Works matching DE "INTEREST rates"
Results: 5000
The term structure of Japanese Government bonds in the super long term under different aspects of yield curve control.
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- Journal of Corporate Accounting & Finance (Wiley), 2025, v. 36, n. 1, p. 210, doi. 10.1002/jcaf.22750
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The Rise (and Fall?) of Inflation in Canada: A Detailed Analysis of Its Post-Pandemic Experience.
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- Canadian Public Policy, 2023, v. 49, n. 2, p. 197, doi. 10.3138/cpp.2022-068
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The Fiscal Impact of Quantitative Easing.
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- Canadian Public Policy, 2022, v. 48, n. 4, p. 490, doi. 10.3138/cpp.2021-094
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A Pervasive Economic Fallacy in Assessing the Cost of Public Funds.
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- Canadian Public Policy, 2022, v. 48, n. 1, p. 1, doi. 10.3138/cpp.2021-035
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Earnings management by acquiring firms in cash mergers.
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- Accounting & Business Research, 2025, v. 55, n. 1, p. 39, doi. 10.1080/00014788.2023.2288567
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The relevance of owner-manager signals and risk proxies to the pricing of bank loans.
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- Accounting & Business Research, 1999, v. 30, n. 1, p. 57, doi. 10.1080/00014788.1999.9728924
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The Determinants of Managerial Accounting Policy Choice: Further Evidence for the UK.
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- Accounting & Business Research, 1998, v. 28, n. 2, p. 131, doi. 10.1080/00014788.1998.9728904
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The Forecasting Accuracy of Trainee Accountants Using Judgemental and Statistical Techniques.
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- Accounting & Business Research, 1986, v. 16, n. 63, p. 179, doi. 10.1080/00014788.1986.9729316
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Eine Debatte um legitimen Geldzins: Kaplan Viktor Pflüger (1879-1958) an einer konfliktiven Schnittstelle in der Zwischenkriegszeit.
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- Schweizerische Zeitschrift für Geschichte, 2015, v. 65, n. 2, p. 311
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Optimal exercise of American options under time-dependent Ornstein–Uhlenbeck processes.
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- Stochastics: An International Journal of Probability & Stochastic Processes, 2024, v. 96, n. 1, p. 921, doi. 10.1080/17442508.2024.2325402
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Asymptotics for ruin probabilities in a bidimensional discrete-time risk model with dependent and consistently varying tailed net losses.
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- Stochastics: An International Journal of Probability & Stochastic Processes, 2024, v. 96, n. 1, p. 667, doi. 10.1080/17442508.2024.2315272
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- Article
Canadian Retirement Incomes: How Much Do Financial Market Returns Matter?
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- Canadian Public Policy, 2014, v. 40, n. 4, p. 315, doi. 10.3138/cpp.2013-009
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ECONOMIC & MARKET DATA.
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- CPA Journal, 2025, v. 95, n. 1/2/2025, p. 88
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- Article
On the forecasting performance of small-scale DGSE models: a Monte Carlo evaluation and an application to UK.
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- Journal of the Operational Research Society, 2025, v. 76, n. 3, p. 554, doi. 10.1080/01605682.2024.2376050
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Is Japan Headed for a Fiscal Doomsday?
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- Asia-Pacific Journal: Japan Focus, 2009, n. 46, p. 4
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So Now the US is Trying to Emulate Japan's Lost Decade?
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- Asia-Pacific Journal: Japan Focus, 2008, n. 51, p. 2
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Monetary policy independence in an era of financial globalization: what theory suggests and the data in Oceania say.
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- New Zealand Economic Papers, 2024, v. 58, n. 3, p. 207, doi. 10.1080/00779954.2024.2361680
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Does the RBNZ respond to exchange rate fluctuations?
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- New Zealand Economic Papers, 2024, v. 58, n. 1, p. 87, doi. 10.1080/00779954.2023.2234593
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Financialization and rural development: comparing credit systems in Thailand and Cambodia.
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- South East Asia Research, 2024, v. 32, n. 2, p. 196, doi. 10.1080/0967828X.2024.2331454
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A house is more than a home: Why the law should discourage the shift to renting and the effects of the shift on nascent families.
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- Family Court Review, 2025, v. 63, n. 1, p. 217, doi. 10.1111/fcre.12835
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- Article
Russia–Ukraine war and the cost of borrowing in the West African Economic and Monetary Union sovereign debt market.
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- African Development Review / Revue Africaine de Développement, 2024, v. 36, p. S108, doi. 10.1111/1467-8268.12780
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Is the Rising US Debt Sustainable: An Analysis of Primary Balance, Economic Growth, and Real Interest Rate.
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- Public Budgeting & Finance, 2025, v. 45, n. 1, p. 99, doi. 10.1111/pbaf.12386
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Interest rate liberalization and labor cost stickiness: A quasi-natural experiment from China.
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- Economic Analysis & Policy, 2025, v. 85, p. 1663, doi. 10.1016/j.eap.2024.12.025
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Financial market responses to the policy language of forward guidance: Evidence from China.
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- Economic Analysis & Policy, 2025, v. 85, p. 317, doi. 10.1016/j.eap.2024.12.003
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The financial resource curse: Interest rate deregulation and firms' shadow banking activities.
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- Accounting & Finance, 2025, v. 65, n. 1, p. 191, doi. 10.1111/acfi.13323
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THE ZOMBIE OF COMI: SHOULD WE FINALLY KILL IT OFF?
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- Review of Litigation, 2024, v. 44, n. 1, p. 165
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Economic Analysis of Projects for Secondary Sources of Water Supply.
