publicações selecionadas
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artigo académico
- Oil shocks and financial stability in MENA countries. Resources Policy. 2024
- Bitcoin market networks and cyberattacks. Physica A: Statistical Mechanics and its Applications. 2023
- Interest rate gaps in an uncertain global context: why “too” low (high) for “so” long?. Empirical Economics. 2023
- Do pandemic, trade policy and world uncertainties affect oil price returns?. Resources Policy. 2022
- The cement-in-cement technique is a reliable option in hip arthroplasty revision surgery: a systematic review. European Journal of Orthopaedic Surgery and Traumatology. 2020
- How does monetary policy respond to the dynamics of the shadow banking sector?. International Journal of Finance & Economics. 2020
- A Competing Risks Tale on Successful and Unsuccessful Fiscal Consolidations. Journal of International Financial Markets Institutions & Money. 2019
- On the duration of sovereign ratings cycle phases. Journal of Economic Behavior & Organization. 2019
- Do IMF fiscal forecasts add value?. Journal of Forecasting. 2018
- Energy prices and CO2 emission allowance prices: A quantile regression approach. Energy Policy. 2014
- How best to measure discretionary fiscal policy? Assessing its impact on private spending. Economic Modelling. 2013
- CONSUMPTION, WEALTH, STOCK AND GOVERNMENT BOND RETURNS: INTERNATIONAL EVIDENCE*. Manchester School. 2011
- The Impact of Fiscal Consolidation on Human Development. Journal of International Development.
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artigo de revista
- Assessing financial and housing wealth effects through the lens of a nonlinear framework. Research in International Business and Finance. 2017
- Income inequality, fiscal stimuli and political (in)stability. International Tax and Public Finance. 2017
- On the macroeconomic and wealth effects of unconventional monetary policy. Macroeconomic Dynamics. 2017
- Spillovers from the oil sector to the housing market cycle. Energy Economics. 2017
- Consumption, wealth, stock and housing returns: Evidence from emerging markets. Research in International Business and Finance. 2016
- Financial stress and sovereign debt composition. Applied Economics Letters. 2016
- Fiscal and monetary policies in the BRICS: A panel VAR approach. Economic Modelling. 2016
- Predicting asset returns in the BRICS: The role of macroeconomic and fundamental predictors. International Review of Economics & Finance. 2016
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An empirical analysis of energy cost pass-through to CO
2 emission prices. Energy Economics. 2015 - Can re-regulation of the financial sector strike back public debt?. Economic Modelling. 2015
- Consumption growth, preference for smoothing, changes in expectations and risk premium. Quarterly Review of Economics and Finance. 2015
- Do debt crises boost financial reforms?. Applied Economics Letters. 2015
- Fiscal consolidation and financial reforms. Applied Economics. 2015
- Is fiscal fatigue a threat to consolidation programmes?. Environment and Planning C-Government and Policy. 2015
- Linking wealth and labour income with stock returns and government bond yields. The European Journal of Finance. 2015
- Nonlinear effects of asset prices on fiscal policy: Evidence from the UK, Italy and Spain. Economic Modelling. 2015
- Testing for asymmetric causality between U.S. equity returns and commodity futures returns. Finance Research Letters. 2015
- US monetary policy and sectoral commodity prices. Journal of International Money and Finance. 2015
- What determines the likelihood of structural reforms?. European Journal of Political Economy. 2015
- Booms, busts and normal times in the housing market. Journal of Business & Economic Statistics. 2014
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Energy prices and CO
2 emission allowance prices: A quantile regression approach. Energy Policy. 2014 - Fiscal adjustments, labour market flexibility and unemployment. Economics Letters. 2014
- Nonlinear monetary policy reaction functions in large emerging economies: The case of Brazil and China. Applied Economics. 2014
- The Determinants of the Volatility of Fiscal Policy Discretion. Fiscal Studies. 2014
- The effects of monetary policy in a small open economy: the case of Portugal. Applied Economics. 2014
- The relationship between consumption and wealth : a quantile regression approach. Revue D Economie Politique. 2014
- Wealth, asset portfolio, money demand and policy rule. Bulletin of Economic Research. 2014
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What explain the short-term dynamics of the prices of CO
2 emissions?. Energy Economics. 2014 - Windfall gains and labour supply: evidence from the European household panel. Iza Journal of Labor Economics. 2014
- Fiscal policy in the BRICs. Studies in Nonlinear Dynamics and Econometrics. 2013
- Adjusting the U.S. fiscal policy for asset prices: evidence from a TVP-MS framework. Economic Modelling. 2013
- Commodity Prices, Inflationary Pressures, and Monetary Policy: Evidence from BRICS Economies. Open Economies Review. 2013
- Discretionary Government Consumption, Private Domestic Demand, and Crisis Episodes. Open Economies Review. 2013
- Fiscal policy and asset prices. Bulletin of Economic Research. 2013
- How best to measure discretionary fiscal policy? Assessing its impact on private spending 2013
- Modelling money demand: Further evidence from an international comparison. Applied Economics Letters. 2013
- Money demand in the euro area, the US and the UK: Assessing the role of nonlinearity. Economic Modelling. 2013
- Political, institutional, and economic factors underlying deficit volatility. Review of International Economics. 2013
- Structural breaks and nonlinearity in US and UK public debts. Applied Economics Letters. 2013
- The real effects of financial stress in the Eurozone. International Review of Financial Analysis. 2013
- Using time-varying transition probabilities in Markov switching processes to adjust US fiscal policy for asset prices. Economic Modelling. 2013
