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Titlebook: Dynamic Modeling, Empirical Macroeconomics, and Finance; Essays in Honor of W Lucas Bernard,Unurjargal Nyambuu Book 2016 Springer Internati

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書目名稱Dynamic Modeling, Empirical Macroeconomics, and Finance
副標(biāo)題Essays in Honor of W
編輯Lucas Bernard,Unurjargal Nyambuu
視頻videohttp://file.papertrans.cn/284/283662/283662.mp4
概述Offers a collection of contributions to macroeconomic modeling, dynamic optimization, empirical finance, and related topics.Provides a compendium of cutting-edge methodologies.Of special interest to a
圖書封面Titlebook: Dynamic Modeling, Empirical Macroeconomics, and Finance; Essays in Honor of W Lucas Bernard,Unurjargal Nyambuu Book 2016 Springer Internati
描述.This edited volume, with contributions by area experts, offers discussions on a range of evolving topics in economics and social development. At center are important issues central to sustainable development, economic growth, technological change, the economics of climate change, commodity markets, long wave theory, non-linear dynamic models, and boom-bust cycles. This is an excellent reference for academic and professional economists interested in emerging areas of empirical macroeconomics and finance. For policy makers and curious readers alike, it is also an outstanding introduction to the economic thinking of those who seek a holistic and all-compassing approach in economic theory and policy.? Looking into new data and methodology, this book offers fresh approaches in a post-crisis environment. Set in a profound understanding of the diverse currents within the many traditions of economic thought, this book pushes the established frontiers of economic thinking. It is dedicated to a leading scholar in the areas covered in this book, Willi Semmler.?.
出版日期Book 2016
關(guān)鍵詞Dynamic modeling; Dynamic optimization; Economic growth; Empirical finance; Empirical macroeconomics; Int
版次1
doihttps://doi.org/10.1007/978-3-319-39887-7
isbn_softcover978-3-319-81989-1
isbn_ebook978-3-319-39887-7
copyrightSpringer International Publishing Switzerland 2016
The information of publication is updating

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From the Great Divergence to the Great Convergence, |Divergence (nineteenth century and the first half of the twentieth century), then—from Divergence to Convergence (second half of the twentieth century), and at last, to the acceleration of convergence in the early twenty-first century. The forecast, calculated after this model reveals that Great C
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Borrowing Constraints and Monetary Policy: The Inflation Tax-Net Worth Channel, is the natural vehicle to explore the net worth channel of the monetary transmission mechanism. In the original model, however, all the variables, credit included, are in real terms. In order to assess the impact of monetary policy the model must be reformulated to fit a monetary economy. In the pr
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,Keynes’ Microeconomics of Output and Labor Markets,uction mediated by money, increasing returns, and unresolved social coordination problems. While these ideas (often using different terminology) have had a vigorous development in the decades since Keynes’ ., there is still a limited understanding of their centrality to macroeconomic debates. This p
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,“Wavelet-Based” Early Warning Signals of Financial Stress: An Application to IMF’s AE-FSI,ardarelli et al. (Financial stress, downturns, and recoveries. IMF Working Papers 09/100, International Monetary Fund, Washington, 2009). Specifically, for each country of the sample we construct a “wavelet-based” early warning indicator of financial stress by selecting, among the individual indicat
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