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- Journal: American Water Works Association, 1962, v. 54, n. 11, p. 1361, doi. 10.1002/j.1551-8833.1962.tb00976.x
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- Article
Changes in the Inflation Target and the Comovement Between Inflation and the Nominal Interest Rate<sup>1</sup>.
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- Economic Record, 2025, v. 101, n. 332, p. 3, doi. 10.1111/1475-4932.12853
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Effects of Political Instability on Investment Efficiency in WAEMU Countries: An Empirical Analysis.
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- IUP Journal of Applied Economics, 2025, v. 24, n. 1, p. 5, doi. 10.71329/IUPJAE/2025.24.1.5-23
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TVP-VAR FREQUENCY CONNECTEDNESS ANALYSIS ON CPI-BASED MONTHLY REAL RETURN VOLATILITY OF FINANCIAL INVESTMENT INSTRUMENTS.
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- Ekonomski Vjesnik, 2024, v. 37, n. 2, p. 319, doi. 10.51680/ev.37.2.8
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Factors impacting consumer confidence: Evidence from China.
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- Advances in Consumer Research, 2024, v. 1, n. 1, p. 1
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Capital Structure Determinants in German SMEs: Panel Analysis and Policy Recommendations.
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- Credit & Capital Markets / Kredit und Kapital, 2023, v. 56, n. 3/4, p. 313, doi. 10.3790/ccm.2023.1441801
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Is Kumbh Mela an Economic Scam?
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- International Policy Digest, 2025, p. 2
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Modelo de estações por rotação como proposta para o ensino de genética: observação da aprendizagem e percepção de estudantes diante do método desenvolvido.
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- Olhar de Professor, 2024, v. 27, p. 1, doi. 10.5212/OlharProfr.v.27.22141.006
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التحوط من مخاطر انخفاض اسعار النفط باستخدام عقود المبادلات شركة نفط البصرة (BOC) وشركة مصافي الجنوب (مصفى الشعيبة نموذجا).
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- Economic Sciences, 2024, v. 19, n. 72, p. 16
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DÖVİZ KURU (ABD DOLARI) İLE FAİZ ORANLARI ARASINDAKİ NEDENSELLİK İLİŞKİSİNİN KAOS VERİLERİ KULLANILARAK TEST EDİLMESİ.
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- Omer Halisdemir Universitesi Iktisadi ve Idari Bilimler Fakültesi Dergisi, 2025, v. 18, n. 1, p. 525, doi. 10.25287/ohuiibf.1539725
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تحليل أثر العوامل الكلية على أداء مؤشر سوق العراق للأوراق المالية وفق منهجية ARDL.
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- Economic Sciences, 2023, v. 18, n. 71, p. 109
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- Article
Evaluation of Companies: Theories, Process and Methods.
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- Mercados y Negocios, 2025, v. 26, n. 54, p. 123, doi. 10.32870/myn.vi54.7821
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- Article
Dynamic deposit behaviours in IRRBB: Enhancing risk management through sensitivity analysis.
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- Journal of Risk Management in Financial Institutions, 2025, v. 18, n. 2, p. 134, doi. 10.69554/pwtd6508
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تضخم الدين العام وسياسة ضبط أسعار الفائدة في الأردن.
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- Omran for Social Sciences, 2025, v. 13, n. 51, p. 129, doi. 10.31430/GYKH6465
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PERCEPTION OF PUBLIC INSECURITY AND HOUSING PRICES IN MEXICO.
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- Investigación Económica, 2024, v. 84, n. 331, p. 65, doi. 10.22201/fe.01851667p.2025.331.90270
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- Article
An Optimization Model in Commodity Mode Choice Transportation System.
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- Journal of Civil Engineering & Materials Application, 2024, v. 8, n. 3, p. 155, doi. 10.22034/jcema.2024.212504
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Income diversification and liquidity risk in ASEAN-5 banks: A Bayesian perspective.
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- PLoS ONE, 2025, v. 20, n. 3, p. 1, doi. 10.1371/journal.pone.0316949
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- Article
ASSESSING THE IMPACT OF FISCAL FREEDOM AND THE RULE OF LAW UPON OUTPUT GROWTH IN SOME CENTRAL AND EASTERN EUROPEAN COUNTRIES.
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- Technology Audit & Production Reserves, 2025, v. 1, n. 4(81), p. 61, doi. 10.15587/2706-5448.2025.322824
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- Article
ASSESSING THE IMPACT OF FISCAL FREEDOM AND THE RULE OF LAW UPON OUTPUT GROWTH IN SOME CENTRAL AND EASTERN EUROPEAN COUNTRIES.
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- Technology Audit & Production Reserves, 2025, v. 1, n. 1(81), p. 61, doi. 10.15587/2706-5448.2025.322824
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Efectos de la política monetaria con metas de inflación en los retornos del mercado bursátil.
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- Lecturas de Economia, 2024, n. 102, p. 203, doi. 10.17533/udea.le.n102a354263
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Methodological Principles of Simulating Asymmetrical Volatility of Corporate Credit Market Dynamics.
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- Accounting & Finance / Oblìk ì Fìnansi, 2024, v. 105, n. 3, p. 75, doi. 10.33146/2307-9878-2024-3(105)-75-86
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My Time in the Reagan Administration.
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- Independent Review, 2025, v. 29, n. 4, p. 693
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Brazilian Selic Rate Forecasting with Deep Neural Networks: Brazilian Selic Rate Forecasting with Deep Neural Networks: R. Moreira et al.
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- Computational Economics, 2025, v. 65, n. 3, p. 1319, doi. 10.1007/s10614-024-10597-2
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What the Federal Reserve Cutting Cycle Means for Physicians.
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- Healio Gastroenterology, 2025, v. 11, n. 2, p. 33
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- Article