Details about David G. Barr
Access statistics for papers by David G. Barr.
Last updated 2023-10-08. Update your information in the RePEc Author Service.
Short-id: pba1255
Jump to Journal Articles Chapters
Working Papers
2014
- GDP-linked bonds and sovereign default
Bank of England working papers, Bank of England View citations (31)
See also Chapter GDP-linked Bonds and Sovereign Default, International Economic Association Series, Palgrave Macmillan (2014) View citations (21) (2014)
1997
- Inflation, Real Interest Rates, and the Bond Market: A Study of UK Nominal and Index-Linked Government Bond Prices
Scholarly Articles, Harvard University Department of Economics View citations (90)
Also in CERF Discussion Paper Series, Economics and Finance Section, School of Social Sciences, Brunel University NBER Working Papers, National Bureau of Economic Research, Inc (1996) View citations (36)
1995
- An assessment of the relative importance of real interest rates, inflation and term premia in determining the prices of real and nominal UK bonds
Bank of England working papers, Bank of England View citations (18)
- Inflation, Real Interest Rates and the Bond Market: A Study of UK Nominal Index-Linked Government Bond Prices
Harvard Institute of Economic Research Working Papers, Harvard - Institute of Economic Research View citations (2)
Undated
- Expected Returns, Risk, and the Integration of International Bond Markets
Economics and Finance Discussion Papers, Economics and Finance Section, School of Social Sciences, Brunel University
Also in CERF Discussion Paper Series, Economics and Finance Section, School of Social Sciences, Brunel University
See also Journal Article Expected returns, risk and the integration of international bond markets, Journal of International Money and Finance, Elsevier (2004) View citations (97) (2004)
- Measuring the Excess Profits of the UK’s recently Privatised Utilities
Economics and Finance Discussion Papers, Economics and Finance Section, School of Social Sciences, Brunel University
Journal Articles
2004
- Expected returns, risk and the integration of international bond markets
Journal of International Money and Finance, 2004, 23, (1), 71-97 View citations (97)
See also Working Paper Expected Returns, Risk, and the Integration of International Bond Markets, Economics and Finance Discussion Papers
2003
- Life on the outside: economic conditions and prospects outside euroland
(Do domestic firms benefit from foreign direct investment? Evidence from Venezuela)
Economic Policy, 2003, 18, (37), 573-613 View citations (73)
2000
- Abnormal Stock Returns and Public Policy: The Case of the UK Privatised Electricity and Water Utilities
International Journal of Finance & Economics, 2000, 5, (2), 93-106 View citations (3)
- An Assessment Of The Relative Importance Of Real Interest Rates, Inflation, And Term Premiums In Determining The Prices Of Real And Nominal U.K. Bonds
The Review of Economics and Statistics, 2000, 79, (3), 362-366 View citations (14)
1994
- The Demand for Financial Assets Held in the U.K. by the Overseas Sector: An Application of Two-Stage Budgeting
The Manchester School of Economic & Social Studies, 1994, 62, (1), 1-20 View citations (5)
1992
- A Data Based Simulation Model of the Financial Asset Decisions of UK, 'Other' Financial Intermediaries
Scottish Journal of Political Economy, 1992, 39, (3), 241-60 View citations (2)
- Company Sector Liquid Asset Holdings: A Systems Approach
Journal of Money, Credit and Banking, 1992, 24, (1), 83-97 View citations (2)
- The Demand for Money in Europe: Comment on Kremers and Lane
IMF Staff Papers, 1992, 39, (3), 718-729 View citations (8)
1991
- A Model of UK Personal Sector Holdings of Capital Uncertain Assets
Journal of Economic Studies, 1991, 18, (4), -
- An Interdependent Error Feedback Model of UK Company Sector Asset Demands
Oxford Economic Papers, 1991, 43, (4), 596-611 View citations (3)
- Neoclassical Consumer Demand Theory and the Demand for Money
Economic Journal, 1991, 101, (407), 855-76 View citations (23)
Chapters
2014
- GDP-linked Bonds and Sovereign Default
Palgrave Macmillan View citations (21)
See also Working Paper GDP-linked bonds and sovereign default, Bank of England (2014) View citations (31) (2014)
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