prof. dr. S.J.G. (Sweder) van Wijnbergen
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Faculty of Economics and Business
Section Macro & International Economics
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Valckenierstraat
65
1018 XE Amsterdam
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S.J.G.vanWijnbergen@uva.nl
T: 0205254206
T: 0205254252
Position
Professor
Teaching
International economics, transition economics, growth theory.
Research interests
Fiscal, monetary, and exchange rate policy, development economics, open economy macroeconomics.
Short Biography
Sweder van Wijnbergen received his PhD from MIT in 1980. From 1980 to 1992, he worked as an economist at the Worldbank. Since 1992 he has been a professor at the University of Amsterdam, interrupted by a position as "secretaris-generaal" at the Ministry of Economic Affairs.
2015
- S.J.G. van Wijnbergen & T. Willems (2015). Learning dynamics and support for economic reforms: Why good news can be bad. The World Bank Economic Review. doi: 10.1093/wber/lhu005[go to publisher's site]
- S.J.G. van Wijnbergen & T. Willems (2015). Optimal learning on climate change: Why climate skeptics should reduce emissions. Journal of Environmental Economics and Management, 70 (-), 17-33. doi: 10.1016/j.jeem.2014.12.002[go to publisher's site]
2014
- A. Schabert & S.J.G. van Wijnbergen (2014). Sovereign default and the stability of inflation targeting regimes. IMF Economic Review, 62 (2), 261-287. doi: 10.1057/imfer.2014.8[go to publisher's site]
- C.G.F. van der Kwaak & S.J.G. van Wijnbergen (2014). Financial fragility, sovereign default risk and the limits to commercial bank bail-outs. Journal of Economic Dynamics & Control, 43, 218-240. doi: 10.1016/j.jedc.2014.03.011[go to publisher's site]
2013
- S. Zaheer, S. Ongena & S.J.G. van Wijnbergen (2013). The transmission of monetary policy through conventional and Islamic banks. International Journal of Central Banking, 9 (4), 175-224.
- S. van Wijnbergen & T. Willems (2013). Imperfect information, lagged labour adjustment, and the Great Moderation. Oxford Economic Papers, 65 (2), 219-239. doi: 10.1093/oep/gps037
2012
- S. van Wijnbergen & A. France (2012). Assessing debt sustainability in a stochastic environment: 200 years of Dutch debt and deficit management. De Economist, 160 (3), 219-236. doi: 10.1007/s10645-012-9188-7
2011
- S. van Wijnbergen & N. Budina (2011). Fiscal sustainability, volatility and oil wealth: a stochastic analysis of fiscal spending rules. Economics of Transition, 19 (4), 639-666. doi: 10.1111/j.1468-0351.2011.00425.x
2009
- N. Budina, S. van Wijnbergen & Y. Li (2009). Managing volatility: fiscal policy, debt management, and oil revenues in the Republic of Congo. In C.A.P. Braga & D. Dömeland (Eds.), Debt relief and beyond: Lessons learned and challenges ahead (pp. 373-403). Washington, D.C.: World Bank Publications.
- N. Budina & S. van Wijnbergen (2009). Quantitative approaches to fiscal sustainability analysis: a case study of Turkey since the 2001 crisis. The World Bank Economic Review, 23 (1), 119-140.
2008
- L. Bandiera, N. Budina & S. van Wijnbergen (2008). "How to" of fiscal sustainability in oil-rich countries: the case of Azerbaijan. In Proceedings of the Banca d’Italia Public Finance workshop '' Fiscal Sustainability: Analytical Developments and Emerging Policy Issues'' (pp. 29-48). Roma: Bank of Italy.[go to publisher's site]
- N. Budina & S. van Wijnbergen (2008). Managing oil revenue volatility in Nigeria: The role of fiscal policy. In D.S. Go & J. Page (Eds.), Africa at a turning point? Growth, aid, and external shocks (Africa development essays) (pp. 427-459). Washington, D.C.: World Bank.
2003
- S.J.G. van Wijnbergen & N. Budina (2003). Guarantees as Options: An Evalutation of Foreign Debt Restructuring Agreements. In H. Polackova Brixi, A. Schick & S.J.G..van Wijnbergen (Eds.), Government at Risk: Contingent Lisabilities and Fiscal Risk.
2001
- S.J.G. van Wijnbergen & N. Budina (2001). Inflation Stabilization, Fiscal Deficits and Public Debt Management in Poland. Journal of Comparative Economics, 29 (2), 293-309.
