Browsing All of EconStor by Author Matveev, Dmitry
Showing results 1 to 10 of 10
Year of Publication | Title | Author(s) |
2018 | Do Survey Expectations of Stock Returns Reflect Risk-Adjustments? | Adam, Klaus; Matveev, Dmitry; Nagel, Stefan |
2018 | Time-consistent management of a liquidity trap with government debt | Matveev, Dmitry |
2018 | Do survey expectations of stock returns reflect risk-adjustments? | Adam, Klaus; Matveev, Dmitry; Nagel, Stefan |
2019 | Do survey expectations of stock returns reflect risk adjustments? | Adam, Klaus; Matveev, Dmitry; Nagel, Stefan |
2019 | Monetary policy and government debt dynamics without commitment | Matveev, Dmitry |
2021 | Complementarities between fiscal policy and monetary policy - literature review | Dong, Wei; Dunbar, Geoffrey; Friedrich, Christian; Matveev, Dmitry; Priftis, Romanos; Shao, Lin |
2021 | Tariffs and the exchange rate: Evidence from Twitter | Matveev, Dmitry; Ruge-Murcia, Francisco Javier |
2022 | Uncertainty and monetary policy experimentation: Empirical challenges and insights from academic literature | Cacciatore, Matteo; Matveev, Dmitry; Sekkel, Rodrigo |
2022 | The central bank strikes back! Credibility of monetary policy under fiscal influence | Camous, Antoine; Matveev, Dmitry |
2023 | The Canadian neutral rate of interest through the lens of an overlapping-generations model | Kuncl, Martin; Matveev, Dmitry |