Instituição

Nome:
European Central Bank
Artigos 135:

Asset Returns under Model Uncertainty: Evidence from the Euro Area, the US and the UK
João Miguel Sousa, Ricardo Sousa
Computational Economics, vol. 54, 2019, p. 139-176.

Inflation Dynamics and Adaptive Expectations in an Estimated DSGE Model
Paolo Gelain, Nikolay Iskrev, Kevin J. Lansing, Caterina Mendicino
Journal Of Macroeconomics, vol. 59, 2019, p. 258-277.

State Interventions to Rescue Banks during the Global Financial Crisis
José Filipe Abreu, Marta Guerra Alves, Mohamed Azzim Gulamhussen
International Review Of Economics And Finance, vol. 62, 2019, p. 213-229.

State Interventions to Rescue Banks during the Global Financial Crisis
José Filipe Abreu, Marta Guerra Alves, Mohamed Azzim Gulamhussen
International Review Of Economics And Finance, vol. 62, 2019, p. 213-229.

The Collateral Channel of Open Market Operations
Nuno Cassola, Francois Koulischer
Journal Of Financial Stability, vol. 41, 2019, p. 73-90.

Debt Overhang and Deleveraging in the US Household Sector: Gauging the Impact on Consumption
Bruno Albuquerque, Georgi Krustev
Review of Income And Wealth, vol. 64, 2018, p. 459-481.

EAGLE-FLI: A Macroeconomic Model of Banking and Financial Interdependence in the Euro Area
N. Bokan, A. Gerali, Sandra Gomes, Pascal Jacquinot, Massimiliano Pisani
Economic Modelling, vol. 69, 2018, p. 249-280.

EAGLE-FLI: A Macroeconomic Model of Banking and Financial Interdependence in the Euro Area
N. Bokan, A. Gerali, Sandra Gomes, Pascal Jacquinot, Massimiliano Pisani
Economic Modelling, vol. 69, 2018, p. 249-280.

Fiscal Developments and Financial Stress: A Threshold VAR Analysis
António Afonso, Jaromir Baxa, Michal Slavik
Empirical Economics, vol. 54, 2018, p. 395-423.

Optimal Dynamic Capital Requirements
Caterina Mendicino, Kalin Nikolov, Javier Suarez, Dominik Supera
Journal Of Money, Credit And Banking, vol. 50, 2018, p. 1271-1297.

Optimal Dynamic Capital Requirements
Caterina Mendicino, Kalin Nikolov, Javier Suarez, Dominik Supera
Journal Of Money, Credit And Banking, vol. 50, 2018, p. 1271-1297.

Optimal Inflation with Corporate Taxation and Financial Constraints
Daria Finocchiaro, Giovanni Lombardo, Caterina Mendicino, Philippe Weil
Journal of Monetary Economics, vol. 95, 2018, p. 18-31.

Risk Shocks in a Small Open Economy: Business Cycle Dynamics in Canada
Caterina Mendicino, Yahong Zhang
Economic Modelling, vol. 72, 2018, p. 391-409.

Expectations-Driven Cycles in the Housing Market
Luisa Lambertini, Caterina Mendicino, Maria Teresa Punzi
Economic Modelling, vol. 60, 2017, p. 297-312.

Monetary Policy Shocks: We Got News!
Sandra Gomes, Nikolay Iskrev, Caterina Mendicino
Journal of Economic Dynamics and Control, vol. 74, 2017, p. 108-128.

Predicting Risk Premium under Changes in the Conditional Distribution of Stock Returns
João Miguel Sousa, Ricardo Sousa
Journal Of International Financial Markets, Institutions And Money, vol. 50, 2017, p. 204-218.

Will US Inflation Awake from the Dead? The Role of Slack and Non-linearities in the Phillips Curve
Bruno Albuquerque, Ursel Baumann
Journal of Policy Modeling, vol. 39, 2017, p. 247-271.

