Browsing All of EconStor by Author Uhlig, Harald

Jump to a point in the index:
Showing results 21 to 39 of 39
< previous 
Year of PublicationTitleAuthor(s)
2007 Explaining asset prices with external habits and wage rigidities in a DSGE modelUhlig, Harald
2007 Explaining asset prices with external habits and wage rigidities in a DSGE modelUhlig, Harald
2010 "Stimulus" und die KonsequenzenUhlig, Harald
2010 How far are we from the slippery slope? The Laffer curve revisitedTrabandt, Mathias; Uhlig, Harald
2011 Transitions in the German labor market: Structure and crisisKrause, Michael U.; Uhlig, Harald
2011 Fiscal stimulus and distortionary taxationDrautzburg, Thorsten; Uhlig, Harald
2013 Bundesverfassungsgericht und Krisenpolitik der EZB: Stellungnahmen der ÖkonomenKonrad, Kai A.; Fuest, Clemens; Uhlig, Harald; Fratzscher, Marcel; Sinn, Hans-Werner
2013 Is quantity theory still alive?Teles, Pedro; Uhlig, Harald
2013 Bayesian estimation of a DSGE model with asset pricesKliem, Martin; Uhlig, Harald
2013 Sovereign Default Risk and Banks in a Monetary UnionUhlig, Harald
2014 A theory of pruningLombardo, Giovanni; Uhlig, Harald
2015 Corporate Debt Structure and the Financial CrisisDe Fiore, Fiorella; Uhlig, Harald
2016 Bayesian estimation of a dynamic stochastic general equilibrium model with asset pricesKliem, Martin; Uhlig, Harald
2016 Cognitive load increases risk aversionGerhardt, Holger; Biele, Guido P.; Heekeren, Hauke R.; Uhlig, Harald
2019 Estimation under ambiguityGiacomini, Raffaella; Kitagawa, Toru; Uhlig, Harald
2019 Monetary policy shocks and the health of banksJung, Alexander; Uhlig, Harald
2019 Interbank rate uncertainty and bank lendingAltavilla, Carlo; Carboni, Giacomo; Lenza, Michele; Uhlig, Harald
2019 Money markets, collateral and monetary policyDe Fiore, Fiorella; Hoerova, Marie; Uhlig, Harald
2020 Central Bank Digital Currency: When Price and Bank Stability CollideSchilling, Linda; Fernández-Villaverde, Jesús; Uhlig, Harald