- What determines the duration of a fiscal consolidation program?. Journal of International Money and Finance. 2013
- Wealth, asset portofolio, money demand and policy rule 2012
- Financial reforms and income inequality. Economics Letters. 2012
- Fiscal adjustments and income inequality: A first assessment. Applied Economics Letters. 2012
- How Does Fiscal Consolidation Impact on Income Inequality?. Review of Income and Wealth. 2012
- How do banking crises impact on income inequality?. Applied Economics Letters. 2012
- How do central banks react to wealth composition and asset prices?. Economic Modelling. 2012
- How does fiscal policy react to wealth composition and asset prices?. Journal of Macroeconomics. 2012
- Investment in emerging market economies. Empirical Economics. 2012
- REAL EFFECTS OF MONETARY POLICY IN LARGE EMERGING ECONOMIES. Macroeconomic Dynamics. 2012
- The macroeconomic effects of fiscal policy. Applied Economics. 2012
- Time-varying expected returns: Evidence from the united states and the United Kingdom. Applied Economics Letters. 2012
- Wealth effects in emerging market economies. International Review of Economics & Finance. 2012
- Wealth-to-income ratio and stock returns: Evidence from the Euro Area. Applied Economics Letters. 2012
- What is the impact of wealth shocks on asset allocation?. Quantitative Finance. 2012
- Assessing long-term fiscal developments: A new approach. Journal of International Money and Finance. 2011
- Assessing long-term fiscal developments: Evidence from Portugal. Applied Economics Letters. 2011
- Building proxies that capture timevariation in expected returns using a VAR approach. Applied Financial Economics. 2011
- Can fiscal policy stimulus boost economic recovery. Revue Economique. 2011
- Consumption, wealth, stock and government bond returns: International evidence. Manchester School. 2011
- Fiscal regime shifts in Portugal. Portuguese Economic Journal. 2011
- Fundamentals, Financial Factors, and the Dynamics of Investment in Emerging Markets. Emerging Markets Finance and Trade. 2011
- The Impact of Government Spending on the Private Sector: Crowding-out versus Crowding-in Effects. Kyklos. 2011
- The macroeconomic effects of fiscal policy in Portugal: A Bayesian SVAR analysis. Portuguese Economic Journal. 2011
- Wealth, labour income, stock returns and government bond yields and financial stress in the euro area. Applied Economics Letters. 2011
- What are the effects of fiscal policy on asset markets?. Economic Modelling. 2011
- Perfil do trabalhador e da empresa de baixos salários em Portugal 2000
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documento
- Improving lithium ion battery performance by computer simulations of their interdigitated structure 2015
- Recursive preferences, consumption smoothing and risk premium 2014
- Asymmetric and nonlinear pass-through of energy prices to CO2 emission allowance prices 2014
- Energy prices and CO2 emission allowance prices : a quantile regression approach 2014
- What explains the short-term dynamics of the prices of CO2 emissions? 2014
- Adjusting the U.S. fiscal policy for asset prices: evidence from a TVP--MS framework 2012
- Are there change-points in the likelihood of a fiscal consolidation ending? 2012
- Consumption and wealth in the US, the UK and the Euro Area : a nonlinear investigation 2012
- Financial reforms and income inequality 2012
- Fiscal adjustments and income inequality: a first assessment 2012
- Is technology factor-neutral? Evidence from the US manufacturing sector 2012
- Modelling money demand : further evidence from an international comparison 2012
- Money demand in the euro area, the US and the UK : assessing the role of nonlinearity 2012
- Structural breaks and nonlinearity in US and UK public debt 2012
- The effects of monetary policy in a small open economy : the case of Portugal 2012
- What determines the duration of a fiscal consolidation program? 2012
- Asset returns under model uncertainty: evidence from the euro area, the U.K. and the U.S. 2011
- Do windfall gains affect labour supply? evidence from the european household panel 2011
- Fiscal policy in the BRICs 2011
- How does fiscal policy react to wealth composition and asset prices? 2011
- Monetary policy rules in the BRICS : how important is nonlinearity? 2011
- Wealth, labour income, stock returns and government bond yields, and financial stress in the euro area 2011
- Consumption, wealth, stock and government bond returns : international evidence 2011
- Are stock and housing returns complements or substitutes? Evidence from OECD countries 2011
- Consumption, wealth, stock and housing returns : evidence from emerging markets 2011
- Fiscal consolidation and income inequality 2011
- Fiscal policy discretion, private spending, and crisis episodes? 2011
- How do banking crises impact on income Inequality? 2011
- The real effects of financial stress in the Euro zone 2011
- Collateralizable wealth, asset returns, and systemic risk : international evidence 2010
- Fiscal policy and asset prices 2010
- How do Central Banks react to wealth composition and asset prices? 2010
- How do consumption and asset returns react to wealth shocks? Evidence from the U.S. and the U.K 2010
- The consumption-wealth ratio and asset returns : the Euro Area, the UK and the US 2010
- Time-varying expected returns : evidence from the U.S. and the U.K 2010
- Fiscal regime shifts in Portugal 2009
- Tratamento artroscópico de lesões do ligamento lunopiramidal. A propósito de dois casos clínicos 2009
- Expectations, shocks, and asset returns 2007
- Wealth shocks and risk aversion 2007
- Consumption, (Dis) aggregate wealth and asset returns 2005
- Property of stocks and wealth effects on consumption 2003
- Indicadores de localização, especialização e diversificação e análise e análise shift–share : uma aplicação às NUT III da Região Norte no período 1986-1998 2001
- Perfil do trabalhador e da empresa de baixos salários em Portugal 2000
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teses