1999
- S.J.G. van Wijnbergen (1999). On the Role of Commercial Banks in Enterprise Restructuring: Lessons from Poland, Hungary and Slovenia. In R. Layard (Ed.), Lessons from the Transition in Eastern Europe (pp. ?-?). Cambridge: MIT Press.
- S.J.G. van Wijnbergen & A. Estache (1999). Evaluating the Minimum Asset Tax on Corporations: an Otion Pricing Approach. Journal of Public Economics, 75-96.
1997
- S.J.G. van Wijnbergen (1997). On the role of commercial banks in enterprise restructuring: the Polish example. Journal of Comparative Economics, 21, 44-64.
- S.J.G. van Wijnbergen & N. Budina (1997). Debt management and inflation stabilization in Bulgaria. In Transition in Eastern Europe: Current issues and perspectives (Beihefte der Konjunkturpolitik, 45) (pp. 93-111). Berlijn: Duncker & Humbolt.
- S.J.G. van Wijnbergen & A. Marcincin (1997). The impact of Czech privatisation methods on enterprise performance incorporating initial selection bias correction. In H. Kierzkowski & C. Allsopp (Eds.), Economics of Transition in Eastern and Central Europe (pp. 289-305). Oxford: Oxford University Press.
- S.J.G. van Wijnbergen & N. Budina (1997). Fiscal policies in Eastern Europe. Oxford Review of Economic Policy, 13 (2), 47-64.
- S.J.G. van Wijnbergen & T. Erol (1997). Real Exchange Rate Targeting and inflation in Turkey: an empirical analysis with policy credibility. World Development, 25, 1717-1730.
1995
- S.J.G. van Wijnbergen & A.W.A. Boot (1995). Financial architecture design, regulation and deposit insurance in Eastern Europe. In J. Rostowsky (Ed.), Banking reform in Central Europe and the former Soviet Union. Budapest: Central European university press.
- S.J.G. van Wijnbergen & C. van Ewijk (1995). Can abatement resolve the conflict between economic growth and the environment? De Economist, 143, 197-216.
- S.J.G. van Wijnbergen (1995). Agriculture in the Mexico-US free trade agreement: Transition problems in economic reform. The American Economic Review, 85 (4), 738-754.
- S.J.G. van Wijnbergen (1995). Mexico after the debt crisis: On sustainability and growth. Journal of Development Economics, 32, 15-22.
- S.J.G. van Wijnbergen, H. Eggerstedt & R. Hall (1995). Measuring capital flight: A case study of Mexico. World Development, 23 (2), 211-232.
2014
- A.W.A. Boot & S.J.G. van Wijnbergen (2014). Banking without foundation: observations from the Dutch discussion. In A.R. Admati (Ed.), Towards a better understanding of the capitalization of banks (Topics in Corporate Finance, 23) (pp. 73-79). Amsterdam: Amsterdam Center for Corporate Finance (ACCF).
2013
- J. Lammers, S.J.G. van Wijnbergen & D. Willebrands (2013). Condom use, risk perception, and HIV knowledge: a comparison across sexes in Nigeria. HIV/AIDS, 5, 283-293. doi: 10.2147/HIV.S31687
2010
- C. Franken & S. van Wijnbergen (2010). Private capital flows to low income countries: country-specific effects and the Lucas Paradox. (intern rapport, Tinbergen Institute Discussion Papers, no TI 2010-003/2). Amsterdam: Faculteit Economie en Bedrijfskunde.[go to publisher's site]
- M. Chervin & S. van Wijnbergen (2010). Economic growth and the volatility of foreign aid. (intern rapport, Tinbergen Institute Discussion Papers, no TI 2010-002/2). Amsterdam: Faculteit Economie en Bedrijfskunde.[go to publisher's site]
- B. Baarsma, J. Weda & S. van Wijnbergen (2010). Evaluatie ingroeimodel maart 2010: Eindresultaten. (unknown, SEO-rapport, no 2010-20). Amsterdam: SEO.
2009
- B. Baarsma, J. Weda & S. van Wijnbergen (2009). Van OVO naar CAO op de geliberaliseerde postmarkt. (extern rapport, SEO-rapport, no 2009--13). Amsterdam: SEO.
