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1.
Modeling inflation expectations in the U.K.
by Antoshin, Sergei, Ph.D.  The George Washington University. 2010: 120 pages; 3397674.
2.
Essays in Divisia monetary aggregation: Applications to the Gulf Monetary Union
by Alkhareif, Ryadh M., Ph.D.  University of Kansas. 2013: 144 pages; 3561105.
3.
Digital distance and economic development in Southeast Asia
by Hornback, Patricia, Ph.D.  Capella University. 2011: 109 pages; 3489642.
4.
Forecasting Inflation in Asian Economies
by Liew, Chian Fatt Freddy, M.Sc.  Singapore Management University (Singapore). 2012: 51 pages; 1519237.
5.
Two essays in empirical finance
by Parikh, Harsh, Ph.D.  EDHEC Business School (France). 2016: 119 pages; 10294580.
6.
Predicting a Currency Crisis Alternative Approaches and Applications to the Philippines
by Castillo, Fernando Antonio L., IV, M.Sc.  Singapore Management University (Singapore). 2006: 107 pages; 1489312.
7.
A New Measure of Quality of Life and Its Application in the Regions of the Russian Federation
by Safonov, Taras Aleksandrovich, M.A.  Western Illinois University. 2015: 113 pages; 1597385.
8.
Corruption and Economic Development in the Peoples' Republic of China
by Glenn, Collin T., M.A.  The University of Toledo. 2007: 44 pages; 10835918.
9.
Three essays on the evolution of government domestic debt in the emerging market countries
by Guscina, Anastasia, Ph.D.  The George Washington University. 2010: 175 pages; 3389403.
10.
Private Packet Filtering Searching for Sensitive Indicators without Revealing the Indicators in Collaborative Environments
by Oehler, Michael John, Ph.D.  University of Maryland, Baltimore County. 2013: 207 pages; 3609975.
11.
Bond risk premia in macroeconomic models
by Tsonev, Simeon, Ph.D.  Columbia University. 2009: 243 pages; 3374086.
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14.
Three Essays on Financial Development and Economic Growth
by Kim, Pilhyun, Ph.D.  The Ohio State University. 2006: 125 pages; 10835706.
15.
The economy of military engagement: An analysis of positive externalities of US troop deployments
by Garner, Thomas Nathaniel, M.P.P.  Georgetown University. 2014: 63 pages; 1554475.
16.
Stock markets and income inequality: A cross-country study
by Mathew, Elizabeth, M.Sc.  Singapore Management University (Singapore). 2009: 48 pages; 1478269.
17.
Forecasting recessions: The convergence of information and predictive analytics
by Naidoo, Jefrey Subramoney, Ph.D.  The University of Alabama. 2010: 164 pages; 3439830.
18.
The Macroeconomic Response to Oil Price Shocks from 1970-2013
by Sonmez, Sinem, Ph.D.  The New School. 2016: 171 pages; 10126041.
19.
The cyclical behavior of prices and inflation
by Li, Xue, Ph.D.  University of Missouri - Columbia. 2015: 139 pages; 10178996.
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22.
Macroeconomic Consequences of Sticky Prices and Sticky Information
by Kitamura, Tomiyuki, Ph.D.  The Ohio State University. 2008: 170 pages; 10631110.
24.
The decline of inflation and the bull market of 1982 to 1997
by Warr, Richard Simon, Ph.D.  University of Florida. 1998: 69 pages; 9926009.
26.
Essays in global linkages and business cycles
by Akin, Cigdem, Ph.D.  The George Washington University. 2009: 557 pages; 3360049.
27.
Economic, demographic and social factors of energy demand in Mexican households, 2008-2014
by Perez Pena, Rafael, D.E.D.  New Mexico State University. 2017: 74 pages; 10759030.
30.
Ghana and the resource curse
by Hubner, Armin, M.A.  Webster University. 2011: 112 pages; 1525124.
1 - 30 of 17769 displayed.
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