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Content
2024
2023
2021
2020
2018
- 2018-11 On the estimation of behavioral macroeconomic models via simulated maximum likelihood
by Kukacka, Jiri & Jang, Tae-Seok & Sacht, Stephen
- 2018-10 Macroeconomic dynamics under bounded rationality: On the impact of consumers' forecast heuristics
by Jang, Tae-Seok & Sacht, Stephen
- 2018-09 Forecast heuristics, consumer expectations, and new-Keynesian macroeconomics: A horse race
by Jang, Tae-Seok & Sacht, Stephen
- 2018-08 A structural approach to identify financial transmission in distinguished scenarios of crises
by Herwartz, Helmut & Roestel, Jan
- 2018-07 Inference for nonlinear state space models: A comparison of different methods applied to Markov-switching multifractal models
by Lux, Thomas
- 2018-06 Duration dependence as an unemployment stigma: Evidence from a field experiment in Germany
by Nüß, Patrick
- 2018-05 Challenging conventional wisdom: Experimental evidence on heterogeneity and coordination in avoiding a collective catastrophic event
by Waichman, Israel & Requate, Till & Karde, Markus & Milinski, Manfred
- 2018-04 Multilayer overlaps and correlations in the bank-firm credit network of Spain
by Luu, Duc Thi & Lux, Thomas
- 2018-03 An analysis of systematic risk in worldwide econonomic sentiment indices
by Luu, Duc Thi & Yanovski, Boyan & Lux, Thomas
- 2018-02 Tell the truth or not? The Montero mechanism for emissions control at work
by Requate, Tilman & Camacho-Cuena, Eva & Ch'ng, Kean Siang & Waichman, Israel
- 2018-01 Relative prices and climate policy: How the scarcity of non-market goods drives policy evaluation
by Drupp, Moritz A. & Hänsel, Martin C.
- 2017-03 Income inequality and the international transfer of environmental values
by Meya, Jasper N. & Drupp, Moritz A. & Hanley, Nick
2017
- 2017-08 Economic inequality and the value of nature
by Drupp, Moritz A. & Meya, Jasper N. & Baumgärtner, Stefan & Quaas, Martin F.
- 2017-07 Estimation of agent-based models using sequential Monte Carlo methods
by Lux, Thomas
- 2017-06 Quantifying the effect of labor market size on learning externalities
by Peters, Jan Cornelius
- 2017-05 On the distribution of links in financial networks: Structural heterogeneity and functional form
by Lux, Thomas
- 2017-04 Modeling consumer confidence and its role for expectation formation: A horse race
by Jang, Tae-Seok & Sacht, Stephen
- 2017-02 Structural correlations in the Italian overnight money market: An analysis based on network configuration models
by Luu, Duc Thi & Lux, Thomas & Yanovski, Boyan
- 2017-01 The impact of growth on unemployment in a low vs. a high inflation environment
by Tesfaselassie, Mewael F. & Wolters, Maik H.
- 2016-10 Do age complementarities affect labor productivity? Evidence from German firm level data
by Peters, Jan Cornelius
2016
- 2016-11 Quantifying the effect of labor market size on learning externalities
by Peters, Jan Cornelius
- 2016-09 Substitutability and the social cost of carbon in a solvable growth model with irreversible climate change
by Quaas, Martin F. & Bröcker, Johannes
- 2016-08 Shadow banking, financial regulation and animal spirits: An ACE approach
by Krug, Sebastian & Wohltmann, Hans-Werner
- 2016-07 Benefits of dense labour markets: Evidence from transitions to employment in Germany
by Hamann, Silke & Niebuhr, Annekatrin & Peters, Jan Cornelius
- 2016-06 Volatility effects of news shocks in New Keynesian models with optimal monetary policy
by Offick, Sven & Wohltmann, Hans-Werner
- 2016-05 Limits to substitution between ecosystem services and manufactured goods and implications for social discounting
by Drupp, Moritz A.
