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PSL Quarterly Review

ISSN: 2037--3635
Publisher: Associazione Paolo Sylos Labini


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Inflation and growth: the international evidence

Author(s): Anthony Philip Thirlwall | A.C. Barton
Volume: 24
Issue: 98
Year: 1971
Euro-dollar creation: a mystery story

Author(s): Fritz Machlup
Volume: 23
Issue: 94
Year: 1970
Money, prices and fiscal lags: a note on the dynamics of inflation

Author(s): Julio H. G. Olivera
Volume: 20
Issue: 82
Year: 1967
The European Banking Union: Will It Be a True Union without Risk Sharing?

Author(s): Mario Sarcinelli
Volume: 66
Issue: 265
Year: 2013
A Kaldorian approach to catch up and structural change in economies with high degree of heterogeneity

Author(s): Carmem Aparecida Feijo | Marcos Tostes Lamonica
Volume: 66
Issue: 265
Year: 2013
The Relevance of Kalecki: The Useable Contribution

Author(s): Hyman P. Minsky
Volume: 66
Issue: 265
Year: 2013
Hyman Minsky’s monetary production economy

Author(s): Alessandro Roncaglia
Volume: 66
Issue: 265
Year: 2013
Better than Ploughing

Author(s): James M. Buchanan
Volume: 66
Issue: 264
Year: 2013
Determinants of SME credit worthiness under Basel rules: the value of credit history information

Author(s): Francesco Dainelli | Francesco Giunta | Fabrizio Cipollini
Volume: 66
Issue: 264
Year: 2013
Keynes, Hobson, Marx

Author(s): Robert Slidelsky
Volume: 66
Issue: 264
Year: 2013
Introduction: on the role of a generalist journal

Author(s): Alessandro Roncaglia
Volume: 66
Issue: 264
Year: 2013
Keynesian uncertainty and the shaky foundations of statistical risk assessment models

Author(s): Alessandro Roncaglia
Volume: 65
Issue: 263
Year: 2012
The cost and benefit of banking regulations and controls, Chinese style

Author(s): Xiaosheng Ju | Dic Lo
Volume: 65
Issue: 263
Year: 2012
Pierangelo Garegnani: Rebuilding Economic Theory

Author(s): Roberto Ciccone
Volume: 65
Issue: 262
Year: 2012
Capital-Specific Technological Change and Human Capital Accumulation in a Model of Export-Led Growth

Author(s): Ricardo Azevedo Araujo | Gilberto Tadeu Lima
Volume: 65
Issue: 262
Year: 2012
The Impact of Political Relations Between Countries on Economic Relations

Author(s): Amir Najafi | Hossein Askari
Volume: 65
Issue: 262
Year: 2012
A lesson from Pietro Leopoldo

Author(s): Giacomo Becattini
Volume: 65
Issue: 262
Year: 2012
Euro crisis or public debt crisis? With a remedy for the latter case

Author(s): Mario Sarcinelli
Volume: 65
Issue: 262
Year: 2012
Reflections on the Present State of Economics

Author(s): Josef Steindl
Volume: 65
Issue: 261
Year: 2012
Effective Demand in the Short and in the Long Run

Author(s): Josef Steindl
Volume: 65
Issue: 261
Year: 2012
Steindl on Stochastic Processes

Author(s): Marcella Corsi
Volume: 65
Issue: 261
Year: 2012
Josef Steindl: An Economist of His Times

Author(s): Nina Shapiro
Volume: 65
Issue: 261
Year: 2012
Josef Steindl’s Life and Work in Austria

Author(s): Alois Guger | Ewald Walterskirchen
Volume: 65
Issue: 261
Year: 2012
Roots – Reflections on Josef Steindl’s First Article in an Economic Journal

Author(s): Kurt W. Rothschild
Volume: 65
Issue: 261
Year: 2012
Josef Steindl, the Trieste School and the BNL Quarterly Review

Author(s): Alessandro Roncaglia
Volume: 65
Issue: 261
Year: 2012
Do financial investors affect the price of wheat?

