INTEGRATED REAL FINANCIAL MODELING - A MACROECONOMETRIC APPLICATION FOR THE DUTCH ECONOMY

E STERKEN*

*Corresponding author for this work

Research output: Contribution to journalArticleAcademicpeer-review

1 Citation (Scopus)
Original languageEnglish
Pages (from-to)130-174
Number of pages45
JournalEconomic Modelling
Volume8
Issue number2
Publication statusPublished - Apr-1991

Keywords

  • PORTFOLIO MODELING
  • SPENDING FINANCIAL DECISIONS
  • PITFALLS APPROACH
  • PORTFOLIO SELECTION
  • EXPECTATIONS
  • EQUATIONS
  • BEHAVIOR

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