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3A1831638282.jsonld
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['Chapter 21 Production and Marketing']
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3A1831638282.jsonld
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3A1831638290.jsonld
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['Chapter 20 Marketing and distribution: Theory and statistical measurement']
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3A1831638290.jsonld
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3A1831638304.jsonld
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['Chapter 19 Economic analysis of food safety']
['This chapter addresses the analysis of markets for food products that are differentiated by safety characteristics. The first part of the paper surveys the broad array of issues that are involved in food safety and the regulations that have been devised to address them. The next sections of the paper consider the ana...
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['Chapter 19 Economic analysis of food safety']
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3A1831638312.jsonld
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['Chapter 18 Duality for the household: Theory and applications']
['This chapter presents the theory of consumer choice as applied to household behavior. An internally consistent, self-contained framework is developed for the analysis of consumer preferences, household production, quality attributes, and produced nonmarket commodities in static and dynamic environments. Consumer expe...
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3A1831638312.jsonld
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['Chapter 17 Spatial price analysis']
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['Chapter 14 Storage and price stabilization']
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["Chapter 8 Women's roles in the agricultural household: Bargaining and human capital investments"]
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['Chapter 9. Physician Agency']
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['Chapter 9. Physician Agency']
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['Chapter 8. Moral Hazard and Consumer Incentives in Health Care']
['Consumer incentives are reflected in a wide range of choices, many of which occur in both insurance- and tax-financed health care systems. However, health insurance and sick leave pay cause consumer incentives to be reflected in moral hazard effects of several types. Theoretically, ex ante moral hazard (a reduction o...
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['Chapter 8. Moral Hazard and Consumer Incentives in Health Care']
['Consumer incentives are reflected in a wide range of choices, many of which occur in both insurance- and tax-financed health care systems. However, health insurance and sick leave pay cause consumer incentives to be reflected in moral hazard effects of several types. Theoretically, ex ante moral hazard (a reduction o...
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['Chapter 7. The Human Capital Model']
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['Chapter 7. The Human Capital Model']
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['Chapter 6. Health Econometrics']
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['Chapter 6. Health Econometrics']
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['Chapter 5. Information Diffusion and Best Practice Adoption']
['Incomplete information issues pervade health care markets, with market participants often having relatively little information, and their behavior exhibiting corresponding aberrations from classic market behavior. Consumers often have relatively little information about prices and quality offered in health care marke...
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['Chapter 5. Information Diffusion and Best Practice Adoption']
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['Chapter 4. Advances in Cost-Effectiveness Analysis of Health Interventions']
['Recent work has clarified the welfare implications of the application of cost-effectiveness analysis to the allocation of health care. Although cost-effectiveness analysis shares many similarities with cost-benefit analysis, it did not develop as an outgrowth of neoclassical welfare economics. Consequently, even thou...
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['Chapter 4. Advances in Cost-Effectiveness Analysis of Health Interventions']
['Recent work has clarified the welfare implications of the application of cost-effectiveness analysis to the allocation of health care. Although cost-effectiveness analysis shares many similarities with cost-benefit analysis, it did not develop as an outgrowth of neoclassical welfare economics. Consequently, even thou...
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['Chapter 3. Medical Care Prices and Output']
['We review in considerable detail the conceptual and measurement issues that underlie construction of medical care price indexes in the US , focusing in particular on the medical care consumer price indexes (MCPIs) and medical-related producer price indexes (MPPIs). We outline salient features of the medical care mark...
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['Chapter 3. Medical Care Prices and Output']
['We review in considerable detail the conceptual and measurement issues that underlie construction of medical care price indexes in the US , focusing in particular on the medical care consumer price indexes (MCPIs) and medical-related producer price indexes (MPPIs). We outline salient features of the medical care mark...
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['Chapter 2. An Overview of the Normative Economics of the Health Sector']
['This chapter provides an overview of normative analysis in the health sector in recent decades. It surveys two distinct, but related, literatures. The first is normative analysis of the operation of health care and health care insurance markets, market failure, and the scope for non-market institutional arrangements ...
