Economics Department Working Papers by cross

Economics Department Working Papers by cross country analysis
The papers are in PDF format, and may be downloaded for free.
Note: The views expressed in these papers are those of the author[s] and do not necessarily
reflect those of the OECD or of the governments of its Member countries.
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2017
1399. Insolvency Regimes, Zombie Firms and Capital Reallocation
Müge Adalet McGowan, Dan Andrews and Valentine Millot
1398. The fall in real long-term government bond yields: Disentangling different drivers
Łukasz Rawdanowicz, Mohamed Hammouch and Makoto Kasai
1396. Financial re-regulation since the global crisis? An index-based assessment
Oliver Denk and Gabriel Gomes
1393. Regulation, institutions and productivity: new macroeconomic evidence from OECD
countries
Balázs Égert
1392. Regulation, institutions and aggregate investment: new evidence from OECD countries
Balázs Égert
1385. A revised approach to productivity convergence in long-term scenarios
Yvan Guillemette, Alexandre Kopoin, David Turner and Andrea De Mauro
1384. A revised approach to trend employment projections in long-term scenarios
Maria Chiara Cavalleri and Yvan Guillemette
1379. Foreign Direct Investment and The Pollution Haven Hypothesis
Grégoire Garsous, Tomasz Kozluk
1378. Energy prices, environmental policies and investment
Dennis Dlugosch, Tomasz Kozluk
1375. Local taxation, land use regulation, and land use: A survey of the evidence
Hansjörg Blöchliger, Christian Hilber, Olivier Schöni and Maximilian von Ehrlich
1374. Finance and productivity: A literature review
Mark Heil
1373. Decoupling of wages from productivity: Macro-level facts
Cyrille Schwellnus, Andreas Kappeler and Pierre-Alain Pionnier
1372. The Walking Dead? Zombie Firms and Productivity Performance in OECD Countries
Müge Adalet McGowan, Dan Andrews and Valentine Millot
2016
1
1361. International tax planning and fixed investment
Stéphane Sorbe and Åsa Johansson
1360. Innovation, patent location and tax planning by multinationals
Øystein Bieltvedt Skeie, Åsa Johansson, Carlo Menon and Stéphane Sorbe
1359. International differences in corporate taxation, foreign direct investment and tax
revenue
Øystein Bieltvedt Skeie
1358. International tax planning, competition and market structure
Stéphane Sorbe and Åsa Johansson
1357. Debt and tax planning by multinationals
Stéphane Sorbe, Åsa Johansson and Øystein Bieltvedt Skeie
1356. Anti-avoidance rules against international tax planning: A classification
Åsa Johansson, Øystein Bieltvedt Skeie and Stéphane Sorbe
1355. Tax planning by multinational firms: Firm-level evidence from a cross-country
database
Åsa Johansson, Øystein Bieltvedt Skeie, Stéphane Sorbe and Carlo Menon
1354. The quantification of structural reforms in OECD countries: a new framework
Balázs Égert and Peter Gal
1353. Coping with creative destruction: reducing the costs of firm exit
Dan Andrews and Alessandro Saia
1352. A re-assessment of fiscal space in OECD countries
Jarmila Botev, Jean-Marc Fournier and Annabelle Mourougane
1351. Can an increase in public investment sustainably lift economic growth?
Annabelle Mourougane, Jarmila Botev, Jean-Marc Fournier, Nigel Pain and Elena Rusticelli
1350. The ins and outs of employment in 25 OECD countries
Paula Garda
1349. How do product market regulations affect workers? Evidence from the network
industries
By Oliver Denk
1348. Effects of Flexibility-Enhancing Reforms on Employment Transitions
By Boris Cournède, Oliver Denk and Paula Garda
1347. The positive effect of public investment on potential growth
By Jean-Marc Fournier
1346. Public finance, economic growth and Inequality: A survey of the evidence
By Åsa Johansson
1345. Trends in public finance: Insights from a new detailed dataset
2
Debbie Bloch, Jean Marc Fournier, Duarte Gonçalves and Álvaro Pina
1344. The effect of the size and the mix of public spending on growth and inequality
Jean-Marc Fournier and Åsa Johansson
1343. The distribution of the growth dividends
Mikkel Hermansen, Nicolas Ruiz and Orsetta Causa
1342. The distributional impact of structural reforms
Orsetta Causa, Mikkel Hermansen and Nicolas Ruiz
1340. Can reforms promoting growth increase financial fragility? An empirical assessment
Aida Caldera Sánchez and Filippo Gori
1339. How do policies influence GDP tail risks?
Aida Caldera Sánchez and Oliver Röhn
1336. The use of models in producing OECD macroeconomic forecasts
David Turner
1335. The estimation of financial conditions indices for the major OECD countries
E. Philip Davis, Simon Kirby and James Warren
1331. Fiscal decentralisation and income inequality: empirical evidence from OECD countries
Sibylle Stossberg, David Bartolini and Hansjörg Blöchliger
1330. Fiscal decentralisation and regional disparities
David Bartolini, Sibylle Stossberg and Hansjörg Blöchliger
1329. Regional GDP in OECD countries: how has inequality developed over time?
Felix Arnold and Hansjörg Blöchliger
1313. Forecasting GDP during and after the Great Recession: a contest between small-scale
bridge and large-scale dynamic factor models
Patrice Ollivaud, Pierre-Alain Pionnier, Elena Rusticelli, Cyrille Schwellnus and Seung-Hee Koh
1311. The short-term impact of product market reforms: a cross-country firm-level analysis
Peter Gal and Alexander Hijzen
1309. Insolvency regimes and productivity growth: a framework for analysis
Müge Adalet McGowan and Dan Andrews
1311. The short-term impact of product market reforms: a cross-country firm-level analysis
Peter Gal and Alexander Hijzen
1309. Insolvency regimes and productivity growth: a framework for analysis
Müge Adalet McGowan and Dan Andrews
1304. Links between weak investment and the slowdown in productivity and potential output
growth across the OECD
Patrice Ollivaud, Yvan Guillemette and David Turner
3
1303. Regulations in services sectors and their impact on downstream industries: the OECD
2013 REGIMPACT indicator
Balázs Égert and Isabelle Wanner
1297. Reforming in a difficult macroeconomic context: a review of the issues and recent
literature
Aida Caldera Sánchez, Alain de Serres and Naomitsu Yashiro
1296. Regulatory management practices in OECD countries
Isabell Koske, Faisal Naru, Philipp Beiter and Isabelle Wanner
1294. An investigation into improving real-time reliability of OECD Output Gap estimates
David Turner, Maria Chiara Cavalleri, Yvan Guillemette, Alexandre Kopoin, Patrice Ollivaud
and Elena Rusticelli
1283. The drivers of public health spending: integrating policies and institutions
Christine de la Maisonneuve, Rodrigo Moreno-Serra, Fabrice Murtin and
Joaquim Oliveira Martins
1282. Do environmental policies affect global value chains? A new perspective on the
pollution haven hypothesis
Tomasz Koźluk and Christina Timiliotis
1281. Monetary policy and inequality
Rory O’Farrell, Łukasz Rawdanowicz, Kei-Ichiro Inaba
1278. Public spending efficiency in the OECD: benchmarking health care, education and
general administration
Richard Dutu and Patrizio Sicari
1277. Household debt in OECD countries: stylised facts and policy issues
Christophe André
2015
1275. Adjusting fiscal balances for the business cycle: new tax and expenditure elasticity
estimates for OECD countries
Robert W.R. Price, Thai-Thanh Dang and Jarmila Botev
1274. Who are the top 1% earners in Europe?
Oliver Denk
1271. The macroeconomic impact of structural policies on labour market outcomes in OECD
countries: a reassessment
Peter Gal and Adam Theising
1268. The negative effect of regulatory divergence on foreign direct investment
Jean-Marc Fournier
1265. What do household surveys suggest about the top 1% incomes and inequality in OECD
countries?