Author(s): Daniele Girardi
Volume: 65
Issue: 260
Year: 2012
The supreme subprime myth: the role of bad loans in the 2007-2009 financial crisis

Author(s): Alberto Niccoli | Francesco Marchionne
Volume: 65
Issue: 260
Year: 2012
Introduction: there is more to Keynesianism than public spending alone

Author(s): Carlo D'Ippoliti
Volume: 65
Issue: 260
Year: 2012
The Balance of Payments Constraint as an Explanation of International Growth Rate Differences

Author(s): Anthony P. Thirlwall
Volume: 64
Issue: 259
Year: 2011
The remarkable durability of Thirlwall’s Law

Author(s): Mark Setterfield
Volume: 64
Issue: 259
Year: 2011
Criticisms and defences of the balance-of-payments constrained growth model: some old, some new

Author(s): John S.L. McCombie
Volume: 64
Issue: 259
Year: 2011
Balance of payments constrained growth models: history and overview

Author(s): Anthony P. Thirlwall
Volume: 64
Issue: 259
Year: 2011
Implications of regulating commodity derivatives markets in the USA and EU

Author(s): Jayati Ghosh
Volume: 64
Issue: 258
Year: 2011
Financial governance and economic development: making sense of the Chinese experience

Author(s): Dic Lo | Guicai Li | Yingquan Jiang
Volume: 64
Issue: 258
Year: 2011
Rethinking regulation: international banks in Asian emerging markets

Author(s): C.P. Chandrasekhar
Volume: 64
Issue: 258
Year: 2011
A critical assessment of the European approach to financial reforms

Author(s): Elisabetta Montanaro | Mario Tonveronachi
Volume: 64
Issue: 258
Year: 2011
Introduction

Author(s): Alessandro Roncaglia
Volume: 64
Issue: 258
Year: 2011
Macroeconomics in crisis and macroeconomics in recovery

Author(s): Alessandro Roncaglia
Volume: 64
Issue: 257
Year: 2011
Framing world monetary system reform: Fritz Machlup and the Bellagio Group conferences

Author(s): Carol M. Connell
Volume: 64
Issue: 257
Year: 2011
Taking the moral hazard out of banking: the next fundamental step in financial reform

Author(s): Rainer Masera
Volume: 64
Issue: 257
Year: 2011
Introduction: the crisis of economies and economics

Author(s): Carlo D'Ippoliti
Volume: 64
Issue: 257
Year: 2011
The tax system and the financial crisis

Author(s): Vieri Ceriani | Stefano Manestra | Giacomo Ricotti | Alessandra Sanelli | Ernesto Zangari
Volume: 64
Issue: 256
Year: 2011
Financialization in the Light of Keynesian Theory

Author(s): Amit Bhaduri
Volume: 64
Issue: 256
Year: 2011
A multi-faceted financial crisis

Author(s): Alessandro Roncaglia
Volume: 64
Issue: 256
Year: 2011
Do Better Political Relations with the USA Improve A Country's Economic Outlook?

Author(s): Amirhossein Najafi | Anwar Aridi | Hossein Askari
Volume: 63
Issue: 255
Year: 2010
Reforming financial systems after the crisis: a comparison of EU and USA

Author(s): Rainer Masera
Volume: 63
Issue: 255
Year: 2010
Confronting the financial crisis: surveillance and regulation

Author(s): Alessandro Roncaglia
Volume: 63
Issue: 255
Year: 2010
Macroeconomic trends and reforms in Germany

Author(s): Roberto Sabbatini
Volume: 63
Issue: 254
Year: 2010
The Banking Bailout of the Subprime Crisis: Size and Effects

Author(s): Michele Fratianni
Volume: 63
Issue: 254
Year: 2010
Economic policy dilemmas in front of the crisis

Author(s): Alessandro Roncaglia
Volume: 63
Issue: 254
Year: 2010
Monetary policy and world commodity markets: 2000-2007

Author(s): Hossein Askari
Volume: 63
Issue: 253
Year: 2010
Financial innovation and system design

Author(s): Mario Tonveronachi
Volume: 63
Issue: 253
Year: 2010
Past and future regulation to prevent a systemic financial crisis

Author(s): Mario Sarcinelli
Volume: 63
Issue: 253
Year: 2010
Contributions on monetary and financial issues: an introduction