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['Chapter 2. An Overview of the Normative Economics of the Health Sector']
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['Chapter 1. International Comparisons of Health Expenditure: Theory, Data and Econometric Analysis']
['Comparisons of aggregate health expenditure across different countries have become popular over the last three decades as they permit a systematic investigation of the impact of different institutional regimes and other explanatory variables. Over the years, several regression analyses based on cross-section and pane...
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['Chapter 1. International Comparisons of Health Expenditure: Theory, Data and Econometric Analysis']
['Comparisons of aggregate health expenditure across different countries have become popular over the last three decades as they permit a systematic investigation of the impact of different institutional regimes and other explanatory variables. Over the years, several regression analyses based on cross-section and pane...
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3A1831638843.jsonld
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['Chapter 34 Equity in health care finance and delivery']
['The paper surveys the economics literature on equity in health care financing and delivery. The focus is, for the most part, on empirical work, especially that involving international and temporal comparisons. There is, however, some discussion of the concept and definition of equity. The empirical sections cover the...
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3A1831638843.jsonld
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['Chapter 34 Equity in health care finance and delivery']
['The paper surveys the economics literature on equity in health care financing and delivery. The focus is, for the most part, on empirical work, especially that involving international and temporal comparisons. There is, however, some discussion of the concept and definition of equity. The empirical sections cover the...
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3A1831638878.jsonld
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['Chapter 31 Prevention']
['Prevention ranges from medical decisions such as vaccinations and clinical preventive services delivered during periodic health examinations to private health lifestyle decisions such as regular exercise and non-smoking. The aim of this chapter is to provide an overview of economic issues that cut across a variety of...
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['Chapter 31 Prevention']
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3A1831638886.jsonld
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['Chapter 30 Alcohol']
["Excess drinking is associated with lost productivity, accidents, disability, early death, crime, neglect of family responsibilities, and personality deterioration. These and related concerns have justified special restrictions on alcoholic-beverage commerce and consumption. The nature and extent of government involve...
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['Chapter 30 Alcohol']
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['Chapter 29 The economics of smoking']
["While the tobacco industry ranks among the most substantial and successful of economic enterprises, tobacco consumption is associated with more deaths than any other product. Economic analysis of the markets for tobacco products, particularly cigarettes, has contributed considerable insight to debates about the impor...
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['Chapter 29 The economics of smoking']
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['Chapter 26 Liability for medical malpractice']
['Physicians are traditionally liable under a negligence rule of liability. Economic analysis of liability rules, including malpractice, assumes that the primary function of liability is injury prevention (deterrence). Compensation can be provided more efficiently through other forms of social or private insurance. In ...
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['Chapter 26 Liability for medical malpractice']
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['Chapter 24 Economics of dental services']
['The purpose of this chapter is to review dental economics in three major areas: (i) demand for and utilisation of dental care, (ii) productivity, technical efficiency and economies of scale in dental care production, and finally (iii) economic evaluation of dental care procedures and programmes. As a background to th...
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['Chapter 24 Economics of dental services']
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['Chapter 23 Waiting lists and medical treatment: Analysis and policies']
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['Chapter 20 The industrial organization of health care markets']
['Health care markets fail to satisfy many requirements for perfect competition, including large numbers of consumers and firms, zero search costs, and marketability of all goods and services. Over time, health care markets have evolved to overcome the resulting inefficiencies. We combine the theory of agency with a mo...
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['Chapter 20 The industrial organization of health care markets']
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['Chapter 19 Child health in developed countries']
['This chapter provides an overview of the literature on child health in developed countries. I first lay out a simple economic model of the demand for child health inputs, and discuss whether the evidence is consistent with that model. Next, two main causes of market failure in the market for child health inputs — lac...
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['Chapter 19 Child health in developed countries']
['This chapter provides an overview of the literature on child health in developed countries. I first lay out a simple economic model of the demand for child health inputs, and discuss whether the evidence is consistent with that model. Next, two main causes of market failure in the market for child health inputs — lac...
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['Chapter 14 Income distribution, economic systems and transition']
["We consider the differences in income distribution between market and planned economies in two ways. First, using benchmarks from the OECD area we review evidence from the countries of Central and Eastern Europe and the former Soviet Union during the socialist period. Second, we look at the transitions currently bein...
