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Domenico Delli Gatti | Akateeminen Kirjakauppa

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Macroeconomics from the Bottom-up
Tekijä: Domenico Delli Gatti; Saul Desiderio; Edoardo Gaffeo; Pasquale Cirillo; Mauro Gallegati
Kustantaja: Springer (2011)
Saatavuus: Noin 17-20 arkipäivää
EUR   49,60
Interaction and Market Structure - Essays on Heterogeneity in Economics
Tekijä: Domenico Delli Gatti; Mauro Gallegati; Alan P. Kirman
Kustantaja: Springer-Verlag Berlin and Heidelberg GmbH & Co. KG (2000)
Saatavuus: Noin 17-20 arkipäivää
EUR   97,90
Macroeconomics from the Bottom-up
Tekijä: Domenico Delli Gatti; Saul Desiderio; Edoardo Gaffeo; Pasquale Cirillo; Mauro Gallegati
Kustantaja: Springer (2013)
Saatavuus: Noin 17-20 arkipäivää
EUR   49,60
Agent-Based Models in Economics: A Toolkit
Tekijä: Domenico Delli Gatti; Giorgio Fagiolo; Mauro Gallegati; Matteo Richiardi; Alberto Russo
Kustantaja: Cambridge University Press (2018)
Saatavuus: | Arvioimme, että tuote lähetetään meiltä noin 1-3 viikossa
EUR   33,80
Emergent Macroeconomics
Tekijä: Domenico Delli Gatti; Edoardo Gaffeo; Mauro Gallegati
Kustantaja: SPRINGER VERLAG GMBH (2009)
Saatavuus: Ei tiedossa
EUR   64,30
Agent-Based Models in Economics: A Toolkit
Tekijä: Domenico Delli Gatti; Giorgio Fagiolo; Mauro Gallegati; Matteo Richiardi; Alberto Russo
Kustantaja: Cambridge University Press (2018)
Saatavuus: | Arvioimme, että tuote lähetetään meiltä noin 1-3 viikossa
EUR   117,20
    
Springer
Sivumäärä: 124 sivua
Asu: Kovakantinen kirja
Painos: 2011
Julkaisuvuosi: 2011, 18.04.2011 (lisätietoa)
Kieli: Englanti
This book arose from our conviction that the NNS-DSGE approach to the analysis of aggregate market outcomes is fundamentally flawed. The practice of overcoming the SMD result by recurring to a fictitious RA leads to insurmountable methodological problems and lies at the root of DSGE models’ failure to satisfactorily explain real world features, like exchange rate and banking crises, bubbles and herding in financial markets, swings in the sentiment of consumers and entrepreneurs, asymmetries and persistence in aggregate variables, and so on. At odds with this view, our critique rests on the premise that any modern macroeconomy should be modeled instead as a complex system of heterogeneous interacting individuals, acting adaptively and autonomously according to simple and empirically validated rules of thumb.
We call our proposed approach Bottom-up Adaptive Macroeconomics (BAM). The reason why we claim that the contents of this book can be inscribed in the realm of macroeconomics is threefold:
i) We are looking for a framework that helps us to think coherently about the interrelationships among two or more markets. In what follows, in particular, three markets will be considered: the markets for goods, labor and loanable funds. In this respect, real time matters: what happens in one market depends on what has happened, on what is happening, or on what will happen in other markets. This implies that intertemporal coordination issues cannot be ignored.
ii) Eventually, it’s all about prices and quantities. However, we are mostly interested in aggregate prices and quantities, that is indexes built from the dispersed outcomes of the decentralized transactions of a large population of heterogeneous individuals. Each individual acts purposefully, but she knows anything about the levels of prices and quantities which clear markets in the aggregate.
iii) In the hope of being allowed to purport scientific claims, BAM relies on the assumption that individual purposefulbehaviours aggregates into regularities. Macro behaviour, however, can depart radically from what the individual units are trying to accomplish. It is in this sense that aggregate outcomes emerge from individual actions and interactions.

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