All Stories

  1. Do Managerial Practices Matter in Innovation and Firm Performance Relations? New Evidence from the UK
  2. KNOWLEDGE SPILLOVERS AND OUTPUT PER WORKER: AN INDUSTRY-LEVEL ANALYSIS FOR OECD COUNTRIES
  3. Do country-level financial structures explain bank-level CDS spreads?
  4. Export prices, selection into exporting and market size: Evidence from China and India
  5. Poverty index with time-varying consumption and income distributions
  6. Trade Openness and Labor Force Participation in Africa: The Role of Political Institutions*
  7. House of restructured assets: How do they affect bank risk in an emerging market?
  8. Évolution technologique et prime à la compétence: un effet confirmé par le cas de l'industrie manufacturière aux États-Unis
  9. Prima por calificación y cambio tecnológico. Nueva evidencia sobre las manufacturas estadounidenses
  10. Does regulatory forbearance matter for bank stability? Evidence from creditors’ perspective
  11. The housing market and the credit default swap premium in the UK banking sector: A VAR approach
  12. Does Institutional Linkage of Bank-MFI Foster Inclusive Financial Development Even in the Presence of MFI Frauds?
  13. Fiscal and monetary policies in the BRICS: A panel VAR approach
  14. Global food prices and monetary policy in an emerging market economy: The case of India
  15. Does female human capital formation matter for the income effect of remittances? Evidence from developing countries
  16. Does quality differentiation matter in exporters' pricing behaviour? Comparing China and India
  17. The right to be free: is media freedom good news for women's rights?
  18. Financial development and productive inefficiency: A robust conditional directional distance function approach
  19. Real Effects of Inflation on External Debt in Developing Economies
  20. Macroeconomic Effects of Inflationary Shocks with Durable and Non-Durable Consumption
  21. Fiscal Policy and Crowding Out in Developing Asia
  22. Effectiveness of countercyclical fiscal policy: Evidence from developing Asia
  23. Explaining cross-country differences in exporting performance: The role of country-level macroeconomic environment
  24. Nonlinear monetary policy reaction functions in large emerging economies: the case of Brazil and China
  25. Financing Patterns, Multinationals and Performance: Firm-level Evidence from 47 Countries
  26. Fiscal policy in the BRICs
  27. Productivity Performance of Export Market Entry and Exit: Evidence from Indian Firms
  28. Exchange rate regime, real misalignment and currency crises
  29. Impact of China's currency valuation and labour cost on the US in a trade and exchange rate model
  30. PROFESSOR SUBRATA GHATAK (1939-2012)
  31. Disentangling the Poverty Effects of Sectoral Output, Prices, and Policies in India
  32. Determinants of bank credit default swap spreads: The role of the housing sector
  33. Commodity Prices, Inflationary Pressures, and Monetary Policy: Evidence from BRICS Economies
  34. Identifying sources of macroeconomic and exchange rate fluctuations in the UK
  35. Financial reforms and income inequality
  36. Introduction: the risks and the rewards of greater openness
  37. Pricing to market with trade liberalization: The role of market heterogeneity and product differentiation in India’s exports
  38. Sources of Financing, Profitability and Productivity: First Evidence from Matched Firms
  39. Monetary Policy in Russia: Identifying exchange rate shocks
  40. Data frequency and exchange rate pass-through: Evidence from India's exports
  41. On the real effects of inflation in open economies: theory and empirics
  42. Monetary and financial stability in the euro area: Pro-cyclicality versus trade-off
  43. Estimating Consumption Deprivation in India Using Survey Data: A State-Level Rural–Urban Analysis Before and During Reform Period
  44. Does Technological Change Induce Unemployment?
  45. ON NETWORK COMPETITION AND THE SOLOW PARADOX: EVIDENCE FROM US BANKS
  46. Exchange Rate Transmission into Industry-Level Export Prices: A Tale of Two Policy Regimes in India
  47. Foreign Capital in a Growth Model
  48. On the Effects of Inflation Shocks in a Small Open Economy
  49. Income distribution dependence of poverty measure: A theoretical analysis
  50. Monetary policy in high inflation open economies: evidence from Israel and Turkey
  51. Policy instruments to avoid output collapse: an optimal control model for India
  52. Does inflation or currency depreciation drive monetary policy in Russia?
  53. SECTORAL EXCHANGE RATE PASS-THROUGH: TESTING THE IMPACT OF POLICY REFORMS IN INDIA
  54. Impact of World Bank lending in an adjustment-led growth model
  55. Tight credit policy versus currency depreciation: Simulations from a trade and inflation model of India
  56. How best to link poverty reduction and debt sustainability in IMF–World Bank models?
  57. Pension reforms and saving gains in the United Kingdom
  58. A dynamic macroeconometric model for short-run stabilization in India
  59. Fisher hypothesis: UK evidence over a century
  60. The Economics of Demand‐led Growth: Challenging the Supply‐side Vision of the long run
  61. In search of a third way: Between liberalization and intervention
  62. DYNAMICS OF MACROECONOMIC ADJUSTMENT WITH GROWTH: SOME SIMULATION RESULTS *
  63. Dynamics of Macroeconomic Adjustment with Growth: Some Simulation Results*
  64. A Non-econometric Review of Indian Macroeconomic Models
  65. Monetary Policy in Russia
  66. Financial Misreporting, Bribery and Penalty
  67. A Macroeconomic Policy Approach to Poverty Reduction
  68. Macroeconomic Effects of Monetary Policy in India
  69. Financing Patterns, Multinationals and Performance
  70. Exchange Rate Regime, Real Misalignment and Currency Crises
  71. Sources of Financing, Profitability and Productivity: First Evidence from Matched Firms
  72. Making Commercial Microfinance Work for the Poor: The Case of MFIs-Bank Linkage
  73. Exchange Rate Pass-Through in India's Exports to Developed and Emerging Markets
  74. Identifying Sources of Macroeconomic and Exchange Rate Fluctuations in the UK
  75. Fiscal Policy and Crowding Out in Developing Asia
  76. Effectiveness of Countercyclical Fiscal Policy: Time-Series Evidence from Developing Asia
  77. Is Growth Alone Sufficient to Reduce Poverty? In Search of the Trickle Down Effect in Rural India
  78. Knowledge Spillovers, Absorptive Capacity and Growth: An Industry-Level Analysis for OECD Countries
  79. Pass-Through of Exchange Rate and Tariffs into Import Prices of India: Currency Depreciation versus Import Liberalisation
  80. Measuring Firm-Level Productivity Convergence in the UK: The Role of Taxation and R&D Investment