Economics Letters
1978 - 2025
Current editor(s): Economics Letters Editorial Office
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Volume 16, issue 3-4, 1984
- The cost function given imperfectly flexible capital pp. 197-204

- Robert Becker and Daniel Spulber
- The existence of mixed-strategy equilibria in a price-setting oligopoly with convex costs pp. 205-212

- Huw Dixon
- Maximum likelihood and minimum information estimation of allocation models with fat-tailed error distributions pp. 213-218

- Lennart Flood, Renate Finke and Henri Theil
- A direct proof that zero degree homogeneity, monotonicity, and quasiconvexity of the indirect utility function implies negative semidefiniteness of the slutsky substitution matrix pp. 219-223

- Lawrence J. Lau
- Another look at symmetry testing pp. 225-230

- Henri Theil and Mercedes C. Rosalsky
- Urban unemployment and urban development: A dynamic analysis pp. 231-238

- Manash Gupta
- Smooth versus discontinuous mechanisms pp. 239-242

- Stefan Reichelstein
- The impossibility of a non-discriminating liberal: A liberty paradox without the Pareto principle pp. 243-247

- S. Subramanian
- An example of a dominance approach to rational expectations pp. 249-255

- John Bryant
- Hedging and the competitive firm under price, output and quality uncertainties pp. 257-263

- Yasunori Ishii
- Increasing risk and consumption-saving decisions: Some comparative statics results pp. 265-268

- Spyros Vassilakis
- Cross-country demand systems and centrally planned economies pp. 269-271

- Leon Podkaminer, Renate Finke and Henri Theil
- Recursive competitive equilibrium: A parametric example pp. 273-278

- Rajnish Mehra
- Omitted variables in a weibull regression model pp. 279-283

- Kurt Brännäs
- Estimation of the correlation coefficient in a bivariate probit model using the method of moments pp. 285-291

- William Greene
- A class of almost unbiased and efficient estimators of regression coefficients pp. 293-296

- Krishna Kadiyala
- A joint test for serial correlation and heteroscedasticity pp. 297-302

- Maxwell King and Merran A. Evans
- Coefficient values and the dynamic properties of econometric models pp. 303-308

- Lambert Schoonbeek
- Significance tests in the presence of model uncertainty and specification search pp. 309-313

- Mark B. Stewart
- Predicting the change in the cost of living pp. 315-319

- Wen-he Lu and Renate Finke
- Generalization of M(x)-matrices: Application to mathematical economics and econometrics pp. 321-326

- Arjen E. Ronner and Elmer Sterken
- Risk aversion and weekly money: Does the market expect the Fed to offset large increase in M1? pp. 327-330

- Michael Belongia and Fredric Kolb
- On the relationship between Macaulay's bond duration and the term to maturity pp. 331-337

- Gabriel Hawawini
- A closed loop analysis of competitive innovation pp. 339-344

- Moshe Justman and Abraham Mehrez
- The impact of concentration and elasticity on line of business profitability pp. 345-350

- William F. Long and David J. Ravenscraft
- Monopoly regulation, quality choice and welfare: The open economy case pp. 351-356

- Shabtai Donnenfeld and Shlomo Weber
- Input market surplus: The case of imperfect competition pp. 357-362

- Herman C. Quirmbach
- The effect of ownership on market value and risk of R&D intensive firms pp. 363-367

- Uri Ben-Zion and Moshe Kim
- Factor intensity rankings in U.S. production pp. 369-374

- John L. Solow and Deborah A. Johnson
- The importance of the measure of health in empirical estimates of the labor supply of older men pp. 375-380

- Kathryn Anderson and Richard Burkhauser
- The hazard rate from unemployment when the search environment is characterised by a decreasing probability of offer pp. 381-385

- Chris M. Alaouze
- Price and income elasticities of demand for hospital care free of quality bias pp. 387-392

- Said Atri and Kajal Lahiri
- The implicit valuation of risks to life: A comparative analysis pp. 393-399

- V. Kerry Smith and Carol C. S. Gilbert
Volume 16, issue 1-2, 1984
- Rotating credit collusion in repeated auctions with a single buyer and several sellers pp. 1-6

- Soo Hong Chew, Mei Hui Mao and Stanley S. Reynolds
- Budget share transitions in the Netherlands, 1952-1977 pp. 7-13

- Renate Finke and Henri Theil
- Generalizing the composite commodity theorem pp. 15-21

- Adonis Yatchew
- A reformulation of Chichilnisky's impossibility theorem pp. 23-25

- Nick Baigent
- On increasing risk in incomplete markets pp. 27-30

- Helmut Bester
- Participation constraints in the vickrey auction pp. 31-36

- Jerry Green and Jean-Jacques Laffont
- On alternative methods of generating risk sensitive decision rules pp. 37-44

- A. J. Hughes Hallett
- Moral hazard with a finite number of states pp. 45-51

- Nirvikar Singh
- Sequential search without reservation price pp. 53-57

- E. C. H. Veendorp
- How trustworthy are the standard errors of translog coefficients? pp. 59-62

- Lennart Flood and Mercedes C. Rosalsky
- Testing for linear and log-linear regressions with heteroscedasticity pp. 63-69

- Y. K. Tse
- Modeling a competitive industry with entry: Implications for demand and supply analysis pp. 71-75

- William Veloce and Arnold Zellner
- Some simple but flexible differential consumer demand systems pp. 77-82

- Wouter J. Keller
- A simple way of determining the supply side in macroeconomic models pp. 83-91

- Anthonie Knoester and Jarig van Sinderen
- Duality in fixed point theory of multivalued mappings: Some applications in economics pp. 93-97

- Ghanshyam Mehta
- The policy evaluation problem and the demand for money pp. 99-103

- Meir Kohn and Joyce M. Manchester
- Measuring the opportunity cost of holding money: More evidence on the term structure of interest rates pp. 105-111

- Stuart Allen and R. W. Hafer
- Social classes and state behavior: An illustrative application to the U.S. economy of the interest function approach to politico-economic modelling pp. 113-118

- Ben van Velthoven and Frans van Winden
- The identical country assumption and CPI inflation adjustment processes in a two-country world under flexible exchange rate regime pp. 119-122

- Masanao Aoki
- Oil news and the petropound: Some tests pp. 123-127

- Laurence Copeland
- On the valuation of currency options and exchange rate insurance programs pp. 129-136

- Rafi Eldor
- Term structure variance bounds and time varying liquidity premia pp. 137-144

- Christine Amsler
- On the effects of differentiated income taxation on portfolio selection pp. 145-150

- Erkki Koskela
- On the consistency of consistent conjectures pp. 151-157

- David J. Salant
- The over-capitalization effect with diversification and cross subsidization pp. 159-163

- Richard P. Rozek
- Optimal R&D levels when firm j benefits from firm i's inventive activity pp. 165-170

- John M. Hartwick
- Estimates of the generalized working model pp. 171-175

- Murray D. Smith and Kenneth Clements
- Migration, unemployment and development: A dynamic two-sector analysis pp. 177-184

- Manash Gupta
- Distributional effects of true economic indexes pp. 185-189

- Tran Van Hoa
- Another perspective on changes in international inequality from 1950 to 1980 pp. 191-196

- Rati Ram