Search

Add filters:

Use filters to refine the search results.


Results 651-660 of 752.
Year of PublicationTitleAuthor(s)
2021Boligmarkedet i pandemiåret 2020Lindquist, Kjersti-Gro; Mæhlum, Sverre; Vatne, Bjørn Helge; Wold, Ella Getz
1994Early Warning Indicators for Norwegian Banks: A Logit Analysis of the Experiences from the Banking CrisisBerg, Sigbjørn Atle; Hexeberg, Barbro
2011Myths and Facts About the Alleged Over-Pricing of U.S. Real Estate. Evidence from Multi-Factor Asset Pricing Models of REIT ReturnsGuidolin, Massimo; Ravazzolo, Francesco; Tortora, Andrea Donato
2016Bankenes etterspørsel og kredittpraksis siden 2008: Resultater fra Norges Banks utlånsundersøkelseLindquist, Kjersti-Gro; Mundal, Olav M.K.; Riiser, Magdalena D.; Solheim, Haakon
2012The Flows of the Pacific: Asian Foreign Exchange Markets Through Tranquility and TurbulenceRime, Dagfinn; Tranvåg, Hans Jørgen
2012The Financial Accelerator and the Real Economy: A Small Macroeconometric Model for Norway with Financial FrictionsHammersland, Roger; Træe, Cathrine Bolstad
2012House Prices, Credit Growth, and Excess Volatility: Implications for Monetary and Macroprudential PolicyGelain, Paolo; Lansing, Kevin J.; Mendicino, Caterina
2009Overconfidence, Monetary Policy Committees and Chairman DominanceClaussen, Carl Andreas; Matsen, Egil; Røisland, Øistein; Torvik, Ragnar
2009Price Stability and Inflation Persistence During the International Gold Standard: The Scandinavian CaseGrytten, Ola Honningdal; Hunnes, Arngrim
1994Inn i den svarte boksen: Om kausalitet i makroøkonomiske modellerGrønvik, Gunnvald