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Collection's Items (Sorted by Submit Date in Descending order): 301 to 350 of 1064
Issue DateTitleAuthor(s)
23-Sep-2020GDP per capita in Europe: time trends and persistenceCaporale, GM; Gil-Alana, LA; Monge, M
1-Jun-2020Political instability, institutional change and economic growth in Brazil since 1870Campos, N; Karanasos, M; Koutroumpis, P; Zhang, Z
Sep-2016The current state of financial (dis)integration in the euro areaMacchiarelli, C; Koutroumpis, P
Feb-2016Policy options and risks of an extension of the ECB’s quantitative easing programme: An analysisMacchiarelli, C; Gerba, E
Nov-2015Is globalization reducing the ability of central banks to control inflation?Macchiarelli, C; Gerba, E
15-Jan-2020Communication During Unconventional Times: The ECB’s ApproachMacchiarelli, C; Gerba, E
Jun-2015Sovereign Bond Purchases and Risk Sharing: Myth and Reality of the European QEMacchiarelli, C; Gerba, E
Dec-2011A VAR analysis for the uncovered interest parity and the ex-ante purchasing power parity: the role of macroeconomic and financial informationMacchiarelli, C
14-Jul-2013On the Join Test of the Uncovered Interest Parity and the Ex-Ante Purchasing Power ParityMacchiarelli, C
16-Sep-2019The ECB’s Unfinished Business: Challenges ahead for EMU Monetary and Fiscal Policy ArchitectureMacchiarelli, C; Gerba, E; Diessner, S
24-Sep-2018Post-crisis Excess Liquidity and Bank LendingMacchiarelli, C
1-Jan-2016European economic governance and cohesion policyMacchiarelli, C; Begg, I; John Bachtler, J; Mendez, C; Fiona Wishlade, F
1-Oct-2015Interaction between monetary policy and bank regulation: Theory and European practiceMacchiarelli, C; Gerba, E
12-Oct-2016The Impact of Income and Health on the Economic Decision to Retire (Early)Macchiarelli, C; Aranki, T
Jun-2017Fundamentals versus market sentiments in the euro bond markets: Implications for QEMacchiarelli, C; De Grauwe, P; Ji, Y
2018Symmetry and Convergence in Monetary UnionsMacchiarelli, C; Campos, N
14-Mar-2019Transition dynamics in European labour markets during crisis and recoveryMacchiarelli, C; Monastiriotis, V; Lampropoulou, N
28-Jun-2019Financial frictions and housing collateral constraints in a macro model with heuristicsMacchiarelli, C; De Grauwe, P
2-Jul-2018The ECB Collateral Policy Beyond Conventional Monetary Stimulus: In depth analysisMacchiarelli, C; Monti, M
21-Jun-2016Assessing ECB Quantitative Easing: One Year On: In depth analysisMacchiarelli, C; Gerba, E
23-Mar-2015Financial (in)stability low interest rates and (un)conventional monetary policyMacchiarelli, C; Gerba, E
26-Feb-2018The euro-area denominated payment systems and the conduct of monetary policy: Some considerations ahead of BrexitMacchiarelli, C; Monti, M
28-Nov-2016The Impact of Brexit on the Stability of the Euro AreaMacchiarelli, C; Campos, NF
1-Sep-2020Persistence in the market risk premium: evidence across countriesCaporale, GM; Gil-Alana, L; Martin-Valmayor, M
28-Nov-2019Roads to prosperity without environmental poverty: The role of impatienceDioikitopoulos, EV; Ghosh, S; Karydas, C; Vella, E
26-Oct-2020Auction with leaks about early bids: Analysis and experimental behaviorFischer, S; Güth, W; Kaplan, TR; Zultan, R
12-Oct-2019Do victims of crime trust less but participate more in social organizations?Pazzona, M
21-Jun-2020Exploring the determinants of on-farm transitions: Evidence from rural ChinaWang, H; Fidrmuc, J; Luo, Q; Luo, M
2019Are World Leaders Loss Averse?Gould, M; Rablen, MD
2014Strategic private experimentationFelgenhauer, M; Schulte, E
25-Aug-2017Bayesian Persuasion with Private ExperimentationFelgenhauer, M; Loerke, P
20-Feb-2018Endogenous Persuasion with Costly VerificationFelgenhauer, M
6-Oct-2016Preselection and expert adviceSchulte, E; Felgenhauer, M
25-Mar-2019State of the debate contingent argumentsFelgenhauer, M; Xu, F
2014Testing for unit roots in bounded time seriesCavaliere, G; Xu, F
5-Aug-2020On the persistence of UK inflation: A long-range dependence approachCaporale, GM; Gil-Alana, LA; Trani, T
18-Jun-2020Investors' trading behaviour and stock market volatility during crisis periods: A dual long-memory model for the Korean Stock ExchangeCaporale, GM; Karanasos, M; Yfanti, S; Kartsaklas, A
17-May-2020Nonlinear Autoregressive Distributed Lag Approach: An Application on the Connectedness between Bitcoin Returns and the Other Ten Most Relevant Cryptocurrency ReturnsGonzález, MDLO; Jareño, F; Skinner, F
Jan-2019The bank capital-competition-risk nexus; a global perspectiveDavis, EP; Karim, D; Noel, D
18-Jul-2018On the solution of the variational optimisation in the rational inattention frameworkHashimzade, N
27-May-2020Momentum effects in the cryptocurrency market after one-day abnormal returnsCaporale, GM; Plastun, A
30-Mar-2020The effect of macroprudential policy on banks' profitabilityDavis, EP; Karim, D; Noel, D
6-Feb-2015Macroeconomic information, structural change, and the prediction of fiscal aggregatesCarriero, A; Mumtaz, H; Theophilopoulou, A
13-Apr-2020Prospects for a monetary union in the East Africa Community: some empirical evidenceCaporale, GM; Gil-Alana, L
9-Sep-2020Daily abnormal price changes and trading strategies in the FOREXCaporale, GM; Plastun, A
19-Mar-2014A shape-based decomposition of the yield adjustment term in the arbitrage-free Nelson and Siegel (AFNS) model of the yield curveSteeley, JM
28-Feb-2020On the macro-drivers of realized volatility: the destabilizing impact of UK policy uncertainty across EuropeKaranasos, M; Yfanti, S
24-Aug-2015The effects of quantitative easing on the integration of UK capital marketsSteeley, JM
Jan-2015The effects of quantitative easing on the volatility of the gilt-edged marketSteeley, JM; Matyushkin, A
8-Jul-2017The effect of quantitative easing on the variance and covariance of the UK and US equity marketsShogbuyi, A; Steeley, JM
Collection's Items (Sorted by Submit Date in Descending order): 301 to 350 of 1064