4
Nicolas Ruiz and Nicolas Woloszko
1264. The costs of flexibility-enhancing structural reforms: a literature review
Tito Boeri, Pierre Cahuc and André Zylberberg
1251. Economic resilience: what role for policies?
Aida Caldera Sánchez, Morten Rasmussen and Oliver Röhn
1250. Economic resilience: the usefulness of early warning indicators in OECD countries
Mikkel Hermansen and Oliver Röhn
1249. Economic resilience: a new set of vulnerability indicators for OECD countries
Oliver Röhn, Aida Caldera Sánchez, Mikkel Hermansen and Morten Rasmussen
1248. Fiscal constitutions: an empirical assessment
Hansjörg Blöchliger and Jaroslaw Kantorowicz
1238. Productivity spillovers from the global frontier and public policy: industry level
evidence
Alessandro Saia, Dan Andrews and Silvia Albrizio
1237. The stabilisation properties of immovable property taxation: evidence from OECD
countries
Hansjörg Blöchliger, Balász Égert, Bastien Alvarez and Aleksandra Paciorek
1231. Incorporating anchored inflation expectations in the Phillips Curve and in the derivation
of OECD measures of equilibrium unemployment
Elena Rusticelli, David Turner and Maria Chiara Cavalleri
1230. Macroeconomic uncertainties, prudent debt targets and fiscal rules
Falilou Fall and Jean-Marc Fournier
1229. Limits to government debt sustainability
Jean-Marc Fournier and Falilou Fall
1228. Government debt indicators: understanding the data
Debbie Bloch and Falilou Fall
1226. Household finance and income inequality in the euro area
Oliver Denk and Alexandre Cazenave-Lacroutz
1225. Financial sector pay and labour income inequality: evidence from Europe
Oliver Denk
1224. Finance and income inequality in OECD countries
Oliver Denk and Boris Cournède
1223. Finance and economic growth in OECD and G20 countries
Boris Cournède and Oliver Denk
1222. What impedes household investment in energy efficiency and renewable energy?
Nadia Ameli and Nicola Brandt
5
1216. Does the post-crisis weakness of global trade solely reflect weak demand?
By Patrice Ollivaud and Cyrille Schwellnus
1210. Skill mismatch and public policy in OECD countries
Müge Adalet McGowan and Dan Andrews
1209. Labour market mismatch and labour productivity: evidence from PIAAC data
Müge Adalet McGowan and Dan Andrews
1205. Reforming the tax on immovable property: taking care of the unloved
Hansjörg Blöchliger
1201. Effects of economic policies on microeconomic stability
Boris Cournède, Paula Garda and Volker Ziemann
1200. The 2013 update of the OECD’s database on product market regulation – policy
insights for OECD and non-OECD countries
Isabell Koske, Isabelle Wanner, Rosamaria Bitetti and Omar Barbiero
1190. The changing role of the exchange rate for macroeconomic adjustment
Patrice Ollivaud, Elena Rusticelli and Cyrille Schwellnus
1187. The conduct of monetary policy in the future: instrument use
By Kei-Ichiro Inaba, Rory O’Farrell, Łukasz Rawdanowicz and Ane Kathrine Christensen
2014
1180. Can pro-growth policies lift all boats? An analysis based on household disposable
income
Orsetta Causa, Alain de Serres and Nicolas Ruiz
1179. Empirical evidence on the effects of environmental policy stringency on productivity
growth
Silvia Albrizio, Tomasz Koźluk and Vera Zipperer
1178. The indicators of the economic burdens of environmental policy design – results from
the OECD questionnaire
Tomasz Koźluk
1177. Measuring environmental policy stringency in OECD countries - a composite index
approach
Enrico Botta and Tomasz Koźluk
1176. Do environmental policies matter for productivity growth? Insights from new crosscountry measures of environmental policies
Silvia Albrizio, Enrico Botta, Tomasz Koźluk and Vera Zipperer
1174. New tax and expenditure elasticity estimates for EU budget surveillance
Robert W.R. Price, Thai-Thanh Dang and Yvan Guillemette
1171. The internet economy – regulatory challenges and practices
Isabell Koske, Rosamaria Bitetti, Isabelle Wanner and Ewan Sutherland
6
1169. Secular stagnation: evidence and implications for economic policy
Łukasz Rawdanowicz, Romain Bouis, Kei-Ichiro Inaba and Ane Kathrine Christensen
1168. Investment gaps after the crisis
Christine Lewis, Nigel Pain, Jan Strasky and Fusako Menkyna
1167. Factors behind the decline in real long-term government bond yields
Romain Bouis, Kei-Ichiro Inaba, Łukasz Rawdanowicz and Ane Kathrine Christensen
1166. The effect of the global financial crisis on the OECD potential output
Patrice Ollivaud and David Turner
1165. Determinants of households’ investment in energy efficiency and renewables
- evidence from the OECD Survey on household environmental behaviour and attitudes
Nadia Ameli and Nicola Brandt
1154. Productivity measurement with natural capital and bad outputs
Nicola Brandt, Paul Schreyer and Vera Zipperer
1149. Taxing the rent of non-renewable resource sectors: a theoretical note
Julien Daubanes and Saraly Andrade de Sá
1148. Health, work and working conditions: a review of the European economic literature
Thomas Barnay
1142. Trade patterns in the 2060 world economy
Jean Chateau, Lionel Fontagné, Jean Fouré, Åsa Johansson and Eduardo Olaberria
1141. The demand for skills 1995-2008: a global supply chain perspective
Bart Los, Marcel P. Timmer and Gaaitzen J. De Vries
1140. International migration: the relationship with economic and policy factors in the home
and destination country
Ben Westmore
1139. Gross earning inequalities in OECD countries and major non-member economies:
determinants and future scenarios
Henrik Braconier and Jenifer Ruiz Valenzuela
1138. Determinants of tertiary graduations
Henrik Braconier
1137. Managerial capital and business R&D as enablers of productivity convergence
Dan Andrews and Ben Westmore
1136. Long-term patterns of trade and specialisation
Åsa Johansson and Eduardo Olaberria
1135. Consequences of climate change damages for economic growth – a dynamic
quantitative assessment
Rob Dellink, Elisa Lanzi, Jean Chateau, Francesco Bosello, Ramiro Parrado and Kelly de Bruin
7
1134. Comparing the robustness of PAYG pension schemes
Falilou Fall
1133. Overcoming vulnerabilities of pension systems
Falilou Fall and Debbie Bloch
1132. Overcoming vulnerabilities of health care systems
Mauro Pisu
1131. Overcoming vulnerability of unemployment insurance schemes
Jon Pareliussen
1130. Vulnerability of social institutions: lessons from the recent crisis and historical episodes
Falilou Fall, Mauro Pisu, Jon Pareliussen and Debbie Bloch
1129. An update of the OECD international trade equations
Myriam Morin and Cyrille Schwellnus
1128. What explains the volume and composition of trade? Industrial evidence from a panel
of countries
Åsa Johansson, Przemyslaw Kowalski, Eduardo Olaberría and Dario Pellegrino
1127. Do resources flow to patenting firms? Cross-country evidence from firm level data
Dan Andrews, Chiara Criscuolo and Carlo Menon
1116. Spillover effects from exiting higher expansionary monetary policies
Lukasz Rawdanowicz, Romain Bouis, Jérôme Brezillon, Ane Kathrine Christensen and
Kei-Ichiro Inaba
1115. Economic policies and microeconomic stability: a literature review and some empirics
Paula Garda and Volker Ziemann
1112. New evidence on the determinants of industrial specialisation
Asa Johansson and Eduardo Olaberria
1111. Economic growth from the household perspective: GDP and income distribution
developments across OECD countries
Orsetta Causa, Sonia Araujo, Agnès Cavaciuti, Nicolas Ruiz and Zuzana Smidova
1110. Would a growth slowdown in emerging markets spill over to high-income countries? A
quantitative assessment
Patrice Ollivaud, Elena Rusticelli and Cyrille Schwellnus
1109. Short-term indicator models for quarterly GDP Growth in the BRIICS: a small-scale
bridge model approach
Thomas Chalaux and Cyrille Schwellnus
1108. The prudential regulation of financial institutions: why regulatory responses to the
crisis might not prove sufficient
William R. White
1107. OECD forecasts during and after the financial crisis: a post mortem
Nigel Pain, Christine Lewis, Thai-Thanh Dang, Yosuke Jin and Pete Richardson
8
2013
1104. New indicators of competition law and policy in 2013 for OECD and non-OECD
countries
Enrico Alemani, Caroline Klein, Isabell Koske, Cristiana Vitale and Isabelle Wanner
1103. The effect of government debt, external debt and their interaction on OECD interest
rates
David Turner and Francesca Spinelli
1102. The state of the banking sector in Europe
Dirk Schoenmaker and Toon Peek
1100. New econometric estimates of long-term growth effects of different areas of public
spending
Omar Barbiero and Boris Cournède
1099. Cross-country spillovers from fiscal consolidations
Antoine Goujard
1097. Capacity needs in the automobile industry in the short- to medium run
Caroline Klein and Isabell Koske
1096. Environmental policies and productivity growth - a critical review of empirical findings
Tomasz Koźluk and Vera Zipperer
1092. Productivity measurement with natural capital
Nicola Brandt, Paul Schreyer and Vera Zipperer
1091. Growth-promoting policies and macroeconomic stability
Douglas Sutherland and Peter Hoeller
1091. Growth-promoting policies and macroeconomic stability
Douglas Sutherland and Peter Hoeller
1089. Fiscal devaluation – can it help to boost competitiveness?
Isabell Koske
1088. How to achieve growth- and equity-friendly fiscal consolidation? A proposed
methodology for instrument choice with an illustrative application to OECD countries
Boris Cournède, Antoine Goujard and Álvaro Pina
1082. The benefits and costs of highly expansionary monetary policy
By Łukasz Rawdanowicz, Romain Bouis and Shingo Watanabe
1081. The effectiveness of monetary policy since the onset of the financial crisis
By Romain Bouis, Łukasz Rawdanowicz, Jean-Paul Renne, Shingo Watanabe and Ane
Kathrine Christensen
1077. Deleveraging: challenges, progress and policies
By Romain Bouis, Ane Kathrine Christensen and Boris Cournède
9
1075. Do structural policies affect macroeconomic stability?
By Volker Ziemann
1073. Road connectivity and the border effect: evidence from Europe
Henrik Braconier and Mauro Pisu
1072. Fiscal consolidation across government levels. Part 3: Intergovernmental grants, proor counter-cyclical?
Hansjörg Blöchliger and Balázs Égert
1071. Fiscal consolidation across government levels. Part 2: Fiscal rules for sub-central
governments, update of the institutional indicator
Kaja Fredriksen
1070. Fiscal consolidation across government levels. Part 1: How much, what policies?
Hansjörg Blöchliger
1062. The post-crisis narrowing of international imbalances – cyclical or durable?
Patrice Ollivaud and Cyrille Schwellnus
1060. The economics of civil justice: new cross-country data and empirics
G. Palumbo, G. Giupponi, L. Nunziata and J. Mora-Sanguinetti
1055. The 90% public debt threshold: the rise and fall of a stylised fact
Balázs Égert
1051. Fiscal federalism and its impact on economic activity, public investment and the
performance of educational systems
Hansjörg Blöchliger, Balázs Égert and Kaja Fredriksen
1049. Measuring total factor productivity at the firm level using OECD-ORBIS
Peter N. Gal
1048. A projection method for public health and long-term care expenditures
Christine de la Maisonneuve and Joaquim Oliveira Martins
1047. R&D, patenting and growth: the role of public policy
By Ben Westmore
1046. Knowledge-based capital, innovation and resource allocation
by Dan Andrews and Chiara Criscuolo
1035. Policy options to durably resolve euro area imbalances
By Yvan Guillemette and Dave Turner
1031. The price of oil – will it start rising again?
by Jean-Marc Fournier, Isabell Koske, Isabelle Wanner and Vera Zipperer
1026. Moving towards a single labour contract: pros, cons and mixed feelings
by Nicolas Lepage-Saucier, Juliette Schleich and Etienne Wasmer
1020. Do policies that reduce unemployment raise its volatility? Evidence from OECD
countries
10
by Alain de Serres and Fabrice Murtin
1016. The performance of road transport infrastructure and its links to policies
by Henrik Braconier, Mauro Pisu and Debra Bloch
1013. The Equity Implications of Fiscal Consolidation
by Lukasz Rawdanowicz, Eckhard Wurzel, Ane Kathrine Christensen
11
2012
1006. Debt and macroeconomic stability: An overview of the literature and some empirics
by Douglas Sutherland and Peter Hoeller
1005. Debt and macroeconomic stability: Debt and the business cycle
by Volker Ziemann
1004. Debt and macroeconomic stability: Case studies
by Rossana Merola
1003. Debt and macroeconomic stability
by Douglas Sutherland, Peter Hoeller, Rossana Merola and Volker Ziemann
1000. Long-term growth scenarios
By Åsa Johansson, Yvan Guillemette, Fabrice Murtin, David Turner, Giuseppe Nicoletti,
Christine de la Maisonneuve, Philip Bagnoli, Guillaume Bousquet and Francesca Spinelli
996. Public policy and resource allocation: evidence from firms in OECD countries
By Dan Andrews and Federico Cingano
993. Public Debt, Economic Growth and Nonlinear Effects: Myth or Reality
By Balázs Égert
992. Choosing the pace of fiscal consolidation
By Lukasz Rawdanowicz
989. Intangible assets, resource allocation and growth: a framework for analysis
By Dan Andrews and Alain de Serres
980. Import competition, domestic regulation and firm-level productivity growth in the OECD
By Sarra Ben Yahmed and Sean Dougherty
979. Non-parametric stochastic simulations to investigate uncertainty around the OECD
indicator model forecasts
By Elena Rusticelli
978. Measuring GDP forecast uncertainty using quantile regressions
By Thomas Laurent and Tomasz Kozluk
977. Implications of output gap uncertainty in times of crisis
Romain Bouis, Boris Cournède and Ane Kathrine Christensen
976. Avoiding debt traps: financial backstops and structural reforms
By Pier Carlo Padoan, Urban Sila and Paul van den Noord
971. Credit crises and the shortcomings of traditional policy responses
By William R. White
970. International Capital Mobility and Financial Fragility
Part 7. Enhancing Financial Stability: Country-specific Evidence on Financial Account and
Structural Policy Positions
12
By Rudiger Ahrend and Carla Valdivia
969. International Capital Mobility and Financial Fragility
Part 6. Are all Forms of Financial Integration Equally Risky in Times of Financial Turmoil?
Asset Price Contagion during the Global Financial Crisis
By Rudiger Ahrend and Antoine Goujard
968. International Capital Mobility and Financial Fragility
Part 5. Do Investors Disproportionately Shed Assets of Distant Countries under Increased
Uncertainty? Evidence from the Global Financial Crisis
By Rudiger Ahrend and Cyrille Schwellnus
967. International capital mobility and financial fragility
Part 4. Which structural policies stabilise capital flows when investors suddenly change their
mind? Evidence from bilateral bank data
By Rudiger Ahrend, Cyrille Schwellnus
966. International Capital Mobility and Financial Fragility
Part 3. How do structural policies affect financial crisis risk? Evidence from past crises across
OECD and emerging economies
By Rudiger Ahrend and Antoine Goujard
956. Options for benchmarking infrastructure performance
By Mauro Pisu, Peter Hoeller and Isabelle Joumard
949. The short-term effects of structural reforms: an empirical analysis
By Romain Bouis, Orsetta Causa, Lilas Demmou, Romain Duval and Aleksandra Zdzienicka
948. Short-term gain or pain? A DSGE model-based analysis of the short-term effects of
structural reforms in labour and product markets
By Matteo Cacciatore, Romain Duval and Giuseppe Fiori
947. Do house prices impact consumption and interest rate? Evidence from OECD countries
using an agnostic identification procedure
By Christophe André, Rangan Gupta and Patrick T. Kanda
942. The impact of changes in second pension pillars on public finances in Central and
Eastern Europe
By Balázs Égert
938. The nature of financial and real business cycles: the great moderation and banking
sector pro-cyclicality
By Balázs Égert and Douglas Sutherland
937. Fiscal consolidation: Part 6. What are the best policy instruments for fiscal
consolidation?
By Robert P. Hagemann
936. Fiscal consolidation: Part 5. What factors determine the success of consolidation efforts?
By Margit Molnar
935. Fiscal consolidation: Part 4. Case studies of large fiscal consolidation episodes
By Hansjörg Blöchliger, Dae-Ho Song and Douglas Sutherland
13
934. Fiscal consolidation: Part 3. Long-run projections and fiscal gap calculations
By Rossana Merola and Douglas Sutherland
933. Fiscal consolidation: Part 2. Fiscal multipliers and fiscal consolidations
By Ray Barrell, Dawn Holland and Ian Hurst
932. Fiscal consolidation: Part 1. How much is needed and how to reduce debt to a prudent
level?