Consumption, Housing Collateral and the Canadian Business Cycle
Ian Christensen, Paul Corrigan, Caterina Mendicino, Shin-Ichi Nishiyama
Canadian Journal Of Economics, vol. 49, 2016, p. 207-236.

Economic Performance, Government Size, and Institutional Quality
António Afonso, João Tovar Jalles
Empirica, vol. 43, 2016, p. 83-109.

Exports and Domestic Demand Pressure: A Dynamic Panel Data Model for the Euro Area Countries
Elena Bobeica, Paulo Soares Esteves, António Rua, Karsten Staehr
Weltwirtschaftliches Archiv/Review Of World Economics, vol. 152, 2016, p. 107-125.

Financial Shocks, Comovement and Credit Frictions
Daria Finocchiaro, Caterina Mendicino
Economics Letters, vol. 143, 2016, p. 20-23.

Fiscal Devaluation in the Euro Area: A Model-Based Analysis
Sandra Gomes, Pascal Jacquinot, Massimiliano Pisani
Economic Modelling, vol. 52, 2016, p. 58-70.

The ECB's OMTs: A Tale of Governments, Investors, and the Central Bank
Nuno Cassola, José Jorge
Journal of International Money and Finance, vol. 65, 2016, p. 94-116.

Capital Regulation in a Macroeconomic Model with Three Layers of Default
Laurent Clerc, Alexis Derviz, Caterina Mendicino, Stephane Moyen, Kalin Nikolov, Livio Stracca
International Journal Of Central Banking, vol. 11, 2015, p. 9-63.

Capital Regulation in a Macroeconomic Model with Three Layers of Default
Laurent Clerc, Alexis Derviz, Caterina Mendicino, Stephane Moyen, Kalin Nikolov, Livio Stracca
International Journal Of Central Banking, vol. 11, 2015, p. 9-63.

Global Policy at the Zero Lower Bound in a Large-Scale DSGE Model
Sandra Gomes, Pascal Jacquinot, Ricardo Mestre, João Miguel Sousa
Journal of International Money and Finance, vol. 50, 2015, p. 134-153.

Global Policy at the Zero Lower Bound in a Large-Scale DSGE Model
Sandra Gomes, Pascal Jacquinot, Ricardo Mestre, João Miguel Sousa
Journal of International Money and Finance, vol. 50, 2015, p. 134-153.

A Longer-Run Perspective on Fiscal Sustainability
António Afonso, João Tovar Jalles
Empirica, vol. 41, 2014, p. 821-847.

Fiscal Composition and Long-Term Growth
António Afonso, João Tovar Jalles
Applied Economics, vol. 46, 2014, p. 349-358.

House Prices, Capital Inflows and Macroprudential Policy
Caterina Mendicino, Maria Teresa Punzi
Journal of Banking and Finance, vol. 49, 2014, p. 337-355.

Interactions between Private and Public Sector Wages
António Afonso, Pedro Gomes
Journal Of Macroeconomics, vol. 39, 2014, p. 97-122.

Internal Capital Markets and the Funding of Subsidiaries of Multinational Banks
Mohamed Azzim Gulamhussen, Isabel Maria Monteiro Lavrador
International Finance, vol. 17, 2014, p. 357-380.

Pricing Sovereign Bond Risk in the European Monetary Union Area: An Empirical Investigation
António Afonso, Michael G. Arghyrou, Alexandros Kontonikas
International Journal Of Finance And Economics, vol. 19, 2014, p. 49-56.

Consumer confidence as a predictor of consumption spending: Evidence for the United States and the Euro area
Stephane Dees, Pedro Brinca
International Economics, vol. 134, 2013, p. 1-14.

Do Fiscal Rules Matter for Growth?
António Afonso, João Tovar Jalles
Applied Economics Letters, vol. 20, 2013, p. 34-40.

Do Fiscal Rules Matter for Growth?
António Afonso, João Tovar Jalles
Applied Economics Letters, vol. 20, 2013, p. 34-40.