- T. Willems & S. van Wijnbergen (2009). Imperfect information, lagged labor adjustment and the Great Moderation. (intern rapport, Tinbergen Institute Discussion Papers, no TI 2009-063/2). Amsterdam: Faculteit Economie en Bedrijfskunde.[go to publisher's site]
- C. Münch & S. van Wijnbergen (2009). Education and labor market activity of women: an age-group specific empirical analysis. (intern rapport, Tinbergen Institute Discussion Papers, no TI 2009-099/2). Amsterdam: Faculteit Economie en Bedrijfskunde.[go to publisher's site]
2008
- N. Budina & S. van Wijnbergen (2008). Fiscal sustainability and oil wealth: Managing oil and gas volatility in Azerbaijan. (intern rapport). onbekend: Afdeling Algemene Economie.
- S.J.G. van Wijnbergen & N. Budina (2008). Fiscal policy in Russia: On deficits, oil revenues and fiscal sustainability. (extern rapport). Washington: World Bank.
- S.J.G. van Wijnbergen (2008). The permanent income approach in practice: a policy guide to sustainable fiscal policy in oil rich countries. (extern rapport). Washington: World Bank.
- S.J.G. van Wijnbergen (2008). The permanent income approach in practice: a policy guide to sustainable fiscal policy in Azerbaijan. (extern rapport). Washington: World Bank.
2006
- A. Schabert & S.J.G. van Wijnbergen (2006). Debt, Deficits and Destabilizing Monetary Policy in Open Economies. (intern rapport, CEPR Discussion Paper, no 5590). Amsterdam: Faculteit Economie en Bedrijfskunde.
- O. Schellekens & S. van Wijnbergen (2006). Over hulp en aids in Afrika: armoedebestrijding door een grotere toegang tot gezondheidszorg en hiv/aids-behandeling in Afrika ten zuiden van de Sahara. In R. Bosman, B. Goderis, O. Schellekens, I. Schrijvers, H. Verbon & S. van Wijnbergen (Eds.), Nieuwe vormen van ontwikkelingshulp (Preadviezen van de Koninklijke Vereniging voor de Staathuishoudkunde, 2006) (pp. 59-80). Amsterdam: Koninklijke Vereniging voor de Staathuishoudkunde.
2005
- B. Jacobs & S.J.G. van Wijnbergen (2005). Capital market failure, adverse selection and optimal financing of higher education. (unknown, Tinbergen Institute Discussion Paper, no 05-036/3). : .
- S.J.G. van Wijnbergen (2005). Discussion of Sakellaris. [Review of the book Capital Quality Improvement and the Sources of Economic Growth in the Euro Area]. Economic Policy, 20(42), 288-289.
2001
- S.J.G. van Wijnbergen & N. Budina (2001). Fiscal Deficits, Monetary Reform and Inflation Stabilization in Romania. Journal of Policy Reform, 4 (3), 165--.
2000
- B. Jacobs & S.J.G. van Wijnbergen (2000). Optimal Financing of Education with Imperfect Capital Markets and Risk. Mimeo.
1999
- S.J.G. van Wijnbergen & N. Budina (1999). Inflation Stabilization, Fiscal Defecits and Public Debt Management in Poland. Discussion paper - Tinbergen Institute.
- S.J.G. van Wijnbergen (1999). Toekomst van het marktwerkingsbeleid? Economisch-Statistische Berichten, 84 (4213), 529-531.
- S.J.G. van Wijnbergen (1999). Naar nieuwe internationale spelregels? Economisch-Statistische Berichten, 84 (4183), 4-8.
1998
- S.J.G. van Wijnbergen (1998). Economic Growth and the Environment. CBS News.
- S.J.G. van Wijnbergen (1998). Nederland weer aan het werk (Towards full Employment in the Netherlands). Economisch-Statistische Berichten, 83 (4135), 4-8.
1995
- S.J.G. van Wijnbergen & C. Doyle (1995). Taxation of foerign multinationals: a sequential bargaining approach to tax holidays. International Tax and Public Finance, 1, 211-225.
- S.J.G. van Wijnbergen (1995). Transition problems in economic reform: agriculture in the North American free trade agreement. The American Economic Review, 85 (sep), 738-742.
- S.J.G. van Wijnbergen & C. Doyle (1995). Taxation of foreign multinationals: A sequential bargaining approach to tax holidays. (extern rapport, Discussion paper, no no. 25). Stockholm, Zweden: Institute for international economic studies.
