Economic theory

Economic theory 



1 - 5 van 5 voor economic theory


Microsoft Word - don.doc
... limitations than in most later work. theory the framework for the theory of optimal economic policy was established by frisch (1950) and ... , constituting a scholarly style. rules are readily offered by economic theory, logic and the relevant 7 unlike one or two ... accounting system. this is how a model provides consistency with economic theory. in addition, using a model provides consistency over time. ...
cpb.nl


subsidiarity and economic reform europe pdf
... netherlands e-mail ruud.de.mooij cpb.nl ederveen, sjef directorate general for economic policy, ministry of economic affairs po box 20101, 2500 ec the hague, the netherlands e- ... concerning subsidiarity and because some economic research is under way to assess subsidiarity in these areas. moreover, the book takes an economic policy perspective. authors use economic theory and empirical research in ...
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DNB Onderzoeksrapporten - De Nederlandsche Bank
DNB Onderzoeksrapporten - De Nederlandsche Bank
... initially drive the interest rate risk premium below its equilibrium value, boosting real economic growth. when a downward correction of the outlook appears inevitable, collateral value ... structural convergence in the context of monetary integration. in addition, we operationalise oca theory to assess structural convergence within europe. the available evidence indicates considerable divergence ...
dnb.nl


beleggingsvisie november 2010 pdf
... 1.2 laat de prijsindex van de amerikaanse huizenmarkt zien. 1 schumpeter, j.a. the theory of economic development an inquiry into profits, capital, credit, interest, and the business cycle translated from ...
aegon.nl


Beleggingsvisie LTS november 2011 pdf
... op 95 procent van alle dagen euro verliest. ook economic capital werkt volgens deze methode. banken berekenen met economic capital hoeveel kapitaal ze moeten aanhouden, waarbij deze maatstaf ... free lunch' diversificatie van de portefeuille. mean-variance theory volgens de moderne portefeuilletheorie van markowitz, de mean-variance theory, zijn rendement en risico de belangrijkste factoren bij het ...
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