Author(s): Alessandro Roncaglia
Volume: 63
Issue: 253
Year: 2010
The reconstruction of historical national accounts: the case of Italy

Author(s): Stefano Fenoaltea
Volume: 63
Issue: 252
Year: 2010
Global imbalances: a gathering storm

Author(s): Ugo Sacchetti
Volume: 63
Issue: 252
Year: 2010
Introduction

Author(s): ALESSANDRO RONCAGLIA
Volume: 63
Issue: 252
Year: 2010
Rules, instability and crisis

Author(s): ALESSANDRO RONCAGLIA
Volume: 62
Issue: 248-251
Year: 2009
Beginnings

Author(s): HYMAN P. MINSKY
Volume: 62
Issue: 248-251
Year: 2009
An economic policy for the fifth long wave

Author(s): ANGELO REATI | JAN TOPOROWSKI
Volume: 62
Issue: 248-251
Year: 2009
Implications of Basel II for financial stability. Clouds are darker for developing countries

Author(s): MARIO TONVERONACHI
Volume: 62
Issue: 248-251
Year: 2009
Structural biases in prudential regulation of banks

Author(s): MARIO TONVERONACHI
Volume: 62
Issue: 248-251
Year: 2009
The US economy: weaknesses of the ‘strong’ recovery

Author(s): WYNNE GODLEY | ALEX IZURIETA
Volume: 62
Issue: 248-251
Year: 2009
The developing recession in the United States

Author(s): WYNNE GODLEY
Volume: 62
Issue: 248-251
Year: 2009
Prospects for the world economy

Author(s): PAOLO SYLOS LABINI
Volume: 62
Issue: 248-251
Year: 2009
Globalization, stability and the financial markets

Author(s): PAUL A. VOLCKER
Volume: 62
Issue: 248-251
Year: 2009
Asset inflation and monetary policy

Author(s): CHARLES P. KINDLEBERGER
Volume: 62
Issue: 248-251
Year: 2009
The 1930s and the 1980s: parallels and differences

Author(s): CHARLES P. KINDLEBERGER
Volume: 62
Issue: 248-251
Year: 2009
From BNL-QR to PSL-QR: the history (1947-2007) and prospects of a journal

Author(s): ALESSANDRO RONCAGLIA
Volume: 61
Issue: 244-247
Year: 2008
The history of a journal: Banca Nazionale del Lavoro Quarterly Review

Author(s): Alessandro Roncaglia
Volume: 60
Issue: 243
Year: 2007
Aid performance and its determinants. A comparison of Italy with the OECD norm

Author(s): Simone Bertoli | Giovanni Andrea Cornia | Francesco Manaresi
Volume: 60
Issue: 242
Year: 2007
German-speaking economists in British exile 1933-1945

Author(s): Herald Hagemann
Volume: 60
Issue: 242
Year: 2007
Rethinking debt sustainability in the context of the Millennium Development Goals

Author(s): Jan Kregel
Volume: 60
Issue: 242
Year: 2007
Macroeconomics in develpoing countries

Author(s): Deepak Nayyar
Volume: 60
Issue: 242
Year: 2007
Rethinking debt sustainability in the context of the Millennium Development Goals

Author(s): Jan kregel
Volume: 60
Issue: 242
Year: 2012
Unit of account or medium of exchange? Rejoinder

Author(s): Leland B. Yeager
Volume: 60
Issue: 241
Year: 2007
Unit of account or medium of exchange? Reply

Author(s): Joseph Aschheim | George S. Tavlas
Volume: 60
Issue: 241
Year: 2007
Unit of account or medium of exchange?

Author(s): Leland Yeager
Volume: 60
Issue: 241
Year: 2007
Sticky prices or sticky information?