1993
- S.J.G. van Wijnbergen & I. Arslan (1993). Export incentives, exchange rate policy and export growth in Turkey. Review of Economics and Statistics, 75 (1), 128-134.
- S.J.G. van Wijnbergen & C.A.M.F. Claessens (1993). Secondary market prices and Mexico's Brady Deal. The Quarterly Journal of Economics, 108 (nov), 965-983.
- S.J.G. van Wijnbergen & T. Persson (1993). Signalling, wage controls and monetary disinflation policy. Economic Journal, 103 (416), 79--.
1992
- S.J.G. van Wijnbergen (1992). Shortage and price decontrol. European Economic Review, 36 (2/3 (apr)), 426--.
- S.J.G. van Wijnbergen (1992). Trade reform, policy uncertainty, and the current account: a non expected-utility approach. The American Economic Review, 82 (3 - jun), 626--.
- S.J.G. van Wijnbergen (1992). Cash/debt buy-backs and the insurance value of reservers. European Economic Review, 36 (2/3 (apr)), 426--.
- S.J.G. van Wijnbergen (1992). Intertemporal speculation, shortages and the political economy of price reform. Economic Journal, 102 (415), 1395--.
1991
- S.J.G. van Wijnbergen (1991). Fiscal deficits, exchange rate crises and inflation. The Review of Economic Studies, 58 (193 (Jan)), 81-92.
1990
- S.J.G. van Wijnbergen, L. Feltenstein & D. Lebow (1990). Savings, Commodity Market Rationing, and the Real Rate of Interest in China. Journal of International Economics, 22 (2 (May)), 234--.
- S.J.G. van Wijnbergen (1990). Capital Controls and the Real Exchange Rate. Economica, 57 (225 (Feb)), 15--.
1989
- S.J.G. van Wijnbergen & L.E.O. Svensson (1989). Excess capicity, monopolistic competition, and international transmission of monetary disturbances. Economic Journal, 99 (397 (Sep)), 785--.
- S.J.G. van Wijnbergen (1989). Financial policy and speculative runs with a crawling peg: Argentina 1979-1981. Journal of International Economics, 27 (1/2 (Aug)), 111--.
1988
- S.J.G. van Wijnbergen (1988). Monopolistic competition, credibility and the output costs of disinflation programs. Journal of Development Economics, 29 (3 (Nov)), 375--.
1987
- S.J.G. van Wijnbergen (1987). Government deficits, private investment and the current account: an intertemporal disequilibrium analysis. Economic Journal, 97 (387 (Sep)), 596--.
1986
- S.J.G. van Wijnbergen & S. Edwards (1986). The welfare effects of trade and capital market liberalization. International Economic Review, 27 (1 (Feb)), 141--.
- S.J.G. van Wijnbergen (1986). On fiscal deficits, the real exchange rate and the world rate of interest. European Economic Review, 30 (5 (Oct)), 1013--.
1985
- S.J.G. van Wijnbergen (1985). Oil price shocks, unemployement, investment and the current account: an intertemporal disequilibrium analysis. The Review of Economic Studies, 52 (171 (Oct)), 627--.
- S.J.G. van Wijnbergen & L. Deepak (1985). Government deficits, the real interest rate and Ldc debt. European Economic Review, 29 (2 (Nov)), 157--.
- S.J.G. van Wijnbergen (1985). Optimal capital accumulation and the allocation of investment between traded and nontraded sectors in oil-producing countries. The Scandinavian Journal of Economics, 87 (1), 89--.
1984
- S.J.G. van Wijnbergen (1984). The 'Dutch disease': a disease after all? Economic Journal, 94 (373), 41--.
1983
- S.J.G. van Wijnbergen (1983). Credit policy, inflation and growth in a financially repressed economy. Journal of Development Economics, 13 (1/2), 45--.
2014
- S. Chan & S. van Wijnbergen (2014). CoCo’s en het risico van een nieuwe crisis. Economisch-Statistische Berichten, 99 (4695), 612-615.[go to publisher's site]
- S. van Wijnbergen (2014). Witteveen, het IMF en de mondiale liquiditeitscrisis van de zeventiger jaren. Economisch-Statistische Berichten, 99 (4685), 302.
2013
- S. van Wijnbergen & A. Boot (2013). Dwing banken tot grotere kapitaalbuffers. (blog). Economisch-Statistische berichten. (available: 02 dec 2013). [go to publisher's site]
- T. Homar, C. van der Kwaak & S. van Wijnbergen (2013). Herkapitalisatie banken schept ruimte voor stimulering. Economisch-Statistische Berichten, 98 (4664/4665), 422-425.