By Douglas Sutherland, Peter Hoeller and Rossana Merola
931. Less income inequality and more growth – Are they compatible? Part 8. The drivers of
labour income inequality – A literature review
By Rafal Kierzenkowski and Isabell Koske
930. Less income inequality and more growth – are they compatible? Part 7. The drivers of
labour earnings inequality – An analysis based on conditional and unconditional quantile
regressions
By Jean-Marc Fournier and Isabell Koske
929. Less income inequality and more growth – are they compatible? Part 6. The distribution
of wealth
by Kaja Bonesmo Fredriksen
928. Less income inequality and more growth – are they compatible? Part 5. Poverty in OECD
countries
By Mauro Pisu
927. Less income inequality and more growth – are they compatible? Part 4. Top incomes
By Peter Hoeller
926. Less income inequality and more growth – are they compatible? Part 3. Income
redistribution via taxes and transfers across OECD countries
By Isabelle Joumard, Mauro Pisu and Debbie Bloch
925. Less income inequality and more growth – are they compatible? Part 2. The distribution
of labour income
By Isabell Koske, Jean-Marc Fournier and Isabelle Wanner
924. Less income inequality and more growth – are they compatible? Part 1. Mapping income
inequality across the OECD
By Peter Hoeller, Isabelle Joumard, Mauro Pisu and Debbie Bloch
2011
923. Current issues in managing government debt and assets
By Łukasz Rawdanowicz, Eckhard Wurzel and Patrice Ollivaud
921. Exploring determinants of subjective wellbeing in OECD countries – evidence from the
World Value Survey
By Sarah Fleche, Conal Smith and Piritta Sorsa
919. Explaining the interest-rate-growth differential underlying government debt dynamics
14
By David Turner and Francesca Spinelli
918. Reassessing the NAIRUs after the crisis
By Stéphanie Guichard and Elena Rusticelli
916. Systemically important banks and capital regulation challenges
By Patrick Slovik
908. A welfare analysis of climate change mitigation policies
By Alain de Serres and Fabrice Murtin
903. The demand for safe assets in emerging economies and global imbalances: new
empirical evidence
By Rudiger Ahrend and Cyrille Schwellnus
902. Drivers of Systemic Banking Crises: the Role of Bank-Balance-Sheet Contagion and
Financial Account Structure
By Rudiger Ahrend and Antoine Goujard
892 Has deregulation increased investment in infrastructure? Firm-level evidence from OECD
countries
By Sónia Araújo
887. The political economy of climate change mitigation policies: how to build a constituency
to address global warming?
By Alain de Serres, John Llewellyn and Preston Llewellyn
884. How institutions shape the distributive impact of macroeconomic shocks: a DSGE
analysis
By Rudiger Ahrend, Charlotte Moeser and Tommaso Monacelli
882. Predicting peaks and troughs in real house prices
By Linda Rousová and Paul van den Noord
877. The sharing of macroeconomic risk: who loses (and gains) from macroeconomic shocks
By Rudiger Ahrend, Jens Arnold and Charlotte Moeser
875. The effects of downturns on labour force participation: evidence and causes
By Romain Duval, Mehmet Eris and Davide Furceri
874. A dynamic factor model for world trade growth
By Stéphanie Guichard and Elena Rusticelli
873. Towards a better understanding of the informal economy
By Dan Andrews, Aida Caldera Sánchez and Åsa Johansson
872. Tax competition between sub-central governments
By Hansjörg Blöchliger and José-Maria Pinero-Campos
871. The growth effects of current account reversals: the role of macroeconomic policies
By Luiz de Mello, Pier Carlo Padoan and Linda Rousová
15
869. How important is wealth for explaining household consumption over the recent crisis?
An empirical study for the United States, Japan and the euro area
By Clovis Kerdrain
868. Adjusting fiscal balances for asset price cycles
By Robert Price and Thai-Thanh Dang
866. Understanding the recent surge in the accumulation of international reserves
By Petar Vujanovic
865. Episodes of large capital inflows and the likelihood of banking and currency crises and
sudden stops
By Davide Furceri, Stephanie Guichard and Elena Rusticelli
864. The effect of episodes of large capital inflows on domestic credit
By Davide Furceri, Stephanie Guichard and Elena Rusticelli
863. Medium-term determinants of international investment positions: the role of structural
policies
By Davide Furceri, Stephanie Guichard and Elena Rusticelli
860. Surveillance by international institutions: lessons from the global financial and economic
crisis
By Kumiharu Shigehara and Paul Atkinson
857. Policy frameworks in the post-crisis environment
By Nigel Pain and Oliver Röhn
856. Global imbalances, exchange rate pegs and capital flows: a closer look
By Paul van den Noord
854. What drives inflation in the major OECD economies?
By Diego Moccero, Shingo Watanabe and Boris Cournède
853. Mitigation potential of removing fossil fuel subsidies: a general equilibrium assessment
By J.M. Burniaux and J. Chateau
849. Drivers of homeownership rates in selected OECD countries
By Dan Andrews and Aida Caldera Sánchez
846. To move or not to move: what drives residential mobility rates in the OECD?
By Aida Caldera Sánchez and Dan Andrews
844. Macroeconomic Impact of Basel III
By Patrick Slovik and Boris Cournède
843. The policy and institutional drivers of economic growth across OECD and non-OECD
economies: new evidence from growth regressions
By Romain Bouis, Romain Duval, and Fabrice Murtin
837 The price responsiveness of housing supply in OECD countries
By Aida Caldera Sánchez, Åsa Johansson
16
836 Housing markets and structural policies in OECD countries
By Dan Andrews, Aida Caldera Sánchez, Åsa Johansson
835 Raising potential growth after the crisis: A quantitative assessment of the potential gains
from various structural reforms in the OECD area and beyond
By Romain Bouis and Romain Duval
834 The GDP impact of reform: a simple simulation framework
By Sebastian Barnes, Romain Bouis, Philippe Briard, Sean Dougherty, Mehmet Eris
2010
831. Real house prices in OECD countries: the role of demand shocks and structural and
policy factors
By Dan Andrews
830. International financial integration and the external positions of euro area countries
By Philip R. Lane
829. Improving fiscal performance through fiscal councils
By Robert Hagemann
828. Minimising risks from imbalances in European banking
By Sebastian Barnes, Philip Lane and Artur Radziwill
827. Resolving and avoiding unsustainable imbalances in the euro area
By Sebastian Barnes
826. Current account imbalances in the euro area: a comparative perspective
By Sebastian Barnes, Jeremy Lawson and Artur Radziwill
825. Does fiscal decentralisation strengthen social capital? Cross-country evidence and the
experiences of Brazil and Indonesia
By Luiz de Mello
824. Fiscal decentralisation and public investment: The experience of Latin America
By Luiz de Mello
817. The land transport sector: policy and performance
By Jan Persson and Daeho Song
816 A Simple Model of the Relationship Between Productivity, Saving and the Current
Account
By Jean-Marc Fournier, Isabell Koske
815 The Impact of Structural Policies on Saving, Investment and Current Accounts
Clovis Kerdrain, Isabell Koske, Isabelle Wanner
813. Are global imbalances sustainable? Shedding further light on the causes of current
account reversals
By Luiz de Mello, Pier Carlo Padoan, Linda Rousová
17
811 Trade linkages in the OECD trade system
See also: trade matrices in excel
By Jérôme Brézillon, Stéphanie Guichard and Dave Turner
803. Public-Private Partnerships and Investment in Infrastructure
By Sónia Araújo and Douglas Sutherland
801. The Consequences of Banking Crises for Public Debt
By Davide Furceri and Aleksandra Zdzienicka
799. Product Market Regulation
By Anita Wölfl, Isabelle Wanner, Oliver Röhn and Giuseppe Nicoletti
795. Are Global Imbalances Sustainable?
By Luiz de Mello and Pier Carlo Padoan
794. Is there a Case for Carbon-Based Border Tax Adjustment?
By Jean-Marc Burniaux, Jean Chateau and Romain Duval
793. Promoting Potential Growth: The role of structural reform
By Luiz de Mello and Pier Carlo Padoan
792. Catching-up and Inflation in Europe: Balassa-Samuelson, Engel’s law and other culprits
By Balázs Égert
791. Do Product Market Regulations in Upstream Sectors Curb Productivity Growth? Panel
data evidence for OECD countries
by Renaud Bourlès, Gilbert Cette, Jimmy Lopez, Jacques Mairesse & Giuseppe Nicoletti
789. Gauging the Impact of Higher Capital and Oil Costs on Potential Output
By Boris Cournède
779. European Energy Policy and the Transition to a Low–Carbon Economy
by Jeremy Lawson
776. The Political Economy of Fiscal Consolidation
by Robert Price
775. Structural and Cyclical Factors behind Current-Account Balances
by Calista Cheung, Davide Furceri and Elena Rusticelli
774. A Framework for Assessing Green Growth Policies
by Alain de Serres, Fabrice Murtin and Giusepppe Nicoletti
773. Modeling Institutions, Start-ups and Productivity during Transition
by Zuzana Brixiova and Balázs Égert
772. Can Emerging Asset Price Bubbles be Detected?
by Jesús Crespo Cuaresma
771. The nature of financial and real business cycles
by Balázs Égert
18
770. Can Emerging Asset Price Bubbles be Detected?
by Davide Furceri and Annabelle Mourougane
769. Health Care Systems: efficiency and institutions
by Isabelle Joumard, Christophe André and Chantal Nicq
768 The OECD’s New Global Model
by Karine Hervé, Nigel Pain, Pete Richardson, Franck Sédillot and Pierre-Olivier Beffy
767 Assessing the Impact of the Financial Crisis on Structural Unemployment in OECD
Countries
Stéphanie Guichard and Elena Rusticelli
765 Optimal Monetary and Fiscal Stabilisation Policies
By Klaus Adam
764 Asset Prices and Real Economic Activity
By E. Philip Davis
763 Fiscal Policy Reaction to the Cycle in the OECD: Pro- or counter-cyclical?
By Balázs Égert
762 New Evidence on the Private Saving Offset and Ricardian Equivalence
By Oliver Röhn
761 Monetary Policy Reaction Functions in the OECD
By Douglas Sutherland
760 Counter-cyclical Economic Policy
by Douglas Sutherland, Peter Hoeller, Balázs Égert and Oliver Roehn
757 Advancing Structural Reforms in OECD Countries: Lessons from twenty case studies
by William Tompson and Thai-Thanh Dang
756 Labour markets and the crisis
755 Long-term growth and policy challenges in the large emerging economies
by Paul Conway, Sean Dougherty and Artur Radziwill
753 Monetary Policy Responses to the Crisis and Exit Strategies
Makoto Minegishi and Boris Cournède
752 Sub-central Governments and the Economic Crisis: Impact and policy responses
Hansjörg Blöchliger, Claire Charbit, José Maria Pinero Campos and Camila Vammalle
