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Displaying results 1 to 25 of 909.

  1. Analyse der Anwendung von Verkehrsnachfragemodellen
    Published: 2001
    Publisher:  Bundesministerium für Verkehr, Bau- und Wohnungswesen, Abt. Straßenbau, Straßenverkehr, Bonn

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: German; English; French
    Media type: Book
    Format: Print
    ISBN: 3934458378
    RVK Categories: ZO 3100 ; ZI 6430
    Series: Forschung Strassenbau und Strassenverkehrstechnik ; 804
    Subjects: Verkehr; Nachfrage; Verkehrsmittelwahl; Wirtschaftsmodell; Theorie
    Scope: 136 S, graph. Darst
    Notes:

    Kurzfassung dt., engl. u. franz. - Zsfassung engl

  2. Monetary economics
    an integrated approach to credit, money, income, production and wealth
    Published: 2007
    Publisher:  Palgrave Macmillan, Basingstoke, Hampshire

    Staats- und Universitätsbibliothek Bremen
    a vwl 380/142
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    11a vwl 380/142a
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    QC 320 G586
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    SW 2007/108
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    Frei 10: J0/3004
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    B 347831
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    2007 A 0204
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    2340/310
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    47 A 7463
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    ISBN: 0230500552; 9780230500556
    Other identifier:
    9780230500556
    2006049315
    RVK Categories: QC 320
    Edition: 1. publ.
    Subjects: Geldtheorie; Makroökonomik; Offene Volkswirtschaft; Wirtschaftsmodell; Theorie; Money; Economics; Money; Economics
    Scope: XLIIII, 530 S., graph. Darst., 22 cm
    Notes:

    Includes bibliographical references and index

  3. A model to assess the probabilities of growth, fiscal, and financial crises
    Published: December 2017
    Publisher:  International Monetary Fund, [Washington, D.C.]

    This paper summarizes a suite of early warning models to assess the probabilities of growth, fiscal, and financial crises in advanced economies and emerging markets. We estimate separate signal-extraction models for each type of crisis and sample of... more

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    This paper summarizes a suite of early warning models to assess the probabilities of growth, fiscal, and financial crises in advanced economies and emerging markets. We estimate separate signal-extraction models for each type of crisis and sample of countries, and we use our results to generate 'histories of vulnerabilities' for countries, regions, and the world. For the global financial crisis, our models report that vulnerabilities in advanced economies were rooted in the bursting of leveraged bubbles, while vulnerabilities in emerging markets stemmed from lengthy booms in credit and asset prices combined with growing weaknesses in the corporate and external sectors

     

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  4. Inflation, liquidity and innovation
    Published: May 2018
    Publisher:  World Bank Group, Transport and Digital Development Practice, Washington, D.C.

    This paper presents a simple model with financial frictions where inflation increases the cost faced by firms holding liquid assets to hedge risky production against expenditure shocks. Inflation tilts firms' technology choice away from innovative... more

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    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Universität Potsdam, Universitätsbibliothek
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    This paper presents a simple model with financial frictions where inflation increases the cost faced by firms holding liquid assets to hedge risky production against expenditure shocks. Inflation tilts firms' technology choice away from innovative activities and toward safer but return-dominated ones, and therefore reduces long-run growth. The theory makes specific predictions about how the severity of this adverse effect depends on industry characteristics. These predictions are tested with novel harmonized firm-level data from 139 developing countries, overcoming small sample problems constraining previous work. The analysis finds that inflation affects the composition but not the overall quantity of investment. A one percentage point increase in inflation reduces the establishment-level probability of innovation by 4.3 percent but does not affect total investment. Moreover, innovating firms display a stronger dependence on liquid assets, which, in turn, are negatively related to inflation. Generalized difference-in-differences estimations corroborate the sector-specific predictions of the theoretical model

     

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Other identifier:
    Series: Policy research working paper ; 8436
    World Bank E-Library Archive
    Subjects: Liquidität; Technologiewahl; Innovation; Investition; Wirtschaftsmodell; Entwicklungsländer
    Scope: 1 Online-Ressource (circa 40 Seiten), Illustrationen
  5. Technical change, effective demand and economic growth
    Published: 2002
    Publisher:  WIIW, Wien

    Leibniz-Institut für Wirtschaftsforschung Halle, Bibliothek
    Mag14159
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    Staats- und Universitätsbibliothek Hamburg Carl von Ossietzky
    Ne/51bt
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    W 832 (22)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QC 344
    Series: Working papers / Vienna Institute for International Economic Studies ; 22
    Subjects: Technischer Fortschritt; Wirtschaftswachstum; Wirtschaftsmodell; Theorie
    Scope: 32 S, graph. Darst, b
    Notes:
  6. Principles, structure and application of dynamic regional sector model of Finnish agriculture
    Published: 2001
    Publisher:  Agrifood Research Finland, Economic Research (MTTL), Helsinki

