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Money Demand in Europe: Evidence from the Past

Year:    2001

Author:    Müller, Christian, Hahn, Elke

Credit and Capital Markets – Kredit und Kapital, Vol. 34 (2001), Iss. 1 : pp. 48–75

Abstract

The conditions under which European monetary policy is likely to be conducted are investigated by means of multi-variate time series modelling using aggregated data of all eleven European Monetary Union member states. A cointegration analysis identifies two stable long-run relationships one of which can be interpreted as a money demand function and a second one as a long term real interest rate (Fisher parity). Particular emphasis is given both to the data sources and their aggregation, by providing a transparent account of our calculation procedure, which is not yet common in the existing literature. (JEL E41, E52, C32)

Journal Article Details

Publisher Name:    Global Science Press

Language:    Multiple languages

DOI:    https://doi.org/10.3790/ccm.34.1.48

Credit and Capital Markets – Kredit und Kapital, Vol. 34 (2001), Iss. 1 : pp. 48–75

Published online:    2001-01

AMS Subject Headings:    Duncker & Humblot

Copyright:    COPYRIGHT: © Global Science Press

Pages:    28

Author Details

Müller, Christian

Hahn, Elke

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