746 A Bird's Eye View of OECD Housing Markets
By Christophe Andre
745 The Automobile Industry in and Beyond the Crisis
by David Haugh, Annabelle Mourougane and Olivier Chatal
2009
19
737 Recent Oil Price Movements– Forces and Policy Issues
By Eckhard Wurzel, Luke Willard and Patrice Ollivaud
735 Prudential regulation and competition in financial markets
By Rüdiger Ahrend, Jens Arnold and Fabrice Murtin
730 How do institutions affect structural unemployment in times of crises?
By Davide Furceri & Annabelle Mourougane
0B
729 Understanding the world trade collapse
By Calista Cheung and Stéphanie Guichard
724 The role of transparency in the conduct of monetary policy
By Makoto Minegisi et Boris Cournède
721 Is there a case for price-level targeting?
By Boris Cournède and Diego Moccero
H
718 What drives sovereign risk premiums? An analysis of recent evidence from the Euro Area
By David Haugh, Patrice Ollivaud, and David Turner
H
715 Economic growth and the role of taxation- Disaggregate data
By Gareth D. Myles, University of Exeter and Institute for Fiscal Studies
H
714 Economic growth and the role of taxation – Aggregate data
By Gareth D. Myles, University of Exeter and Institute for Fiscal Studies
H
713 Economic growth and the role of taxation – Theory
By Gareth D. Myles, University of Exeter and Institute for Fiscal Studies
H
709 Intergenerational social mobility in European OECD countries
By Orsetta Causa, Sophie Dantan and Åsa Johansson
H
708 Equity in student achievement across OECD countries: an investigation of the role of
policies
By Orsetta Causa and Catherine Chapuis
H
707 Intergenerational social mobility
By Orsetta Causa and Åsa Johansson
H
706 Taxes or grants: what revenue source for sub-central governments?
By Hansjörg Blöchliger and Oliver Petzold
H
705 The spending power of sub-central governments: A pilot study
By Steffen Bach, Hansjörg Blöchliger and Dominik Wallau
702 The incentives to participate in and the stability of international climate coalitions: a
game-theoretic approach using the WITCH Model
By Valentina Bosetti, Carlo Carraro, Enrica De Cian, Romain Duval, Emanuele Massetti and
Massimo Tavoni
20
701 The economics of climate change mitigation: how to build the necessary global action in
a cost-effective manner
By Jean-Marc Burniaux, Jean Chateau, Rob Dellink, Romain Duval and Stéphanie Jamet
700 Capital inflows, household debt and the boom bust cycle in Estonia
by Zuzana Brixiova, Laura Vartia and Andreas Wörgötter
699 The effect of financial crises on potential output: new empirical evidence from OECD
countries
By Davide Furceri and Annabelle Mourougane
698 Employment - productivity trade-off and labour composition
By Hervé Boulhol and Laure Turner
695 Ten years of product market reform in OECD countries – insights from a revised PMR
indicator
By Anita Wölfl, Isabelle Wanner, Tomasz Kozluk and Giuseppe Nicoletti
694 Structural reforms and the benefits of the enlarged EU internal market: Much achieved
and much to do
By Jens Arnold, Peter Höller, Margaret Morgan and Andreas Wörgötter
693 Co-benefits of climate change mitigation policies: literature review and new results
By Johannes Bollen, Bruno Guay, Stéphanie Jamet and Jan Corfee-Morlot
691 Assessing the impacts of climate change: a literature review
By Stéphanie Jamet and Jan Corfee-Morlot
689 Inflation responses to recent shocks: do G7 countries behave differently?
By Lukas Vogel, Elena Rusticelli, Pete Richardson, Stéphanie Guichard and Christian Gianella
688 Infrastructure investment in network industries: the role of incentive regulation and
regulatory independence
By Balázs Égert
687 Government consumption volatility and the size of nations
By Davide Furceri and Marcos Poplawski Ribeiro
686
Infrastructure
investment:
links
to
growth
and
the
policieshttp://www.olis.oecd.org/olis/2009doc.nsf/linkto/eco-wkp(2009)24
By Douglas Sutherland, Sonia Araujo, Balázs Égert and Tomasz Koźluk
role
of
public
H
685 Infrastructure and growth: empirical evidence
By Balázs Égert and Tomasz Kozluk and Douglas Sutherland
684 The effects of population structure on employment and productivity
By Hervé Boulhol
683 The Macroeconomic Consequences of Banking Crises in OECD Countries
By David Haugh, Patrice Ollivaud and David Turner
679 Do Latin American central bankers behave non linearly? The experiences of Brazil, Chile,
Colombia and Mexico
21
By Luiz de Mello, Diego Moccero and Matteo Mogliani
677 Quantifying the effect of financial conditions in the euro area, Japan, United Kingdom
and United States
By Stéphanie Guichard, David Haugh and David Turner
H
676 Taking stock of existing structural policy and outcome indicators
By Davide Furceri and Annabelle Mourougane
675 Stabilization Effects of Social Spending: Empirical Evidence from a Panel of OECD
Countries
By Davide Furceri
674 Fiscal Convergence, Business Cycle Volatility and Growth
By Davide Furceri
670 Financial market stability in the European Union: Enhancing regulation and supervision
By Jeremy Lawson, Sebastian Barnes and Marte Sollie
668 Financial crises: past lessons and policy implications
By Davide Furceri and Annabelle Mourougane
664 The role of R&D and technology diffusion in climate change mitigation: new perspectives
using the WITCH Model
By Valentina Bosetti, Carlo Carraro, Romain Duval, Alessandra Sgobbi and Massimo Tavoni
H
H
663 Long-run GDP growth framework and scenarios for the world economy
By Romain Duval and Christine de la Maisonneuve
H
H
2008
659: Fiscal policy responsiveness, persistence, and discretion
By António Afonso, Luca Agnello and Davide Furceri
H
658: The economics of climate change mitigation: policies and options for the future
By Jean-Marc Burniaux, Jean Chateau, Romain Duval and Stéphanie Jamet
H
H
656: How do taxes affect investment and productivity? - An industry-level analysis of OECD
countries
By Laura Vartia
655: Strategies for countries with favourable fiscal positions
By Robert Price, Isabelle Joumard, Christophe André and Makoto Minegishi
H
H
H
H
H
654: Monetary transmission mechanism in Central and Eastern Europe: Surveying the
surveyable
By Balázs Égert and Ronald MacDonald
H
H
653: An Overview of the OECD ENV-Linkages model
By Jean-Marc Burniaux and Jean Chateau
22
649: What Drives the NAIRU? Evidence from a Panel of OECD Countries
By Christian Gianella, Isabell Koske, Elena Rusticelli and Olivier Chatal
648: Short-term distributional effects of structural reforms: selected simulations in a DGSE
framework
By Annabelle Mourougane and Lukas Vogel
H
H
647: Speed of adjustment to selected labour market and tax reforms
By Annabelle Mourougane and Lukas Vogel
H
H
643: Do tax structures affect aggregate economic growth? Empirical evidence from a panel of
OECD countries
By Jens Arnold
H
642: Accounting for one-off operations when assessing underlying fiscal positions
By Isabelle Joumard, Makoto Minegishi, Christophe André, Chantal Nicq and Robert Price
H
H
H
H
641: Do corporate taxes reduce productivity and investment at the firm level? Cross-country
evidence from the Amadeus dataset
By Cyrille Schwellnus and Jens Arnold
H
636:A taxonomy of instruments to reduce greenhouse gas emissions and their interactions
By Romain Duval
H
634: Have long-term financial trends changed the transmission of monetary policy?
By Boris Cournède, Rudiger Ahrend, and Robert Price
H
H
H
H
628: Recent trends and structural breaks in US and EU15 labour productivity growth
By Laure Turner and Hervé Boulhol
H
627: Health status determinants: lifestyle, environment, health care resources and efficiency
By Isabelle Joumard, Christophe André, Chantal Nicq and Olivier Chatal
H
H
H
H
626: Market Mechanisms in Public Service Provision
By Hansjörg Blöchliger
621: The usefulness of output gaps for policy analysis
By Isabell Koske and Nigel Pain
H
H
H
620: Taxation and Economic Growth
By Åsa Johansson, Christopher Heady, Jens Arnold, Bert Brys and Laura Vartia
H
H
619: Coping with labour shortages: How to bring outsiders back to the labour market
By Ekkehard Ernst
H
616: Regulation, allocative efficiency and productivity in OECD countries: industry and
firm-level evidence
By Jens Arnold, Giuseppe Nicoletti and Stefano Scarpetta
H
H
H
H
610: Have developed countries escaped the curse of distance?
by Hervé Boulhol, Alain de Serres
H
H
H
609: Measures of international transport cost for OECD countries
23
by Stephen S. Golub and Brian Tomasik
604: Avoiding the value added tax: Theory and cross country evidence
by Luiz de Mello. Published in Public Finance Review, Vol. 37, pp. 27-46, 2009
H
H
603: Oil Price Shocks, Rigidities and the Conduct of Monetary Policy: Some Lessons from a
New Keynesian Perspective
by Romain Duval and Lukas Vogel
H
H
602: The Contribution of Economic Geography to GDP Per Capita
By Hervé Boulhol, Alain de Serres and Margit Molnar
H
H
H
H
598: Revenue Buoyancy and its Fiscal Policy Implications
by Isabelle Joumard and Christophe André
H
H
H
H
597: Monetary Policy, Market Excesses and Financial Turmoil
by Rudiger Ahrend, Boris Cournède and Robert Price
H
H
H
H
H
H
596: Explaining differences in hours worked among OECD countries: an empirical analysis
by Orsetta Causa
H
593: Interdependencies between monetary policy and foreigh-exchange intervention under
inflation targeting: The case of Brazil and the Czech Republic
by Jean-Yves Gnabo, Luiz de Mello and Diego Moccero
H
H
H
2007
592: Solow or Lucas? Testing growth models using panel data from OECD countries
by Jens Arnold, Andrea Bassanini and Stefano Scarpetta
H
H
H
591: The private internal rates of return to tertiary education: new estimates for 21 OECD
countries
by Romina Boarini and Hubert Strauss
H
589: The wage premium on tertiary education: new estimates for 21 OECD countries
by Hubert Strauss and Christine de la Maisonneuve
H
586: Globalisation and the European Union: Which countries are best placed to cope?
by David Rae & Marte Sollie
H
583: Corporate net lending: A review of recent trends
by Christophe André, Stéphanie Guichard, Mike Kennedy and David Turner
H
H
H
H
H
581: Local government finances: The link between intergovernmental transfers and net
worth
by Luiz de Mello. Published in G.D. Ingram and Y.H. Hong (Eds.), Fiscal Decentralization and
Land Policies (Cambridge, MA: Lincoln Institute), 2008
H
H
H
576: The Policy Determinants of Investment in Tertiary Education
by Joaquim Oliveira Martins, Romina Boarini, Hubert Strauss,Christine de la Maisonneuve and
Clarice Saadi
H
575: Product Market Competition in the OECD Countries: Taking Stock and Moving Forward
by Jens Høj, Miguel Jimenez, Maria Maher, Giuseppe Nicoletti, and Michael Wise
24
H
573: How do the OECD growth projections for the G7 economies perform? A post-mortem
by Lukas Vogel
H
568: Competition Law and Policy Indicators for the OECD countries
by Jens Høj
H
567: Structural policies and economic resilience to shocks
by Romain Duval, Jørgen Elmeskov and Lukas Vogel
H
H
H
564: Integration of immigrants in OECD countries: do policies matter?
by Orsetta Causa and Sébastien Jean
H
563: The unemployment impact of immigration in OECD countries
by Sébastien Jean and Miguel Jiménez
H
562: Migration in OECD countries: labour market impact and integration issues
by Sébastien Jean, Orsetta Causa, Miguel Jimenez and Isabelle Wanner
H
561: The internationalisation of production, international outsourcing and employment in the
OECD
by Margit Molnar, Nigel Pain and Daria Taglioni
H
H
H
558: Linkages between performance and institutions in the primary and secondary education
sector
by Douglas Sutherland and Robert Price
H
H
H
H
555. Improving the efficiency of health care spending: selected evidence on hospital
performance
by Espen Erlandsen
H
H
554. Cross-country analysis of efficiency in OECD health care sectors: options for research
by Unto Häkkinen and Isabelle Joumard
H
553. What promotes fiscal consolidation: OECD country experiences
by Stéphanie Guichard, Mike Kennedy, Eckhard Wurzel and Christophe André
H
H
H
H
552. Globalisation and the Macroeconomic Policy Environment
by Karine Hervé, Isabell Koske, Nigel Pain and Franck Sédillot. May 2007
H
H
H
H
H
551. Why has core inflation remained so muted in the face of the oil shock?
by Paul van den Noord and Christophe André. April 2007
H
H
H
550. Housing markets and adjustments in monetary union
by Peter Hoeller and David Rae. April 2007
H
H
H
548. The political economy of delaying fiscal consolidation
Boris Cournède. March 2007
H
H
H
547. The impact on growth of higher efficiency of public spending on schools
Frédéric Gonand. March 2007
H
25
H
546. Performance indicators for public spending efficiency in primary and secondary
education
Douglas Sutherland, Robert Price, Isabelle Joumard and Chantal Nicq. February 2007
