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Content
July 2004, Volume 21, Issue 4
May 2004, Volume 21, Issue 3
- 387-408 The macroeconomic impact of UK withdrawal from the EU
by Pain, Nigel & Young, Garry
- 409-428 Indeterminacy under non-separability of public consumption and leisure in the utility function
by Fernandez, Esther & Novales, Alfonso & Ruiz, Jesus
- 429-444 Energy saving technical progress and optimal capital stock: the role of embodiment
by Boucekkine, Raouf & Pommeret, Aude
- 445-470 Modeling spillovers and feedback of international trade in a disequilibrium framework
by Beck, Martin & Winker, Peter
- 471-508 Theoretical and operational issues in sub-regional economic modelling, illustrated through the development and application of the LINE model
by Madsen, Bjarne & Jensen-Butler, Chris
- 509-524 Why did the term structure of interest rates lose its predictive power?
by Jardet, Caroline
- 525-543 Inflation and inflation uncertainty in the United Kingdom, evidence from GARCH modelling
by Kontonikas, A.
- 545-560 Bonding, shirking and adverse selection
by Lin, Chung-cheng
- 561-572 Modelling Taylor rule uncertainty: an application to the euro area
by Martins, Fernando & Machado, Jose A. F. & Esteves, Paulo Soares
- 573-594 Cycles in dynamic economic modelling
by Manfredi, Piero & Fanti, Luciano
- 595-617 Modelling excess profit
by Magni, Carlo Alberto
March 2004, Volume 21, Issue 2
- 191-215 Production, supply and factor shares: an application to estimating German long-run supply
by McAdam, Peter & Willman, Alpo
- 217-232 Sectoral output trends and cycles in Victorian Britain
by Mills, Terence C. & Crafts, Nicholas F. R.
- 233-247 Modelling the commodity prices in the OECD countries: a stochastic approach
by Selvanathan, E. A. & Selvanathan, S.
- 249-265 Near-rational expectations in animal spirits models of aggregate fluctuations
by Weder, Mark
- 267-284 A reinvestigation of the markup and the business cycle
by Banerjee, Anindya & Russell, Bill
- 285-322 Cyclical features of the Uzawa-Lucas endogenous growth model
by Restrepo-Ochoa, Sergio I. & Vazquez, Jesus
- 323-343 Thick modeling
by Granger, Clive W. J. & Jeon, Yongil
- 345-360 The role of global vs. local negativity in functional form selection: an application to Canadian consumer demands
by Cranfield, J. A. L. & Pellow, Scott
- 361-385 Simultaneous estimation of an implicit directly additive demand system and the distribution of expenditure--an application of maximum entropy
by Cranfield, J. A. L. & Preckel, Paul V. & Eales, James S. & Hertel, Thomas W.
January 2004, Volume 21, Issue 1
- 1-35 How important are automatic stabilisers in Europe? A stochastic simulation assessment
by Barrell, Ray & Pina, Alvaro M.
- 37-71 Business cycles asymmetry and monetary policy: a further investigation using MRSTAR models
by Dufrenot, Gilles & Mignon, Valerie & Peguin-Feissolle, Anne
- 73-93 The term premium and the puzzles of the expectations hypothesis of the term structure
by Tzavalis, Elias
- 95-98 On dual-rate discounting
by Tol, Richard S. J.
- 99-129 Projecting world food demand using alternative demand systems
by Yu, Wusheng & Hertel, Thomas W. & Preckel, Paul V. & Eales, James S.
- 131-146 Can the labor market search model explain the fluctuations of allocations of time?
by Tripier, Fabien
- 147-174 Life expectancy, retirement and endogenous growth
by Echevarria, Cruz A.
- 175-189 Alternative ways of measuring and decomposing equivalent variation
by Fane, George & Ahammad, Helal
December 2003, Volume 20, Issue 6
- 1053-1081 Accumulation and distribution of human capital: the interaction between individual and aggregate variables
by Giannini, Massimo
- 1083-1095 A model of the G-3
by Chamberlin, G. & Henry, S. G. B. & Satchi, M.
- 1097-1111 Asymmetric adjustment costs and the dynamics of housing supply
by Kenny, Geoff
- 1113-1136 Money and growth in a cash-in-advance economy with costly credit
by Hromcova, Jana
- 1137-1149 Saving-investment correlations, capital mobility and crowding out: some further results
by AmirKhalkhali, Saleh & Dar, Atul & AmirKhalkhali, Samad
- 1151-1173 Liquidity constraints, precautionary saving and aggregate consumption: an international comparison
by Sarantis, Nicholas & Stewart, Chris
- 1175-1189 On the time stability of the output-capital ratio
by D'Adda, Carlo & Scorcu, Antonello E.
