-
1
-
-
70449530457
-
The financial accelerator in a quantitative business cycle framework
-
chapter 21, Amsterdam: North-Holland
-
Bernanke, B., Gertler, M., Gilchrist, S. (1999): The financial accelerator in a quantitative business cycle framework, in: Handbook of Macroeconomics, chapter 21, Vol. 1, Amsterdam: North-Holland, 1341–93.
-
(1999)
Handbook of Macroeconomics
, vol.1
, pp. 1341-1393
-
-
Bernanke, B.1
Gertler, M.2
Gilchrist, S.3
-
2
-
-
85070883039
-
Efficiency of stability-oriented institutions: The European case
-
No. 2007-06, February
-
Creel, J., Capoen, F. (2007): Efficiency of stability-oriented institutions: The European case, OFCE, Working Paper, No. 2007-06, February.
-
(2007)
OFCE, Working Paper
-
-
Creel, J.1
Capoen, F.2
-
5
-
-
48249149368
-
-
The Levy Economics Institute, Working Paper, No. 402, February
-
Dos Santos, C., Zezza, G. (2004): A post-Keynesian stock-flow consistent macroeconomic growth model: Preliminary results, The Levy Economics Institute, Working Paper, No. 402, February.
-
(2004)
A Post-Keynesian Stock-Flow Consistent Macroeconomic Growth Model: Preliminary Results
-
-
Dos Santos, C.1
Zezza, G.2
-
7
-
-
84995709873
-
-
London: Palgrave Macmillan
-
Godley, W., Lavoie, M. (2007): Monetary Economics: An Integrated Approach to Credit, Money, Income, Production and Wealth, London: Palgrave Macmillan.
-
(2007)
Monetary Economics: An Integrated Approach to Credit, Money, Income, Production and Wealth
-
-
Godley, W.1
Lavoie, M.2
-
8
-
-
33845724602
-
The principle of increasing risk
-
Kalecki, M. (1937): The principle of increasing risk, in: Economica, 4(16), 440–447.
-
(1937)
Economica
, vol.4
, Issue.16
, pp. 440-447
-
-
Kalecki, M.1
-
11
-
-
0009904841
-
Kaleckian growth models in a stock and flow monetary framework: A Kaldorian View
-
Lavoie, M., Godley W. (2001): Kaleckian growth models in a stock and flow monetary framework: A Kaldorian View, in: Journal of Post Keynesian Economics, 24(2), 277–311.
-
(2001)
Journal of Post Keynesian Economics
, vol.24
, Issue.2
, pp. 277-311
-
-
Lavoie, M.1
Godley, W.2
-
12
-
-
85045162300
-
Greenspan: The confidence strategy, in: Revista de Economia Politica/Brazilian
-
Le Heron, E. (2006): Greenspan: The confidence strategy, in: Revista de Economia Politica/Brazilian Journal of Political Economy, 26(4)-104, 502–517.
-
(2006)
Journal of Political Economy
, vol.26
, Issue.4-104
, pp. 502-517
-
-
Le Heron, E.1
-
13
-
-
84995932308
-
The dynamic analysis of monetary policy shock on banking behavior
-
in: McCombie, J., Rodriguez, C. (eds.), London: Palgrave-Macmillan
-
Le Heron, E. (2007a): The dynamic analysis of monetary policy shock on banking behavior, in: McCombie, J., Rodriguez, C. (eds.), Issues in Finance and Monetary Policy, London: Palgrave-Macmillan, 79–99.
-
(2007)
Issues in Finance and Monetary Policy
, pp. 79-99
-
-
Le Heron, E.1
-
14
-
-
84996435995
-
The new governance in monetary policy: A critical appraisal of the fed and the ECB
-
in: Arestis, P., Hein, E., Le Héron, E. (eds.), London: Palgrave-Macmillan, Chapter 9
-
Le Heron, E. (2007b): The new governance in monetary policy: A critical appraisal of the fed and the ECB, in: Arestis, P., Hein, E., Le Héron, E. (eds.), Aspects of Modern Monetary and Macroeconomic Policies, London: Palgrave-Macmillan, Chapter 9, 146–71.