- 2016-04 Income inequality and willingness to pay for public environmental goods
by Baumgärtner, Stefan & Drupp, Moritz A. & Meya, Jasper N. & Munz, Jan M. & Quaas, Martin F.
- 2016-03 Demand rationing in Bertrand-Edgeworth markets with fixed capacities: An experiment
by Jacobs, Martin & Requate, Till
- 2016-02 Number of firms, rationing, matching, and knowledge: A comprehensive study of variations in experimental Kreps-Scheinkman markets
by Jacobs, Martin
- 2016-01 Bertrand-Edgeworth markets with increasing marginal costs and voluntary trading: Experimental evidence
by Jacobs, Martin & Requate, Till
2015
- 2015-08 The interaction between monetary and macroprudential policy: Should central banks "lean against the wind" to foster macrofinancial stability?
by Krug, Sebastian
- 2015-07 Volatility effects of news shocks in (B)RE models with optimal monetary policy
by Offick, Sven & Wohltmann, Hans-Werner
- 2015-06 Endogenous firm entry in an estimated model of the U.S. business cycle
by Offick, Sven & Winkler, Roland C.
- 2015-05 International trade and the occupational mix in manufacturing: Evidence from german micro data
by Boddin, Dominik & Henze, Philipp
- 2015-04 Monetary policy during financial crises: Is the transmission mechanism impaired?
by Jannsen, Nils & Potjagailo, Galina & Wolters, Maik H.
- 2015-03 Structural change and total factor productivity: Evidence from Germany
by Henze, Philipp
- 2015-02 Retailing and international trade: A survey of the literature
by Raff, Horst & Schmitt, Nicolas
- 2015-01 The agent-based Solow growth model with endogenous business cycles
by Stolzenburg, Ulrich
2014
- 2014-13 The impact of Basel III on financial (in)stability: An agent-based credit network approach
by Krug, Sebastian & Lengnick, Matthias & Wohltmann, Hans-Werner
- 2014-12 Optimal monetary policy in a new Keynesian model with animal spirits and financial markets
by Lengnick, Matthias & Wohltmann, Hans-Werner
- 2014-11 Growth determinants across time and space: A semiparametric panel data approach
by Stolzenburg, Ulrich
- 2014-10 Bernanke/Blinder revisited - The New Keynesian model with credit channel
by Offick, Sven & Wohltmann, Hans-Werner
- 2014-09 The changing dynamics of US inflation persistence: A quantile regression approach
by Tillmann, Peter & Wolters, Maik H.
- 2014-08 New trade in renewable resources and consumer preferences for diversity
by Quaas, Martin F. & Stöven, Max T.
- 2014-07 Forecasting the volatility of the dow jones islamic stock market index: Long memory vs. regime switching
by Nasr, Adnen Ben & Lux, Thomas & Ajm, Ahdi Noomen & Gupta, Rangan
- 2014-06 Animal spirits and the business cycle: Empirical evidence from moment matching
by Jang, Tae-Seok & Sacht, Stephen
- 2014-05 A theory of price adjustment under loss aversion
by Ahrens, Steffen & Pirschel, Inske & Snower, Dennis J.
- 2014-04 Identification of prior information via moment-matching
by Sacht, Stephen
- 2014-03 Optimal monetary policy responses and welfare analysis within the highfrequency New-Keynesian framework
by Sacht, Stephen
- 2014-02 Analysis of various shocks within the high-frequency versions of the baseline New-Keynesian model
by Sacht, Stephen
- 2014-01 Endogenous firm entry in an estimated model of the U.S. business cycle
by Offick, Sven & Winkler, Roland C.
2013
- 2013-04 Fast methods for jackknifing inequality indices
by Karoly, Lynn & Schröder, Carsten
- 2013-03 Evaluating point and density forecasts of DSGE models
by Wolters, Maik H.
- 2013-02 Sticky information models in Dynare
by Verona, Fabio & Wolters, Maik H.
