Centre for Finance, Credit and Macroeconomics (CFCM)

Publications 2008

CFCM staff have published recently in the Journal of the European Economic Association, the Economic Journal, the Journal of Economic Theory, the International Economic Review, Review of Economics and Statistics, the Journal of Monetary Economics, the Journal of International Economics, the Journal of Money, Credit and Banking, the Journal of Economic Dynamics and Control, the Journal of Health Economics, Economica and many more.

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2008 Working Papers
NumberAuthorTitle
08/10 Marta Aloi, Manuel Leite-Monteiro and Teresa Lloyd-Braga Unionized Labor Markets and Globalized Capital Markets published in Journal of International Economics(2009), Vol 78(1)
08/09 Simona Mateut, Spiros Bougheas and Paul Mizen Corporate trade credit and inventories: New evidence of a tradeoff from accounts payable and receivable, Published in Journal of Banking and Finance, (2009), Vol.33 (2), pp 300-307.
08/08 Christos Koulovatianos, Leonard J. Mirman and Marc Santugini Optimal Growth and Uncertainty: Learning, Published in Journal of Economic Theory, (2009), January, Vol. 144, pp. 280-295
08/07 Christos Koulovatianos, Carsten Schröder and Ulrich Schmidt Nonmarket Household Time and the Cost of Children, Published in Journal of Business and Economic Statistics (2009), January, Vol. 27(1), pp.42-51
08/06 Christiane Baumeister, Eveline Durinck and Gert Peersman Liquidity, Inflation and Asset Prices in a Time-Varying Framework for the Euro Area
08/05 Sophia Mueller-Spahn The Pass Through From Market Interest Rates to Retail Bank Rates in Germany
08/04 Maria Garcia-Vega and Alessandra Guariglia Volatility, Financial Constraints and Trade published in International Review of Economics and Finance, 21, 57-76, 2011.
08/03 Richard Disney and John Gathergood Housing Wealth, Liquidity Constraints and Self-Employment Published in Labour Economics, (2009) 16(1), 79-88.
08/02 Paul Mizen and Serafeim Tsoukas The response of the external finance premium in Asian corporate bond markets to financial characteristics, financial constraints and two financial crises published in Journal of Banking and Finance, (2012), November, Vol 36, pp. 3048-3059.  HKIMR Working Paper No. 14/2008, Hong Kong Monetary Authority.
08/01 Paul Mizen and Serafeim Tsoukas Modelling the Persistence of Credit Ratings When Firms Face Financial Constraints, Recessions and Credit Crunches published in International Journal of Forecasting, 28, 273–287,  2012 now renamed ‘Forecasting US Bond Default Ratings Allowing for Previous and Initial State Dependence in an Ordered Probit Model’.

Centre for Finance, Credit and Macroeconomics

Sir Clive Granger Building
University of Nottingham
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Enquiries: hilary.hughes@nottingham.ac.uk