Author(s): Alessio Moro
Volume: 60
Issue: 241
Year: 2007
Capital Folws, capital account liberalisation and the southern Mediterranean countries

Author(s): Heather D. Gibson | Thomas Vlassopoulo
Volume: 60
Issue: 241
Year: 2007
Implications of Basel II for financial stability. Clouds are darker for developing countries

Author(s): Mario Tonveronachi
Volume: 60
Issue: 241
Year: 2007
Economic transparency and poverty

Author(s): Helder Ferreira De Mendonça | Josè Simao Filho
Volume: 60
Issue: 240
Year: 2007
Shareholders and stakeholders value creation: an analytic foundation for value creation indicators

Author(s): Rainer S. Masera | Giancarlo Mazzoni
Volume: 60
Issue: 240
Year: 2007
An economic Manifesto for the oil exporting countries of the Persian Gulf

Author(s): Hossein Askari | Faranghees Abbas | George Jabbour | Dohee Kwon
Volume: 59
Issue: 239
Year: 2006
Money as mumeraire: doctrinal aspects and contemporary relevance

Author(s): Joseph Aschheim | George S. Tavlas
Volume: 59
Issue: 239
Year: 2006
Optimum currency areas: a policy view

Author(s): Filippo Cesarano
Volume: 59
Issue: 239
Year: 2006
On floating exchange rates, currency depreciation and effective demand: a comment

Author(s): Mario Sarcinelli
Volume: 59
Issue: 239
Year: 2006
On floating exchange rates, currency depreciation and effective demand

Author(s): Julio Lopez | Ignocio Perrotini Perrotini
Volume: 59
Issue: 238
Year: 2006
Reality and response: unemployment 1970-2005 in two core journals

Author(s): Kurt Rothschild
Volume: 59
Issue: 238
Year: 2006
Stress testing credit risk: experience from the italian FSAP

Author(s): Sebastiano Laviola | Juri Marcucci | Mario Quagliariello
Volume: 59
Issue: 238
Year: 2006
Spot and foward market intervention during the 1997 Korean currency crisis

Author(s): Woosik Moon | Yeongseop Rhee
Volume: 59
Issue: 238
Year: 2006
The equilibrium approach to optimum currency areas

Author(s): Filippo Cesarano
Volume: 59
Issue: 237
Year: 2006
Common factors and balance sheet structure of major European banks

Author(s): Antonio Roma
Volume: 59
Issue: 237
Year: 2006
Economic failure in the Middle East

Author(s): Hossein Askari | Roshanak Taghavi
Volume: 59
Issue: 236
Year: 2006
The future of Post Keynesian economics

Author(s): Giuseppe Fontana | Bill Gerrard
Volume: 59
Issue: 236
Year: 2006
Foreign debt and financial fragility in the perspective of the emerging countries

Author(s): Mario Tonveronachi
Volume: 59
Issue: 236
Year: 2006
Paolo Sylos Labini, 1920-2005

Author(s): Alessandro Roncaglia
Volume: 59
Issue: 236
Year: 2006
The geography of banking power: role of function distance

Author(s): Pietro Alessandrini | Manuela Croci | Alberto Zazzaro
Volume: 58
Issue: 235
Year: 2005
The principle foundations of an Islamic economy

Author(s): Hossein Askari | Roshanak Taghavi
Volume: 58
Issue: 235
Year: 2005
Using an evolving criterion to assess the Federal Reserve's behaviour in recent years

Author(s): Davide Ferrari | Antonio Ribba
Volume: 58
Issue: 235
Year: 2005
Modigliani's life-cycle theory of savings fifty years later

Author(s): Mauro Baranzini
Volume: 58
Issue: 233-234
Year: 2005
Franco Modigliani

Author(s): Antonio Fazio
Volume: 58
Issue: 233-234
Year: 2005
The Modigliani-Miller theorems: a cornerstone of finance

Author(s): Marco Pagano
Volume: 58
Issue: 233-234
Year: 2005
A reappraisal of Modgliani's finance theories

Author(s): Terenzio Cozzi
Volume: 58
Issue: 233-234
Year: 2005
The life-cycle hypothesis, fiscal policy and social security

Author(s): Tullio Jappelli
Volume: 58
Issue: 233-234
Year: 2005
Franco Modigliani and the life-cycle theory of consumption

Author(s): Angus Deaton
Volume: 58
Issue: 233-234
Year: 2005
From theory to practice in macroeconomic models: post-Keynesian eclecticism

Author(s): Ignazio Visco
Volume: 58
Issue: 233-234
Year: 2005
Franco Modigliani and oligopoly

Author(s): Paolo Sylos Labini
Volume: 58
Issue: 233-234
Year: 2005
How much of John Maynard Keynes can we find in Franco Modigliani?