- 2013-01 Analysis of discrete dependent variable models with spatial correlation
by Liesenfeld, Roman & Richard, Jean-François & Vogler, Jan
- 2012-02 [rev.] Public and private management of renewable resources: Who gains, who loses?
by Quaas, Martin F. & Stoeven, Max T.
2012
- 2012-16 Do large recessions reduce output permanently?
by Hosseinkouchack, Mehdi & Wolters, Maik H.
- 2012-15 Money creation and financial instability: An agent-based credit network approach
by Lengnick, Matthias & Krug, Sebastian & Wohltmann, Hans-Werner
- 2012-14 Multivariate wishart stochastic volatility and changes in regime
by Gribisch, Bastian
- 2012-13 A terminological note on cyclotomic polynomials and Blaschke matrices
by Offick, Sven & Wohltmann, Hans-Werner
- 2012-12 Identification of animal spirits in a bounded rationality model: An application to the euro area
by Jang, Tae-Seok & Sacht, Stephen
- 2012-11 The directional identification problem in Bayesian factor analysis: An ex-post approach
by Aßmann, Christian & Boysen-Hogrefe, Jens & Pape, Markus
- 2012-10 The Petersburg Paradox at 300
by Seidl, Christian
- 2012-09 Does the optimal size of a fish stock increase with environmental uncertainties?
by Kapaun, Ute & Quaas, Martin F.
- 2012-08 Moment matching versus Bayesian estimation: Backward-looking behaviour in a New-Keynesian baseline model
by Franke, Reiner & Jang, Tae-Seok & Sacht, Stephen
- 2012-07 Structural estimation of the New-Keynesian model: A formal test of backward- and forward-looking behavior
by Jang, Tae-Seok
- 2012-06 Intra-daily volatility spillovers between the US and German stock markets
by Golosnoy, Vasyl & Gribisch, Bastian & Liesenfeld, Roman
- 2012-05 Does more stringent environmental regulation induce or reduce technology adoption? When the rate of technology adoption is inverted u-shaped
by Perino, Grischa & Requate, Till
- 2012-04 The Petersburg Paradox: Menger revisited
by Seidl, Christian
- 2012-03 Sushi or fish fingers? Seafood diversity, collapsing fish stocks, and multi-species fishery management
by Quaas, Martin F. & Requate, Till
- 2012-02 Privatizing renewable resources: Who gains, who loses?
by Stoeven, Max T. & Quaas, Martin F.
- 2012-01 Envy, guilt, and the Phillips curve
by Ahrens, Steffen & Snower, Dennis J.
2011
- 2011-11 Efficient high-dimensional importance sampling in mixture frameworks
by Kleppe, Tore Selland & Liesenfeld, Roman
- 2011-10 Moment matching versus Bayesian estimation: Backward-looking behaviour in the new-Keynesian three-equations model
by Franke, Reiner & Jang, Tae-Seok & Sacht, Stephen
- 2011-09 Agent-based financial markets and New Keynesian macroeconomics: A synthesis
by Lengnick, Matthias & Wohltmann, Hans-Werner
- 2011-08 Estimating a high-frequency New Keynesian Phillips curve
by Ahrens, Steffen & Sacht, Stephen
- 2011-07 On the redistributive effects of Germany's feed-in tariff
by Grösche, Peter & Schröder, Carsten
- 2011-06 Fiscal equalization and regions' (un)willingness-to-tax: Evidence from Germany
by Bönke, Timm & Jochimsen, Beate & Schröder, Carsten
- 2011-05 Imports and the structure of retail markets
by Raff, Horst & Schmitt, Nicolas
- 2011-04 Agent-based macroeconomics - a baseline model
by Lengnick, Matthias
- 2011-03 On the effect of prospective payment system on hospital efficiency and competition for patients in Germany
by Herwartz, Helmut & Strumann, Christoph
- 2011-02 Banks, oligopolistic competition, and the business cycle: A new financial accelerator approach
by Totzek, Alexander
- 2011-01 Exchange rate pass-through: New evidence from German micro data
by Berner, Eike
2010
- 2010-11 On the role of social wage comparisons in gift-exchange experiments
by Siang, Ch'ng Kean & Requate, Till & Waichman, Israel
- 2010-10 Agent-based financial markets and New Keynesian macroeconomics: A synthesis
by Lengnick, Matthias & Wohltmann, Hans-Werner
- 2010-09 Pre-play communication in Cournot competition: An experiment with students and managers
by Waichman, Israel & Requate, Till & Siang, Ch'ng Kean
- 2010-08 Tax progression: International and intertemporal comparison using LIS data
by Pogorelskiy, Kirill & Seidl, Christian & Traub, Stefan
- 2010-07 The conditional autoregressive wishart model for multivariate stock market volatility
by Golosnoy, Vasyl & Gribisch, Bastian & Liesenfeld, Roman
- 2010-06 Betting on a long life: The role of subjective life expectancy in the demand for private pension insurance of german households
by Schulte, Katharina & Zirpel, Ulrike
- 2010-05 Fiscal stimulus in a model with endogenous firm entry
by Totzek, Alexander & Winkler, Roland C.
