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Risk aversion, uncertainty, and monetary policy: structural vector autoregressions identified with high-frequency external instruments - MaRDI portal

Risk aversion, uncertainty, and monetary policy: structural vector autoregressions identified with high-frequency external instruments (Q2292745)

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Risk aversion, uncertainty, and monetary policy: structural vector autoregressions identified with high-frequency external instruments
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    Risk aversion, uncertainty, and monetary policy: structural vector autoregressions identified with high-frequency external instruments (English)
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    5 February 2020
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    risk aversion
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    uncertainty
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    monetary policy
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    structural vector autoregression
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    high-frequency data
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