Author(s): Luigi L. Pasinetti
Volume: 58
Issue: 233-234
Year: 2005
Modigliani and Keynes

Author(s): Robert M. Solow
Volume: 58
Issue: 233-234
Year: 2005
Franco: a mind never at rest

Author(s): Paul A. Samuelson
Volume: 58
Issue: 233-234
Year: 2005
Inauguration of the proceedings

Author(s): Giovanni Conso
Volume: 58
Issue: 233-234
Year: 2005
Evaluating non-linear models on point and interval forecasts: an application with exchange rates

Author(s): Gianna Boero | Emanuela Marrocu
Volume: 58
Issue: 232
Year: 2005
The economic collapse of Russia

Author(s): Gerando Bracho C. | Julio Lopez G.
Volume: 58
Issue: 232
Year: 2005
Financial centers in the Asia-pacific region: an empirical study on australia, Hong Kong, Japan and Singapore

Author(s): J.P.A. Sagaram | J. Wickramanayake
Volume: 58
Issue: 232
Year: 2005
The US economy: an update

Author(s): Ugo Sacchetti
Volume: 58
Issue: 232
Year: 2005
An economic policy for the fifth long wave

Author(s): Angelo Reati | Jan Toporowski
Volume: 57
Issue: 231
Year: 2004
New directions in stabilisation policies

Author(s): Ralf Fendel
Volume: 57
Issue: 231
Year: 2004
The new financial architecture: from substantive to procedural rules

Author(s): Mario Sarcinelli
Volume: 57
Issue: 231
Year: 2004
Why is food cheaper in rich (European) countries?

Author(s): Leon Podkaminer
Volume: 57
Issue: 230
Year: 2004
Central banks and information provided to the private sector

Author(s): Giovanni Di Bartolomeo | Enrico Marchetti
Volume: 57
Issue: 230
Year: 2004
Basel II: panacea or a missed opportunity?

Author(s): Maximilian J.B. Hall
Volume: 57
Issue: 230
Year: 2004
An index for sustainable development

Author(s): Enrico Casadio Tarabusi | Paolo Palazzi
Volume: 57
Issue: 229
Year: 2004
Estimating the Bank of Japan's monetary policy reaction function

Author(s): Yu Hsing
Volume: 57
Issue: 229
Year: 2004
Trade liberalisation in Mexico: rhetoric and reality

Author(s): Pennelope Pacheco-Lopez | Anthony P. Thirlwall
Volume: 57
Issue: 229
Year: 2004
The US economy: weakness of the "strong" recovery

Author(s): Wynne Godley | Alex Izurieta
Volume: 57
Issue: 229
Year: 2004
European's federation and currency: the contribution of Luigi Einaudi

Author(s): Mario Sarcinelli
Volume: 57
Issue: 229
Year: 2004
The treatment of SMEs loans in the New Basel Capital Accord: some evaluations

Author(s): Fabrizio Fabi | Sebastiano Laviola | Paolo Marullo Reedtz
Volume: 57
Issue: 228
Year: 2004
Unemployment, inquality and the policy of Europe: 1984-2000

Author(s): James K. Galbraith | Enrique Garcilazo
Volume: 57
Issue: 228
Year: 2004
Is a transactions tax an effective means to stabilize the foreign exchange market?

Author(s): Andrea Terzi
Volume: 56
Issue: 227
Year: 2003
Banking behaviour and the Brazilian economy after the Real Plan: The post-Keynesian approch

Author(s): Luiz-Fernando De Paula | Antonio J. Alves
Volume: 56
Issue: 227
Year: 2003
The process of european monetary integration: a comparison of the belgian and italian approaches

Author(s): Ivo Maes | Lucia Quaglia
Volume: 56
Issue: 227
Year: 2003
Measuring the district effect. Reflections on the literature

Author(s): Giacomo Becattini | Francesco Musotti
Volume: 56
Issue: 226
Year: 2003
Intra-middle eastern trade: why is it so low?