- T. Homar, C. van der Kwaak & S. van Wijnbergen (2013). Bankherkapitalisatie schept ruimte voor stimuleringsbeleid. Economisch-Statistische Berichten, 98 (4664&4665), 422-425.[go to publisher's site]
- A. Boot & S. van Wijnbergen (2013). Bankieren op drijfzand. Economisch-Statistische Berichten, 98 (4674/4675), 742-745.
- A. Boot & S. van Wijnbergen (2013). Bankiers hopen op overheid die 'penny wise and pound foolish' is. Me Judice : Economen in Debat, 2013 (02-12).
2012
- A. Boot, L. Bovenberg & S. van Wijnbergen (2012). Het eigen huis op orde. Me Judice : Economen in Debat, 2012 (23-03-2012).
2011
- R. Beetsma, T. Kocken & S. van Wijnbergen (2011). Aanpassingen voor een fair pensioenakkoord. Economisch-Statistische Berichten, 96 (4618), 554-557.
- B. Baarsma & S. van Wijnbergen (2011). Uitwerking arbeidsovereenkomstenfonds op de postmarkt: vanuit mededingingsperspectief. (unknown, 2011, no 12). Amsterdam: SEO.
2006
- S.J.G. van Wijnbergen (2006). Een zeepbel van twaalf miljard. Economisch-Statistische Berichten, 4482.
2014
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (2014, March 11). Discussie over doorsneepremie misleidend. Het Financieele Dagblad
2013
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (2013, November 14). Pleidooi voor loonstijging slaat plank mis. Het Financieele Dagblad
- A.W.A. Boot & S.J.G. van Wijnbergen (2013, December 06). Het ontbreekt bankiers aan kennis van de eigen sector. Het Financieele Dagblad, pp. 11-11.
- A.W.A. Boot & S.J.G. van Wijnbergen (2013, December 02). Dwing banken tot grotere buffer. NRC Handelsblad, pp. 17-17.
2012
- A.W.A. Boot, A.L. Bovenberg & S.J.G. van Wijnbergen (2012, March 22). De kaasschaaf zal ons deze keer niet helpen. NRC Handelsblad, pp. Opinie17-Opinie17.
2011
- A.W.A. Boot & S. van Wijnbergen (2011, December 08). Eindelijk een agenda voor de lange termijn. NRC Handelsblad, pp. 16-17.
- A.W.A. Boot, A.L. Bovenberg, B. Jacobs & S. van Wijnbergen (2011, September 20). Alleen bezuinigingen is niet de oplossing voor de eurocrisis. NRC Handelsblad, pp. 10-10.
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (). Failliet pensioenstelsel is onzin. Financieel Dagblad
2010
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (2010, September 18). Waarschuwing aan nieuw kabinet: neem pensioenakkoord niet over. NRC Handelsblad, Opinie & Debat
- A.W.A. Boot, S.J.G. van Wijnbergen, L. Bovenberg & B. Jacobs (2010, October 01). Voor economie lost dit akkoord vrijwel niets op. NRC Handelsblad, pp. 11-11.
2009
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (2009, June 09). Paniekvoetbal over tijdelijk lage rentes. NRC Handelsblad
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (2009, June 08). Dreig niet met verlaging van pensioen. NRC Handelsblad
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (2009, June 25). Herstelbeleid pensioenfonds te star. Het Financieele Dagblad
2007
- R.M.W.J. Beetsma & S.J.G. van Wijnbergen (2007, March 14). Zalm-norm geen zegen maar bron van instabiliteit. Trouw
2014
- L. Zhao & S. van Wijnbergen (2014). Decision making in incomplete markets with ambiguity -- a case study of a gas field acquisition. (Preprints, Tinbergen Institute Discussion Paper / DSF research paper, no TI14-149/VI). Amsterdam / Rotterdam: Tinbergen Institute / Duisenberg school of finance.
2013
- S. van Wijnbergen & C. van der Kwaak (2013). Financial fragility and the fiscal multiplier. (Preprints, Tinbergen Institute Discussion Paper/DSF Research Paper, no TI 14-004/VI/DSF70). Amsterdam/Rotterdam: Tinbergen Institute/Duisenberg School of Finance.