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['Chapter 12 Redistribution']
['This paper reviews some of the central issues that arise in thinking about the motives for, politics of, constraints on and measurement of, redistribution. Amongst the themes are: the potential usefulness of apparently inefficient policy instruments in overcoming the self-selection constraints on redistribution and l...
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['Chapter 11 The distribution of wealth']
['This chapter is concerned with the distribution of personal wealth, which usually refers to the material assets that can be sold in the marketpace, although on occasion pension rights are also included. We summarise the available evidence on wealth distribution for a number of countries. This confirms the well known ...
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['Chapter 10 Wealth inequality, wealth constraints and economic performance']
['Where such behaviors as risk-taking and hard work are not subject to complete contracts, some distributions of assets (for instance the widespread use of tenancy) may preclude efficient contractual arrangements. In particular, the distribution of wealth may affect: (a) residual claimancy over income streams; (b) exit...
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['Chapter 8 Theories of persistent inequality and intergenerational mobility']
['This chapter reviews the existing theories of persistent inequality across generations. The chapter discusses total economic inequality both in wealth and in earnings and focuses on the intergenerational mobility dimension of total inequality. The chapter presents a nonexhaustive, nontechnical survey of existing empi...
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['Chapter 7 Theories of the distribution of earnings']
['Several empirical regularities motivate most theories of the distribution of labor earnings. Earnings distributions tend to be skewed to the right and display long right tails. Mean earnings always exceed median earnings and the top percentiles of earners account for quite a disproportionate share of total earnings. ...
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['Chapter 5 Empirical evidence on income inequality in industrialized countries']
['This chapter reviews the evidence on cross-national comparisons of annual disposable income inequality in over 20 wealthy nations. We begin by reviewing a number of conceptual and measurement issues which must be addressed by any cross-national comparison of survey-based household income data. With these caveats in m...
['2000']
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['Chapter 4 Historical perspectives on income distribution: The case of Europe']
['The evolution of income distribution over two centuries is an attractive topic because it allows one to test the inverse U-curve hypothesis using long series instead of cross-section data. In Section 1 the distribution trends in countries where global data are available, is considered, that is in four Scandinavian co...
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['Chapter 3 Three centuries of inequality in Britain and America']
['Income and wealth inequality rose over the first 150 years of US history. They rose in Britain before 1875, especially 1740–1810. The first half of the 20th century equalized pre-fisc incomes both in Britain and in America. From the 1970s to the 1990s inequality rose in both countries, reversing most or all of the pr...
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['Chapter 26 Optimal fiscal and monetary policy']
['We provide an introduction to optimal fiscal and monetary policy using the primal approach to optimal taxation. We use this approach to address how fiscal and monetary policy should be set over the long run and over the business cycle. We find four substantive lessons for policymaking: Capital income taxes should be ...
['1999']
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['Chapter 25 Government debt']
['This chapter surveys the literature on the macroeconomic effects of government debt. It begins by discussing the data on debt and deficits, including the historical time series, measurement issues, and projections of future fiscal policy. The chapter then presents the conventional theory of government debt, which emp...
['1999']
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[['gambling behavior and speculation', 'the disjunction effect', '(classificationName=bk, id=106420224)83.12 - Makroökonomie', 'attention anomalies', 'efficient markets', 'stock market', 'irrelevance of history', 'magical thinking', 'the availability heuristic', 'prospect theory', 'culture and social contagion', 'rando...
['Chapter 20 Human behavior and the efficiency of the financial system']
['Recent literature in empirical finance is surveyed in its relation to underlying behavioral principles, principles which come primarily from psychology, sociology, and anthropology. The behavioral principles discussed are: prospect theory, regret and cognitive dissonance, anchoring, mental compartments, overconfidenc...
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['Chapter 19 Asset prices, consumption, and the business cycle']
['This chapter reviews the behavior of financial asset prices in relation to consumption. The chapter lists some important stylized facts that characterize US data, and relates them to recent developments in equilibrium asset pricing theory. Data from other countries are examined to see which features of the US experie...
['1999']
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['Subject index']
['This chapter highlights the terms and methods that are not generally known but have been used and explained in this publication. The chapter also highlights the page numbers where these terms and methods have been used.']
