SSE/EFI Working Paper Series in Economics and Finance
From Stockholm School of Economics
The Economic Research Institute, Stockholm School of Economics, P.O. Box 6501, 113 83 Stockholm, Sweden.
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- 449: Financial Markets, the Pattern of Specialization and Comparative Advantage. Evidence from OECD countries

- Jonas Vlachos and Helena Svaleryd
- 448: An Extension of Good-Deal Asset Price Bounds

- Iñaki R. Longarela
- 447: Monetary Policy and Bond Option Pricing in an Analytical RBC Model
- Paul Söderlind
- 446: On the Relationship between Innovation and Performance: A sensitivity Analysis

- Hans Lööf and Almas Heshmati
- 445: The Valuation of Corporate Liabilities: Theory and Tests

- Joel Reneby and Jan Ericsson
- 444: The Effects on Sick Leave of Changes in the Sickness Insurance System

- Magnus Henrekson and Mats Persson
- 443: What if the Fed Had Been an Inflation Nutter?

- Paul Söderlind
- 442: Predicting Survival in cost-effectiveness analyses based on clinical trials

- Ulf-G. Gerdtham and Niklas Zethraeus
- 441: Stronger evidence of long-run neutrality: a comment on Bernanke and Mihov

- Paolo Giordani
- 440: The Dynamics of Capital Structure: Evidence from Swedish Micro and Small Firms
- Almas Heshmati
- 439: Size and power of the likelihood ratio test for seasonal cointegration in small samples: A Monte Carlo study
- Mårten Löf
- 438: Ägarpolitik och ägarstruktur i efterkrigstidens Sverige

- Magnus Henrekson and Ulf Jakobsson
- 437: Prisoners' Other Dilemma

- Giancarlo Spagnolo and Matthias Blonski
- 436: Demand vs. Supply Driven Innovations: US and Swedish Experiences in Academic Entrepreneurship

- Brent Goldfarb, Magnus Henrekson and Nathan Rosenberg
- 435: Using A Trade-induced Catch-up Model to Explain China's Provincial Economic Growth 1978-97

- Yudong Yao and Johan Lyhagen
- 434: A simple efficient GMM estimator of GARCH models

- Jimmy Skoglund
- 433: Specification and estimation of random effects models with serial correlation of general form

- Jimmy Skoglund and Sune Karlsson
- 432: Asymptotic properties of the maximum likelihood estimator of random effects models with serial correlation

- Jimmy Skoglund and Sune Karlsson
- 431: Ohlin on the Great Depression. The popular message in the daily press

- Benny Carlson and Lars Jonung
- 430: On the Adjusted Rate of Return to Women fs University Education: A Preliminary Study of OECD Countries
- Hiroshi Ono
- 429: The effects of institutional and technological change and business cycle fluctuations on seasonal patterns in quarterly industrial production series

- Dick van Dijk, Birgit Strikholm and Timo Teräsvirta
- 428: Cooperation or Conflict in Common Pools

- Ingela Ternström
- 427: A Classifying Procedure for Signaling Turning Points

- Lasse Koskinen and Lars-Erik Öller
- 426: Constitutions and Central Bank Independence: An Objection to McCallum's Second Fallacy

- Paolo Giordani and Giancarlo Spagnolo
- 425: Reputation in Team Production

- Amihai Glazer and Björn Segendorff
- 424: Subordinates as Threats to Leaders

- Amihai Glazer and Björn Segendorff
- 423: On the Causality between GDP and Health Care Expenditure in Augmented Solow Growth Model

- Almas Heshmati
- 422: Income Security Programs and Retirement in Sweden

- Mårten Palme and Ingemar Svensson
- 421: Institutionella förutsättningar för entreprenörskap och företagstillväxt

- Magnus Henrekson
- 420: On the construction of finite dimensional realizations for nonlinear forward rate models

- Tomas Bjork and Camilla Landen
- 419: A Geometric View of Interest Rate Theory

- Tomas Bjork
- 418: On seasonal error correction when the processes include different numbers of unit roots

- Johan Lyhagen and Mårten Löf
- 417: On the Term Structure of Futures and Forward Prices

- Tomas Bjork and Camilla Landen
- 416: Proximity-Concentration versus Factor Proportion Explanation: The Case of Swedish Multinationals in the EU

- Thomas Mathä
- 415: A Return to the Convertibility Principle? Monetary And Fiscal Regimes in Historical Perspective

- Michael Bordo and Lars Jonung
- 414: An alternative explanation of the price puzzle

- Paolo Giordani
- 413: Why not use standard panel unit root test for testing PPP

- Johan Lyhagen
- 412: Swedish Economic Growth and Scholarly Objectivity: An objective sociologist vs. subjective economists, or the other way around?

- Magnus Henrekson
- 411: How Fast Do Banks Adjust? A Dynamic Model of Labor-Use with an Application to Swedish Banks
- Subal Kumbhakar, Almas Heshmati and Lennart Hjalmarsson
- 410: Designing Efficient Institutions for Science-Based Entrepreneurship: Lessons from the US and Sweden

- Magnus Henrekson and Nathan Rosenberg
- 409: A median voter model of health insurance with ex post moral hazard

- Johanna Jacob and Douglas Lundin
- 408: Outward Investment, Employment and Wages in Swedish Multinationals
- Magnus Blomstrom and Ari Kokko
- 407: Scapegoats and Transparency in Organizations

- Björn Segendorff
- 406: A Signalling Theory of Scapegoats

- Björn Segendorff
- 405: Dynamics of Technical Efficiency and Productivity Change under Central Planning: The Romanian Cement Industry 1966-1989

- Mihai Cotfas, Almas Heshmati and Lennart Hjalmarsson
- 404: Nya förutsättningar för svensk läkemedelsmarknad

- Mats Ekelund
- 403: Clever agents in adaptive learning

- Alexander Matros
- 402: Variability and average profits - does Oi's result generalize?

- Richard Friberg and Kaj Martensen
- 401: Gain, Loss, and Asset Pricing: It is Much Easier. A note

- Iñaki R. Longarela
- 400: Stochastic Better-Reply Dynamics in Games

- Jens Josephson