- 2010-04 Barro-Gordon revisited: reputational equilibria in a New Keynesian model
by Totzek, Alexander & Wohltmann, Hans-Werner
- 2010-03 German firms in service trade
by Kelle, Markus & Kleinert, Jörn
- 2010-02 Elicting public support for greening the electricity mix using random parameter techniques
by Grösche, Peter & Schröder, Carsten
- 2010-01 Some observations in the high-frequency versions of a standard new-keynesian model
by Franke, Reiner & Sacht, Stephen
2009
- 2009-11 Firms' heterogeneity, endogenous entry, and exit decisions
by Totzek, Alexander
- 2009-10 Persistence of a network core in the time evolution of interlocking directorates
by Milaković, Mishael & Raddant, Matthias & Birg, Laura
- 2009-09 Network hierarchy in Kirman's ant model: fund investment can create systemic risk
by Alfarano, Simone & Milaković, Mishael & Raddant, Matthias
- 2009-08 Banks and early deposit withdrawals in a new Keynesian framework
by Totzek, Alexander
- 2009-07 The effects of variance breaks on homogenous panel unit root tests
by Herwartz, Helmut & Siedenburg, Florian
- 2009-06 A new approach to unit root testing
by Herwartz, Helmut & Siedenburg, Florian
- 2009-05 On the (de)stabilizing effects of news shocks
by Winkler, Roland C. & Wohltmann, Hans-Werner
- 2009-04 Determinants and dynamics of current account reversals: an empirical analysis
by Liesenfeld, Roman & Moura, Guilherme V. & Richard, Jean-François
- 2009-03 A bayesian approach to model-based clustering for panel probit models
by Aßmann, Christian & Boysen-Hogrefe, Jens
- 2009-02 Efficient likelihood evaluation of state-space representations
by DeJong, David Neil & Dharmarajan, Hariharan & Liesenfeld, Roman & Moura, Guilherme V. & Richard, Jean-François
- 2009-01 Rational expectations models with anticipated shocks and optimal policy: a general solution method and a new Keynesian example
by Wohltmann, Hans-Werner & Winkler, Roland C.
2008
- 2008-21 On the Non-Optimality of Information: An Analysis of the Welfare Effects of Anticipated Shocks in the New Keynesian Model
by Wohltmann, Hans-Werner & Winkler, Roland C.