Author(s): Hossein Askari | Rana Atie | Nicolas Khouri
Volume: 56
Issue: 226
Year: 2003
Analytical notes on the Balassa-Samuelson effect

Author(s): Leon Podkaminer
Volume: 56
Issue: 226
Year: 2003
Prospects for the world economy

Author(s): Paolo Sylos Labini
Volume: 56
Issue: 226
Year: 2003
On the ‘burden’ of German unification

Author(s): Jorg Bibow
Volume: 56
Issue: 225
Year: 2003
Does the stock of monei have any causal significance?

Author(s): Philip Arestis | Malcolm Sawyer
Volume: 56
Issue: 225
Year: 2003
Banks, regions and development

Author(s): Pietro Alessandrini | Luca Papi | Alberto Zazzaro
Volume: 56
Issue: 224
Year: 2003
Software exporting: a developing country advantage

Author(s): Hossein Askari | Joydeep Chatterjee
Volume: 56
Issue: 224
Year: 2003
The reputation of a newborn central bank

Author(s): Zeno Rotondi | Giacomo Vaciago
Volume: 56
Issue: 224
Year: 2003
The generation and distribution of central bank seigniorage in the Czech Republic, Hungary and Poland

Author(s): Eduard Hochreiter | Riccardo Rovelli
Volume: 55
Issue: 223
Year: 2002
Stocks and shocks

Author(s): Bert Scholtens | Marélie Steensma
Volume: 55
Issue: 223
Year: 2002
Central banking and financial innovation. A survey of the modern literature

Author(s): Jan Marc Berk
Volume: 55
Issue: 222
Year: 2002
Securities and banking: bridges and walls

Author(s): Tommaso Padoa-Schioppa
Volume: 55
Issue: 222
Year: 2002
Anchor, float or abandon ship: exchange rate regimes for the accession countries

Author(s): Willem H. Buiter | Clemens Grafe
Volume: 55
Issue: 221
Year: 2002
Is the natural rate of growth exogenous? A reply

Author(s): Miguel A. Leon-Ledesma | Anthony P. Thirlwall
Volume: 55
Issue: 221
Year: 2002
Is the natural rate of growth exogenous?A comment

Author(s): Luciano Boggio | Gilberto Seravalli
Volume: 55
Issue: 221
Year: 2002
Consolidation, ownership structure and efficiency in the Italian banking system

Author(s): Marcello Messori
Volume: 55
Issue: 221
Year: 2002
Pop competitiveness

Author(s): Roberto Cellino | Anna Soci
Volume: 55
Issue: 220
Year: 2002
Economic sanctions and US international business interests

Author(s): Hossein Askari | John Forrer | Hildy Teegen | Jiawen Yang
Volume: 55
Issue: 220
Year: 2002
M&A flows and the foreign exchange markets:practical experiences

Author(s): Martijn A. Schrijvers
Volume: 55
Issue: 220
Year: 2002
Central bank forecasts of liquidity factors and the control of short term interest rates

Author(s): Ulrich Bindseil
Volume: 55
Issue: 220
Year: 2002
The price level and monetary policy

Author(s): Charles P. Kindleberger
Volume: 55
Issue: 220
Year: 2002
The developing recession in the United States

Author(s): Wynne Godley
Volume: 54
Issue: 219
Year: 2001
The balance-of-payments constraint:from balanced trade to sustainable debt

Author(s): Nelson H. Barbosa-Filho
Volume: 54
Issue: 219
Year: 2001
On the theory of interest rate policy

Author(s): Heinz-Peter Spahn
Volume: 54
Issue: 219
Year: 2001
Structural biases in prudential regulation of banks

Author(s): Mario Tonveronachi
Volume: 54
Issue: 219
Year: 2001
Total factor productivity - a misleading concept

Author(s): Angelo Reati
Volume: 54
Issue: 218
Year: 2001
What central banks have learned: lessons from pre-EMU Europe

Author(s): Aerdt C.F.J. Houben
Volume: 54
Issue: 218
Year: 2001
The foreign exchange market interventions of the European Central Bank

Author(s): M. Frenkel | C. Pierdzionc | G. Stadtmann
Volume: 54
Issue: 218
Year: 2001
Exchange-rate policy in eastern Europe and EU integration

Author(s): Jozef M. Van Brabant
Volume: 54
Issue: 218
Year: 2001
The basle Committee's proposals for a new capital adequacy assessment framework: a critique

Author(s): Maximilian J.B. Hall
Volume: 54
Issue: 217
Year: 2001
Paying for pensions: how important is economic growth?

