Search

Add filters:

Use filters to refine the search results.


Results 11-20 of 147.
Year of PublicationTitleAuthor(s)
2021The methodology for assessing interest-rate policy rules: a replySmithin, John
2021Post-COVID-19 Asia will grow strongly in 2021 but structural problems continue to pile upHerrero, Alicia Garcia
2021Technological progress, non-price factors competitiveness, and changes in trade income elasticities: empirical evidence from South Korea and Hong KongResende, Marco Flávio Cunha; Leone, Vitor; Torres, Daniela Almeida Raposo; Coleman, Simeon
2020On multi-sector and multi-technique models, production functions and Goodwin cycles: a reply to LibmanBlecker, Robert A.; Setterfield, Mark
2020What do the value-at-risk measure and the respective legislative framework really offer to financial stability? Critical views and pro-cyclicalityVasileiou, Evangelos; Pantos, Themistoclis
2021Book review: Beker, Victor A. (2021): Preventing the Next Financial Crisis, Routledge, Abingdon, UK and New York, NY, USA (172 pages, hardcover, ISBN 978-0-367-48398-2)Escudé, Guillermo J.
2021Saving and Investment in the Twenty-First Century: The Great Divergence – some comments from a post-Keynesian perspectiveHein, Eckhard
2022Inequality, non-linear consumption behaviour, and monetary growth imperativesJanischewski, Anja
2021Book review: Heine, Michael and Hansjörg Herr (2021): The European Central Bank, Newcastle upon Tyne, UK (208 pages, Agenda Publishing, hardcover, ISBN 978-1-78821-294-6; softcover, ISBN 978-1-78821-295-3; ebook, ISBN 978-1-78821-296-0)Niechoj, Torsten
2022The ecological crisis and post-Keynesian economics – bridging the gap?Huwe, Vera; Rehm, Miriam