H
H
H
H
H
H
H
545. Monetary policy and macroeconomic stability in Latin America: The cases of Brazil,
Chile, Colombia and Mexico
Luiz de Mello and Diego Moccero. February 2007
H
543. Public spending efficiency: institutional indicators in primary and secondary educations
Frédéric Gonand, Isabelle Joumard and Robert Price. February 2007
H
H
H
H
H
540. Russian manufacturing and the threat of 'Dutch disease'. A comparison of
competitiveness developments in Russia and Ukrainian industry
Rudiger Ahrend, Donato De Rosa and William Tompson. January 2007
H
H
H
H
H
2006
535. Has the rise in debt made households more vulnerable?
Nathalie Girouard, Mike Kennedy and Christophe André. December 2006
H
H
H
530. Product market regulation in the non-manufacturing sectors of OECD countries:
measurement and highlights
Paul Conway and Giuseppe Nicoletti. December 2006
H
525. OECD's FDI regulatory restrictiveness index: Revision and extension to more economies
Takeshi Koyama and Stephen Golub. December 2006
H
524. Globalisation and inflation in the OECD economies
Nigel Pain, Isabell Koske and Marte Sollie. November 2006
H
H
H
H
H
522. Short-term pain for long-term gain: The impact of structural reform on fiscal outcomes
in EMU
Paul van den Noord and Boris Cournède. November 2006
H
H
H
521. Interactions between monetary and fiscal policy: How monetary conditions affect fiscal
consolidation
Rudiger Ahrend, Pietro Catte and Robert Price. November 2006
H
H
H
H
H
520. Restoring fiscal sustainability in the Euro Area: raise taxes or curb spending?
Boris Cournède and Frédéric Gonand. October 2006
H
H
H
519. Should measures of fiscal stance be adjusted for terms of trade effects?
David Turner. October 2006
H
518. Monetary policy and inflation expectations in Latin America: Long run effects and
volatility spillovers
Luiz de Mello and Diego Moccero. October 2006. Published in Journal of Money, Credit and
Banking, Vol. 41 (2009)
H
517. Social safety nets and structural adjustment
Paul van den Noord, Nathalie Girouard and Christophe André. October 2006
H
H
H
26
509. Regulation, competition and productivity convergence
Paul Conway, Donato De Rosa, Giuseppe Nicoletti and Faye Steiner. September 2006
This work has also been published in OECD Economic Studies No. 43/1 2007
H
506. Regulation of financial systems and economic growth
Alain de Serres, Shuji Kobayakawa, Torsten Sløk and Laura Vartia. August 2006
H
H
H
502. Taxation, business environment and FDI location in OECD countries
Dana Hajkova, Giuseppe Nicoletti, Laura Vartia and Kwang-Yeol Yoo. July 2006
This work has also been published in OECD Economic Studies No. 43/1 2007
H
501. The political economy of structural reform: Empirical evidence from OECD countries
Jens Høj, Vincenzo Galasso, Giuseppe Nicoletti and Thai-Thanh Dang. July 2006
This work has also been published in OECD Economic Studies No. 43/1 2007
H
500. Labour market performance, income inequality and poverty in OECD countries and
Annexes
Jean-Marc Burniaux, Flavio Padrini and Nicola Brandt. July 2006
H
494. The rates and revenue of bank transaction taxes
Jorge Baca-Campolonico, Luiz de Mello and Andrei Kirilenko. June 2006
H
493. Nothing ventured, nothing gained: The long-run fiscal reward of structural reforms
Peter Hoeller and Claude Giorno. June 2006
H
H
H
H
H
490. Factors behind low long-term interest rates
Rudiger Ahrend, Pietro Catte and Robert Price. June 2006
H
H
H
H
H
488. Are house prices nearing a peak? A probit analysis for 17 OECD countries
Paul van den Noord. June 2006
H
486. Employment patterns in OECD countries: reassessing the role of policies and institutions
Andrea Bassanini and Romain Duval. June 2006
H
H
H
484. Realising the oil supply potential of the CIS: the impact of institutions and policies
Rudiger Ahrend and William Tompson. May 2006
H
H
H
H
H
483. Summary of a workshop on global convergence scenarios: structural and policy issues
Nick Vanston (Rapporteur). May 2006
H
482. New OECD methods for supply-side and medium-term assessment: a capital services
approach
Pierre-Olivier Beffy, Patrice Ollivaud, Pete Richardson and Frank Sédillot. July 2006
H
H
H
477: Projecting OECD health and long-term care expenditures: What are the main drivers?
February 2006. This work has also been published as Oliveira Martins and de la Maisonneuve,
"The Drivers of Public Expenditure on Health and Long-Term Care: an Integrated Approach",
OECD Economic Studies, no. 42 2006
H
476: Alternative measures of well-being
Romina Boarini, Åsa Johansson and Marco Mira D'Ercole. February 2006
H
27
475: Recent house price developments: the role of fundamentals
Nathalie Girouard, Mike Kennedy, Paul van den Noord and Christophe André. January 2006
H
H
H
2005
472: Product market reforms and employment in OECD countries
Giuseppe Nicoletti and Stefano Scarpetta. December 2005
H
466: Is there a case for sophisticated balanced-budget rules
Antonio Fatás. December 2005
H
465: Fiscal rules for sub-central governments: design and impact
Douglas Sutherland, Robert Price and Isabelle Joumard. December 2005
H
H
H
H
H
H
H
464: Assessing the robustness of demographic projections in OECD countries
Frédéric Gonand. December 2005
H
463: The benefits of liberalising product markets and reducing barriers to international trade
and investment in the OECD
December 2005
H
461: Assessing the value of indicators of underlying inflation for monetary policy
Pietro Catte and Torsten Sløk. November 2005
H
460: Regulation and economic performance: product market reforms and productivity in the
OECD
Giuseppe Nicoletti and Stefano Scarpetta. November 2005
This work has also been published in Institutions, Development, and Economic Growth, (T.S.
Eicher and C. García-Peñalosa eds.), MIT Press, Cambridge, MA, 2006.
H
459: Innovation in the Business Sector
Florence Jaumotte and Nigel Pain. December 2005
H
H
H
458: From innovation development to implementation: evidence from the Community
Innovation Survey
Florence Jaumotte and Nigel Pain. December 2005
H
H
H
457: From ideas to development: the determination of R&D and patenting
Florence Jaumotte and Nigel Pain. December 2005
H
H
H
456: An overview of public policies to support innovation
Florence Jaumotte and Nigel Pain. December 2005
H
H
H
450: House prices and inflation in the Euro Area
Boris Cournède. October 2005
H
H
H
449: The EU's single market: at your service?
Line Vogt. October 2005
H
441: The labour market impact of rapid ageing of government employees: Some illustrative
scenarios
Jens Høj and Sylvie Toly. September 2005
H
28
440: The new OECD international trade model
Nigel Pain, Annabelle Mourougane, Franck Sédillot and Laurence Le Fouler. August 2005
H
H
H
H
H
438: The effects of EMU on structural reforms in labour and product markets
Romain Duval and Jørgen Elmeskov. July 2005
H
H
H
435: Sources of inflation persistence in the Euro Area
Boris Cournède, Alexandra Janovskaia and Paul van den Noord. July 2005
H
H
H
434: Measuring cyclically-adjusted budget balances for OECD countries
Nathalie Girouard and Christophe André. July 2005
H
H
H
432: The benefits of liberalising product markets and reducing barriers to international trade
and investment: the case of the United States and the European Union
June 2005
H
429: Assessing the OECD Jobs Strategy: Past developments and reforms and Annexes
Nicola Brandt, Jean-Marc Burniaux and Romain Duval. May 2005
H
H
H
427: The impact of structural policies on trade-related adjustment and the shift to services
Per Mathis Kongsrud and Isabelle Wanner. April 2005
H
420: The impact of ageing on demand, factor markets and growth
Joaquim Oliveira Martins, Frédéric Gonand, Pablo Antolin, Christine de la Maisonneuve and
Kwang-Yeol Yoo. March 2005
H
419: Product market regulation in OECD countries: 1998 to 2003
Paul Conway, Véronique Janod, Giuseppe Nicoletti. February 2005
H
417: Fiscal gimmickry in Europe: One-off measures and creative accounting
Vincent Koen and Paul van den Noord. February 2005. This work has also been published in
Wierts, P., S. Deroose, E. Flores and A. Turrini (eds), Fiscal Policy Surveillance in Europe,
Palgrave Macmillan, 2006.
H
H
H
415: Structural policy reforms and external imbalances
Mike Kennedy and Torsten Sløk. January 2005
H
29
2004
413: Product market competition and economic performance in Finland
Jens Høj and Michael Wise. December 2004
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412: Oil price developments: drivers, economic consequences and policy responses
Anne-Marie Brook, Robert Price, Douglas Sutherland, Niels Westerlund and Christophe André.
December 2004
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411: Wealth effects on money demand in EMU: econometric evidence
Laurence Boone, Fanny Mikol and Paul van den Noord. November 2004
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406: Tax treatment of private pension savings in OECD countries and the net tax cost per
unit of contribution to tax-favoured schemes
Kwang-Yeol Yoo and Alain de Serres. October 2004
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401: One money, one cycle? Making Monetary Union a smoother ride
Peter Hoeller, Claude Giorno and Christine de la Maisonneuve. September 2004
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400: Modelling cyclical divergence in the euro area: the housing channel
Paul van den Noord. September 2004
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397: Saving behaviour and the effectiveness of fiscal policy
Luiz de Mello, Per Mathis Kongsrud and Robert Price. July 2004
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396: The impact of exchange rate regimes on real exchange rates in South America, 19902002
Anne-Laure Baldi and Nanno Mulder. June 2004
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395: How market imperfections and trade barriers shape specialisation: South America vs.
OECD
Joaquim Oliveira Martins and Tristan Price. June 2004. This work has also been published in
Trade and Competitiveness in Argentina, Brazil and Chile: not as Easy as A-B-C, OECD, Paris,
2004
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394: Housing Markets, wealth and the business cycle
Pietro Catte, Nathalie Girouard, Robert Price and Christophe André. June 2004
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393: Long-term budgetary implications of tax-favoured retirement plans
Pablo Antolin, Alain de Serres and Christine de la Maisonneuve. June 2004
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392: Enhancing income convergence in Central Europe after EU accession
Patrick Lenain and Lukasz Rawdanowicz. June 2004
391: Asset price cycles, "one-off" factors and structural budget balance
Nathalie Girouard and Robert Price. June 2004
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385: Factors driving risk premia
Torsten Sløk and Mike Kennedy. April 2004
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382: Differences in resilience between the euro-area and US economies
Aaron Drew, Mike Kennedy and Torsten Sløk. March 2004
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380: Enhancing the effectiveness of public spending: experience in OECD countries
Isabelle Joumard, Per Mathis Kongsrud, Young-Sook Nam and Robert Price. February 2004
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378: Policies bearing on product market competition and growth in Europe
Carl Gjersem. January 2004
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2003
376: Female labour force participation: past trends and main determinants in OECD countries
Florence Jaumotte. December 2003
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375: Fiscal relations across government levels
Isabelle Joumard and Per Mathis Kongsrud. December 2003
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374: Health-care systems: lessons from the reform experience
Elizabeth Docteur and Howard Oxley. December 2003
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373: Non-tariff measures affecting EU exports: Evidence from a complaints-inventory
Peter Walkenhorst and Barbara Fliess. December 2003
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372: The OECD medium-term reference scenario: Economic Outlook No. 74
Peter Downes, Aaron Drew and Patrice Ollivaud. December 2003
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371: Coping with ageing: a dynamic approach to quantify the impact of alternative policy
options on future labour supply in OECD countries
Jean-Marc Burniaux, Romain Duval and Florence Jaumotte. November 2003
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370: The retirement effects of old-age pension systems and other social transfer
programmes in OECD countries
Romain Duval. November 2003
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369: Policies for an ageing society: recent measures and areas for further reform
Bernard Casey, Howard Oxley, Edward Whitehouse, Pablo Antolin, Romain Duval and Willi
Leibfritz November 2003
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368: Financial market integration in the euro area
Carl Gjersem. October 2003
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367: Recent and prospective trends in real long-term interest rates: Fiscal policy and other
drivers
Anne-Marie Brook. September 2003
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365: Corporate taxation of Foreign Direct Investment income 1991-2001
Kwang-Yeol Yoo. August 2003
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364: Indicator models of real GDP growth in selected OECD countries
Franck Sédillot and Nigel Pain. July 2003
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362: Post-crisis changes in banking and corporate landscapes in Dynamic Asia
Margit Molnar. June 2003
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361: After the telecommunications bubble
Patrick Lenain and Sam Paltridge. June 2003
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359: Policies and international integration: Influences on trade and foreign direct investment
Giuseppe Nicoletti, Steve Golub, Dana Hajkova, Daniel Mirza and Kwang-Yeol Yoo. June 2003
This work has also been published in OECD Economic Studies No. 36/1 2003
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357: Measures of restrictions on inward foreign direct investment for OECD countries
Stephen S. Golub. June 2003
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356: Tax incentives and house price volatility in the Euro Area: Theory and evidence
Paul van den Noord. June 2003
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355: Stuctural policies and growth: a non-technical overview
Alain de Serres. May 2003
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353: Macroeconomic policy and economic performance
Pedro de Lima, Alain de Serres and Mike Kennedy. April 2003
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352: Regulation and investment
Alberto Alesina, Silvia Ardagna, Giuseppe Nicoletti and Fabio Schiantarelli. March 2003
This work has also been published in Journal of the European Economic Association, 3(4),
June 2005.