- 2008-20 The Bank, the Bank-Run, and the Central Bank: The Impact of Early Deposit Withdrawals in a New Keynesian Framework
by Totzek, Alexander
- 2008-19 Managers and Students Playing Cournot: Experimental Evidence from Malaysia
by Waichman, Israel & Requate, Till & Siang, Ch'ng Kean
- 2008-18 Can governments boost voluntary retirement savings via tax incentives and subsidies? A German case study for low-income households
by Corneo, Giacomo & Keese, Matthias & Schröder, Carsten
- 2008-17 When, how fast and by how much do trade costs change in the euro area?
by Herwartz, Helmut & Weber, Henning
- 2008-16 Exact inference in diagnosing value-at-risk estimates: A Monte Carlo device
by Herwartz, Helmut
- 2008-15 Artificial Long Memory Effects in Two Agend-Based Asset Pricing Models
by Franke, Reiner
- 2008-14 A Proof of Determinacy in the New-Keynesian Sticky Wages and Prices Model
by Franke, Reiner & Flaschel, Peter
- 2008-13 On the Interpretation of Price Adjustments and Demand in Asset Pricing Models with Mean-Variance Optimization
by Franke, Reiner
- 2008-12 Dynamic Factor Models for Multivariate Count Data: An Application to Stock-Market Trading Activity
by Jung, Robert & Liesenfeld, Roman & Richard, Jean-François
- 2008-11 A Framed Field Experiment on Collective Enforcement Mechanisms with Ethiopian Farmers
by Reichhuber, Anke & Camacho Cuena, Eva & Requate, Till
- 2008-10 A Statistical Equilibrium Model of Competitive Firms
by Irle, Albrecht & Milaković, Mishael & Alfarano, Simone & Kauschke, Jonas
- 2008-09 Multifractality and long-range dependence of asset returns: The scaling behaviour of the Markov-switching multifractal model with lognormal volatility components
by Liu, Ruipeng & Di Matteo, Tiziana & Lux, Thomas
- 2008-08 Stochastic behavioral asset pricing models and the stylized facts
by Lux, Thomas
- 2008-07 Rational forecasts or social opinion dynamics? Identification of interaction effects in a business climate survey
by Lux, Thomas
- 2008-06 Incomes and inequality in the long run: the case of German elderly
by Bönke, Timm & Schröder, Carsten & Schulte, Katharina
- 2008-05 Anticipated and unanticipated oil price shocks and optimal monetary policy
by Wohltmann, Hans-Werner & Winkler, Roland C.
- 2008-04 Should Network Structure Matter in Agent-Based Finance?
by Alfarano, Simone & Milaković, Mishael
- 2008-03 Does Classical Competition Explain the Statistical Features of Firm Growth?
by Alfarano, Simone & Milaković, Mishael
- 2008-02 Firm Productivity and the Foreign-Market Entry Decision
by Raff, Horst & Ryan, Michael & Stähler, Frank
- 2008-01 Assessing the Effect of Current Account and Currency Crises on Economic Growth
by Aßmann, Christian
2007
- 2007-32 Solution of RE Models with Anticipated Shocks and Optimal Policy
by Wohltmann, Hans-Werner & Winkler, Roland C.
- 2007-31 Equivalence scales reconsidered: an empirical investigation
by Bönke, Timm & Schröder, Carsten
- 2007-30 Erhöht die Riester-Förderung die Sparneigung von Geringverdienern?
by Schröder, Carsten & Keese, Matthias & Corneo, Giacomo
- 2007-29 A robust bootstrap approach to the Hausman test in stationary panel data models
by Herwartz, Helmut & Neumann, Michael H.
- 2007-28 Subsidies for Wind Power: Surfing down the Learning Curve?
by Bläsi, Albrecht & Requate, Till
- 2007-27 A Heterogenous Agents Model Usable for the Analysis of Currency Transaction Taxes
by Demary, Markus
- 2007-26 The Multinomial Multiperiod Probit Model: Identification and Efficient Estimation
by Liesenfeld, Roman & Richard, Jean-François
- 2007-25 An Efficient Filtering Approach to Likelihood Approximation for State-Space Representations
by DeJong, David Neil & Dharmarajan, Hariharan & Liesenfeld, Roman & Richard, Jean-François
- 2007-24 Does Purchasing Power Parity Hold Sometimes? Regime Switching in Real Exchange Rates
by Lee, Hwa-Taek & Yoon, Gawon
- 2007-23 Semiparametric Approaches to the Prediction of Conditional Correlation Matrices in Finance
by Herwartz, Helmut & Golosnoy, Vasyl
- 2007-22 Firm-Specific Characteristics and the Timing of Foreign Direct Investment Projects
by Ryan, Michael & Raff, Horst
- 2007-21 Political Stasis or Protectionist Rut? Policy Mechanisms for Trade Reform in a Democracy
by Willmann, Gerald & Blanchard, Emily J.