    Thünen-Institut, Zentrum für Informationsmanagement, Bibliothek
    S 604/98
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    OAb-516
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    B 320322
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    Source: Union catalogues
    Language: English
    Media type: Dissertation
    Format: Print
    ISBN: 9516871151
    Series: Taloustutkimus (MTTL) julkaisuja / MTT ; 98
    Subjects: Agrarpolitik; Wirtschaftsmodell; Finnland; Agriculture
    Scope: 265 S, graph. Darst, 25 cm
    Notes:

    Literaturverz. S. 255 - 264

    Zugl.: Espoo, Helsinki Univ. of Technology, Diss., 2001

  7. A quantitative trade model with unemployment
    Author: Lee, Kyu Yub
    Published: October 15, 2018
    Publisher:  KIEP, Korea Institute for International Economic Policy, Sejong-si, Korea

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 606 (2018,4)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    ISBN: 9788932242781; 9788932240268
    Series: KIEP working paper ; 18, 04
    Subjects: Außenwirtschaftstheorie; Wirtschaftsmodell; Beschäftigungseffekt; Arbeitslosigkeit; Wohlfahrtsanalyse; Komparativer Vorteil
    Scope: 44 Seiten, Illustrationen
    Notes:

    Erscheint auch als Online-Ausgabe

  8. Documentation of the Central and Eastern European Countries Agricultural Simulation Model (CEEC-ASIM Version 1.0)
    Published: 2000
    Publisher:  IAMO, Inst. für Agrarentwicklung in Mittel- und Osteuropa, Halle (Saale)

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Print
    Series: Discussion paper / Institute of Agricultural Development in Central and Eastern Europe ; 27
    Subjects: Landwirtschaft; Partielles Gleichgewicht; Wirtschaftsmodell; Wirkungsanalyse; Simulation; Osteuropa
    Scope: 41 S
    Notes:

    Literaturverz. S. 40 - 41

    Parallel als elektronische Ressource im Fernzugriff verfügbar

    Zsfassung in dt. Sprache

  9. Are contemporary Central Banks transparent about economic models and objectives and what difference does it make?
    Published: 2001
    Publisher:  Dt. Bundesbank, Frankfurt am Main

    Freie Universität Berlin, Universitätsbibliothek
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    Source: Philologische Bibliothek, FU Berlin
    Language: English
    Media type: Book
    ISBN: 3933747694
    RVK Categories: QB 910 ; QK 900
    Series: Volkswirtschaftliches Forschungszentrum <Frankfurt, Main>: Discussion paper ; 2001,5
    Subjects: Transparenz; Inflationsbekämpfung; Modell; Notenbankpolitik; Wirtschaftsmodell; Geldpolitik; Notenbank
    Scope: 44 S.
  10. Factor models and the shape of the term structure
    Published: 1997
    Publisher:  Sonderforschungsbereich 303, Bonn

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    DDC Categories: 330; 380; 650; 670
    Series: Discussion paper / Sonderforschungsbereich 303, Information und die Koordination Wirtschaftlicher Aktivitäten, B, Rheinische Friedrich-Wilhelms-Universität Bonn ; No. 395
    Subjects: Zinsstruktur; Wirtschaftsmodell; Wahrscheinlichkeitsrechnung; Theorie
    Other subjects: (stw)Zinsstruktur; (stw)Wirtschaftsmodell; (stw)Wahrscheinlichkeitsrechnung; (stw)Theorie; Arbeitspapier; Graue Literatur; Buch
    Scope: 25 S., graph. Darst., 30 cm
  11. Documentation of the Central and Eastern European Countries Agricultural Simulation Model (CEEC-ASIM Version 1.0)
    Published: 2000
    Publisher:  IAMO, Inst. für Agrarentwicklung in Mittel- und Osteuropa, Halle (Saale)

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Potsdamer Straße
    6 B 50386
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    Leibniz-Institut für Agrarentwicklung in Transformationsökonomien, Bibliothek
    A 1.7.2 Wahl
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    Leibniz-Institut für Agrarentwicklung in Transformationsökonomien, Bibliothek
    A 1.7.2 Wahl
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    W 1238 (27)
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Print
    Series: Discussion paper / Institute of Agricultural Development in Central and Eastern Europe ; 27
    Subjects: Landwirtschaft; Partielles Gleichgewicht; Wirtschaftsmodell; Wirkungsanalyse; Simulation; Osteuropa
    Scope: 41 S
    Notes:

    Literaturverz. S. 40 - 41

    Parallel als elektronische Ressource im Fernzugriff verfügbar

    Zsfassung in dt. Sprache

  12. Financial optimization
    Published: 1995
    Publisher:  Cambridge Univ. Press, Cambridge [u.a.]

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    B 292215
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    ISBN: 0521419050
    Edition: Reprint
    Subjects: Portfolio-Management; Kapitalanlage; Kapitalmarkttheorie; Risiko; Wirtschaftsmodell; Theorie
    Scope: XVII, 350 S. : graph. Darst
    Notes:

    Enth. 14 Beitr.