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351: Discretionary fiscal policy and elections: the experience of the early years of EMU
Marco Buti and Paul van den Noord. March 2003
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348: Comparative analysis of firm demographics and survival: micro-level evidence for the
OECD countries
Eric Bartelsman, Stefano Scarpetta and Fabiano Schivardi. January 2003
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347: Regulation, productivity and growth: OECD evidence
Giuseppe Nicoletti and Stefano Scarpetta. January 2003
Also available in Spanish: Regulación, productividad y crecimiento: evidencia en la OCDE
(Mexican Federal Competition Commission, Gaceta Año 6 num. 16(Mayo - Agosto, 2003)
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344: The decline in private saving rates in the 1990s in OECD countries: How much can be
explained by non-wealth determinants?
Alain de Serres and Florian Pelgrin. December 2002
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342: Productivity and convergence in a panel of OECD industries: Do regulations and
institutions matter?
Stefano Scarpetta and Thierry Tressel. September 2002
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335: Automatic stabilisers and market flexibility in EMU: is there a trade-off?
Marco Buti, Carlos Martinez-Mongay, Khalid Sekkat and Paul van den Noord. July 2002
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334: The economic consequences of terrorism
Patrick Lenain, Marcos Bonturi and Vincent Koen. July 2002
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333: Investment in human capital through post-compulsory education and training: selected
efficiency and equity aspects
Sveinbjörn Blöndal, Simon Field and Nathalie Girouard. July 2002
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331: Competition and efficiency in publicly funded services
Jens Lundsgaard. June 2002
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330: Policy pre-commitment and institutional design: a synthetic indicator applied to
currency board
Marie-Thérèse Camilleri Gilson. May 2002
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329: The role of policy and institutions for productivity and firm dynamics: Evidence from
micro and industry data
Stefano Scarpetta, Philip Hemmings, Thierry Tressel and Jaejoon Woo. April 2002
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327: Increases in business investment rates in OECD countries in the 1990s: How much can
be explained by fundamentals?
Florian Pelgrin, Sebastian Schich and Alain de Serres. April 2002
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326: Sectoral shifts in Europe and the United States: How they affect aggregate labour
shares and the properties of wage equations
Alain de Serres, Stefano Scarpetta and Christine de la Maisonneuve. April 2002
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323: Overheating in small euro area economies: Should fiscal policy react?
Peter Hoeller, Claude Giorno and Christine de la Maisonneuve. February 2002
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318: Product Market Regulation and Wage Premia in Europe and North America: An Empirical
Investigation
Sébastien Jean and Giuseppe Nicoletti. January 2002
This work has also been published in CEPII Working Paper 2004-12, also published as
Leverhulme Centre for Research on Globalisation and Labour Markets Research Paper,
No. 2004-26, September 2004
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317: Competition, Innovation and Productivity Growth: A Review of Theory and Evidence
Sanghoon Ahn. January 2002
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316: Labour Market Institutions, Product Market Regulation, and Innovation : Cross Country
Evidence
Andrea Bassanini and Ekkehard Ernst. January 2002
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315: Ongoing Changes in the Business Cycle - Evidence and Causes
Thomas Dalsgaard, Jorgen Elmeskov and Cyn-Young Park. January 2002
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2001
312: Product and Labour Markets Interactions in OECD Countries
Giuseppe Nicoletti, Andrea Bassanini, Ekkehard Ernst, Sébastien Jean, Paulo Santiago and
Paul Swaim. December 2001
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311: Modelling Import Responsiveness for OECD Manufactures Trade
Mara Meacci and David Turner. October 2001
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310: Trade Linkages and the Trade Matrices in the OECD Interlink Model
Laurence Le Fouler, Wim Suyker and Dave Turner. October 2001
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308: Financial market liberalisation, wealth and consumption
Laurence Boone, Nathalie Girouard and Isabelle Wanner. September 2001
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306: Standard shocks in the OECD INTERLINK model
Thomas Dalsgaard, Christophe André and Pete Richardson. September 2001
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305: Fiscal implications of ageing: projections of age-related spending
Thai-Thanh Dang, Pablo Antolín and Howard Oxley. September 2001
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304: The width of the intra-european economic borders
Alain de Serres, Peter Hoeller and Christine de la Maisonneuve. August 2001
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303: Surveillance of tax policies: a synthesis of findings in economic surveys
Paul van den Noord and Christopher Heady. July 2001
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301: Tax systems in European Union countries
Isabelle Joumard. June 2001
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298: Tracking the euro
Vincent Koen, Laurence Boone, Alain de Serres and Nicola Fuchs. June 2001. This work has
also been published as L’insoutenable légèreté de l’euro, Economie Internationale, No. 88,
2001.
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297: Firm dynamics and productivity growth: a review of micro evidence from OECD
countries
Sanghoon Ahn. June 2001
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293: Encouraging environmentally sustainable growth: experience in OECD countries
Paul O'Brien and Ann Vourc'h. May 2001
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287: Regulation in services: OECD patterns and economic implications
Giuseppe Nicoletti. February 2001
This work has also been published in Innovation and Productivity in Services, 2001, OECD,
Paris.
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286: A small global forecasting model
David Rae and David Turner. February 2001
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285: Managing public expenditure: some emerging policy issues and a framework for
analysis
Paul Atkinson and Paul van den Noord. February 2001
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284: Trends in immigration and economic consequences
Jonathan Coppel, Jean-Christophe Dumond and Ignazio Visco. February 2001
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283: Economic growth: the role of policies and institutions. Panel data evidence from OECD
countries
Andrea Bassanini, Stefano Scarpetta and Philip Hemmings. January 2001
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282: Does human capital matter for growth in OECD countries?
Andrea Bassanini and Stefano Scarpetta. January 2001
280: Contributions of financial systems to growth in OECD countries
Michael Leahy, Sebastian Schich, Gert Wehinger, Florian Pelgrin and Thorsteinn Thorgeirsson.
January 2001. Updated 21 March 2001
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279: House prices and economic activity
Nathalie Girouard and Sveinbjörn Blöndal. January 2001
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2000
274: A post-mortem on Economic Outlook projections
Vassiliki Koutsogeorgopoulou. December 2000
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273: Fixed cost, imperfect competition and bias in technology measurement: Japan and the
United States
Kiyohiko G. Nishimura and Masato Shirai. December 2000
Working Papers No.272 to 268 below were presented at a Workshop on "The causes of
economic growth", at the OECD, 6-7 July 2000
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270: A multi-gas assessment of the Kyoto Protocol
Jean-Marc Burniaux. October 2000
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267: Aggregate growth: what have we learned from microeconomic evidence?
John Haltiwanger. October 2000
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266: Determinants of long-term growth: a Bayesian Averaging of Classical Estimates (BACE)
approach
Gernot Doppelhofer, Ronald I. Miller and Xavier Sala-i-Martin. October 2000
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265: The great reversals: the politics of financial development in the 20th century
Raghuram G. Rajan and Luigi Zingales. October 2000
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264: Trade and growth: still disagreement about the relationship
Robert Baldwin. October 2000
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263: Growth effects of education and social capital in the OECD countries
Jonathan Temple. October 2000
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262: Human capital in growth regressions: how much difference does data quality make?
Angel de la Fuente and Rafael Doménech. October 2000
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260: Summary of an informal workshop on the causes of economic growth
Jonathan Temple. October 2000
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259: Knowledge, technology and economic growth: recent evidence from OECD countries
Andrea Bassanini, Stefano Scarpetta and Ignazio Visco. October 2000
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258: Average effective tax rates on capital, labour and consumption
David Carey and Harry Tchilinguirian. October 2000
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255: Regulatory reform in road freight and retail distribution
Olivier Boylaud. August 2000
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254: Regulation, market structure and performance in air passenger transportation
Rauf Gonenc and Giuseppe Nicoletti. August 2000
This work has also been published in OECD Economic Studies, Special issue: Regulatory
Reform, n. 32, 2001.
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252: E-commerce: impacts and policy challenges
Jonathan Coppel. June 2000
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251: The implementation and the effects of regulatory reform: past experience and current
issues
Rauf Gonenc, Maria Maher and Giuseppe Nicoletti. June 2000
This work has also been published in OECD Economic Studies, Special issue: Regulatory
Reform, n. 32, 2001.
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250: The concept, policy use and measurement of structural unemployment: estimating a
time varying NAIRU across 21 OECD countries
Pete Richardson, Laurence Boone, Claude Giorno, Mara Meacci, David Rae and David Turner.
June 2000
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248: Economic growth in the OECD area: recent trends at the aggregate and sectoral level
Stefano Scarpetta, Andrea Bassanini, Dirk Pilat and Paul Schreyer. June 2000
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246: Policy influences on economic growth in OECD countries: an evaluation of the evidence
Sanghoon Ahn and Philip Hemmings. June 2000
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243: A changing financial environment and the implications for monetary policy
Paul Mylonas, Sebastian Schich and Gert Wehinger. May 2000
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242: Carbon emission leakages- a general equilibrium view
Jean-Marc Burniaux and Joaquim Oliveira Martins. May 2000
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240: Comparing semi-structural methods to estimate unobserved variables: the HPMV and
Kalman filters approaches
Laurence Boone. April 2000
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239: New issues in public debt management: governement surpluses in several OECD
countries, the common currency in Europe and rapidly rising debt in Japan
Paul Mylonas, Sebastian Schich, Thorsteinn Thorgeirsson and Gert Wehinger. April 2000
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238: Regulation, industry structure and performance in the electricity supply industry
Faye Steiner. April 2000
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237: Regulation, market structure and performance in telecommunications
Olivier Boylaud and Giuseppe Nicoletti. April 2000
This work has also been published in OECD Economic Studies, Special issue: Regulatory
Reform, n. 32, 2001
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236: Predicting the evolution and effects of the Asia crisis from the OECD perspective
Pete Richardson, Ignazio Visco and Claude Giorno. April 2000
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235: Modelling manufacturing export volumes equations a system estimation approach
Keiko Murata, Dave Turner, Dave Rae and Laurence Le Fouler. April 2000
232: EMU, the euro and the European policy mix
Jonathan Coppel, Martine Durand and Ignazio Visco. February 2000
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230: The size and role of automatic fiscal stabilisers in the 1990s and beyond
Paul van den Noord. January 2000
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228: Finance and growth, Some theoretical considerations, and a review of the empirical
literature
Kotaro Tsuru. January 2000
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1999
227: What the yield curves say about inflation -does it change over time
Sebastian T. Schich. December 1999
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226: Summary indicators of product market regulation with an extension to employment
protection legislation
Giuseppe Nicoletti, Stefano Scarpetta and Olivier Boylaud. December 1999
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224: The economic effects of employment-conditional income support schemes for the lowpaid- an illustration from a CGE model applied to four OECD countries
Andrea Bassanini, Jørn Henrik Rasmussen and Stefano Scarpetta. October 1999
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223: The use of financial market indicators by monetary authorities
Paul Mylonas and Sebastian Schich. September 1999
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221: Trends in market openness
Jonathan Coppel and Martine Durand. August 1999
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220: Technology upgrading with learning cost - a solution for two "productivity puzzles"
Sanghoon Ahn. July 1999
219: Testing for a common OECD Phillips curve
Dave Turner and Elena Seghezza. July 1999
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216: Estimating prudent budgetary margins for 11 EU countries- A simulated SVAR model
approach
Thomas Dalsgaard and Alain de Serres. July 1999
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213: The levels and cyclical behaviour of mark-ups across countries and market structures
Joaquim Oliveira Martins and Stefano Scarpetta. April 1999. This work has also been
published in "Estimation of the Cyclical Behaviour of Mark-ups: A technical note", OECD
Economic Studies, no. 34, 2002
212: Poverty dynamics in four OECD countries
Pablo Antolín, Thai-Thanh Dang and Howard Oxley. April 1999
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211: The recent experience with capital flows to emerging market economies
Sveinjörn Blöndal and Hans Christiansen. March 1999
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210: Foreign portfolio investors before and during a crisis
Woochan Kim and Shang-Jin Wei. February 1999
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1998
208: Stock market fluctuations and consumption behaviour - some recent evidence
Laurence Boone, Claude Giorno and Pete Richardson. December 1998
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202: The retirement decision in OECD countries
Sveinbjörn Blöndal and Stefano Scarpetta. June 1998
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201: Macroeconomic effects of pension reforms in the context of ageing populationsoverlapping generations model simulations for seven OECD countries
Ketil Hviding and Marcel Mérette. June 1998
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200: The macroeconomics of ageing, pensions and savings- a survey
Richard Kohl and Paul O'Brien. June 1998
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199: Marginal effective tax rates on physical, human and R&D capital
Kathryn Gordon and Harry Tchilinguirian. June 1998
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197: APEC trade liberalisation - its implications
Seunghee Han and Inkyo Cheong. May 1998
196: The OECD jobs strategy - progress report on implementation of country-specific
recommendations
May 1998
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196: La Stratégie de l'OCDE pour l'emploi- Rapport sur l'état d'avancement de la mise en
oeuvre des recommandations by pays
Mai 1998
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195: Trends in OECD countries' international competitiveness - the influence of emerging
market economies
Martine Durand, Christophe Madaschi and Flavia Terribile. April 1998
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194: The European Union's trade policies and their economic effects
Peter Hoeller, Nathalie Girouard and Alessandra Colecchia. April 1998
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193: The macroeconomic implications of ageing in a global context
Dave Turner, Claude Giorno, Alain de Serres, Ann Vourc'h and Pete Richardson. March 1998
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192: Efficiency and distribution in computable models of carbon emission abatement
Joaquim Oliveira Martins and Peter Sturm. March 1998. This work has also been published in
"Efficiency and Distribution in Computable Models of Carbon Emission Abatement", in G. Heal
and G. Chichilnisky (eds.) Environmental Markets: Equity and Efficiency, Columbia University
Press, 2000.