September 2003, Volume 20, Issue 5
- 895-921 The welfare effects of housing taxation in a distorted economy: a general equilibrium analysis
by Bye, Brita & Avitsland, Turid
- 923-940 The coefficient of relative risk aversion: a Monte Carlo study investigating small sample estimator problems
by Pozzi, Lorenzo
- 941-957 Dual-rate discounting in dynamic economic-environmental modeling
by Yang, Zili
- 959-985 Monetary and fiscal policy in the transition to EMU: what do SVAR models tell us?
by Bruneau, Catherine & De Bandt, Olivier
- 987-1013 The budgeting and economic consequences of ageing in the Netherlands
by Beetsma, Roel & Bettendorf, Leon & Broer, Peter
- 1015-1051 Voting on monetary policy in the Council of the European Central Bank
by Monticelli, Carlo
July 2003, Volume 20, Issue 4
- 679-701 Long-run Phillips-type trade-offs in European Union countries
by Koustas, Zisimos & Serletis, Apostolos
- 703-727 Trade liberalisation and effects on pollutive emissions to air and deposits of solid waste. A general equilibrium assessment for Norway
by Faehn, Taran & Holmoy, Erling
- 729-740 Convergence in a model with technological diffusion and capital mobility
by Duczynski, Petr
- 741-763 Balanced growth and public capital: an empirical analysis with I(2) trends in capital stock data
by Everaert, Gerdie
- 765-775 Evaluating core inflation indicators
by Robalo Marques, Carlos & Duarte Neves, Pedro & Morais Sarmento, Luis
- 777-789 Another look about the evolution of the risk premium: a VAR-GARCH-M model
by Iglesias, Emma M. & Phillips, Garry D. A.
- 791-807 Target zone credibility and economic fundamentals
by Tronzano, Marco & Psaradakis, Zacharias & Sola, Martin
- 809-838 Some international evidence on price determination: a non-stationary panel approach
by Ashworth, Paul & Byrne, Joseph P.
- 839-871 The adoption of energy-efficiency enhancing technologies.: Market performance and policy strategies in case of heterogeneous firms
by Verhoef, Erik T. & Nijkamp, Peter
- 873-893 The allocation of benefits under uncertainty: a decision-theoretic framework
by Abul Naga, Ramses H.
May 2003, Volume 20, Issue 3
- 437-453 Regime changes and econometric modeling of the demand for money in Korea
by Cheong, ChongCheul
- 455-486 A macroeconometric model with oligopolistic banks: monetary control, inflation and growth in Israel
by Beenstock, Michael & Azoulay, Eddy & Offenbacher, Akiva & Sulla, Olga
- 487-506 A model of the world's wine markets
by Wittwer, Glyn & Berger, Nick & Anderson, Kym
- 507-527 International monetary policy coordination: an evaluation using a large econometric model
by Barrell, Ray & Dury, Karen & Hurst, Ian
- 529-562 Assessment criteria for output gap estimates
by Camba-Mendez, Gonzalo & Rodriguez-Palenzuela, Diego
- 563-570 Does underground economy respond symmetrically to tax changes? Evidence from Greece
by Christopoulos, Dimitris K.
- 571-592 The performance of the Greek banking system in view of the EMU: results from a non-parametric approach
by Tsionas, Efthymios G. & Lolos, Sarantis E. G. & Christopoulos, Dimitris K.
- 593-603 Is there a relationship between real exchange rate movements and the output cycle?
by Mills, Terence C. & Pentecost, Eric J.
- 605-622 Is growth useful in RBC models?
by Matheron, Julien
- 623-649 An aggregate model for the European Union
by Bagnai, Alberto & Carlucci, Francesco
- 651-677 A nation divided? Price and output dynamics in English regions
by Fielding, David & Shields, Kalvinder
March 2003, Volume 20, Issue 2
- 227-236 S.G.B. Henry: a memoir and a festschrift essay
by Desai, Meghnad & Hall, Stephen G.
