No 502: The determinants of host country spillovers from foreign direct investment: review and synthesis of the literature
Magnus Blomstrom, Steven Globerman and Ari Kokko
No 348: FDI and the Dynamics of Productivity: Microeconomic Evidence
Yumiko Okamoto and Fredrik Sjöholm
No 347: Economic Recovery in Indonesia: The Challenge of Combining FDI and Regional Development
Fredrik Sjöholm
No 346: Does Examination Hell Pay Off? A Cost-Benefit Analysis of "Ronin" and College Education in Japan
Hiroshi Ono
No 345: Fourth Moment Structure of a Family of First-Order Exponential GARCH Models
Changli He, Timo Teräsvirta and Hans Malmsten
No 344: Inside vs Outside Ownership: A Political Theory of the Firm
Holger M. Müller and Karl Wärneryd
No 343: A general framework for testing the Granger noncausality hypothesis
Anne Péguin-Feissolle and Timo Teräsvirta
No 342: Do Market-Based Incentives Lower the Cost of Compliance?
Magnus Allgulin
No 341: Limited Liability and Dynamic Incentives
Magnus Allgulin
No 340: Monitoring and Pay: General results
Magnus Allgulin
No 339: The Determinants of Host Country Spillovers from Foreign Direct Investment: Review and Synthesis of the Literature
Magnus Blomström, Steven Globerman and Ari Kokko
No 338: On the Existence of Finite Dimensional Realizations for Nonlinear Forward Rate Models
Tomas Björk and Lars Svensson
No 337: On Consumption Bunching under Campbell-Cochrane Habit Formation
Lars Ljungqvist and Harald Uhlig
No 336: Forecasting performance of seasonal cointegration models
Mårten Löf and Johan Lyhagen
No 335: THE NET BARTER TERMS OF TRADE : A SMOOTH TRANSITION APPROACH
Anna Persson and Timo Teräsvirta
No 334: Income-Related Inequality in Life-Years and Quality-Adjusted Life-Years
Ulf-G. Gerdtham and Magnus Johannesson
No 333: The Dynamics of Capital Structure
Saugata Banerjee, Almas Heshmati and Clas Wihlborg
No 332: Efficient estimation of price adjustment coefficients
Johan Lyhagen
No 331: Likelihood-Based Inference in Multivariate Panel Cointegration Models
Rolf Larsson and Johan Lyhagen
No 330: Is the short-run Phillips curve nonlinear? Empirical evidence for Australia, Sweden and the United States
Ann-Charlotte Eliasson
No 329: Detecting equilibrium correction with smoothly time-varying strength
Ann-Charlotte Eliasson
No 328: Smooth transitions in a UK consumption function
Ann-Charlotte Eliasson
No 327: Markets for Risk and Openness to Trade: How are they Related?
Helena Svaleryd and Jonas Vlachos
No 326: Do Foreign Contacts Enable Firms to Become Exporters?
Fredrik Sjöholm
No 325: Twice Hit - Badly Wounded: The Devastating Cost of an Inadequate Transformation in Moldova
Per Ronnås and Nina Orlova
No 324: Protection and the Dynamics of Productivity Growth: The Case of Automotive Industries in Indonesia
Yumiko Okamoto and Fredrik Sjöholm
No 323: On the interpretation of cost-effectiveness acceptability curves
Mickael Löthgren and Niklas Zethraeus
No 322: How Do Layoff Costs Affect Employment?
Lars Ljungqvist
No 321: Squandering European Labor: Social Safety Nets in Times of Economic Turbulence
Lars Ljungqvist
No 320: Financial Autarky and International Business Cycles
Jonathan Heathcote and Fabrizio Perri
No 319: Fiscal Policy with Heterogeneous Agents and Incomplete Markets
Jonathan Heathcote
No 318: Retail price levels and concentration of wholesalers, retailers, and hypermarkets
Marcus Asplund and Richard Friberg
No 317: An ARCH Robust STAR Test
Michael K. Andersson, Bruno Eklund and Johan Lyhagen
No 316: Delegation in first-price all-pay auctions
Kai A. Konrad, Wolfgang Peters and Karl Wärneryd
No 315: Higher-order dependence in the general Power ARCH process and a special case
Changli He and Timo Teräsvirta
No 314: A Note on Contingent Claims Pricing with Non-Traded Assets
Jan Ericsson and Joel Reneby
No 313: Assessing the Effect of Schooling on Earnings Using a Social Experiment
Costas Meghir and Mårten Palme
No 312: Performance and Characteristics of Swedish Mutual Funds
Magnus Dahlquist, Stefan Engström and Paul Söderlind
No 311: Testing for the Lucas Critique: A Quantitative Investigation
Jesper Lindé
No 310: A Normality Test for the Mean Estimator
Michael K. Andersson
No 309: Should central banks be more aggressive?
Ulf Söderström
No 308: Monetary policy with uncertain parameters
Ulf Söderström
No 307: Predicting monetary policy using federal funds futures prices
Ulf Söderström
No 306: Swedish Export Price Determination: Pricing to Market Shares?
Malin Adolfson
No 305: European Integration and Geographical Concentration of Swedish Multinationals
Thomas Mathä
No 304: Bootstrapping Error Component Models
Michael K. Andersson and Sune Karlsson
No 303: A long memory panel unit root test: PPP revisited
Jonas Andersson and Johan Lyhagen
No 302: Testing for Independence in Multivariate Duration Models
Hans Söderberg and Johan Lyhagen
No 301: Patterns of Productivity Growth in the Norwegian Salmon Farming Industry
Ragnar Tveterås and Almas Heshmati
No 300: A Simple Linear Time Series Model with Misleading Nonlinear Properties
Michael K. Andersson, Bruno Eklund and Johan Lyhagen
No 299: On the power and interpretation of panel unit root tests
Sune Karlsson and Mickael Löthgren
No 298: Transparency and Competition
Arvid Nilsson
No 297: Starting values in estimation of cointegrating vectors with restrictions
Johan Lyhagen and Lars Forsberg
No 296: A simple variable selection technique for nonlinear models
Gianluigi Rech, Timo Teräsvirta and Rolf Tschernig
No 295: Asymmetric Shocks and Policy Responses: A comparative analysis of the effects of a monetary union.
Arvid Wallgren
No 294: Why Agency Costs Explain Diversification Discounts
Henrik Cronqvist, Peter Högfeldt and Mattias Nilsson
No 293: Estimating the Effects of Vocational Rehabilitation Programs in Sweden
Almas Heshmati and Lars-Gunnar Engström
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