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191: Monetary policy when inflation is low
Charles Pigott and Hans Christiansen. March 1998
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190: Submission by the OECD to the G8 growth, employability and inclusion Conference
March 1998
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189: Income distribution and poverty in selected OECD countries
Jean-Marc Burniaux, Thai-Thanh Dang, Douglas Fore, Michael Förster, Marco Mira d'Ercole
and Howard Oxley. March 1998
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188: Asset prices and monetary policy
Mike Kennedy, Angel Palerm, Charles Pigott and Flavia Terribile. February 1998
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187: NAIRU- incomes policy and inflation
Silvia Fabiani, Alberto Locarno, Gian Paolo Oneto and Paolo Sestito. January 1998
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1997
184: Concept, measurement and policy implications of the NAIRU - perspective from Belgium
Joost Verlinden. October 1997
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181: Globalisation and linkages- Macro-structural challenges and opportunities
Pete Richardson [editor]. September 1997
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180: Regulation and performance in the distribution sector
Dirk Pilat. September 1997
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179: Measurement of non-tariff barriers
Alan V. Deardorff and Robert M. Stern. July 1997
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178: The NAIRU-concept- A few remarks
Karl Pichelmann and Andreas Ulrich Schuh. July 1997
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176: Taxation and economic performance
Willi Leibfritz, John Thornton and Alexandra Bibbee. June 1997
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175: Long-term interest rates in globalised markets
Hans Christiansen and Charles Pigott. May 1997
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174: International implications of European Economic and Monetary Union
Norbert Funke and Mike Kennedy. May 1997
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171: The reliability of quarterly national accounts in seven major countries- A user's
perspective
Robert York and Paul Atkinson. February 1997
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1996
170: Confidence indicators and their relationship to changes in economic activity
Teresa Santero and Niels Westerlund. November 1996
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169: Labour productivity levels in OECD countries - Estimates for manufacturing and selected
service sector
Dirk Pilat. September 1996
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168: Ageing populations, pension system and government budgets- Simulations for 20 OECD
countries
Deborah Roseveare, Willi Leibfritz, Douglas Fore and Eckhard Wurzel. September 1996
167: Modelling the supply side of the seven major OECD economies
Dave Turner, Pete Richardson and Sylvie Rauffet. August 1996
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166: Size distribution of output and employment- A data set for manufacturing industries in
five OECD countries, 1960s-1990
Bart van Ark and Erik Monnikhof, Economics Debytment. August 1996
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165: Trade and competition- Frictions after the Uruguay Round
The International Trade and Investment Division, Economics Department. July 1996
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164: Corporate governance, competition and performance
Colin Mayer. June 1996
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163: Fiscal relations within the European Union
Peter Hoeller, Marie-Odile Louppe and Patrice Vergriete. April 1996
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162: Mark-up ratios in manufacturing industries - Estimates for 14 OECD countries
Joaquim Oliveira Martins, Stefano Scarpetta and Dirk Pilat. April 1996. This work has also
been published in "Mark-ups pricing, Market structure and the Business cycle", OECD
Economic Studies, no. 27, 1996.
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161: Innovation firm size and market structure- Schumpeterian hypotheses and some new
themes
George Symeonidis. April 1996
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160: Valuing the right to tax incomes- An options pricing approach
Teun Draaisma and Kathryn Gordon. April 1996
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1995
159: Innovation and competitive advantage
P.A. Geroski. September 1995
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158: Monetary policy at price stability- A review of some issues
Malcolm Edey, Norbert Funke, Mike Kennedy and Angel Palerm. September 1995
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157: Technical progress, factor productivity and macroeconomic performance in the medium
term
Claude Giorno, Pete Richardson and Wim Suyker. September 1995
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156: Ageing populations, pension systems and government budgets: How do they affect
saving?
Willi Leibfritz, Deborah Roseveare, Douglas Fore and Eckhard Wurzel. July 1995
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155: The determinants of real long-term interest rates- 17 country pooled-time-series
evidence
Adrian Orr, Malcolm Edey and Michael Kennedy. June 1995
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154: An assessment of financial reform in OECD countries
Malcolm Edey and Ketil Hviding. May 1995
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153: Markets for tradeable CO2 emission quotas principles and practice
Graciela Chichilnisky and Geoffrey Heal. March 1995
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152: Estimating potential output, output gaps and structural budget balances
by Claude Giorno, Pete Richardson, Deborah Roseveare and Paul van den Noord. February
1995
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151: SOx emissions and carbon abatement
by Christophe Complainville and Joaquim Oliveira Martins. January 1995
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1994
149: Health care reform, controlling spending and increasing efficiency
Howard Oxley and Maitland MacFarlan. December 1994
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148: Macroeconomic performance and fiscal policy adjustments in the medium termAlternative medium-term scenarios
Pete Richardson, Claude Giorno and Stephan Thurman. October 1994
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147: The EC's internal market- Implementation, economic consequences, unfinished business
Peter Hoeller and Marie-Odile Louppe. August 1994
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146: OECD model comparison project (II) on the costs of cutting carbon emissions.
Comparison of model structure and policiy scenarios- GREEN and 12RT
Alan Manne and Joaquim Oliveira Martins. August 1994
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145: An international sectoral data base for fourteen OECD countries (Second edition)
F.J.M. Meyer zu Schlochtern and J.L. Meyer zu Schlochtern. June 1994
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144: Fiscal policy, government debt and economic performance
Willi Leibfritz, Deborah Roseveare and Paul van den Noord. June 1994
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143: GREEN - The Reference Manual
Dominique van der Mensbrugghe. May 1994
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1993
142: Pension liabilities in the seven major economies
Paul van den Noord and Richard Herd. December 1993
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134: Market structure, international trade and relative wages
Joaquim Oliveira Martins. October 1993. This work has also been published in "Market
Structure, Trade and Industry Wages", OECD Economic Studies, no. 22, 1994.
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133: The Economic Analysis of Institutions and Organisations- in general and with respect to
Country studies
Oliver E. Williamson. September 1993
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132: High and persistent unemployment- assessment of the problem and its causes
Jørgen Elmeskov. September 1993
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131: Centralisation of wage bargaining and macroeconomic performance - a survey
Lars Calmfors. September 1993
130: Unemployment and labour force participation - trends and cycles
Jørgen Elmeskov and Karl Pichelmann. June 1993
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129: Trends and cycles in labour productivity in the major OECD countries
Giuseppe Nicoletti and Lucrezia Reichlin. June 1993
This work has been also published in CEPR Working Paper, No. 808, July 1993
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128: International integration of financial markets and the cost of capital
Mitushiro Fukao. March 1993
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127: The international spillovers of capital income taxation- an applied general equilibrium
analysis
François Delorme, Lawrence H. Goulder and Philippe Thalmann. January 1993
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126: The future of capital income taxation in a liberalised financial environment
David Carey, Jean-Claude Chouraqui and Robert P. Hagemann. January 1993
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1992
125: Global effects of the European carbon tax
Giuseppe Nicoletti and Joaquim Oliveira Martins. December 1992. This work has also been
published in "The Global Effects of the European Carbon Tax", in The European Carbon Tax:
an Economic Assessment, (eds.) C. Carraro and D. Siniscalco, Kluwer Academic Publishers,
1993 (with G. Nicoletti)
This work has also been published in French as "Effets globaux de l'écotaxe européenne"",
Revue Economique, Vol. 45, n. 3, Mai 1994
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123: New issues, new results- the OECD's second survey of the macroeconomic costs of
reducing CO2 emissions
Peter Hoeller, Andrew Dean and Masahiro Hayafuji. July 1992
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122: Costs of reducing CO2 emissions- evidence from six global models
Andrew Dean and Peter Hoeller. July 1992
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121: Results for the OECD comparative modelling project from the Whalley-Wigle model
John Whalley (University of W.Ontario) and Randall Wigle (Wilfried Laurier University). July
1992
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120: OECD's indicators of international trade and competitiveness
Martine Durand, Jacques Simon and Colin Webb. July 1992
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119: Les indicateurs de compétitivité et de commerce internationaux de l'OCDE
Martine Durand, Jacques Simon and Colin Webb. July 1992
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118: The costs of reducing CO2 emissions- a comparison of carbon tax curves with GREEN
Joaquim Oliveira Martins, Jean-Marc Burniaux, John P. Martin and Giuseppe Nicoletti. July
1992. This work has also been published in "The Costs of Reducing CO2 Emissions: a
Comparison of Carbon Tax Cost Curves with GREEN" in A. Dean (ed.) The Costs of Cutting
Carbon Emissions: Results from Global Models, OECD Monographs, 1993.
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117: Adjustment under fixed exchange rates- application to the European Monetary Union
A. Steven Englander and Thomas Egebo. July 1992
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116: GREEN- a multi-sector, multi-region, dynamic general equilibrium model for quantifying
the costs of curbing CO2 emissions- a technical manual
Jean-Marc Burniaux, John P. Martin, Giuseppe Nicoletti and Joaquim Oliveira Martins. May
1992.This work has also been published in "GREEN: A Global Model for Quantifying the Costs
of Policies to Curb CO2 Emissions", OECD Economic Studies, no. 19, 1992.
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115: The costs of reducing CO2 emissions- evidence from GREEN
Jean-Marc Burniaux, John P. Martin, Giuseppe Nicoletti and Joaquim Oliveira Martins. May
1992. This work has also been published in "The Costs of International Policies to Reduce
CO2 Emissions: Evidence from GREEN", OECD Economic Studies, no. 19, 1992.
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114: Carbon taxes and CO2 emissions targets- results from the IEA model
E. Lakis Vouyakas, IEA. April 1992
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113: Use of the Edmonds-Reilly model to model energy-related greenhouse gas emissions
D.W. Barns, J.A. Edmonds and J.M. Reilly, Pacific Northwest Laboratory, Washington D.C.
April 1992
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112: The welfare effects of fossil carbon restrictions- results from a recursively dynamic
trade model
Thomas Rutherford, University of Western Ontario. April 1992
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111: Global 2100- alternative scenarios for reducing carbon emissions
Alan S. Manne, Stanford University. April 1992
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110: Energy taxation and price distortions in fossil fuel markets- some implications for
climate change policy
Peter Hoeller and Jonathan Coppel. April 1992
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109: The information content of interest rate spreads across financial systems
Frank Browne and Warren Tease. April 1992
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108: Is there a future for capital income taxation?
Jack M. Mintz. March 1992
H
107: A "credit" crunch- the recent slowdown in bank lending and its implications for
monetary policy
Paul Francis O'Brien and Frank Browne. March 1992
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1991
106: Energy prices, taxes and carbon dioxide emissions
Peter Hoeller and Markku Wallin. July 1991
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105: Saving trends and measurement issues
Jørgen Elmeskov, Jeffrey Shafer and Warren Tease. July 1991
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104: GREEN- a multi-sector, multi-region, dynamic general equilibrium model for quantifying
the costs of curbing CO2 emissions- a technical manual
J.M. Burniaux, J.P. Martin, G. Nicoletti and J. Oliveira Martins. June 1991
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103: The costs of policies to reduce global emissions of CO2- initial simulation results with
GREEN
J.M. Burniaux, J.P. Martin, G. Nicoletti and J. Oliveira Martins. June 1991. This work has also
been published in "The Economic Costs of International Agreements to Emissions of CO2",
The Economic and Social Research Institute papers no. 14, May, 1992.