- L. Zhao & S. van Wijnbergen (2013). A real option perspective on valuing gas fields. (Preprints, Tinbergen Institute Discussion Paper / DSF research paper, no TI13-126/VI/DSF60). Amsterdam / Rotterdam: Tinbergen Institute / Duisenberg school of finance.
- S. van Wijnbergen & C. van der Kwaak (2013). Financial fragility, sovereign default risk and the limits to commercial bank bail-outs. (Preprints, Tinbergen Institute Discussion Paper / DSF research paper, no TI13-179/IV/DSF65). Amsterdam / Rotterdam: Tinbergen Institute / Duisenberg school of finance.[go to publisher's site]
- C. van der Kwaak & S. van Wijnbergen (2013). Long term government debt, financial fragility, and sovereign default risk. (Preprints, Tinbergen Institute Discussion Paper / DSF research paper, no TI13-052/VI/DSF 55). Amsterdam / Rotterdam: Tinbergen Institute / Duisenberg school of finance.
- T. Homar & S. van Wijnbergen (2013). On Zombie Banks and Recessions after Systemic Banking Crises: Government Intervention Matters. (Preprints, Tinbergen Institute Discussion Papers / DSF research papers, no 13-039/VI/DSF54). Amsterdam / Rotterdam: Tinbergen Institute / Duisenberg school of finance.[go to publisher's site]
2012
- M. Koudstaal & S. van Wijnbergen (2012). On risk, leverage and banks: do highly leveraged banks take on excessive risk? (Preprints, Duisenberg school of finance - Tinbergen Institute Discussion Paper, no TI2012-022/2/DSF31). Amsterdam / Rotterdam: Tinbergen Institute.[go to publisher's site]
- M. Kirchner & S. van Wijnbergen (2012). Fiscal deficits, financial fragility, and the effectiveness of government policies. (Preprints, Tinbergen Institute Discussion Paper, no TI2012-044/2). Amsterdam / Rotterdam: Tinbergen Institute.
- S. Zaheer, S. Ongena & S. van Wijnbergen (2012). The transmission of monetary policy through conventional and islamic banks. (Preprints, Tinbergen Institute Discussion Paper, no TI2012-048/2). Amsterdam / Rotterdam: Tinbergen Institute.[go to publisher's site]
- S. van Wijnbergen & T. Willems (2012). Optimal learning on climate change: why climate skeptics should reduce emissions. (Preprints, Tinbergen Institute Discussion Paper, no TI2012-085/2). Amsterdam / Rotterdaam: Tinbergen Institute.[go to publisher's site]
- S. van Wijnbergen & T. Willems (2012). Learning dynamics and the support for economic reforms: why good news can be bad. (Preprints, Tinbergen Institute Discussion Paper, no TI2012-043/2). Amsterdam / Rotterdam: Tinbergen Institute.[go to publisher's site]
2011
- J. Lammers, S. van Wijnbergen & D. Willebrands (2011). Gender differences, HIV risk perception and condom use. (Preprints, Tinbergen Institute Discussion Paper, no TI2011-51/2). Amsterdam: Tinbergen Institute.
- A. Schabert & S.J.G. van Wijnbergen (2011). Sovereign default and the stability of inflation targeting regimes. (Preprints, Tinbergen Institue Discussion Paper, no TI11-064/2). Amsterdam/Rotterdam: Tinbergen Institute.
- S. van Wijnbergen & L. Treur (2011). State aid and bank intervention: the ING Illiquid Assets Back-up Facility (IABF). (Preprints, Tinbergen Institute Discussion Paper, no TI 11-146). Amsterdam/Rotterdam: Tinbergen institute.
- J. Lammers, S. van Wijnbergen & D. Willebrands (2011). Gender differences, HIV risk perception and condom use. (extern rapport, Tinbergen Institute discussion paper, no TI 2011-051/2). Amsterdam: Tinbergen Institute.
- S. van Wijnbergen & N. Budina (2011). Fiscal sustainability, volatility and oil wealth: A stochastic analysis of fiscal spending rules. (Preprints, Tinbergen Institute discussion paper, no TI 2011-068/2). Amsterdam: Tinbergen Institute.[go to publisher's site]
2008
- N. Budina, S. van Wijnbergen & Y. Li (2008). Managing volatility: Fiscal policy, debt management and oil revenues in the Republic of Congo. (extern rapport). Washington, D.C.: World Bank.
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