|
2021
|
De-risking of green investments through a green bond market – Empirics and a dynamic model
|
Journal of Economic Dynamics and Control
|
B
|
3
|
|
2020
|
Climate change and the transition to a low carbon economy – Carbon targets and the carbon budget
|
Economic Modeling
|
C
|
2
|
|
2019
|
Mind the Output Gap: The Disconnect of Growth and Inflation during Recessions and Convex Phillips Curves in the Euro Area
|
Oxford Bulletin of Economics and Statistics
|
B
|
2
|
|
2018
|
Financial stress, regime switching and spillover effects: Evidence from a multi-regime global VAR model
|
Journal of Economic Dynamics and Control
|
B
|
2
|
|
2018
|
Public debt stabilization: the relevance of policymakers’ time horizons
|
Public Choice
|
B
|
4
|
|
2018
|
Cooperative Monetary and Fiscal Policies in the Euro Area
|
Southern Economic Journal
|
C
|
2
|
|
2017
|
Debt-deflation, financial market stress and regime change – Evidence from Europe using MRVAR
|
Journal of Economic Dynamics and Control
|
B
|
3
|
|
2017
|
Current account imbalances: A new approach to assess external debt sustainability
|
Economic Modeling
|
C
|
2
|
|
2016
|
Oil price, overleveraging and shakeout in the shale energy sector — Game changers in the oil industry
|
Economic Modeling
|
C
|
2
|
|
2015
|
Using nonlinear model predictive control for dynamic decision problems in economics
|
Journal of Economic Dynamics and Control
|
B
|
3
|
|
2014
|
Financial stress, sovereign debt and economic activity in industrialized countries: Evidence from dynamic threshold regressions
|
Journal of International Money and Finance
|
B
|
3
|
|
2014
|
Trends in the extraction of non-renewable resources: The case of fossil energy
|
Economic Modeling
|
C
|
2
|
|
2013
|
The real consequences of financial stress
|
Journal of Economic Dynamics and Control
|
B
|
2
|
|
2013
|
ARE THE CURRENT ACCOUNT IMBALANCES BETWEEN EMU COUNTRIES SUSTAINABLE? EVIDENCE FROM PARAMETRIC AND NON‐PARAMETRIC TESTS
|
Journal of Applied Econometrics
|
B
|
3
|
|
2012
|
Boom–bust cycles: Leveraging, complex securities, and asset prices
|
Journal of Economic Behavior and Organization
|
B
|
2
|
|
2012
|
Regime dependence of the fiscal multiplier
|
Journal of Economic Behavior and Organization
|
B
|
2
|
|
2011
|
STOCK‐FLOW INTERACTIONS, DISEQUILIBRIUM MACROECONOMICS AND THE ROLE OF ECONOMIC POLICY
|
Journal of Economic Surveys
|
C
|
6
|
|
2011
|
The US Wage Phillips Curve across Frequencies and over Time
|
Oxford Bulletin of Economics and Statistics
|
B
|
4
|
|
2010
|
Introduction to the special issue: Computational perspectives in economics and finance: Methods, dynamic analysis and policy modeling
|
Journal of Economic Dynamics and Control
|
B
|
2
|
|
2010
|
Global dynamics in a model with search and matching in labor and capital markets
|
Journal of Economic Dynamics and Control
|
B
|
2
|
|
2010
|
Instrumental variables and wavelet decompositions
|
Economic Modeling
|
C
|
4
|
|
2009
|
Prospect theory for stock markets: Empirical evidence with time-series data
|
Journal of Economic Behavior and Organization
|
B
|
2
|
|
2008
|
Asset pricing with loss aversion
|
Journal of Economic Dynamics and Control
|
B
|
2
|
|
2007
|
Debt sustainability in the European Monetary Union: Theory and empirical evidence for selected countries
|
Oxford Economic Papers
|
C
|
3
|
|
2007
|
Asset price volatility and monetary policy rules: A dynamic model and empirical evidence
|
Economic Modeling
|
C
|
2
|
|
2005
|
Economic growth and global warming: A model of multiple equilibria and thresholds
|
Journal of Economic Behavior and Organization
|
B
|
2
|
|
2005
|
Introduction
|
Journal of Economic Behavior and Organization
|
B
|
1
|
|
2005
|
Solving ecological management problems using dynamic programming
|
Journal of Economic Behavior and Organization
|
B
|
3
|
|
2005
|
Creditworthiness and thresholds in a credit market model with multiple equilibria
|
Economic Theory
|
B
|
3
|
|
2004
|
Endogenous Growth: Estimating the Romer Model for the US and Germany
|
Oxford Bulletin of Economics and Statistics
|
B
|
3
|
|
2004
|
Using dynamic programming with adaptive grid scheme for optimal control problems in economics
|
Journal of Economic Dynamics and Control
|
B
|
2
|
|
2004
|
Credit risk and sustainable debt: a model and estimations of why the Euro is stable in the long-run
|
Economic Modeling
|
C
|
2
|
|
2002
|
Externalities of investment, education and economic growth
|
Economic Modeling
|
C
|
2
|
|
2001
|
A Keynesian macroeconometric framework for the analysis of monetary policy rules
|
Journal of Economic Behavior and Organization
|
B
|
3
|
|
2001
|
Statistical estimation and moment evaluation of a stochastic growth model with asset market restrictions
|
Journal of Economic Behavior and Organization
|
B
|
3
|
|
2000
|
Critical debt and debt dynamics
|
Journal of Economic Dynamics and Control
|
B
|
2
|
|
1996
|
Estimating parameters of real business cycle models
|
Journal of Economic Behavior and Organization
|
B
|
2
|
|
1993
|
Nonlinear liquidity-growth dynamics with corridor-stability
|
Journal of Economic Behavior and Organization
|
B
|
2
|
|
1987
|
A macroeconomic limit cycle with financial perturbations
|
Journal of Economic Behavior and Organization
|
B
|
1
|