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102: Patterns of recoveries for the major seven OECD countries
Marco Mira d'Ercole. June 1991
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101: P-star as an indicator of inflationary pressure
Peter Hoeller and Pierre Poret. April 1991
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100: Old age income maintenance
Murray Petrie and Peter Sturm. April 1991
H
99: The measurement of output and factors of production for the business sector in OECD
countries (the OECD Business Sector Database)
Mark Keese, Gérard Salou and Pete Richardson. March 1991
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98: Macroeconomic consequences of financial liberalisation- a summary report
Adrian Blundell-Wignall and Frank Browne. March 1991
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97: Deregulation, credit rationing, financial fragility and economic performance
Michael Driscoll. February 1991
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H
96: Increasing financial market integration, real exchange rates and macroeconomic
adjustment
Adrian Blundell-Wignall and Frank Browne. February 1991
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95: Financial liberalisation, asset prices and exchange rates
Marcus Miller and Paul Weller. February 1991
H
94: Financial liberalisation and international trends in stock, corporate bond and foreign
exchange market volatilities
Paul Kupiec. February 1991
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H
93: A macroeconomic model for debt analysis of the Latin America region and debt
accounting models for the highly indebted countries
Peter Dittus and Paul O'Brien. February 1991
H
92: Unemployment persistence and insider-outsider forces in wage determination
Bertil Holmlund. February 1991
91: Infrastructure and private-sector productivity
Robert Ford and Pierre Poret. January 1991
H
1990
90: The public sector- issues for the 1990s
Howard Oxley, Maria Maher, John P. Martin and Giuseppe Nicoletti. December 1990
H
H
89: A survey of studies of the costs of reducing greenhouse gas emissions
Peter Hoeller, Andrew Dean and Jon Nicolaisen. December 1990
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H
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88: Business investment in the OECD economies- recent performance and some implications
for policy
Robert Ford and Pierre Poret. November 1990
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87: The "puzzle" of wage moderation in the 1980s
Pierre Poret. November 1990
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86: Modelling wages and prices for the smaller OECD countries
Kenichi Kawasaki, Peter Hoeller and Pierre Poret. October 1990
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85: Simulating the OECD Interlink model under alternative monetary policy rules
Pete Richardson. October 1990
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84: Walras - a multi-sector, multi-country applied general equilibrium model for quantifying
the economy-wide effects of agricultural policies- a technical manual
Jean-Marc Burniaux, François Delorme, Ian Lienert and John P. Martin. August 1990
H
H
83: Exchange rate policy in advanced commodity-exporting countries- the case of Australia
and New Zealand
Adrian Blundell-Wignall and Robert G. Gregory. July 1990
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H
82: Economics and the environment- a survey of issues and policy options
Jon Nicolaisen and Peter Hoeller. July 1990
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81: Financial liberalisation and consumption behaviour
Adrian Blundell-Wignall, Frank Browne and Stefano Cavaglia. March 1990
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80: Fiscal indicators
Edward E. Gramlich, The University of Michigan. April 1990
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79: Suggestions for a new set of fiscal indicators
Olivier Blanchard (MIT and NBER). April 1990
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H
78: Indicators of fiscal policy- a re-examination
Jean-Claude Chouraqui, Robert P. Hagemann and Nicola Sartor. April 1990
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77: Monetary policy in the wake of financial liberalisation
Adrian Blundell-Wignall, Frank Browne and Paolo Manasse. April 1990
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75: Measuring industrial subsidies- some conceptual issues
Neil Bruce. February 1990
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74: Industrial subsidies in the OECD countries
Robert Ford and Wim Suyker. January 1990
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72: The role of indicators in structural surveillance
Andrew Dean. January 1990
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H
1989
71: Modelling business sector supply for the smaller OECD countries
Raymond Torres, Peter Jarrett and Wim Suyker. October 1989
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70: On the sequencing of structural reforms
Sebastian Edwards. September 1989
69: The information content of the term structure of interest rates- theory and practice
Frank Browne and Paolo Manasse. September 1989
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68: The impact of increased government saving on the economy
Richard Herd. June 1989
67: Saving trends and behaviour in OECD countries
Andrew Dean, Martine Durand, John Fallon and Peter Hoeller. June 1989
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66: Potential output in the seven major OECD countries
Raymond Torres and John P. Martin. May 1989
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65: A post mortem on OECD short-term projections from 1982 to 1987
Byron Ballis. February 1989
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H
64: Revised groupings for non-OECD countries in OECD's macroeconomic model Interlink
Paul O'Brien, Laure Meuro and Arthur Camilleri. January 1989
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63: Modelling housing investment for seven major OECD countries
Thomas Egebo and Ian Lienert. December 1988
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62: The economic dynamics of an ageing population- the case of four OECD countries
Alan J. Auerbach, Laurence J. Kotlikoff, Rob. P. Hagemann and G. Nicoletti. January 1989
This work has also been published in OECD Economic Studies, n.12, Spring 1989 and NBER
Working Paper, n. 2797, 1989
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61: Ageing populations: economic effects and implications for public finance
Robert P. Hagemann and Giuseppte Nicoletti. January 1989
This work has also been published in OECD Economic Studies, n.12, Spring 1989
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1988
60: Compatible trade and production data base - 1970-1985
Claude Berthet-Bondet, Derek Blades and Annie Pin. November 1988
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58: Empirical research on trade liberalisation with imperfect competition: a survey
J. David Richardson. November 1988
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57: An international sectoral data base for thirteen OECD countries
F.J.M. Meyer-zu-Schlochtern. November 1988
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56: On aggregation methods of purchasing power parities
R. and M. Cuthbert. November 1988
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55: Quantifying the economy-wide effects of agricultural policies- a general equilibrium
approach
Jean-Marc Burniaux, François Delorme, Ian Lienert, John P. Martin and Peter Hoeller. July
1988
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54: Tests of total factor productivity measurement
A. Steven Englander. June 1988
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53: Alternative solution methods in applied general equilibrium analysis
Richard G. Harris. April 1988
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46
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52: The so-called "non-economic" objectives of agricultural policy
L. Alan Winters. April 1988
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51: The effects of monetary policy on the real sector- an overview of empirical evidence for
selected OECD countries
Jean-Claude Chouraqui, Michael Driscoll and Marc-Olivier Strauss-Kahn. April 1988
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50: Private consumption, inflation and the "debt neutrality hypothesis", the case for eight
OECD countries
Giuseppe Nicoletti. January 1988
This work has also been published in OECD Economic Studies, n.11, Fall 1988
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49: Are commodity prices leading indicators of OECD prices?
Martine Durand and Sveinbjörn Blondal. February 1988
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1987
48: The medium-term macroeconomic strategy revisited
Jean-Claude Chouraqui, Kevin Clinton and Robert Bruce Montador. December 1987
47: A review of the simulation properties of OECD's Interlink model
Pete Richardson. July 1987
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46: Recent developments in OECD's international macroeconomic model
Pete Richardson. June 1987
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45: International investment-income determination in Interlink- models for 23 OECD
countries and six non-OECD regions
David T. Coe, Richard Herd and Marie-Christine Bonnefous. June 1987
44: Price determination in the major seven country models in Interlink
Ulrich Stiehler. July 1987
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43: Import and export price equations for manufactures
Richard Herd. June 1987
42: OECD economic activity and non-oil commodity prices- reduced-form equations for
Interlink
Gerald Holtham and Martine Durand. June 1987
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41: A revised supply block for the major seven countries in Interlink
Peter Jarrett and Raymond Torres. April 1987
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40: Tax reform in OECD countries- economic rationale and consequences
Robert P. Hagemann, Brian R. Jones and Robert Bruce Montador. August 1987
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39: Monetary policy in the second half of the 1980s- how much room for manoeuvre?
Kevin Clinton and Jean-Claude Chouraqui. February 1987
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1986
37: Internationalisation of financial markets- some implications for macroeconomic policy
and for the allocation of capital
Mitsuhiro Fukao and Masaharu Hanazaki. November 1986
36: The government household transfer data base 1960 - 1984
Rita Varley. September 1986
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H
35: Wealth and inflation effects in the aggregate consumption function
G.H. Holtham and H. Kato. July 1986
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34: Pure profit rates and Tobin's q in nine OECD countries
James H. Chan-Lee. April 1986
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H
33: Mécanismes de transmission et effets macro-économiques de la politique monétaire en
France: les principaux enseignements économétriques
Marc-Olivier Strauss-Kahn. March 1986
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H
32: The formulation of monetary policy- a reassessment in the light of recent experience
Paul Atkinson and Jean-Claude Chouraqui. March 1986
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31: The OECD compatible trade and production data base 1970-1983
Anders Brodin and Derek Blades.March 1986
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30: Public debt in a medium-term context and its implications for fiscal policy
Jean-Claude Chouraqui, Brian Jones and Robert Bruce Montador. May 1986
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29: Method of calculating effective exchange rates and indicators of competitiveness
Martine Durand. February 1986
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28: Exchange rates and real long-term interest-rate differentials- evidence for eighteen
OECD countries
David T. Coe and Stephen S. Golub. February 1986
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H
1985
27: Commodity prices in Interlink
Gerry Holtham, Tapio Saavalainen, Paul Saunders and Helen Sutch. November 1985
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H
26: Aggregate supply in Interlink - model specification and empirical results
John Helliwell, Peter Sturm, Peter Jarrett and Gérard Salou. November 1985
H
H
25: Écart entre les importations et les exportations dans les statistiques du commerce
extérieur de l'OCDE
Derek Blades and Marina Ivanov. September 1985
H
H
24: Flexibilité du marché du travail et chocs extérieurs sur les prix
F. Klau and A. Mittelstadt. September 1985
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23: Changes in the composition of output and employment
Axel Mittelstädt and Françoise Correia. June 1985
H
H
22: Les prix de l'énergie: évolution et prespectives
Axel Mittelstädt. June 1985
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H
21: Taux d'intérêt réels et perspectives de croissance durable
Paul Atkinson and Jean-Claude Chouraqui. May 1985
20: Profits and rates of return in OECD countries
James H. Chan-Lee and Helen Sutch. May 1985
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H
19: Nominal wage determination in ten OECD economies
David T. Coe and Francesco Gagliardi. March 1985
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H
18: Bases de données compatibles sur le commerce et la production de l' OCDE
Derek Blades and Wendy Simpson. January 1985
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H
1984
17:Real gross product in OECD countries and associated purchasing power parities
Peter Hill.
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16: Monetary policy in the OECD Interlink model
A. Blundell-Wignall, M. Rondoni, H. Ziegelschmidt and J. Morgan. September 1984
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15: Structural budget deficits and fiscal stance
Patrice Muller and Robert W.R. Price. July 1984
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H
14: La conduite de la politique monétaire dans la phase actuelle de reprise économique
Paul Atkinson and Jean-Claude Chouraqui. April 1984
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13: The demand for money and velocity in major OECD countries
A. Blundell-Wignall, M. Rondoni and H. Ziegelschmidt. February 1984
12: Taux d'activité: analyse et projections
James H. Chan-Lee. January 1984
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H
11: L'action exercée par l'Etat sur la redistribution du revenu
Paul Saunders. January 1984
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H
1983
10: Dynamique des prix et structure industrielle: une analyse théorique économétrique
David Encaoua (with collaboration from Paul Geroski et Riel Miller). July 1983
9: Medium-term financial strategy- the co-ordination of fiscal and monetary policy
Jean-Claude Chouraqui and Robert Price. July 1983
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8: Simulation des effets macro-économiques d'une forte baisse des prix pétroliers
Flemming Larsen and John Llewellyn. June 1983
49
7: The determinants of exchange rate movements
Graham Hacche. June 1983
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H
6: Souplesse de la production et inflation: étude globale
David T. Coe and Gerald Holtham. April 1983
H
H
5: Prix des ressources naturelles et politique macro-économique: les enseignements de deux
chocs pétroliers
John Llewellyn. April 1983
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4: Service lives of fixed assets
Derek Blades. March 1983
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H
3: Wage formation in France- sectoral aspects
Patrick Artus. March 1983
H
H
2: Capital, energy and labour substitution- the supply block in OECD medium-term models
Patrick Artus. March 1983
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1: Utilisation des élasticités de la demande de l'énergie
Axel Mittelstädt. March 1983
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