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['Chapter 15 Staggered price and wage setting in macroeconomics']
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['Chapter 12 Aggregate investment']
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['Author index']
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['Chapter 9 Neoclassical growth theory']
['This chapter is an exposition, rather than a survey, of the one-sector neoclassical growth model. It describes how the model is constructed as a simplified description of the real side of a growing capitalist economy that happens to be free of fluctuations in aggregate demand. Once that is done, the emphasis is on th...
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['Chapter 8 Micro data and general equilibrium models']
['Dynamic general equilibrium models are required to evaluate policies applied at the national level. To use these models to make quantitative forecasts requires knowledge of an extensive array of parameter values for the economy at large. This essay describes the parameters required for different economic models, asse...
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['Chapter 4 The new empirics of economic growth']
['We provide an overview of recent empirical research on patterns of cross-country growth. The new empirical regularities considered differ from earlier ones, e.g., the well-known Kaldor stylized facts. The new research no longer makes production function accounting a central part of the analysis. Instead, attention sh...
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['Chapter 3 Monetary policy regimes and economic performance: The historical record']
['Monetary policy regimes encompass the constraints or limits imposed by custom, institutions and nature on the ability of the monetary authorities to influence the evolution of macroeconomic aggregates. This chapter surveys the historical experience of both international and domestic (national) aspects of monetary reg...
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['Chapter 1 Business cycle fluctuations in us macroeconomic time series']
['This chapter examines the empirical relationship in the postwar United States between the aggregate business cycle and various aspects of the macroeconomy, such as production, interest rates, prices, productivity, sectoral employment, investment, income, and consumption. This is done by examining the strength of the ...
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['Chapter 31. Fiscal Multipliers : Liquidity Traps and Currency Unions']
['We provide explicit solutions for government spending multipliers during a liquidity trap and within a fixed exchange regime using standard closed and open-economy New Keynesian models. We confirm the potential for large multipliers during liquidity traps. For a currency union, we show that self-financed multipliers ...
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['Chapter 14. Incomplete Information in Macroeconomics : Accommodating Frictions in Coordination']
['This chapter studies how incomplete information helps accommodate frictions in coordination, leading to novel insights on the joint determination of expectations and macroeconomic outcomes. We review and synthesize recent work on global games, beauty contests, and their applications. We elaborate on the distinct effe...
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['Chapter 26. Neoclassical Models in Macroeconomics']
['This chapter develops a toolkit of neoclassical macroeconomic models, and applies these models to the US economy from 1929 to 2014. We first filter macroeconomic time series into business cycle and long-run components, and show that the long-run component is typically much larger than the business cycle component. We...
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['Chapter 28. Challenges for Central Banks’ Macro Models']
['In this chapter, we discuss a number of challenges for structural macroeconomic models in the light of the Great Recession and its aftermath. It shows that a benchmark DSGE model that shares many features with models currently used by central banks and large international institutions has difficulty explaining both t...
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['Chapter 25. The Staying Power of Staggered Wage and Price Setting Models in Macroeconomics']
['After many years, many critiques, and many variations, the staggered wage and price setting model is still the most common method of incorporating nominal rigidities into empirical macroeconomic models used for policy analysis. The aim of this chapter is to examine and reassess the staggered wage and price setting mo...
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['Chapter 23. Families in Macroeconomics']
['Much of macroeconomics is concerned with the allocation of physical capital, human capital, and labor over time and across people. The decisions on savings, education, and labor supply that generate these variables are made within families. Yet the family (and decision making in families) is typically ignored in macr...
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['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A1831639890']
['Makroökonomie', 'Geldtheorie']
19
3A1831639904.jsonld
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[['(firstid)KEP:083763988', '(ppn)1831639904', '(doi)10.1016/bs.hesmac.2016.04.005']]
['Elsevier Science']
[['Macroeconomics', 'Default risk', '(classificationName=rvk)QC 300', 'Rollover crises', '(classificationName=linseach:mapping)oek', 'Risk premia', '(classificationName=loc)HB172.5', 'Debt sustainability', '(classificationName=ddc)339', 'Emerging markets', 'Quantitative models', 'Handbooks and manuals', 'Capital flows'...
