All Stories

  1. Search for yield and home bias in Asian bond markets
  2. Controlling Chaotic Fluctuations through Monetary Policy
  3. Technology choice, externalities in production, and a chaotic middle-income trap
  4. Free trade agreements with environmental provisions between asymmetric countries
  5. Financial destabilization
  6. Middle-income traps and complexity in economic development
  7. Quasi-periodic motions in a two-class economy with technology choice: an extreme case
  8. Asset bubbles, unemployment, and financial market frictions
  9. On the Two Catching-Up Mechanisms in Asian Development
  10. Financial Destabilization
  11. Asset Bubbles, Unemployment, and Financial Market Frictions
  12. Current account dynamics under information rigidity and imperfect capital mobility
  13. Reexamination of the Serendipity Theorem from the stability viewpoint
  14. Specializations, financial constraints, and income distribution
  15. Current Account Dynamics Under Information Rigidity and Imperfect Capital Mobility
  16. Current Account Dynamics under Information Rigidity and Imperfect Capital Mobility
  17. Unemployment, Nonstandard Employment, and Fertility: Insights From Japan’s “Lost 20 Years”
  18. Asset bubbles, economic growth, and a self-fulfilling financial crisis
  19. Corruption, Financial Development and Economic Growth: Theory and Evidence From an Instrumental Variable Approach With Human Genetic Diversity
  20. ENTREPRENEURS, FINANCIERS, AND BOOM–BUST CYCLES
  21. A Simple Model of Contract Enforcement Institutions
  22. Keeping One Step Ahead of the Joneses: Status, the Distribution of Wealth, and Long Run Growth
  23. COLLATERAL CONSTRAINTS AND THE CURRENT ACCOUNT: THEORY AND EVIDENCE
  24. Overconfidence, Underconfidence, and Welfare
  25. Taxing capital is a good idea: The role of idiosyncratic risk in an OLG model
  26. Announcement
  27. Credit Market Imperfections and Macroeconomic Instability
  28. Corruption, capital account liberalization, and economic growth: Theory and evidence
  29. Natural capital investment under knightian uncertainty
  30. FINANCE AND INEQUALITY: HOW DOES GLOBALIZATION CHANGE THEIR RELATIONSHIP?
  31. Complex behaviour in a piecewise linear dynamic macroeconomic model with endogenous discontinuity
  32. Asset bubbles, credit market imperfections, and technology choice
  33. Endogenous Growth and Fluctuations in an Overlapping Generations Economy with Credit Market Imperfections
  34. Optimal pricing and quality choice of a monopolist under Knightian uncertainty
  35. Risk and uncertainty in health investment
  36. Time Patience and Specialization Patterns in the Presence of Asset Trade
  37. Dynamic Game Model of Endogenous Growth with Consumption Externalities
  38. International Asset Trade, Capital Income Taxation, and Specialization Patterns
  39. International and Intergenerational Aspects of Capital Income Taxation in an Endogenously Growing World Economy
  40. Long-run Specialization*
  41. Environmental transfers against global warming: a credit-based program
  42. Credit constraints and the current account: A test for the Japanese economy
  43. Fiscal Spending, Relative-Price Dynamics, and Welfare in a World Economy*
  44. Endogenous growth cycles in an overlapping generations model with investment gestation lags
  45. Strategic Interactions in a Growth Model with Infrastructure Capital
  46. Government spending, interest rates, and capital accumulation in a two-sector model
  47. Long gestation in an overlapping generations economy: endogenous cycles and indeterminacy of equilibria
  48. Growth and Welfare Effects of Monetary Expansion in an Overlapping-generations Economy
  49. Growth Effects of Bubbles in an Endogenous Growth Model
  50. Welfare effects of bubbles in an endogenous growth model
  51. Capital mobility in the world economy: an alternative test
  52. Keeping one step ahead of the Joneses: Status, the distribution of wealth, and long run growth
  53. Monetary Policy, Overlapping Generations, and Patterns of Growth
  54. Fundamentals uncertainty, bubbles, and exchange rate dynamics
  55. A cointegration test of the optimal seigniorage model
  56. Dynamic Analysis of an Endogenous Growth Model with Public Capital
  57. Fundamentals-dependent bubbles in stock prices
  58. Spill-over effects of supply-side changes in a two-country economy with capital accumulation
  59. Capital income taxation and the current account in a small open economy
  60. Capital Income Taxation and Specialization Patterns: Investment Tax vs. Saving Tax