- 237-273 Unemployment in the European Union: a dynamic reappraisal
by Karanassou, Marika & Sala, Hector & Snower, Dennis
- 275-299 The implications of diversity in consumption behaviour for the choice of monetary policy rules in Europe
by Barrell, Ray & Byrne, Joseph P. & Dury, Karen
- 301-329 Economic forecasting: some lessons from recent research
by Hendry, David F. & Clements, Michael P.
- 331-360 How's life? Combining individual and national variables to explain subjective well-being
by Helliwell, John F.
- 361-382 Fiscal policy, interest rate shocks and prices
by Leith, Campbell & Warren, Paul & Wren-Lewis, Simon
- 383-415 Aggregation of linear dynamic models: an application to life-cycle consumption models under habit formation
by Hashem Pesaran, M.
- 417-435 Long rates, risk premia and the over-reaction hypothesis
by Cuthbertson, Keith & Nitzsche, Dirk
January 2003, Volume 20, Issue 1
- 1-24 The computable overlapping generations model with an endogenous growth mechanism
by Sadahiro, Akira & Shimasawa, Manabu
- 25-46 Asymmetric bank lending channels and ECB monetary policy
by Gambacorta, Leonardo
- 47-67 Tax smoothing, tax tilting and fiscal sustainability in Pakistan
by Cashin, Paul & Ul Haque, Nadeem & Olekalns, Nilss
- 69-92 SMILE: a small macro-econometric model of the French economy
by Carnot, Nicolas
- 93-117 How global is the solution to global warming?
by Hackl, Franz & Pruckner, Gerald J.
- 119-139 Imperfect competition in computable general equilibrium models -- a primer
by Hoffmann, Anders N.
- 141-164 Mean-reversion vs. adjustment to PPP: the two regimes of exchange rate dynamics under the EMS, 1979-1998
by Bessec, Marie
- 165-179 Modelling official and parallel exchange rates in Colombia under alternative regimes: a non-linear approach
by Milas, Costas & Otero, Jesus
- 181-206 On the estimation of an advertising-augmented, cointegrating demand system
by Duffy, Martyn
- 207-226 Modelling and forecasting in an energy demand system with high and low frequency information
by McAvinchey, Ian D.
November 2002, Volume 19, Issue 5
- 679-707 Incorporating international ownership of endowments into a global applied general equilibrium model
by Walmsley, Terrie L.
- 709-724 Externalities of investment, education and economic growth
by Greiner, Alfred & Semmler, Willi
- 725-746 Wage inequality between and within groups: trade-induced or skill-bias technical change? Alternative age models for the UK
by De Santis, Roberto A.
- 747-782 Seasonality patterns in tanker spot freight rate markets
by Kavussanos, Manolis G. & Alizadeh-M, Amir H.
- 783-799 Instability tests in cointegration relationships. An application to the term structure of interest rates
by Camarero, Mariam & Tamarit, Cecilio
- 801-814 A forecasting model of the Kenyan economy
by Musila, Jacob Wanjala & Rao, U. L. Gouranga
- 815-828 Profit sharing as a worker discipline device
by Lin, Chung-cheng & Chang, Juin-jen & Lai, Ching-chong
August 2002, Volume 19, Issue 4
- 509-529 Toward an econometric target zone model with endogenous devaluation risk for a small open economy
by Klaster, Michel A. & Knot, Klaas H. W.
- 531-564 The crisis of the CFA Franc zone: the case of Cote d'Ivoire
by Giorgioni, Gianluigi & Holden, Ken
- 565-584 Zimbabwe: Investments, credibility and the dynamics following trade liberalization: on the investment response during trade reform
by Mehlum, Halvor
- 585-609 Leisure versus learning-by-doing -- saturation effects and utility-side limits to endogenous growth
by Gocke, Matthias
- 611-639 The impact of news on the exchange rate of the lira and long-term interest rates
by Fornari, Fabio & Monticelli, Carlo & Pericoli, Marcello & Tivegna, Massimo
- 641-664 Public and private investment in the United States and Canada
by Voss, Graham M.
- 665-678 Rational habit modification in consumption
by Messinis, George & Henry, Olan & Olekalns, Nilss
May 2002, Volume 19, Issue 3
- 331-352 Macroeconomic consequences of downsizing
by van Schaik, Anton B. T. M. & de Groot, Henri L. F.