['Chapter 21. Quantitative Models of Sovereign Debt Crises']
['This chapter is on quantitative models of sovereign debt crises in emerging economies. We interpret debt crises broadly to cover all of the major problems a country can experience while trying to issue new debt, including default, sharp increases in the spread and failed auctions. We examine the spreads on sovereign ...
['2016']
['http://id.loc.gov/vocabulary/iso639-1/en']
['national licence']
[[{'@id': 'gnd:4037174-8'}, {'@id': 'gnd:4121333-6'}]]
['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A1831639904']
['Makroökonomie', 'Geldtheorie']
19
3A1831639939.jsonld
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['gnd:4121333-6', 'gnd:4037174-8']
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['Technische Informationsbibliothek (TIB)']
[['(ppn)1831639939', '(firstid)KEP:083763953', '(doi)10.1016/bs.hesmac.2016.04.002']]
['Elsevier Science']
[['(classificationName=linseach:mapping)oek', 'Macroeconomics', 'Nowcasting', '(classificationName=rvk)QC 300', 'Structural shocks', 'Handbooks and manuals', '(classificationName=ddc)339', 'Structural vector autoregressions', 'Large-model forecasting', 'Factor-augmented vector autoregressions', 'State-space models', '(...
['Chapter 8. Dynamic Factor Models, Factor-Augmented Vector Autoregressions, and Structural Vector Autoregressions in Macroeconomics']
["This chapter provides an overview of and user's guide to dynamic factor models (DFMs), their estimation, and their uses in empirical macroeconomics. It also surveys recent developments in methods for identifying and estimating SVARs, an area that has seen important developments over the past 15 years. The chapter beg...
['2016']
['http://id.loc.gov/vocabulary/iso639-1/en']
['national licence']
[[{'@id': 'gnd:4121333-6'}, {'@id': 'gnd:4037174-8'}]]
['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A1831639939']
['Makroökonomie', 'Geldtheorie']
19
3A1831639955.jsonld
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['gnd:4037174-8', 'gnd:4121333-6']
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['oek']
['Technische Informationsbibliothek (TIB)']
[['(firstid)KEP:083763937', '(doi)10.1016/bs.hesmac.2016.03.014', '(ppn)1831639955']]
['Elsevier Science']
[['(classificationName=linseach:mapping)oek', 'Government debt', '(classificationName=loc)HB172.5', '(classificationName=rvk)QC 300', 'Handbooks and manuals', 'Macroeconomics', 'Budget rules', '(classificationName=ddc)339', 'Optimal taxation', 'Political economy']]
['Chapter 33. The Political Economy of Government Debt']
['This chapter critically reviews the literature which explains why and under which circumstances governments accumulate more debt than it would be consistent with optimal fiscal policy. We also discuss numerical rules or institutional designs which might lead to a moderation of these distortions.']
['2016']
['http://id.loc.gov/vocabulary/iso639-1/en']
['national licence']
[[{'@id': 'gnd:4037174-8'}, {'@id': 'gnd:4121333-6'}]]
['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A1831639955']
['Makroökonomie', 'Geldtheorie']
19
3A1831639963.jsonld
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['gnd:4037174-8', 'gnd:4121333-6']
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['oek']
['Technische Informationsbibliothek (TIB)']
[['(doi)10.1016/bs.hesmac.2016.03.013', '(firstid)KEP:083763929', '(ppn)1831639963']]
['Elsevier Science']
[['(classificationName=rvk)QC 300', 'Fiscal austerity', '(classificationName=linseach:mapping)oek', 'Handbooks and manuals', 'Sovereign default', 'Tax policy', '(classificationName=ddc)339', 'Fiscal reaction function', 'Macroeconomics', '(classificationName=loc)HB172.5', 'Debt sustainability']]
['Chapter 32. What is a Sustainable Public Debt?']
["The question of what is a sustainable public debt is paramount in the macroeconomic analysis of fiscal policy. This question is usually formulated as asking whether the outstanding public debt and its projected path are consistent with those of the government's revenues and expenditures (ie, whether fiscal solvency c...