  13. Restricted immigration in a two-sector economy
    Published: 1998

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 601 (55)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Array ; 55
    Subjects: Internationale Migration; Arbeitsmigranten; Wirtschaftsmodell; Theorie
    Scope: 13 S
  14. Computable general equilibrium modeling
    numerical simulations in a 2-country monetary general equilibrium model
    Published: 1999
    Publisher:  Dep. of Economics, Wien

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 601 (65)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Array ; No. 65
    Subjects: Allgemeines Gleichgewicht; Wirtschaftsmodell; Simulation; Geldtheorie; Zwei-Länder-Modell; Theorie; Numerisches Verfahren
    Scope: 33 S, graph. Darst
  15. When modellers behave like lawyers
    have we lost the plot?
    Published: 1997

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 313 (125)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    ISBN: 0732607469
    Series: Array ; 125
    Subjects: Makroökonometrie; Wirtschaftsmodell; Politikberatung; Australien
    Scope: 11 S
  16. Explaining and Forecasting the US Federal Funds Rate
    A Monetary Policy Model for the US
    Published: 2004
    Publisher:  Palgrave Macmillan, London

    This book has been written as a practical guide for finance markets professionals to explain US monetary policy and to make forecasts of future interest rate levels. Aimed at market players, familiar with US policy instruments, Explaining and... more

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    This book has been written as a practical guide for finance markets professionals to explain US monetary policy and to make forecasts of future interest rate levels. Aimed at market players, familiar with US policy instruments, Explaining and Forecasting the US Federal Funds Rates will provide a means of making independent interest rate forecasts as well as explaining current rate levels

     

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    Volltext (lizenzpflichtig)
    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Ebook
    Format: Online
    ISBN: 9780230509030
    Other identifier:
    Series: Finance and Capital Markets Series
    Array
    Array
    Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Subjects: Geldmarkt; Zins; Geldpolitik; Wirtschaftsmodell; Prognoseverfahren; USA; Economics; Business enterprises; Finance; Econometrics; Macroeconomics; Economic policy; Monetary policy; Interest rates; Federal funds market (United States)
    Scope: Online-Ressource (XIII, 145 p, online resource)
    Notes:

    Includes bibliographical references and index

    Cover; Contents; List of Figures; List of Tables; Acronyms; Introduction; 1 Monetary Policy Models; 2 Monetary Policy at the US Federal Reserve; 3 The Monetary Policy Model (MPM); 4 Making FFR Forecasts Using the MPM; 5 Comparing MPM Results with the Eurodollar Futures Market; Appendices; Bibliography; General Notes; Index

  17. A statistical evaluation of GAP's forecasting performance for the Albanian economy
    Published: 2018
    Publisher:  Bank of Albania, Tiranë

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 1770 (2018,38=77)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    ISBN: 9789928262028
    Series: Working paper / Bank of Albania ; 2018, 38 = (77)
    Subjects: Wirtschaftsmodell; Wirtschaftsprognose; Prognoseverfahren; Bewertung; VAR-Modell; Albanien
    Scope: 25 Seiten, Illustrationen
    Notes:

    Erscheint auch als Online-Ausgabe

  18. Inflation, liquidity and innovation
    Published: May 2018
    Publisher:  World Bank Group, Transport and Digital Development Practice, Washington, D.C.

    This paper presents a simple model with financial frictions where inflation increases the cost faced by firms holding liquid assets to hedge risky production against expenditure shocks. Inflation tilts firms' technology choice away from innovative... more

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    This paper presents a simple model with financial frictions where inflation increases the cost faced by firms holding liquid assets to hedge risky production against expenditure shocks. Inflation tilts firms' technology choice away from innovative activities and toward safer but return-dominated ones, and therefore reduces long-run growth. The theory makes specific predictions about how the severity of this adverse effect depends on industry characteristics. These predictions are tested with novel harmonized firm-level data from 139 developing countries, overcoming small sample problems constraining previous work. The analysis finds that inflation affects the composition but not the overall quantity of investment. A one percentage point increase in inflation reduces the establishment-level probability of innovation by 4.3 percent but does not affect total investment. Moreover, innovating firms display a stronger dependence on liquid assets, which, in turn, are negatively related to inflation. Generalized difference-in-differences estimations corroborate the sector-specific predictions of the theoretical model

     

