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AEF的最早两卷四期都有些经典论文了。祝贺!
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bdqh
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2012-04-21
2001, Volume 2, Issue 2
265-296
Dynamic Aggregation and Computation of Equilibria in Finite-Dimensional Economies with Incomplete Financial Markets
by
Domenico Cuoco & Hua He
297-323
Viable Costs and Equilibrium Prices in Frictional Securities Markets
by
Zhiwu Chen
325-351
Liquidity, Bargaining, and Multiple Equilibria in a Search Monetary Model
by
Shouyong Shi
353-377
The Dynamics of Firms in the Presence of Adjustment Costs
by
Ruqu Wang
379-400
Bankruptcy Law, Capital Allocation, and Aggregate Effects: A Dynamic Heterogenous Agent Model with Incomplete Markets
by
Tao Zha
401-414
Equilibrium Cost Overruns
by
Yongmin Chen & Ron Smith
415-435
Finite Horizon Negotiation Games
by
Lutz-Alexander Busch & Quan Wen
437-444
Residential Investment and Economic Growth
by
Yi Wen
445-465
Martingale Measure Method for Expected Utility Maximization in Discrete-Time Incomplete Markets
by
Ping Li & Jianming Xia & Jia-an Yan
467-486
Do Stock Returns Follow a Finite Variance Distribution?
by
Qi-Man Shao & Hao Yu & Jun Yu
487-518
Attribute Coordination in Organizations
by
Yingyi Qian & Gerard Roland & Chenggang Xu
2001, Volume 2, Issue 1
1-30
A Comparative Study of Different Shrinkage Estimators for Panel Data Models
by
G. S. Maddala & Hongyi Li & V. K. Srivastava
31-58
Consistent Speciffcation Tests for Regression Models
by
Chunrong Ai
59-76
Data Transformation and Forecasting in Models with Unit Roots and Cointegration
by
John C. Chao & Valentina Corradi & Norman R. Swanson
77-96
A Consistent Test for the Parametric Specification of the Hazard Function
by
Yanqin Fan & Paul Rilstone
97-100
On Model Approximation for Long-Memory Processes: A Cautionary Result
by
Clive W. J. Granger
101-122
Simulation-Based Estimation of the Structural Errors-in-Variables Negative Binomial Regression Model with an Application
by
Jie Q. Guo & Tong Li
123-164
Testing for Independence between Two stationary Time Series via the Empirical Characteristic Function
by
Yongmiao Hong
165-185
An Econometric Study of the Residential Demand for Non-Listed, Non-Published, and Special Non-Published Services
by
Cheng Hsiao & J. S. Chen & Li Gan & R. B. Williamson
187-213
Forecasting Nonlinear Functions of Returns Using LINEX Loss Functions
by
Soosung Hwang & John Knight & Stephen E. Satchell
215-235
Simulated Maximum Likelihood Estimation of the Linear Expenditure System with Binding Non-Negativity Constraints
by
Chihwa Kao & Lung-fei Lee & Mark M. Pitt
237-248
Estimation of Linear Regression Models from Bid-Ask Data by a Spread-Tolerant Estimator
by
Oliver Linton
249-264
Consistent Estimation of Regression Coefficients in Replicated Data with Non-Normal Measurement Errors
by
Aman Ullah & Shalabh & Debasri Mukherjee
2000, Volume 1, Issue 2
231-263
A Theory of Supervision with Endogenous Transaction Costs
by
Antoine Faure-Grimaud & Jean-Jacques Laffont & David Martimort
265-282
Power Risk Aversion Utility Functions
by
Danyang Xie
283-301
The Growth-Inequality Nexus without Borrowing Restrictions and Government Intervention: Some Implications from a Prototype Model
by
Isaac Ehrlich & Chi-Wa Yuen
303-339
Vector Autoregressive Models with Structural Changes in Regression Coefficients and in Variance-Covariance Matrices
by
Jushan Bai
337-357
Estimating Semiparametric Econometrics Models by Local Linear Method: With an Application to Cross-Country Growth
by
Qi Li & Jeffrey Wooldridge
359-381
Optimal Portfolios in an Incomplete Market
by
Jiongmin Yong
381-400
Capital Structure and Product Market Strategy
by
Chong-en Bai & Shan Li
403-433
The Macroeconomic Impact of Decentralized Spending and Deficits: International Evidence
by
Francesca Fornasari & Steven B. Webb & Heng-fu Zou
423-479
Economic Reforms and Constitutional Transition
by
Jeffrey Sachs & Wing Thye Woo & Xiaokai Yang
2000, Volume 1, Issue 1
1-18
Fiscal Decentralization in Developing Countries: The Effects of Local Corruption and Tax Evasion
by
Jan K. Brueckner
19-32
Feasible and Continuous Double Implementation of Constrained Walrasian Allocations
by
Guoqiang Tian
33-47
Do Debt Flows Crowd Out Equity Flows or the Other Way Round?
by
Assaf Razin & Efraim Sadka & Chi-Wa Yuen
49-77
Evolution of Transitory Volatility over the Week
by
Charles Cao & Hyuk Choe
79-100
Investment Horizon and the Cross Section of Expected Returns: Evidence from the Tokyo Stock Exchange
by
Pin-Huang Chou & Yuan-Lin Hsu & Guofu Zhou
101-116
Growth Optimal Portfolio in a Market Driven by a Jump-Diffusion-Like Process or a Levy Process
by
Jia-an Yan & Qiang Zhang & Shuguang Zhang
117-146
Martingale and Relaxation-Projection Methods for Utility Maximization with Portfolio Constraints and Stochastic Income
by
Yunhong Yang
147-163
Foreign Aid Reduces Domestic Capital Accumulation and Increases Foreign Borrowing: A Theoretical Analysis
by
Liutang Gong & Heng-fu Zou
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沙发
bdqh
2012-4-21 07:40:42
165-188
Why Are Entrepreneurs Liquidity-Constrained?
by
Weiying Zhang
189-210
Choosing between Up-or-Out and Spot Contracts: Human Capital Investment versus Job-Matching Considerations
by
Chun Chang & Yijiang Wang
211-230
Endogenous Structure of the Division of Labor, Endogenous Trade Policy Regime, and a Dual Structure in Economic Development
by
Xiaokai Yang & Dingsheng Zhang
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藤椅
longggui
2012-4-21 08:07:13
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