Growth and Productivity: The Role of Government Debt
António Afonso, João Tovar Jalles
International Review Of Economics And Finance, vol. 25, 2013, p. 384-407.

Market power and fiscal policy in OECD countries.
António Afonso, Luis Filipe Costa
Applied Economics, vol. 45, 2013, p. 4545-4555.

Public and private inputs in aggregate production and growth: a cross-country efficiency approach.
António Afonso, Miguel St Aubyn
Applied Economics, vol. 45, 2013, p. 4487-4502.

Structural Reforms and Macroeconomic Performance in the Euro Area Countries: A Model-Based Assessmen
Sandra Gomes, Pascal Jacquinot, Massimiliano Pisani, Matthias Mohr
International Finance, vol. 16, 2013, p. 23-44.

Structural Reforms and Macroeconomic Performance in the Euro Area Countries: A Model-Based Assessmen
Sandra Gomes, Pascal Jacquinot, Massimiliano Pisani, Matthias Mohr
International Finance, vol. 16, 2013, p. 23-44.

The 2007 Subprime Market Crisis through the Lens of European Central Bank Auctions for Short-Term Funds
Nuno Cassola, Ali Hortacsu, Jakub Kastl
Econometrica, vol. 81, 2013, p. 1309-1345.

The Cyclicality of Education, Health, and Social Security Government Spending
António Afonso, João Tovar Jalles
Applied Economics Letters, vol. 20, 2013, p. 669-672.

Euro Money Market Spreads during the 2007-? Financial Crisis
Nuno Cassola, Claudio Morana
Journal Of Empirical Finance, vol. 19, 2012, p. 548-557.

Firms` Price and Wage Adjustment in Europe: Survey Evidence on Nominal Stickiness
Martine Druant, Silvia Fabiani, Fernando Martins, Roberto Sabbatini, Gábor Kézdi, Ana Lamo
Labour Economics, vol. 19, 2012, p. 772-782.

Fiscal Volatility, Financial Crises and Growth
António Afonso, João Tovar Jalles
Applied Economics Letters, vol. 19, 2012, p. 1821-1826.

Fiscal Volatility, Financial Crises and Growth
António Afonso, João Tovar Jalles
Applied Economics Letters, vol. 19, 2012, p. 1821-1826.

Investment in Emerging Market Economies
Tuomas A. Peltonen, Ricardo Sousa, Isabel S. Vansteenkiste
Empirical Economics, vol. 43, 2012, p. 97-119.

Investment in Emerging Market Economies
Tuomas A. Peltonen, Ricardo Sousa, Isabel S. Vansteenkiste
Empirical Economics, vol. 43, 2012, p. 97-119.

Level, Slope, Curvature of the Sovereign Yield Curve, and Fiscal Behaviour
António Afonso, Manuel M. F. Martins
Journal of Banking and Finance, vol. 36, 2012, p. 1789-1807.

Measuring the Success of Fiscal Consolidations
António Afonso, João Tovar Jalles
Applied Financial Economics, vol. 22, 2012, p. 1053-1061.

Measuring the Success of Fiscal Consolidations
António Afonso, João Tovar Jalles
Applied Financial Economics, vol. 22, 2012, p. 1053-1061.

Overbidding in Fixed Rate Tenders: The Role of Exposure Risk
Christian Ewerhart, Nuno Cassola, Natacha Valla
Journal of Banking and Finance, vol. 36, 2012, p. 539-549.

The EAGLE: A Model for Policy Analysis of Macroeconomic Interdependence in the Euro Area
Sandra Gomes, Pascal Jacquinot, Massimiliano Pisani
Economic Modelling, vol. 29, 2012, p. 1686-1714.

The macroeconomic effects of fiscal policy.
António Afonso, Ricardo Sousa
Applied Economics, vol. 44, 2012, p. 4439-4454.

The Macroeconomic Effects of Fiscal Policy
António Afonso, Ricardo Sousa
Applied Economics, vol. 44, 2012, p. 4439-4454.