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    Volltext (Deutschlandweit zugänglich)
    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Online
    Other identifier:
    Series: Policy research working paper ; 8436
    World Bank E-Library Archive
    Subjects: Liquidität; Technologiewahl; Innovation; Investition; Wirtschaftsmodell; Entwicklungsländer
    Scope: 1 Online-Ressource (circa 40 Seiten), Illustrationen
  19. The double edge of case-studies
    a frame-based definition of economic models
    Published: [2017]
    Publisher:  FEA/USP, São Paulo

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
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    Volltext (kostenfrei)
    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Series: Working paper series / Department of Economics-FEA/USP ; no 2017, 21
    Subjects: Wirtschaftsmodell; Definition; Ökonomische Ideengeschichte
    Scope: 1 Online-Ressource (circa 35 Seiten), Illustrationen
  20. Transforming the abstract into concrete
    the dual semantic roots of economic modelling
    Published: [2017]
    Publisher:  FEA/USP, São Paulo

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    Format: Online
    Series: Working paper series / Department of Economics-FEA/USP ; no 2017, 22
    Subjects: Wirtschaftsmodell; Ökonomische Ideengeschichte
    Scope: 1 Online-Ressource (circa 28 Seiten), Illustrationen
  21. Economics
    between prediction and criticism
    Published: [2016]
    Publisher:  HEC Paris, Jouy-en-Josas

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
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    Source: Union catalogues
    Language: English
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    Format: Online
    Series: HEC Paris research paper ; no. ECO/SCD-1182 (2016)
    Subjects: Wirtschaftstheorie; Wirtschaftsprognose; Wirtschaftsmodell; Kritik; Theorie
    Scope: 1 Online-Ressource
  22. Explaining and Forecasting the US Federal Funds Rate
    A Monetary Policy Model for the US
    Published: 2004
    Publisher:  Palgrave Macmillan, London

    This book has been written as a practical guide for finance markets professionals to explain US monetary policy and to make forecasts of future interest rate levels. Aimed at market players, familiar with US policy instruments, Explaining and... more

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    This book has been written as a practical guide for finance markets professionals to explain US monetary policy and to make forecasts of future interest rate levels. Aimed at market players, familiar with US policy instruments, Explaining and Forecasting the US Federal Funds Rates will provide a means of making independent interest rate forecasts as well as explaining current rate levels

     

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    Volltext (lizenzpflichtig)
    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Ebook
    Format: Online
    ISBN: 9780230509030
    Other identifier:
    Series: Finance and Capital Markets Series
    Array
    Array
    Springer ebook collection / Palgrave Economics and Finance Collection 2000 - 2013
    Subjects: Geldmarkt; Zins; Geldpolitik; Wirtschaftsmodell; Prognoseverfahren; USA; Economics; Business enterprises; Finance; Econometrics; Macroeconomics; Economic policy; Monetary policy; Interest rates; Federal funds market (United States)
    Scope: Online-Ressource (XIII, 145 p, online resource)
    Notes:

    Includes bibliographical references and index

    Cover; Contents; List of Figures; List of Tables; Acronyms; Introduction; 1 Monetary Policy Models; 2 Monetary Policy at the US Federal Reserve; 3 The Monetary Policy Model (MPM); 4 Making FFR Forecasts Using the MPM; 5 Comparing MPM Results with the Eurodollar Futures Market; Appendices; Bibliography; General Notes; Index

  23. Industrial spezialization, trade, and labour market dynamics in a multisectoral model of technological progress
    Published: 2003
    Publisher:  Hamburgisches Welt-Wirtschafts-Archiv, Hamburg

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Print
    Series: FLOWENLA discussion paper ; 23
    Subjects: Handelsliberalisierung; Arbeitsmarkt; Internationale Arbeitsteilung; Produktivität; Wirtschaftsmodell; Theorie; Wirkungsanalyse
    Scope: 31 S, graph. Darst, b
    Notes:

    Literaturverz. S. 30 - 31

  24. Are contemporary Central Banks transparent about economic models and objectives and what difference does it make?
    Published: 2001
    Publisher:  Dt. Bundesbank, Frankfurt am Main

    Freie Universität Berlin, Universitätsbibliothek
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    Humboldt-Universität zu Berlin, Universitätsbibliothek, Jacob-und-Wilhelm-Grimm-Zentrum
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    Source: Philologische Bibliothek, FU Berlin
    Language: English
    Media type: Book
    ISBN: 3933747694
    RVK Categories: QB 910 ; QK 900
    Series: Volkswirtschaftliches Forschungszentrum <Frankfurt, Main>: Discussion paper ; 2001,5
    Subjects: Geldpolitik; Wirtschaftsmodell; Notenbankpolitik; Modell; Inflationsbekämpfung; Notenbank; Transparenz
    Scope: 44 S.
  25. Intermediation and investment incentives
    Published: 2006
    Publisher:  School of Business Administration, Bruchsal