- 353-374 Towards the fundamentals of technical analysis: analysing the information content of High, Low and Close prices
by Fiess, Norbert M & MacDonald, Ronald
- 375-398 Parameter estimation for a computable general equilibrium model: a maximum entropy approach
by Arndt, Channing & Robinson, Sherman & Tarp, Finn
- 399-418 Excess volatility and efficiency in French and German stock markets
by Cuthbertson, Keith & Hyde, Stuart
- 419-444 Modelling the determinants of capital flows and capital flight: with an application to South African data from 1960 to 1995
by Fedderke, J. W. & Liu, W.
- 445-461 The virtuous imperative: modeling capital flows in the presence of non-linearity
by Fedderke, J. W.
- 463-485 A meta-analysis of price elasticities of transport demand in a general equilibrium framework
by Kremers, Hans & Nijkamp, Peter & Rietveld, Piet
- 487-507 Environmental policy in an endogenous growth model with human capital and endogenous labor supply
by Oueslati, Walid
March 2002, Volume 19, Issue 2
- 179-196 Non-sequential search, screening externalities and the public good role of recruitment offices
by Gautier, Pieter A.
- 197-219 Disaggregate dynamics and economic growth in Canada
by Wakerly, Elizabeth C.
- 221-244 Trade-offs in stabilisation: a real-financial CGE analysis with reference to India
by Naastepad, C. W. M.
- 245-259 Insurance bargaining under risk aversion
by Viaene, Stijn & Veugelers, Reinhilde & Dedene, Guido
- 261-275 On explaining China's rural sectors' productivity growth
by Wang, Xiaolu & Kalirajan, K. P.
- 277-293 Latent total consumption expenditure, unobservable individual preferences and panel data
by Zhu, Yu
- 295-330 An econometric model of the Malawian economy
by Musila, Jacob Wanjala
January 2002, Volume 19, Issue 1
- 1-24 Macroeconomic policy games and asset-price volatility in the EMS: a linear quadratic control analysis of France, Germany, Italy and Spain
by McNelis, Paul D. & Asilis, Carlos M.
- 25-40 The implausible growth effect of partial capital mobility: some neoclassical arithmetic
by Gundlach, Erich
- 41-63 The provision of impure public goods in a non-competitive market
by Cavalletti, Barbara & Levaggi, Rosella
- 65-90 Testing for non-stationarity and cointegration allowing for the possibility of a structural break: an application to EuroSterling interest rates
by Brooks, Chris & Rew, Alistair G.
- 91-104 Common features in UK sectoral output
by Harvey, David I. & Mills, Terence C.
- 105-120 Unemployment and productivity growth: an empirical analysis within an augmented Solow model
by Brauninger, Michael & Pannenberg, Markus
- 121-136 Fiscal policy in Sweden: effects of EMU criteria convergence
by Hatemi-J, Abdulnasser
- 137-152 Contractionary effects of expansionary fiscal policy: theory and tests
by Ahtiala, Pekka & Kanto, Antti
- 153-177 How well does the aggregate demand-aggregate supply framework explain unemployment fluctuations? A France-United States comparison
by Algan, Yann
December 2001, Volume 18, Issue 4
- 503-524 Stationarity and structural breaks -- evidence from classical and Bayesian approaches
by Noriega, Antonio E. & de Alba, Enrique
- 525-550 An investment-function-based measure of capacity utilisation.: Potential output and utilised capacity in the Bank of Italy's quarterly model
by Parigi, Giuseppe & Siviero, Stefano
- 551-568 Computation of non-linear continuous optimal growth models: experiments with optimal control algorithms and computer programs
by Islam, Sardar M. N. & Craven, B. D.
- 569-584 Coordination and price shocks: an empirical analysis
by Caporale, Guglielmo Maria & Chui, Michael & Hall, Stephen G. & Henry, Brian
- 585-611 Identification and dimension of the NAIRU
by Chiarini, Bruno & Piselli, Paolo
- 613-623 Exports, imports, and economic growth in Portugal: evidence from causality and cointegration analysis
by Ramos, Francisco F. Ribeiro
- 625-641 Modelling the spot prices of various coffee types
by Otero, Jesus & Milas, Costas
- 643-658 A fractionally integrated model with a mean shift for the US and the UK real oil prices
by Gil-Alana, Luis A.
August 2001, Volume 18, Issue 3
- 325-348 Leading inflation indicators for Greece
by Gibson, Heather D. & Lazaretou, Sophia
- 349-379 Modeling income policies: some Norwegian experiences 1973-1993
by Bowitz, Einar & Cappelen, Adne
- 381-397 Measuring the stability of the price system
by Fiorencio, Antonio & Bello Moreira, Ajax R.
