Uhlig, Harald, 1961-
Uhlig, Harald
Uhlig, Harald (Harald Friedrich Hans Volker Sigmar), 1961-
Uhlig, H.
Harald Uhlig
VIAF ID: 3415867 ( Personal )
Permalink: http://viaf.org/viaf/3415867
Preferred Forms
- 100 0 _ ‡a Harald Uhlig
-
- 100 1 _ ‡a Uhlig, H.
- 100 1 _ ‡a Uhlig, Harald
-
-
-
- 100 1 _ ‡a Uhlig, Harald ‡d 1961-
-
- 100 1 _ ‡a Uhlig, Harald, ‡d 1961-
4xx's: Alternate Name Forms (23)
5xx's: Related Names (15)
- 510 2 _ ‡a Centre for Economic Policy Research
- 510 2 _ ‡a Centre for Economic Policy Research ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Department of Economics
- 510 2 _ ‡a Deutsche Bundesbank
- 510 2 _ ‡a Deutsche Bundesbank ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Humboldt-Universität zu Berlin ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a National Bureau of Economic Research
- 510 2 _ ‡a National Bureau of Economic Research ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Princeton University
- 510 2 _ ‡a Princeton University ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Universiteit van Tilburg
- 510 2 _ ‡a Universiteit van Tilburg ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a University of Chicago ‡b Department of Economics ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a University ‡b Department of Economics
- 510 2 _ ‡a Universität Berlin
Works
Title | Sources |
---|---|
analysis of the "stability pact" | |
Bank finance versus bond finance: what explains the differences between the US and Europe? | |
Bayesian estimation of a DSGE model with asset prices | |
Bayesian vector autoregressions with stochastic volatility | |
Can habit formation be reconciled with business cycle facts? | |
Catching up with the Keynesians | |
Cognitive Load IncreasesRisk Aversion | |
Competitive Risk Sharing Contracts with One-Sided Commitment | |
Debt contracts, collapse and regulation as competition phenomena | |
Did the Fed surprise the markets in 2001? a case study for VARs with sign restrictions | |
Discussion of Fernández-Villaverde and Rubio-Ramírez as well as Schorfheide | |
Economics and reality | |
Effort and the cycle: cyclical implications of efficiency wages | |
Fickle investors: an impediment to growth? | |
Fiscal stimulus and distortionary taxation | |
Handbook of macroeconomics. | |
How Do Laffer Curves Differ Across Countries? | |
How far are we from the slippery slope? : the Laffer curve revisited | |
Indonésie | |
Is quantity theory still alive? | |
Long-term debt and the political support for a monetary union | |
A model of a systemic bank run | |
New evidence on the puzzles Results from agnostic identification on monetary policy and exchange rates | |
On adjusting the HP-filter for the frequency of observations | |
One money, but many fiscal policies in Europe: what are the consequences? | |
Optimal endowment destruction under Campbell-Cochrane habit formation | |
Preferences, consumption smoothing, and risk premia | |
Reasonable extreme bounds analysis | |
Rules of thumb and dynamic programming, 1994: | |
Should smart investors buy funds with high returns in the past? | |
Should we be afraid of Friedman's rule? | |
The slow decline of East Germany | |
Solving nonlinear stochastic growth models : a comparison of alternative solution methods | |
Sovereign default risk and banks in a monetary union | |
A toolkit for analyzing nonlinear dynamic stochastic models easily | |
Towards a Monthly Business Cycle Chronology for the Euro Area | |
Transition and financial collapse | |
Transitions in the German labor market structure and crisis | |
Understanding unit rooters : a helicopter tour | |
What are the Effects of Fiscal Policy Shocks? |