['2016']
['http://id.loc.gov/vocabulary/iso639-1/en']
['national licence']
[[{'@id': 'gnd:4037174-8'}, {'@id': 'gnd:4121333-6'}]]
['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A1831639963']
['Makroökonomie', 'Geldtheorie']
19
3A1831639971.jsonld
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['gnd:4037174-8', 'gnd:4121333-6']
['Makroökonomie', 'Geldtheorie']
['oek']
['Technische Informationsbibliothek (TIB)']
[['(doi)10.1016/bs.hesmac.2016.03.012', '(firstid)KEP:083763910', '(ppn)1831639971']]
['Elsevier Science']
[['Price level determination', '(classificationName=ddc)339', '(classificationName=rvk)QC 300', 'Macroeconomics', '(classificationName=loc)HB172.5', 'Handbooks and manuals', 'Optimal policy', 'Government debt', '(classificationName=linseach:mapping)oek', 'Monetary policy', 'Tax smoothing', 'Fiscal policy']]
['Chapter 30. Understanding Inflation as a Joint Monetary–Fiscal Phenomenon']
['We develop the theory of price-level determination in a range of models using both ad hoc policy rules and jointly optimal monetary and fiscal policies and discuss empirical issues that arise when trying to identify monetary–fiscal regime. The chapter concludes with directions in which theoretical and empirical devel...
['2016']
['http://id.loc.gov/vocabulary/iso639-1/en']
['national licence']
[[{'@id': 'gnd:4037174-8'}, {'@id': 'gnd:4121333-6'}]]
['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A1831639971']
['Makroökonomie', 'Geldtheorie']
19
3A183163998X.jsonld
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['gnd:4121333-6', 'gnd:4037174-8']
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['oek']
['Technische Informationsbibliothek (TIB)']
[['(firstid)KEP:083763902', '(ppn)183163998X', '(doi)10.1016/bs.hesmac.2016.03.011']]
['Elsevier Science']
[['Macroeconomics', 'Bank runs', 'Handbooks and manuals', '(classificationName=rvk)QC 300', 'Liquidity regulation', 'Liquidity coverage ratio', '(classificationName=loc)HB172.5', 'Net stable funding ratio', '(classificationName=ddc)339', '(classificationName=linseach:mapping)oek', 'Bank regulation']]
['Chapter 29. Liquidity Requirements, Liquidity Choice, and Financial Stability']
["We study a modification of the Diamond and Dybvig (1983) model in which the bank may hold a liquid asset, some depositors see sunspots that could lead them to run, and all depositors have incomplete information about the bank's ability to survive a run. The incomplete information means that the bank is not automatica...
['2016']
['http://id.loc.gov/vocabulary/iso639-1/en']
['national licence']
[[{'@id': 'gnd:4121333-6'}, {'@id': 'gnd:4037174-8'}]]
['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A183163998X']
['Makroökonomie', 'Geldtheorie']
19
3A1831640007.jsonld
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['gnd:4037174-8', 'gnd:4121333-6']
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['oek']
['Technische Informationsbibliothek (TIB)']
[['(firstid)KEP:083763880', '(doi)10.1016/bs.hesmac.2016.03.009', '(ppn)1831640007']]
['Elsevier Science']
[['(classificationName=rvk)QC 300', 'Wholesale banking', 'Macroeconomics', '(classificationName=ddc)339', 'Interbank markets', 'Handbooks and manuals', 'Financial crises', 'Rollover risk', '(classificationName=loc)HB172.5', '(classificationName=linseach:mapping)oek']]
['Chapter 16. Wholesale Banking and Bank Runs in Macroeconomic Modeling of Financial Crises']
['There has been considerable progress in developing macroeconomic models of banking crises. However, most of this literature focuses on the retail sector where banks obtain deposits from households. In fact, the recent financial crisis that triggered the Great Recession featured a disruption of wholesale funding marke...
['2016']
['http://id.loc.gov/vocabulary/iso639-1/en']
['national licence']
[[{'@id': 'gnd:4037174-8'}, {'@id': 'gnd:4121333-6'}]]
['gnd:4037174-8', 'gnd:4121333-6', 'https://www.tib.eu/de/suchen/id/TIBKAT%3A1831640007']
['Makroökonomie', 'Geldtheorie']
19