Wealth Effects in Emerging Market Economies
Tuomas A. Peltonen, Ricardo Sousa, Isabel S. Vansteenkiste
International Review Of Economics And Finance, vol. 24, 2012, p. 155-166.

Wealth Effects in Emerging Market Economies
Tuomas A. Peltonen, Ricardo Sousa, Isabel S. Vansteenkiste
International Review Of Economics And Finance, vol. 24, 2012, p. 155-166.

Assessing Health Efficiency across Countries with a Two-Step and Bootstrap Analysis
António Afonso, Miguel St Aubyn
Applied Economics Letters, vol. 18, 2011, p. 1427-1430.

Assessing Long-Term Fiscal Developments: A New Approach
António Afonso, Luca Agnello, Davide Furceri, Ricardo Sousa
Journal of International Money and Finance, vol. 30, 2011, p. 130-146.

Assessing Long-Term Fiscal Developments: A New Approach
António Afonso, Luca Agnello, Davide Furceri, Ricardo Sousa
Journal of International Money and Finance, vol. 30, 2011, p. 130-146.

Assessing Long-Term Fiscal Developments: Evidence from Portugal
António Afonso, Ricardo Sousa
Applied Economics Letters, vol. 18, 2011, p. 1-5.

Do Fiscal Imbalances Deteriorate Sovereign Debt Ratings?
Pedro Gomes, António Afonso
Revue Economique, vol. 62, 2011, p. 1123-1134.

Economic Growth and Budgetary Components: A Panel Assessment for the EU
António Afonso, Juan Gonzalez Alegre
Empirical Economics, vol. 41, 2011, p. 703-723.

Fiscal Regime Shifts in Portugal
António Afonso, Peter Claeys, Ricardo Sousa
Portuguese Economic Journal, vol. 10, 2011, p. 83-108.

Fundamentals, Financial Factors , and the Dynamics of Investment in Emerging Markets
Tuomas A. Peltonen, Ricardo Sousa, Isabel S. Vansteenkiste
Emerging Markets Finance And Trade, vol. 47, 2011, p. 88-105.

Fundamentals, Financial Factors , and the Dynamics of Investment in Emerging Markets
Tuomas A. Peltonen, Ricardo Sousa, Isabel S. Vansteenkiste
Emerging Markets Finance And Trade, vol. 47, 2011, p. 88-105.

Short- and Long-Run Determinants of Sovereign Debt Credit Ratings
António Afonso, Pedro Gomes, Philipp Rother
International Journal Of Finance And Economics, vol. 16, 2011, p. 1-15.

The Macroeconomic Effects of Fiscal Policy in Portugal: A Bayesian SVAR Analysis
António Afonso, Ricardo Sousa
Portuguese Economic Journal, vol. 10, 2011, p. 61-82.

What Are the Effects of Fiscal Policy on Asset Markets?
António Afonso, Ricardo Sousa
Economic Modelling, vol. 28, 2011, p. 1871-1890.

Comovements in Volatility in the Euro Money Market
Nuno Cassola, Claudio Morana
Journal of International Money and Finance, vol. 29, 2010, p. 525-539.

Declining Valuations and Equilibrium Bidding in Central Bank Refinancing Operations
Christian Ewerhart, Nuno Cassola, Natacha Valla
International Journal of Industrial Organization, vol. 28, 2010, p. 30-43.

Expansionary Fiscal Consolidations in Europe: New Evidence
António Afonso
Applied Economics Letters, vol. 17, 2010, p. 105-109.

Fiscal Policy Responsiveness, Persistence, and Discretion
António Afonso, Luca Agnello, Davide Furceri
Public Choice, vol. 145, 2010, p. 503-530.

Fiscal Policy Responsiveness, Persistence, and Discretion
António Afonso, Luca Agnello, Davide Furceri
Public Choice, vol. 145, 2010, p. 503-530.

