Economics Discussion Papers
From Kiel Institute for the World Economy (IfW Kiel) Contact information at EDIRC. Bibliographic data for series maintained by ZBW - Leibniz Information Centre for Economics (). Access Statistics for this working paper series.
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- 2012-23: A generalized unification theorem for choice theoretic foundations: Avoiding the necessity of pairs and triplets

- Junnan He
- 2012-22: Equity market liberalization, credit constraints and income inequality

- Puyang Sun, Somnath Sen and Shujing Jin
- 2012-21: Multi-destination trips: A survey on incoming zourism in Sicily

- Anna Maria Parroco, Franco Vaccina, Stefano De Cantis and Mauro Ferrante
- 2012-20: Fund managers - Why the best might be the worst: On the evolutionary vigor of risk-seeking behavior

- Björn-Christopher Witte
- 2012-19: Estimating risk attitudes in conventional and artefactual lab experiments: The importance of the underlying assumptions

- Andreas Drichoutis and Phoebe Koundouri
- 2012-18: Cartel in the Indian cement industry: An attempt to identify it

- Sylwester Bejger
- 2012-17: Cobweb theorems with production lags and price forecasting

- Daniel Dufresne and Felisa Vázquez-Abad
- 2012-16: Private and public incentive to reduce seasonality: A theoretical model

- Roberto Cellini and Giuseppe Rizzo
- 2012-15: Lobbying: Buying and utilizing access

- Wolfgang Mayer and Sudesh Mujumdar
- 2012-14: A parsimonious model for intraday European option pricing

- Enrico Scalas and Mauro Politi
- 2012-13: A case where Barro expectations are not rational

- Ekkehart Schlicht
- 2012-12: Evolution of competition in Vietnam industries over the recent economic transition

- Tinh Doan
- 2012-11: Clashes and compromises: Investment policies in tourism destinations

- Guido Candela, Massimiliano Castellani and Maurizio Mussoni
- 2012-10: A comparative view on the tax performance of developing countries: Regional patterns, non-tax revenue and governance

- Maksym Ivanyna and Christian von Haldenwang
- 2012-9: Wage subsidies and international trade: When does policy coordination pay?

- Sebastian Braun and Christian Spielmann
- 2012-8: Through which channels can remittances spur economic growth in MENA countries?

- Sami Ben Mim and Mohamed Sami Ben Ali
- 2012-7: Country inequality rankings and conversion schemes

- Carsten Schröder and Timm Bönke
- 2012-6: The wage premium of globalization: Evidence from European mergers and acquisitions

- Harald Oberhofer, Matthias Stöckl and Hannes Winner
- 2012-5: Cruise tourism externalities and residents' support: A generalized ordered logit analysis

- Juan Brida, Giacomo Del Chiappa, Marta Meleddu and Manuela Pulina
- 2012-4: The effect of tourism on crime in Italy: A dynamic panel approach

- Bianca Biagi, Maria Brandano and Claudio Detotto
- 2012-3: A case study on trade liberalization: Argentina in the 1990s

- Victor Beker
- 2012-2: FDI, skill-specific unemployment, and institutional spillover effects

- Hans-Joerg Schmerer
- 2012-1: A note on the estimation of long-run relationships in panel equations with cross-section linkages

- Francesca Di Iorio and Stefano Fachin
- 2011-54: Stock prices and monetary policy: Re-examining the issue in a New Keynesian model with endogenous investment

- Michele Grossi and Roberto Tamborini
- 2011-53: Does corruption facilitate trade for the new EU members?

- Nicholas Horsewood and Anca Monika Voicu
- 2011-52: Factors affecting the efficiency of the BRICSs' national innovation systems: A comparative study based on DEA and Panel Data Analysis

- Yuezhou Cai
- 2011-51: A counterfactual decomposition analysis of immigrants-natives earnings in Malaysia

- Muhammad Anees, Muhammad Sajjad and Ishfaq Ahmed
- 2011-50: Psychophysical interpretation for utility measures

- Yuqing He
- 2011-49: International transmission of shocks, money illusion and the velocity of money

- Teresa Sousa
- 2011-48: International trade and polarization in the labor market

- Satya Das
- 2011-47: Existence of exact Walrasian equilibria in non convex economies

- Antonio D'Agata
- 2011-46: Measuring group disadvantage with inter-distributional inequality indices: A critical review and some amendments to existing indices

- Gaston Yalonetzky
- 2011-45: Migration, trade and unemployment

- Benedikt Heid and Mario Larch
- 2011-44: The time evolution of the social cost of carbon: An application of fund

- David Anthoff, Steven Rose, Richard Tol and Stephanie Waldhoff
- 2011-43: The marginal damage costs of different greenhouse gases: An application of FUND

- Stephanie Waldhoff, David Anthoff, Steven Rose and Richard Tol
- 2011-42: Small trade flows, compliance costs and trade preferences: The case of EU imports from African LDCs

- Lars Nilsson and Caroline Dotter
- 2011-41: The focus axiom and poverty: On the co-existence of precise language and ambiguous meaning in economic measurement

- Subbu Subramanian
- 2011-40: Climate risks and carbon prices: Revising the social cost of carbon

- Frank Ackerman and Elizabeth A. Stanton
- 2011-39: The social cost of CO2 from the PAGE09 model

- Chris Hope
- 2011-38: Trade policy versus trade facilitation: An application using Good Old OLS

- Laura Márquez-Ramos, Inmaculada Martínez-Zarzoso and Celestino Suárez-Burguet
- 2011-37: Cross-country growth empirics and model uncertainty: An overview

- Bülent Ulaşan
- 2011-36: A tale of tails: Uncertainty and the social cost of carbon dioxide

- Jonathan Pycroft, Lucia Vergano, Chris Hope, Daniele Paci and Juan-Carlos Ciscar
- 2011-35: The social cost of carbon on an optimal balanced growth path

- Tomas Kögel
- 2011-34: Assessing absolute and relative pro-poor growth, with an application to selected African countries

- Sami Bibi, Jean-Yves Duclos and Audrey Verdier-Chouchane
- 2011-33: Deep trade policy options for Armenia: The importance of trade facilitation, services and standards liberalization

- Jesper Jensen and David Tarr
- 2011-32: Modelling trades-through in a limited order book using Hawkes processes

- Ioane Muni Toke and Fabrizio Pomponio
- 2011-31: Debt deleveraging and business cycles: An agent-based perspective

- Marco Raberto, Andrea Teglio and Silvano Cincotti
- 2011-30: The treatment of risk and uncertainty in the US social cost of carbon for regulatory impact analysis

- Simon Dietz
- 2011-29: A new method for measuring tail exponents of firm size distributions

- Shouji Fujimoto, Atushi Ishikawa, Takayuki Mizuno and Tsutomu Watanabe
- 2011-28: A directional-change events approach for studying financial time series

- Monira Aloud, Edward Tsang, Richard Olsen and Alexandre Dupuis
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