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DNB Working Papers
from Netherlands Central Bank, Research Department Contact information at EDIRC . Series data maintained by Arjen Siegmann ().
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192: Confidence in Monetary Policy
Yakov Ben-Haim and Maria Demertzis
191: Did the anchor of inflation expectations in the euro area turn adrift?
Gabriele Galati , Steven Poelhekke and Chen Zhou
190: Modelling Industry-level Ccorporate Credit Risk for the Netherlands
Ruud Vermeulen
189: Are Asset Returns Predictable from the National Accounts?
Pierre Lafourcade
188: Can subjective survival expectations explain retirement behaviour?
Owen O'Donnell , Federica Teppa and Eddy K.A. Van Doorslaer
187: A Measure for Credibility: Tracking US Monetary Developments
Maria Demertzis , Massimiliano Marcellino and Nicola Viegi
186: Europeanization or Globalization? Transnational Wage Bargaining and the Distribution of Activity in European Labor Markets
Maria Demertzis , Andrew Hughes Hallett and Nicolien Schermer
185: Has the Clarity of Humphrey-Hawkins Testimonies Affected Volatility in Financial Markets?
David-Jan Jansen
184: Monetary Policy Committees: meetings and outcomes
Jan Marc Berk and Beata Bierut
183: Pension regulation and the market value of pension liabilities - a contingent claims analysis using Parisian options
Dirk Broeders and An Chen
182: Are Product and Labour Market Reforms Mutually Reinforcing?
Paul Cavelaars
181: Competition, bargaining power and pricing in two-sided markets
Wilko Bolt and Kimmo Soramäki
180: Minimum Funding Ratios for Defined-Benefit Pension Funds
Arjen Siegmann
179: Preferences for redistribution in the Netherlands
Jan Kakes and Jasper de Winter
178: Optimal Central Bank Transparency
Carin van der Cruijsen , Sylvester Eijffinger and Lex H. Hoogduin
177: Towards a Network Description of Interbank Payment Flows
Marc Pröpper , Iman van Lelyveld and Ronald Heijmans
176: Market Thinness, List Price Revisions and Time to Sell: Evidence from a large-scale housing dataset
Marco Hoeberichts , Maarten van Rooij and Arjen Siegmann
175: Liquidity Stress-Tester: A macro model for stress-testing banks' liquidity risk
Jan Willem van den End
174: Do financial conglomerates create or destroy value? Evidence for the EU
Iman van Lelyveld and Klaas Knot
173: Multivariate Feller conditions in term structure models: Why do(n't) we care?
Peter Spreij , Enno Veerman and Peter Vlaar
172: Location Decisions of Foreign Banks and Institutional Competitive Advantage
Stijn Claessens and Neeltje Van Horen
171: Impact of bank competition on the interest rate pass-through in the euro area
Michiel Van Leuvensteijn , Christoffer Kok Sørensen , Jacob Bikker and Adrian van Rixtel
170: Central Bank Communication and Monetary Policy: A Survey of Theory and Evidence
Alan S. Blinder , Michael Ehrmann , Marcel Fratzscher , Jakob de Haan and David-Jan Jansen
169: Did fiscal policy makers know what they were doing? Reassessing fiscal policy with real-time data
Kerstin Bernoth , Andrew Hughes Hallet and John Lewis (Andrew Hughes Hallett )
168: Optimal life cycle investment with pay-as-you-go pension schemes: a portfolio approach
Willem Heeringa
167: How Banking competition Changed over Time
Jacob Bikker and Laura Spierdijk
166: How do Expenditure Rules affect Fiscal Behaviour?
Peter Wierts
165: Choice or No Choice: What explains the Attractiveness of Default Options?
Maarten van Rooij and Federica Teppa
164: Performance of the Dutch non-life insurance industry: competition, efficiency and focus
Jacob Bikker and Janko Gorter
163: Actual versus Perceived Transparency: The Case of the European Central Bank
Carin van der Cruijsen and Sylvester Eijffinger
162: FDI and the Relevance of Spatial Linkages: do third country effects matter for Dutch FDI?
Harry Garretsen and Jolanda Peeters
160: Taylor Rules for the ECB using Consensus Data
Janko Gorter , Jan Jacobs and Jakob de Haan
159: Market Valuation, Pension Fund Policy and Contribution Volatility
Maarten van Rooij , Arjen Siegmann and Peter Vlaar
158: Pension fund finance and sponsoring companies: empirical evidence on theoretical hypotheses
E Philip Davis , Sybille Grob and Leo de Haan
157: Preference heterogeneity in monetary policy committees
Alessandro Riboni and Francisco J. Ruge-Murcia
156: Stock market performance and pension fund investment policy: rebalancing, free float, or market timing?
Jacob Bikker , Laura Spierdijk and Paul Finniez
154: Stock market performance and pension fund investment policy: rebalancing, free float, or market timing?
Jacob Bikker , Dirk W.G.A. Broeders and Jan de Dreu
153: Identifying Regional and Sectoral Dynamics of the Dutch Staffing Labour Cycle
Ard Den Reijer
152: On the Impact of Income and Policy Shocks on Consumption
Tamim A Bayoumi and Silvia Sgherri
151: The Maastricht Inflation Criterion: What is the Effect of Expansion of the European Union?
John Lewis and Karsten Staehr
150: Information, data dimension and factor structure
Jan Jacobs , Pieter Otter and Ard Den Reijer
149: Inflation Targeting - a Framework for Communication
Maria Demertzis and Nicola Viegi
148: The Importance of Being Vigilant: Has ECB Communication Influenced Euro Area Inflation Expectations?
David-Jan Jansen and Jakob de Haan
147: Regional real exchange rates and Phillips curves in monetary unions - Evidence from the US and EMU
Jan Marc Berk and Job Swank
146: Financial literacy and stock market participation
Maarten van Rooij , Annamaria Lusardi and Rob Alessi
145: Are non-risk based capital requirements for insurance companies binding?
Leo de Haan and Jan Kakes
144: Market timing and corporate capital structure - A transatlantic comparison
W. Allard Bruinshoofd and Leo de Haan
143: A new approach to measuring competition in the loan markets of the euro area
Michiel Van Leuvensteijn , Jacob Bikker , Adrian van Rixtel and Christoffer Kok-Sorensen (Christoffer Kok Sørensen )
142: (Un)naturally Low? Sequential Monte Carlo Tracking of the US Natural Interest Rate
Marco Jacopo Lombardi and Silvia Sgherri
141: Who pays for banking supervision? Principles and practices
Donato Masciandaro , Maria Nieto and Henriette Prast