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~isPartOf:"CESifo Working Paper Series"
~isPartOf:"Economics Bulletin"
~isPartOf:"Empirica : journal of european economics"
~person:"Afonso, António"
~person:"Hristov, Nikolay"
~person:"Schratzenstaller, Margit"
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ECONIS (ZBW)
16
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Ricardian fiscal regimes in the European Union
Afonso, António
- In:
Empirica : journal of european economics
35
(
2008
)
3
,
pp. 313-334
Persistent link: https://www.econbiz.de/10003726486
Saved in:
2
Special issue: Selected papers of the WWWforEurope conference on modelling growth and socio-ecological transition, Vienna, 2013
Schratzenstaller, Margit
;
Weiss, Teresa
;
Stix, Sigrid
- In:
Empirica : journal of european economics
41
(
2014
)
3
,
pp. 377-380
Persistent link: https://www.econbiz.de/10010486034
Saved in:
3
Short and Long-Run Behaviour of Long-Term Sovereign Bond Yields
Afonso, António
-
2010
This study assesses the short and long-run behaviour of long-term sovereign bond yields in OECD countries, for the period 1973-2008. We employ a dynamic panel approach to reflect financial and economic integration, and to increase the performance and accuracy of the tests. Given the existence of...
Persistent link: https://www.econbiz.de/10013135912
Saved in:
4
Financial Frictions and Inflation Differentials in a Monetary Union
Hristov, Nikolay
-
2010
This paper employs a stylized New Keynesian DSGE model for a monetary union to analyze whether cyclical inflation differentials can be explained by cross-country differences concerning the characteristics of financial markets. Our results suggest that empirically plausible degrees of...
Persistent link: https://www.econbiz.de/10013136243
Saved in:
5
The Interest Rate Pass-Through in the Euro Area During the Global Financial Crisis
Hristov, Nikolay
-
2013
This paper uses panel vector autoregressive models and simulations of an estimated DSGE model to explore the reaction of Euro–area banks to the global financial crisis. We focus on their interest–rate setting behavior in response to standard macroeconomic shocks. Our main empirical finding...
Persistent link: https://www.econbiz.de/10013089850
Saved in:
6
Spend-and-Tax : A Panel Data Investigation for the
EU
Afonso, António
-
2009
, we study the causality between government spending and revenue for the
EU
in the period 1960-2006. We find spend … Finland and the UK, and for several
EU
New Member States. Moreover, in the run-up to EMU there was some shifting away from a …
Persistent link: https://www.econbiz.de/10013158140
Saved in:
7
‘Whatever It Takes’ to Resolve the European Sovereign Debt Crisis? Bond Pricing Regime Switches and Monetary Policy Effects
Afonso, António
-
2017
This paper investigates the role of unconventional monetary policy as a source of time-variation in the relationship between sovereign bond yield spreads and their fundamental determinants. Our results provide evidence of a new bond-pricing regime following the announcement of the Outright...
Persistent link: https://www.econbiz.de/10012943161
Saved in:
8
3-Step Analysis of Public Finances Sustainability : The Case of the European Union
Afonso, António
-
2008
We use a 3-step analysis to assess the sustainability of public finances in the
EU
27. Firstly, we perform the SURADF … and revenues via SUR analysis. While results imply that public finances were not unsustainable for the
EU
panel, fiscal …
Persistent link: https://www.econbiz.de/10012770443
Saved in:
9
Unexpected Loan Losses and Bank Capital in an Estimated DSGE Model of the Euro Area
Hristov, Nikolay
-
2016
We develop a stylized DSGE model in which banks face capital regulation and their loan portfolios are subject to non-diversifiable losses due to aggregate shocks. The framework is used to explore the importance of the interaction between macroeconomic conditions, credit default and bank...
Persistent link: https://www.econbiz.de/10012978077
Saved in:
10
Smells Like Fiscal Policy? Assessing the Potential Effectiveness of the ECB's OMT Program
Hristov, Nikolay
-
2014
This paper explores the potential effectiveness of the ECB's Outright Monetary Transaction (OMT) program in safeguarding an appropriate monetary policy transmission. Since the program aims at manipulating bank lending rates by conducting sovereign bond purchases on secondary markets, a stable...
Persistent link: https://www.econbiz.de/10013057668
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