- 2007-20 The Effects of Trade Liberalization on Productivity and Welfare: The Role of Firm Heterogeneity, R&D and Market Structure
by Stähler, Frank & Raff, Horst & Long, Ngo Van
- 2007-19 The Choice of Market Entry Mode: Greenfield Investment, M&A and Joint Venture
by Stähler, Frank & Ryan, Michael & Raff, Horst
- 2007-18 Whole versus Shared Ownership of Foreign Affiliates
by Stähler, Frank & Ryan, Michael & Raff, Horst
- 2007-17 Determinants and Costs of Current Account Reversals under Heterogeneity and Serial Correlation
by Aßmann, Christian
- 2007-16 Self-Insurance and Self-Protection as Public Goods
by Schmidt, Ulrich & Robledo, Julio R. & Lohse, Tim
- 2007-15 A new approach to bootstrap inference in functional coefficient models
by Herwartz, Helmut & Xu, Fang
- 2007-14 A functional coefficient model view of the Feldstein-Horioka puzzle
by Herwartz, Helmut & Xu, Fang
- 2007-13 The Political Economy of Environmental Regulations and Industry Compensation
by Stoschek, Barbara
- 2007-12 The yield spread and GDP growth - Time Varying Leading Properties and the Role of Monetary Policy
by Hogrefe, Jens
- 2007-11 Dynamic Panel Probit Models for Current Account Reversals and their Efficient Estimation
by Moura, Guilherme V. & Richard, Jean-François & Liesenfeld, Roman
- 2007-10 The Impossibility of a Just Pigouvian
by de la Vega, Casilda Lasso & Seidl, Christian
- 2007-09 A note on model selection in (time series) regression models - General-to-specific or specific-to-general?
by Herwartz, Helmut
- 2007-08 Substitutability and protectionism: Latin America's trade policy and imports from China and India
by Facchini, Giovanni & Olarreaga, Marcelo & Silva, Peri & Willmann, Gerald
- 2007-07 Alternative Use Systems for the Remaining Cloud Forest in Ethiopia and the Role of Arabica Coffee - A Cost-Benefit Analysis
by Reichhuber, Anke & Requate, Till
- 2007-06 True and Apparent Scaling: The Proximity of the Markov- Switching Multifractal Model to Long-Range Dependence
by Liu, Ruipeng & Di Matteo, Tiziana & Lux, Thomas
- 2007-05 Applications of statistical physics in finance and economics
by Lux, Thomas
- 2007-04 Environmental Policy and Incentives to Invest in Advanced Abatement Technology if Arrival of Future Technology is Uncertain - Extended Version
by von Döllen, Andreas & Requate, Till
- 2007-03 Flat Tax mit sozialer Grundsicherung: die optimale Kombination
by Seidl, Christian
- 2007-02 Should WTO dispute settlement be subsidized?
by Wilckens, Sebastian
- 2007-01 Parametric Weighting Functions
by Zank, Horst & Schmidt, Ulrich & Diecidue, Enrico
2006
- 2006-19 Anticipated Raw Materials Price Shocks and Monetary Policy Response - A New Keynesian Approach
by Winkler, Roland C. & Wohltmann, Hans-Werner
- 2006-18 Tobacco and alcohol: complements or substitutes? A statistical Guinea Pig approach
by Requate, Till & Göhlmann, Silja & Tauchmann, Harald & Schmidt, Christoph M.
