Erscheinungsjahr | ISBN | Autor(en) | Titel |
2005 | 978-3-86558-058-0 | Thiess Buettner · Martin Ruf | Tax incentives and the location of FDI: Evidence from a panel of German multinationals (Discussion Paper, Series 1: Economic Studies) |
'' | 978-3-86558-067-2 | Die Europäische Union: Grundlagen und Politikbereiche ausserhalb der Wirtschafts- und Währungsunion (Sonderveröffentlichung) |
2006 | 978-3-86558-151-8 | Die Deutsche Bundesbank: Aufgabenfelder, rechtlicher Rahmen, Geschichte |
'' | 978-3-86558-185-3 | Badi H Baltagi | Forecasting with panel data (Discussion Paper, Series 1: Economic Studies) |
'' | 978-3-86558-191-4 | Kurt F Lewis · Charles H Whiteman | Empirical Bayesian density forecasting in Iowa and shrinkage for the Monte Carlo era (Discussion Paper, Series 1: Economic Studies) |
'' | 978-3-86558-201-0 | Wolfgang Gerke | Empirical risk analysis of pension insurance: The case of Germany (Discussion Paper, Series 2: Banking and Financial Studies) |
2006 | 978-3-86558-207-2 | Christine de Mol · Domenico Giannone · Lucrezia Reichlin | Forecasting using a large number of predictors: Is Bayesian regression a valid alternative to principal components? (Discussion Paper, Series 1: Economic Studies) |
'' | 978-3-86558-237-9 | Gerhard Rösl | Regionalwährungen in Deutschland: Lokale Konkurrenz für den Euro? (Discussion Paper, Series 1: Economic Studies) |
2007 | 978-3-86558-276-8 | Nikolai Stähler | Unemployment and employment protection in a unionized economy with search frictions (Discussion Paper, Series 1: Economic Studies) |
'' | 978-3-86558-317-8 | Kosuke Aoki · Takeshi Kimura | Uncertainty about perceived inflation target and monetary policy (Discussion Paper, Series 1: Economic Studies) |
2008 | 978-3-86558-406-9 | Dragon Yongjun Tang · Hong Yan | Market conditions, default risk and credit spreads (Discussion Paper, Series 2: Banking and Financial Studies) |
'' | 978-3-86558-416-8 | Theodore M Barnhill · Marcos Rietti Souto | Systemic bank risk in Brazil: An assessment of correlated market, credit, sovereign and inter-bank risk in an environment with stochastic volatilities ... Series 2: Banking and Financial Studies) |
2009 | 978-3-86558-543-1 | unbekannt | Geld und Geldpolitik |