Money Macro and Finance (MMF) Research Group Conference 2004
From Money Macro and Finance Research Group
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- 51: Macroeconomic Uncertainty and Macroeconomic Performance: Are they related?

- Don Bredin and Stilianos Fountas
- 50: A Generalized Theory of Monetary and Macroeconomics

- Hsieh Hsih-chia and Hsieh Pei-gin
- 49: The Euro and European Financial Market Integration

- Söhnke Bartram, Stephen Taylor and Yaw-Huei Wang
- 48: Liquidity and Issue Costs in Eurobond Market: The Effects of Market Integration

- Arie Melnik and Doron Nissim
- 47: "Deep Pockets": Research and Development Persistence and Economic Growth

- Bruno Amable, Jean-Bernard Chatelain and Kirsten Ralf
- 46: Households' Age-Wealth Profiles and the Composite 'Life Cycle-Precautionary Saving' Motive

- Julie Vanriet-Margueron
- 45: Re-examining the Transmission of Monetary Policy: What More Do a Million Observations Have to Say

- Christopher Baum, Mustafa Caglayan and Neslihan Ozkan
- 44: The Empirical Range of Pass-Through in US, German and Japanese Macrodata

- Alexander Mihailov
- 43: Monetary Conditions Indices and the Forecast of Economic Activity: an empirical investigation on seven OECD countries
- Christophe Blot and Grégory Levieuge
- 42: A Time Varying Natural Rate of Interest for the Euro Area

- Jean-Stéphane Mésonnier and Jean-Paul Renne
- 41: From the Bundesbank to the ECB: Has something changed?
- Nicolas Rautureau
- 40: By How Much Is The Chinese Renminbi Undervalued?

- Michael Funke and Jorg Rahn
- 39: The Political Economy of Financial Development

- Sourafel Girma and Anja Shortland
- 38: Capital inflows, trade openness and financial development in Developing Countries

- Siong Hook Law and Panicos Demetriades
- 37: An Analysis of the Relevance of Off-Balance Sheet Items in Explaining Productivity Change in European Banking

- Barbara Casu and Claudia Girardone
- 36: The welfare benefits of stable and efficient payment systems

- Stephen Millard and Matthew Willison
- 35: Testing for Banking Competition in Germany: Evidence from Savings Banks

- Horst Gischer and Mike Stiele
- 34: Testing for Long Run Relative PPP in Europe

- Jerry Coakley and Stuart Snaith
- 33: Oil wealth and real exchange rates: The FEER for Norway

- Qaisar Akram
- 32: Getting PPP Right: Identifying Mean Reverting Real Exchange Rates in Panels

- Georgios Chortareas and George Kapetanios
- 31: Money- and Exchange-Rate-Based Disinflation in a Redux Model with Staggered Wage Setting

- John Fender and Neil Rankin
- 30: Does Wage Indexing Matter?

- Tilemahos Efthimiadis
- 29: Labour Markets Institutions and Inflation Performance: Evidence from OECD panel data

- Christopher Bowdler and Luca Nunziata
- 27: Why Do We Have an Interbank Money Market?

- Ulrike Neyer and Jurgen Wiemers
- 26: Competition and Concentration

- Natasa Koutsomanoli and Christos Staikouras
- 25: The Lost Paradise: Imperfect Market Integrate on and the Ranking of OCA criteria

- Jean-Christophe Poutineau
- 24: A Composite Leading Indicator of the Inflation Cycle for the Euro Area

- Jane Binner, Rakesh Bissoondeeal and Andrew Mullineux
- 23: An Open Economy Real Business Cycle Model for the UK

- A. Patrick Minford and Prakriti Sofat
- 22: Macroeconomic Volatility and endogenous debt maturity choice

- Enisse Kharroubi
- 21: On Creditors and Debtors, and their Rates of Interest and Exchange

- Peter Sinclair
- 20: Are the domestic investors of firms cross-listed in the United States better protected

- Thomas O'Connor
- 19: Theoretical moment restrictions of commodity prices

- Nongnuch Tantisantiwong
- 18: Inflation Dynamics and the Cost Channel of Monetary Transmission

- Ibrahim Chowdhury, Mathias Hoffmann and Andreas Schabert
- 17: Imperfect credit markets and the transmission of macroeconomic shocks

- Gertjan Vlieghe
- 16: Credit channel, trade credit channel, and inventory investment: evidence from a panel of UK firms

- Alessandra Guariglia and Simona Mateut
- 15: Incomplete contracts, the port of Gaza, and the case for economic sovereignty

- Arie Arnon, Avia Spivak and Oren Sussman
- 14: Budgetary and fiscal policy for a new Palestinian state

- Christopher Adam, David Cobham and Nu'man Kanafani
- 13: Alternative currency arrangements for a new Palestinian state

- David Cobham
- 12: Volatility Dynamics of the Tokyo Stock Exchange: A Sectoral Analysis based on the Multivariate GARCH Approach

- Kin-Yip Ho and Albert Tsui
- 11: Comovement and FTSE 100 Index Changes

- Jerry Coakley and Periklis Kougoulis
- 10: Sources of Industry and Country Effects in Firm Level Returns

- Kate Phylaktis and Lichuan Xia
- 9: Why has Fiscal Policy Disappointed in Japan?

- Richard Werner
- 8: Foreign Exchange Intervention And Monetary Policy In Japan: Evidence From Identified Vars

- Roberto Guimaraes
- 7: The Effects of Japanese Foreign Exchange Intervention, GARCH Estimation and Change Point Detection

- Eric Hillebrand and Gunther Schnabl
- 6: Endogenous Fluctuations in Open Economies: The Perils of Taylor Rules Revisited

- Marco Airaudo and Luis-Felipe Zanna
- 5: Financial Liberalization and Business Cycles:The Experience of Future EU Member States in the Baltics and Central Eastern Europe

- Lucio Vinhas de Souza
- 4: Finance-Growth Nexus in open economies with outliers

- Alessandra dal Colle Stievano
- 3: Comparing Monetary Policy Reaction Functions: ECB versus Bundesbank

- Bernd Hayo and Boris Hofmann
- 2: Admissible Monetary Aggregates and UK Inflation Targeting

- Leigh Drake and Adrian Fleissig
- 1: Financial Condition Index and interest rate settings: a comparative analysis

- Alberto Montagnoli and Oreste Napolitano