SSE/EFI Working Paper Series in Economics and Finance
No. 549: Testing constancy of the error covariance matrix in vector models
No. 548: Estimating confidence regions over bounded domains
No. 547: A nonlinear alternative to the unit root hypothesis
No. 545: On the Geometry of Interest Rate Models
No. 543: Trade Deficits in the Baltic States: How Long Will the Party Last?
No. 542: Probabilistic choice in games: properties of Rosenthal's t-solutions
No. 540: Commercial Note Issuing Banks and Capital Market Development: An Empirical Test of the Enskilda Banks’ Assets, Liabilities and Reserves in Relation to Evolving Capital Market Liquidity in Sweden, 1834 – 1913
No. 539: Population Aging and International Capital Flows
No. 538: Location of R&D and High-Tech Production by Vertically Integrated Multinationals
No. 536: Is Momentum Due to Data-Snooping?
No. 535: Confidence Interval Estimation Tasks and the Economics of Overconfidence
No. 534: Resource curse or not: A question of appropriability
No. 533: A time series model for an exchange rate in a target zone with applications
No. 532: William J. Baumol: An Entrepreneurial Economist on the Economics of Entrepreneurship
No. 531: Do Opponents' Experience Matter? Experimental Evidence from a Quantity Precommitment Game
No. 530: The political economics of not paying taxes
No. 529: Voting over tax schedules in the presence of tax avoidance
No. 528: Downsian competition in the absence of a Condorcet winner
No. 527: Which individuals make active investment decisions in the new Swedish pension system?
No. 526: Investor Protection and the Demand for Equity
No. 525: The Euro and Corporate Valuations
No. 524: Choosing Factors in a Multifactor Asset Pricing Model: A Bayesian Approach
No. 523: Interregional Inequality and Robin Hood Politics
No. 522: Taxation, Inequality and the Allocation of Talent
No. 521: The Swedish Model of Corporate Ownership and Control in Transition
No. 520: Financial Crisis in Emerging Markets and the Optimal Bailout Policy
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