Government Size, Composition, Volatility and Economic Growth
António Afonso, Davide Furceri
European Journal of Political Economy, vol. 26, 2010, p. 517-532.

Income distribution determinants and public spending efficiency
António Afonso, Ludger Schuknecht, Vito Tanzi
Journal Of Economic Inequality, vol. 8, 2010, p. 367-389.

Income distribution determinants and public spending efficiency
António Afonso, Ludger Schuknecht, Vito Tanzi
Journal Of Economic Inequality, vol. 8, 2010, p. 367-389.

Long-Term Government Bond Yields and Economic Forecasts: Evidence for the EU
António Afonso
Applied Economics Letters, vol. 17, 2010, p. 1437-1441.

Public and Private Investment Rates of Return: Evidence for Industrialized Countries
António Afonso, Miguel St Aubyn
Applied Economics Letters, vol. 17, 2010, p. 839-843.

Public Sector Efficiency: Evidence for New EU Member States and Emerging Markets
António Afonso, Ludger Schuknecht, Vito Tanzi
Applied Economics, vol. 42, 2010, p. 2147-2164.

Public Sector Efficiency: Evidence for New EU Member States and Emerging Markets
António Afonso, Ludger Schuknecht, Vito Tanzi
Applied Economics, vol. 42, 2010, p. 2147-2164.

What Do We Really Know about Fiscal Sustainability in the EU? A Panel Data Diagnostic
António Afonso, Christophe Rault
Weltwirtschaftliches Archiv/Review Of World Economics, vol. 145, 2010, p. 731-755.

Macroeconomic Rates of Return of Public and Private Investment: Crowding-In and Crowding-Out Effects
António Afonso, Miguel St Aubyn
Manchester School, vol. 77, 2009, p. 21-39.

Optimal Allotment Policy in Central Bank Open Market Operations
Christian Ewerhart, Nuno Cassola, Steen Ejerskov, Natacha Valla
European Journal Of Finance, vol. 15, 2009, p. 405-420.

Ordered Response Models for Sovereign Debt Ratings
António Afonso, Pedro Gomes, Philipp Rother
Applied Economics Letters, vol. 16, 2009, p. 769-773.

Ordered Response Models for Sovereign Debt Ratings
António Afonso, Pedro Gomes, Philipp Rother
Applied Economics Letters, vol. 16, 2009, p. 769-773.

Which News Moves the Euro Area Bond Market?
Magnus Andersson, Lars Jul Overby, Szabolcs Sebestyen
German Economic Review, vol. 10, 2009, p. 1-31.

Assessing and Explaining the Relative Efficiency of Local Government
António Afonso, Sónia Fernandes
Journal Of Socio Economics, vol. 37, 2008, p. 1946-1979.

EMU Enlargement, Stabilization Costs and Insurance Mechanisms
António Afonso, Davide Furceri
Journal of International Money and Finance, vol. 27, 2008, p. 169-187.

Modeling short-term interest rate spreads in the Euro Money Market
Nuno Cassola, Claudio Morana
International Journal Of Central Banking, vol. 4, 2008, p. 1-37.

Ricardian Fiscal Regimes in the European Union
António Afonso
Empirica, vol. 35, 2008, p. 313-334.

The Dynamic Behaviour of Budget Components and Output
António Afonso, Peter Claeys
Economic Modelling, vol. 25, 2008, p. 93-117.

Dupuit, Pigou and Cost of Inefficiency in Public Services Provision
António Afonso, Vitor Gaspar
Public Choice, vol. 132, 2007, p. 1048-1064.

Fiscal Policy Events and Interest Rate Swap Spreads: Evidence from the EU
António Afonso, Rolf Strauch
Journal Of International Financial Markets, Institutions And Money, vol. 17, 2007, p. 261-276.

Fiscal Policy Events and Interest Rate Swap Spreads: Evidence from the EU
António Afonso, Rolf Strauch
Journal Of International Financial Markets, Institutions And Money, vol. 17, 2007, p. 261-276.

