Paul Pichler

Pichler

Forschungsschwerpunkte

  • macroeconomics
  • optimal policy
  • monetary-fiscal policy interactions
  • determination and sustainability of government debt

Ausgewählte Publikationen

Niemann, S., Pichler, P., Sorger, G. (2013). Central Bank Independence and the Monetary Instrument Problem. International Economic Review, International Economic Review, 54(3), 1031–1055, August.

Niemann, S., Pichler, P., Sorger, G. (2013). Public Debt, Discretionary Policy, and Inflation Persistence. Journal of Economic Dynamics and Control 37(6), 1097–1109.

Janssen, M., Pichler, P., Weidenholzer, S. (2011). Oligopolistic Markets with Sequential Search and Production Cost Uncertainty. The RAND Journal of Economics 42(3), 444–470.

Niemann, S., Pichler, P. (2011). Optimal Fiscal and Monetary Policies in the Face of Rare Disasters. European Economic Review 55(1), 75–92.

Pichler, P. (2011). Solving the Multi-Country Real Business Cycle Model Using a Monomial Rule Galerkin Method. Journal of Economic Dynamics and Control 35(2), 240–251.