- 2006-17 The Markov-Switching Multifractal Model of asset returns: GMM estimation and linear forecasting of volatility
by Lux, Thomas
- 2006-16 Time-variation of higher moments in a financial market with heterogeneous agents: An analytical approach
by Alfarano, Simone & Lux, Thomas & Wagner, Friedrich
- 2006-15 Microscopic models of financial markets
by Samanidou, Egle & Zschischang, Elmar & Stauffer, Dietrich & Lux, Thomas
- 2006-14 Transaction taxes, traders' behavior and exchange rate risks
by Demary, Markus
- 2006-13 Forecasting volatility and volume in the Tokyo stock market: Long memory, fractality and regime switching
by Lux, Thomas & Kaizoji, Taisei
- 2006-12 Financial power laws: Empirical evidence, models, and mechanism
by Lux, Thomas
- 2006-11 A minimal noise trader model with realistic time series properties
by Alfarano, Simone & Lux, Thomas
- 2006-10 Empirical Tests of Intransitivity Predicted by Models of Risky Choice
by Birnbaum, Michael H. & Schmidt, Ulrich
- 2006-09 An Experimental Investigation of the Disparity between WTA and WTP for Lotteries
by Traub, Stefan & Schmidt, Ulrich
- 2006-08 An Experimental Investigation of Alternatives to Expected Utility Using Pricing Data
by Morone, Andrea & Schmidt, Ulrich
- 2006-07 Reviewing the sustainability/stationarity of current account imbalances with tests for bounded integration
by Herwartz, Helmut & Xu, Fang
- 2006-06 Panel data model comparison for empirical saving-investment relations
by Herwartz, Helmut & Xu, Fang
- 2006-05 Improving MCMC Using Efficient Importance Sampling
by Liesenfeld, Roman & Richard, Jean-François
- 2006-04 Modelling the Fisher hypothesis: World wide evidence
by Herwartz, Helmut & Reimers, Hans-Eggert
- 2006-03 The Provision of Local Public Services in a Risky Environment: An Application to Crime
by Traub, Stefan
2005
- 2006-02 The Decline in German Output Volatility: A Bayesian Analysis
by Liesenfeld, Roman & Hogrefe, Jens & Aßmann, Christian
- 2006-01 Asset Ownership and Foreign-Market Entry
by Raff, Horst & Ryan, Michael & Stähler, Frank
- 2005-19 Dynamische Effekte der Geld-und Fiskalpolitik in einem asymmetrischen Drei-Länder-Modell mit einer Währungsunion
by Wohltmann, Hans-Werner
- 2005-18 Monetary and Fiscal Policy in a Large Asymmetric Monetary Union - A Dynamic Three-Country Analysis
by Clausen, Volker & Wohltmann, Hans-Werner
- 2005-17 Monetary Policy Dynamics in Large Oil-Dependent Economies
by Wohltmann, Hans-Werner & Winkler, Roland C.
- 2005-16 Quality Investment and Price Formation in the Performing Arts Sector: A Spatial Analysis
by Traub, Stefan
- 2005-15 The Introduction of the Euro and its Effects on Investment Decisions
by Haselmann, Rainer & Helmut, Herwartz
- 2005-14 Time-variation of higher moments in a financial market with heterogeneous agents: An analytical approach
by Alfarano, Simone & Lux, Thomas & Wagner, Friedrich
- 2005-13 A noise trader model as a generator of apparent financial power laws and long memory
by Alfarano, Simone & Lux, Thomas
- 2005-12 Environmental Policy under Imperfect Competition: A Survey
by Requate, Till
- 2005-11 Alternative distributions for observation driven count series models
by Drescher, Daniel
- 2005-10 Oil Price Shocks and Currency Denomination
by Wohltmann, Hans-Werner & Winkler, Roland C.
- 2005-09 Learning-by-Doing with Spillovers in Competitive Industries, Free Entry, and Regulatory Policy
by Bläsi, Albrecht & Requate, Till
- 2005-08 Time Series of Count Data: Modelling and Estimation
by Jung, Robert & Kukuk, Martin & Liesenfeld, Roman
- 2005-07 Why Parallel Trade May Raise Producers' Profits
by Raff, Horst & Schmitt, Nicolas