-
(2007)
Aspects of Modern Monetary and Macroeconomic Policies
, pp. 146-171
-
-
Le Heron, E.1
-
15
-
-
84861865731
-
A Post Keynesian stock-flow consistent model for the dynamic analysis of monetary policy shock on banking behavior
-
Le Heron, E., Mouakil, T. (2008): A Post Keynesian stock-flow consistent model for the dynamic analysis of monetary policy shock on banking behavior, in: Metroeconomica, 59(3), 405–40.
-
(2008)
Metroeconomica
, vol.59
, Issue.3
, pp. 405-440
-
-
Le Heron, E.1
Mouakil, T.2
-
16
-
-
84903557689
-
Fiscal and monetary policies in a Keynesian stock-flow consistent model
-
in: Creel, J., Sawyer, M. (eds.), London: Palgrave-Macmillan, Chapter 8
-
Le Heron, E. (2008): Fiscal and monetary policies in a Keynesian stock-flow consistent model, in: Creel, J., Sawyer, M. (eds.), Current Thinking on Fiscal Policy, London: Palgrave-Macmillan, Chapter 8, 145–75.
-
(2008)
Current Thinking on Fiscal Policy
, pp. 145-175
-
-
Le Heron, E.1
-
17
-
-
84881778076
-
Monetary and fiscal policies in a post Keynesian stock-flow consistent model
-
in: Wray, R., Forstater, M. (eds.), Aldershot: Edward Elgar, Chapter 18
-
Le Heron, E. (2009): Monetary and fiscal policies in a post Keynesian stock-flow consistent model, in: Wray, R., Forstater, M. (eds.), Keynes and Macroeconomics after 70 Years: Critical Assessments of the General Theory, Aldershot: Edward Elgar, Chapter 18, 468–506.
-
(2009)
Keynes and Macroeconomics after 70 Years: Critical Assessments of the General Theory
, pp. 468-506
-
-
Le Heron, E.1
-
18
-
-
0003760886
-
Effective Demand Failures
-
([1973], Reprinted in: Leijonhufvud, A. (1981), Information and Coordination. Essays in Macroeconomic Theory, New York: Oxford University Press
-
Leijonhufvud, A. ([1973] 1981): Effective Demand Failures, in: Swedish Journal of Economics, 75, 27–48. Reprinted in: Leijonhufvud, A. (1981), Information and Coordination. Essays in Macroeconomic Theory, New York: Oxford University Press.
-
(1981)
Swedish Journal of Economics
, vol.75
, pp. 27-48
-
-
Leijonhufvud, A.1
-
19
-
-
0003941092
-
-
New York: Columbia University Press
-
Minsky, H. (1975): John Maynard Keynes, New York: Columbia University Press.
-
(1975)
John Maynard Keynes
-
-
Minsky, H.1
-
21
-
-
0345982186
-
An optimisation-based econometric framework for the evaluation of monetary policy
-
Rotemberg, J., Woodford, M. (1997): An optimisation-based econometric framework for the evaluation of monetary policy, in: NBER Macroeconomics Annual, 297–346.
-
(1997)
NBER Macroeconomics Annual
, pp. 297-346
-
-
Rotemberg, J.1
Woodford, M.2
-
22
-
-
84959776155
-
Staggered contracts in a macro model
-
Taylor, J. (1979): Staggered contracts in a macro model, in: American Economic Review, 69, 108–13.
-
(1979)
American Economic Review
, vol.69
, pp. 108-113
-
-
Taylor, J.1
-
24
-
-
84963108002
-
Liquidity preference as behavior toward risk
-
Tobin, J. (1958): Liquidity preference as behavior toward risk, in: Review of Economic Studies, 25(2), 65-86.
-
(1958)
Review of Economic Studies
, vol.25
, Issue.2
, pp. 65-86
-
-
Tobin, J.1
-
25
-
-
0002661755
-
A general equilibrium approach to monetary theory
-
Tobin, J. (1969): A general equilibrium approach to monetary theory, in: Journal of Money, Credit, and Banking, 1, 15–29.
-
(1969)
Journal of Money, Credit, and Banking
, vol.1
, pp. 15-29
-
-
Tobin, J.1
|