Author(s): Ignazio Visco
Volume: 54
Issue: 216
Year: 2001
Volatility spillovers and the role of leading financial centres

Author(s): Giulio Ciffarelli | Giovanna Paladino
Volume: 54
Issue: 216
Year: 2001
Water management, Middle East peace and a role for the World bank

Author(s): Hossein Askari | Catherine Brown
Volume: 54
Issue: 216
Year: 2001
Market concentration and technological innovation in a dynamic model of growth and distribution

Author(s): Gilberto Tadeu Lima
Volume: 53
Issue: 215
Year: 2000
Is the natural rate of growth exogenous?

Author(s): Miguel Leon-Ledesma | Anthony P. Thirlwall
Volume: 53
Issue: 215
Year: 2000
Critique of the neoclassical theory of growth and distribution

Author(s): Luigi L. Pasinetti
Volume: 53
Issue: 215
Year: 2000
The neoclassical theory of growth and distribution

Author(s): Robert M. Solow
Volume: 53
Issue: 215
Year: 2000
Private savings and financial modernization in Mexico, 1988-95

Author(s): Julio Lopez G. | Armando Sànchez V.
Volume: 53
Issue: 214
Year: 2000
The industry effects of monetary policy and their welfare implications

Author(s): Ivo J.M. Arnold
Volume: 53
Issue: 214
Year: 2000
The long-run effects of low inflation rates

Author(s): Victoria C. Hoogenveen | Simon K. Kuipers
Volume: 53
Issue: 214
Year: 2000
The financial benefits of the IMF

Author(s): Age F. P. Bakker | Martijn A. Schrijvers
Volume: 53
Issue: 214
Year: 2000
Capital mobility. An overview

Author(s): H. W. Arndt
Volume: 53
Issue: 214
Year: 2000
Foreign competition and disintermediation: no threat to the German banking system?

Author(s): Claudia M. Buch | Stefan M. Golder
Volume: 53
Issue: 213
Year: 2000
The transmission of monetary shocks in the euro area: a V AR analysis based on euro-wide data

Author(s): Jan Kakes | Sitikantha Pattanaik
Volume: 53
Issue: 213
Year: 2000
New competitive strategies of foreign banks in large emerging economies: the case of Brazil

Author(s): Fernando J. Cardim de Carvalho
Volume: 53
Issue: 213
Year: 2000
Bank capital ratios in the 1990s: cross-country evidence

Author(s): Gabe J. De Bondt | Henriette M. Prast
Volume: 53
Issue: 212
Year: 2000
Taxation and the household saving rate: evidence from OECD countries

Author(s): Vito Tanzi | Howell H. Zee
Volume: 53
Issue: 212
Year: 2000
Welfare systems, ageing and work: an OECD perspective

Author(s): Ignazio Visco
Volume: 53
Issue: 212
Year: 2000
Central banks in European emerging market economies in the 1990s

Author(s): Eduard Hochreiter | Tadeusz Kowalski
Volume: 53
Issue: 212
Year: 2000
Assessing the competitive conditions in the Italian banking system: some empirical evidence

Author(s): Paolo Coccorese
Volume: 51
Issue: 205
Year: 1998
The Case for Central Bank Independence

Author(s): Jakob De Haan | Jan Egbert Sturm
Volume: 45
Issue: 182
Year: 1992
Currency speculation and dollar fluctuations

Author(s): Stephan Schulmeister
Volume: 41
Issue: 167
Year: 1988
Foreign trade elasticities in centre-periphery models of growth and development

Author(s): Anthony Philip Thirlwall
Volume: 36
Issue: 146
Year: 1983
Long run dynamics of productivity growth

Author(s): Angus Maddison
Volume: 32
Issue: 128
Year: 1979
Inflation and the Indexation of Personal Income Taxes in Theory and Practice

Author(s): Vito Tanzi
Volume: 29
Issue: 118
Year: 1976
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