- 399-414 Price thresholds, price volatility, and the private costs of investment in a developing country grain market
by Shively, Gerald E.
- 415-433 Macroeconomic instability and inflationary financing in Ghana
by Ghartey, Edward E.
- 435-454 Trade liberalization and pollution: a general equilibrium analysis of carbon dioxide emissions in Taiwan
by Yang, Hao-Yen
- 455-474 Empirical macro models under test. A comparative simulation study of the employment effects of a revenue neutral cut in social security contributions
by Buscher, Herbert S. & Buslei, Hermann & Goggelmann, Klaus & Koschel, Henrike & Schmidt, Tobias F. N. & Steiner, Viktor & Winker, Peter
- 475-501 Modelling the long-run demand for money in the United Kingdom: a random coefficient analysis
by Hondroyiannis, George & Swamy, P. A. V. B. & Tavlas, George S.
April 2001, Volume 18, Issue 2
- 159-179 Pitfalls in investment Euler equations
by Chatelain, Jean-Bernard & Teurlai, Jean-Christophe
- 181-202 Macroeconomic equilibrium with illegal immigration
by Agiomirgianakis, George & Zervoyianni, Athina
- 203-222 Expectations and information in second generation currency crises models
by Sbracia, Massimo & Zaghini, Andrea
- 223-231 Interest rate risk, labor supply and unemployment
by Basu, Parantap & Ghosh, Satyajit & Kallianiotis, Ioannis
- 233-252 Fading memory learning in a class of forward-looking models with an application to hyperinflation dynamics
by Barucci, Emilio
- 253-268 Fiscal policy and politics: theory and evidence from Greece 1960-1997
by Lockwood, Ben & Philippopoulos, Apostolis & Tzavalis, Elias
- 269-280 The Chow-Lin method using dynamic models
by Santos Silva, J. M. C. & Cardoso, F. N.
- 281-295 The rise in house prices in Dublin: bubble, fad or just fundamentals
by Roche, Maurice J.
- 297-311 Aspects of employment and unemployment in a model of the developed and the less developed economies
by Bhattacharya, Prabir C.
- 313-323 Markup, indexation and inflation: a bargaining approach
by Faria, Joao Ricardo
January 2001, Volume 18, Issue 1
- 1-17 The role of international trade on environmental efficiency: a DEA approach
by Taskin, Fatma & Zaim, Osman
- 19-47 Fiscal policy in a stochastic model of endogenous growth
by Canton, Erik
- 49-60 P-STAR analysis in a converging economy: the case of Greece
by Tsionas, Efthymios G.
- 61-73 Detecting rational bubbles in the residential housing markets of Hong Kong
by Chan, Hing Lin & Lee, Shu Kam & Woo, Kai Yin
- 75-96 Methodology for trend estimation
by Pollock, D. S. G.
- 97-116 Public capital and productivity growth: evidence for Belgium, 1953-1996
by Everaert, Gerdie & Heylen, Freddy
- 117-132 Iterative method for finding the balanced growth solution of the non-linear dynamic input-output model and the dynamic CGE model
by Zhang, Jin shui
- 133-157 Dynamic factor demands model: continuous time vs. discrete time
by Debrand, Thierry & Patrat, Nathalie
December 2000, Volume 17, Issue 4
- 455-471 The analysis of consumer demand in Greece. Model selection and dynamic specification
by Tridimas, George
- 473-483 Bootstrapping R2 and adjusted R2 in regression analysis
by Ohtani, Kazuhiro
- 485-496 On the validity and identification of long-run restrictions for a cointegrated system
by Paul Lau, Sau-Him
- 497-513 Linear and non-linear transmission of equity return volatility: evidence from the US, Japan and Australia
by Brooks, Chris & Henry, Olan T.
- 515-544 A monthly econometric model of the transmission of the Great Depression between the principal industrial economies
by Foreman-Peck, James & Hughes Hallett, Andrew & Ma, Yue
- 545-558 Aggregation in macroeconomic models: an empirical input-output approach
by Olsen, J. Asger
- 559-588 Dynamics of money, output and price interaction -- some Indian evidence
by Dutta Roy, Sudipta & Darbha, Gangadhar
- 589-617 Irreversible investment with uncertainty and strategic behavior
by Moretto, Michele
August 2000, Volume 17, Issue 3
- 339-357 Modelling economies in transition: an introduction
by Hall, Stephen & Mizon, Grayham E. & Welfe, Aleksander
- 359-373 Modelling of cointegration in the vector autoregressive model
by Johansen, Soren
- 375-385 Modeling inflation in Poland
by Welfe, Aleksander
- 387-413 Modelling shifts in the wage-price and unemployment-inflation relationships in Italy, Poland and the UK
by Marcellino, Massimiliano & Mizon, Grayham E.