Manipulation in money markets
Christian Ewerhart, Nuno Cassola, Steen Ejerskov, Natacha Valla
International Journal Of Central Banking, vol. 3, 2007, p. 113-148.

Why Has Broad Money Demand Been More Stable in the Euro Area than in Other Economies? A Literature Review
Alessandro Calza, João Miguel Sousa
Kredit Und Kapital, vol. 40, 2007, p. 145-163.

Adaptive Learning, Persistence, and Optimal Monetary Policy
Vitor Gaspar, Frank Smets, David Vestin
Journal Of The European Economic Association, vol. 4, 2006, p. 376-385.

Adaptive Learning, Persistence, and Optimal Monetary Policy
Vitor Gaspar, Frank Smets, David Vestin
Journal Of The European Economic Association, vol. 4, 2006, p. 376-385.

Credit in the Euro Area: An Empirical Investigation Using Aggregate Data
Alessandro Calza, Marta Manrique, João Miguel Sousa
Quarterly Review Of Economics And Finance, vol. 46, 2006, p. 211-226.

Cross-Country Efficiency of Secondary Education Provision: A Semi-parametric Analysis with Non-discretionary Inputs
António Afonso, Miguel St Aubyn
Economic Modelling, vol. 23, 2006, p. 476-491.

Fiscal Consolidations in the Central and Eastern European Countries
António Afonso, Christiane Nickel, Philipp Rother
Weltwirtschaftliches Archiv/Review Of World Economics, vol. 142, 2006, p. 402-421.

Fiscal Consolidations in the Central and Eastern European Countries
António Afonso, Christiane Nickel, Philipp Rother
Weltwirtschaftliches Archiv/Review Of World Economics, vol. 142, 2006, p. 402-421.

Measuring Local Government Spending Efficiency: Evidence for the Lisbon Region
António Afonso, Sónia Fernandes
Regional Studies, vol. 40, 2006, p. 39-53.

Monetary Policy over Time
Vitor Gaspar, Frank Smets, David Vestin
Macroeconomic Dynamics, vol. 10, 2006, p. 207-229.

Monetary Policy over Time
Vitor Gaspar, Frank Smets, David Vestin
Macroeconomic Dynamics, vol. 10, 2006, p. 207-229.

Output and Inflation Responses to Credit Shocks: Are There Threshold Effects in the Euro Area?
Alessandro Calza, João Miguel Sousa
Studies In Nonlinear Dynamics And Econometrics, vol. 10, 2006, p. 1-21.

Sticky Prices in the Euro Area: A Summary of New Micro-evidence
Luis J. Álvarez, Emmanuel Dhyne, Marco Hoeberichts, Claudia Kwapil, Hervé Le Bihan, Patrick Lünnemann, Fernando Martins, Roberto Sabbatini, Harald Stahl, Philip Vermeulen, Jouko Vilmunen
Journal Of The European Economic Association, vol. 4, 2006, p. 575-584.

Volatility of Interest Rates in the Euro Area: Evidence from High Frequency Data
Nuno Cassola, Claudio Morana
European Journal Of Finance, vol. 12, 2006, p. 513-528.

What Firms Surveys Tell Us about Price-Setting Behavior in the Euro Area
Silvia Fabiani, Martine Druant, Ignacio Hernando, Claudia Kwapil, Bettina Landau, Claire Loupias, Fernando Martins, Thomas Mathä, Roberto Sabbatini, Harald Stahl, Ad Stokman
International Journal Of Central Banking, vol. 2, 2006, p. 3-47.

Fiscal Sustainability: The Unpleasant European Case
António Afonso
Finanzarchiv, vol. 61, 2005, p. 19-44.

Non-parametric Approaches to Education and Health Efficiency in OECD Countries
António Afonso, Miguel St Aubyn
Journal Of Applied Economics, vol. 8, 2005, p. 227-246.

