 723-737 Systemic Aspects of Risk Management in Banking and Finance
by Martin Hellwig - 739-740 Comment on the paper by Professor Hellwig "Systemic Aspects of Risk Management in Banking and Finance"
by Peter A. Wuffli - 741-745 Comment on "Systemic Aspects of Risk Management in Banking and Finance"; and Protocol of the Discussion
by Werner Hermann - 747-764 Capital Adequacy Rules: Implications for Banks' Risk-Taking
by Thomas Gehrig - 765-772 Comment on the Paper by Thomas Gehrig "Capital Adequacy Rules: Implications for Banks' Risk Taking"; and Summary of the Discussion
by Eva Terberger - 773-805 A Limit-Risk Capital Adequacy Rule: An Alternative Approach to Capital Adequacy Regulation for Banks with an Empirical Application to Switzerland
by George Sheldon - 807-810 Comment on "A Limit-Risk Capital Adequacy Rule: An Alternative Approach to Capital Adequacy Regulation for Banks with an Empirical Application to Switzerland"
by Günter Franke - 811-816 Capital Adequacy Rules and Insolvency Risk: An Empirical Study, Presented by Dr. George Sheldon
by Daniel Zuberbühler - 817-817 Discussion of the Paper by G. Sheldon
by Benedikt Gratzl - 819-830 Panel Discussion - Statements and Comments
by Niklaus Blattner
September 1995, Volume 131, Issue III
- 273-288 The Discipline of International Trade
by Ronald W. Jones - 289-301 Infrastructure, Human Capital and International Trade
by Ronald Findlay - 303-327 The Pivotal Role of the European Union for Central and Eastern Europe
by Alfred Steinherr - 329-341 Alternative Motivations for Including Trade Provisions in Multilateral Environmental Agreements
by Richard Blackhurst - 343-359 A Simple Heckscher-Ohlin Synthesis of Trade, Investment, Factor Flows and Transfers
by James R. Melvin - 361-376 Factor Market Distortions, the Gains from Trade and Comparative Advantage
by A. G. Schweinberger - 377-388 Domestic Demand, Comparative Advantage, and the Pattern of Trade
by Rolf Weder - 389-417 International Trade Policy Reforms and their Simulation
by Arja H. Turunen-Red & Alan D. Woodland - 419-439 Factor Specialization in U.S. and U.K. Trade: Simple Departures from the Factor-content Theory
by Keith E. Maskus & Allan Webster - 441-452 Antidumping Constraints and Trade Elimination
by Aleš Cerný & Nicolas Schmitt - 453-463 What Caused the Resurgence of Regionalism?
by Richard E. Baldwin - 465-488 Transport Costs and Economic Integration in the Americas
by Azita Amjadi & L. Alan Winters & Alexander Yeats - 489-501 La deuxième vague des unions régionales et Funiversalisme multilatéral
by Gaston Gaudard - 503-515 Modelling Reciprocal Trade Liberalization: The Political-economy and National-welfare Perspectives
by Arye L. Hillman & Ngo Van Long & Peter Moser - 517-533 Immigration, distribution des revenus et bien-être social
by Tobias Müller - 535-546 Trade Restrictions, Migration, and Economic Geography
by Daniel Heller