- 415-437 Unemployment and the capital stock: a dynamic structural model of the UK supply side
by Hall, Stephen & Nixon, James
- 439-454 The German labour market and the unification shock
by Hansen, Gerd
April 2000, Volume 17, Issue 2
- 171-193 Fiscal policy rules in macroeconomic models: principles and practice
by Mitchell, Peter R. & Sault, Joanne E. & Wallis, Kenneth F.
- 195-207 Quality and efficiency
by Sengupta, Jati K.
- 209-246 Childcare subsidies, labour supply and public finance: an AGE approach
by Graafland, Johan J.
- 247-274 The core model of the Reserve Bank of New Zealand's Forecasting and Policy System
by Hunt, Benjamin & Rose, David & Scott, Alasdair
- 275-303 The BOF5 macroeconomic model of Finland, structure and dynamic microfoundations
by Willman, Alpo & Kortelainen, Mika & Mannisto, Hanna-Leena & Tujula, Mika
- 305-336 An econometric model of the Russian Federation
by Basdevant, Olivier
January 2000, Volume 17, Issue 1
- 1-11 A quarterly macroeconometric model for a highly inflationary and indebted country: Turkey
by Ozatay, Fatih
- 13-34 Endogenous technological advance in an econometric model: implications for productivity and potential output in the United States
by Richards, Gordon R.
- 35-47 Trade and growth: a theoretical exploration into foreign debts by NICs
by Leung, Hing-Man
- 49-69 Output price determination and the business cycle
by Smith, Peter N.
- 71-90 International trade and environmental policy: how effective is 'eco-dumping'?
by Xu, Xinpeng
- 91-106 The gains from exchange rate unification in Bangladesh
by Ahammad, Helal & Fane, George
- 107-137 Did Norway gain from the 1979-1985 oil price shock?
by Eika, Torbjorn & Magnussen, Knut A.
- 139-170 Growth cycles with technology shifts and externalities
by Eriksson, Clas & Lindh, Thomas
December 1999, Volume 16, Issue 4
- 475-487 Inflation and capital accumulation in an OLG model with money in the production function
by Petrucci, Alberto
- 489-502 Regional growth in West Germany: convergence or divergence?
by Funke, Michael & Strulik, Holger
- 503-513 An application of dynamic specifications of factor demand equations to interfuel substitution in US industrial energy demand
by Urga, Giovanni
- 515-544 Equilibrium-correction vs. differencing in macroeconometric forecasting
by Eitrheim, Oyvind & Husebo, Tore Anders & Nymoen, Ragnar
- 545-567 Modelling labour market dynamics with on-the-job search
by den Butter, Frank A. G. & Gorter, Cees
- 569-589 Equity and efficiency aspects of the Italian debt reduction
by Fehr, Hans & Ruocco, Anna
- 591-612 Balancing budget through tax increases or expenditure cuts: is it neutral?
by Garcia, Sophie & Henin, Pierre-Yves
- 613-629 Testing fractional integration with monthly data
by Gil-Alana, Luis A.
August 1999, Volume 16, Issue 3
- 307-330 Multiplicative utility and the influence of environmental care on the short-term economic growth rate
by Vellinga, Nico
- 331-353 Modelling the price of industrial commodities
by Baldursson, Fridrik M.
- 355-370 Intertemporal substitution in public and private consumption -- long-run evidence from the US and the UK
by van Dalen, Hendrik P.
- 371-388 Dynamic applied general equilibrium trade policy analysis in the presence of foreign asset cross-ownership
by Willenbockel, Dirk
- 389-409 Modelling the demand and supply sides of the housing market: evidence from Ireland1
by Kenny, Geoff
- 411-427 Population ageing and economic growth in seven OECD countries
by Fougere, Maxime & Merette, Marcel
- 429-453 Modelling and forecasting regional service employment in Great Britain1
by Sarantis, Nicholas & Swales, Caspar
- 455-473 A coupling algorithm for computing large-scale dynamic computable general equilibrium models
by Yang, Zili
April 1999, Volume 16, Issue 2