Public Sector Efficiency: An International Comparison
António Afonso, Ludger Schuknecht, Vito Tanzi
Public Choice, vol. 123, 2005, p. 321-347.

Public Sector Efficiency: An International Comparison
António Afonso, Ludger Schuknecht, Vito Tanzi
Public Choice, vol. 123, 2005, p. 321-347.

A Money Demand System for Euro Area M3
Claus Brand, Nuno Cassola
Applied Economics, vol. 36, 2004, p. 817-838.

A Money Demand System for Euro Area M3
Claus Brand, Nuno Cassola
Applied Economics, vol. 36, 2004, p. 817-838.

A Two-Factor Model of the German Term Structure of Interest Rates
Nuno Cassola, Jorge Barros Luis
Applied Financial Economics, vol. 13, 2003, p. 783-806.

A Two-Factor Model of the German Term Structure of Interest Rates
Nuno Cassola, Jorge Barros Luis
Applied Financial Economics, vol. 13, 2003, p. 783-806.

Modelling the Demand for Loans to the Private Sector in the Euro Area
Christine Gartner, Alessandro Calza, João Miguel Sousa
Applied Economics, vol. 35, 2003, p. 107-117.

Modelling the Demand for Loans to the Private Sector in the Euro Area
Christine Gartner, Alessandro Calza, João Miguel Sousa
Applied Economics, vol. 35, 2003, p. 107-117.

Modelling the Demand for Loans to the Private Sector in the Euro Area
Christine Gartner, Alessandro Calza, João Miguel Sousa
Applied Economics, vol. 35, 2003, p. 107-117.

The Optimal Mix of Taxes on Money, Consumption and Income
Fiorella de Fiore, Pedro Teles
Journal of Monetary Economics, vol. 50, 2003, p. 871-887.

Exchange Rates and Monetary Policy
Vitor Gaspar, Otmar Issing
Australian Economic Papers, vol. 41, 2002, p. 342-365.

Exchange Rates and Monetary Policy
Vitor Gaspar, Otmar Issing
Australian Economic Papers, vol. 41, 2002, p. 342-365.

Monetary Policy, Price Stability and Output Gap Stabilization
Vitor Gaspar, Frank Smets
International Finance, vol. 5, 2002, p. 193-211.

Monetary Policy, Price Stability and Output Gap Stabilization
Vitor Gaspar, Frank Smets
International Finance, vol. 5, 2002, p. 193-211.

Research at a Policy Making Institution: Launching Research at the ECB
Vitor Gaspar, Juan Luis Vega
Swiss Journal Of Economics And Statistics, vol. 138, 2002, p. 359-376.

Research at a Policy Making Institution: Launching Research at the ECB
Vitor Gaspar, Juan Luis Vega
Swiss Journal Of Economics And Statistics, vol. 138, 2002, p. 359-376.

Home Bias in Portfolios and Taxation of Asset Income
Roger Gordon, Vitor Gaspar
B.E. Journal of Economic Analysis and Policy: Advances, vol. 1, 2001, p. 0-0.

The ECB Monetary Policy Strategy and the Money Market
Vitor Gaspar, Gabriel Perez Quiros, Jorge Sicilia
International Journal Of Finance And Economics, vol. 6, 2001, p. 325-342.

The ECB Monetary Policy Strategy and the Money Market
Vitor Gaspar, Gabriel Perez Quiros, Jorge Sicilia
International Journal Of Finance And Economics, vol. 6, 2001, p. 325-342.

The ECB Monetary Policy Strategy and the Money Market
Vitor Gaspar, Gabriel Perez Quiros, Jorge Sicilia
International Journal Of Finance And Economics, vol. 6, 2001, p. 325-342.

Price Level Stability: Some Issues
Vitor Gaspar, Frank Smets
National Institute Economic Review, vol. 0, 2000, p. 68-79.

Price Level Stability: Some Issues
Vitor Gaspar, Frank Smets
National Institute Economic Review, vol. 0, 2000, p. 68-79.

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