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List of recent publications

Selection of recent publications (from 1998 on)

The following only contains a selection of my publications.
You can also download all the papers from Prof. Dr. Wagner's Research Gate Site.

I Journal Articles and Recent Working Papers

  1. "China in the Middle-Income Trap?" (co-author: Linda Glawe) online first publication in: China Economic Review, Jan. 2019.
  2. "A system-theoretical discussion of the (non-)sustainability of the development strategies", (Co-author Dr. Denis Stijepic), Jan 2019
  3. "Positive trend inflation and the Phillips curve - A tale of two slopes and various impulse responses" (co-author: Dr. Katrin Heinrichs), North American Journal of Economics and Finance 47 (2019) pp. 283-307
  4. "Institutional convergence in Europe" (co-author: Nina Schönfelder) Economics: The Open-Access, Open Assessment E-Journal, 13 (2019-3), pp 1-23.
  5. "Structural Change, rebalancing, and the danger of a middle income trap in China", BOFIT Policy Brief, 6. Bank of Finland: Institute for Economies in Transition Link
  6. "Impacts of intermediate trade on sector structure" (co-author: Denis Stijepic), in: The Journal of International Trade & Economic Development, vol. 16 (2018), issue 1, pp. 102-122
  7. "The Middle-Income Trap 2.0: The Increasing Role of Human Capital in the Age of Automation and Implications for Developing Asia", SSRN Working Paper No. 3263458, June 2018 (co-author: Linda Glawe).
  8. "House-Prices and the Credit Market - Evidence from an International Panel of Industrialized Economies", SSRN Working Paper No. 3220328, July 2018 (co-author: Martin Kern).
  9. "Positive Trend Inflation and the Phillips Curve. A Tale of Two Slopes and Various Impulse Responses" (co-author: Katrin Heinrichs), online-first publication in: North American Journal of Economics and Finance, May 2018, vol. 44.
  10. "On Cross-System Interactions and the Sustainability of (Economic) Development", (co-author: Denis Stijepic), SSRN Paper No. 3082438, April 20, 2018
  11. "The Deep Determinants of Economic Development in China - A Provincial Perspective", SSRN Working Paper No. 3158586, January 2018 (co-author: Linda Glawe).
  12. "On the (non-) sustainability of China's development strategies", CEAMeS Discussion Paper No. 6, forthcoming in: Chinese Economy, vol. 52, Issue 1, (2019).
  13. "Avoiding the middle-income trap: Korean lessons for China?", (co-authors: Michael Murach, Jungsuk Kim and Donghyun Park), CEAMeS Discussion Paper No. 14, October 2018.
  14. "The Deep Determinants of the Middle-Income Trap", SSRN Working Paper No. 3085293, December 2017 (co-author: Linda Glawe).
  15. "The Deep Determinants at More Subtle Stages of Economic Development - The Example of the Middle-Income Trap", SSRN Working Paper No. 3085417, December 2017 (co-author: Linda Glawe).
  16. "China Caught in the "Middle-Income Trap"?", (co-author: Linda Glawe), in: VoxChina, November 22, 2017
  17. "The Building Up of New Imbalances in China: The Dilemma with 'Rebalancing", in: International Economics and Economic Policy, vol. 14 (2017), issue 4, pp. 701-722
  18. "How severe will the growth slowdown in China caused by the structural change be? An evaluation based on experiences from Japan and South Korea" (co-author: Michael Murach), in: Journal of Chinese Economic and Business Studies, vol. 15 (3), July 2017, pp. 269-287.
  19. "Impacts of intermediate trade on sector structure" (co-author: Denis Stijepic), in: The Journal of International Trade & Economic Development, online-first-publilcation, July 2017, vol. 15 (2), pp. 1-21.
  20. "People's Republic of China in the Middle-Income Trap?” (co-author: Linda Glawe), in: Asian Development Bank Institute (ADBI)Working Paper Series No. 749, June 2017.
  21. "Housing market boom-bust-cycles - evidence from a varying minimum cycle length" (co-autor: Martin Kern), in: Journal of Internatonal Business and Economics (JIBE), vol. 5, June 2017, pp. 23-48.
  22. "Chinas Rebalancing-Dilemma", fc. in: One Belt and One Road - China and the World, Proceedings of the International Conference held in 2016 at Frankfurt University, Konfuzius-Institut Frankfurt (2017).
  23. "Gefangen in der Mitte - ['Trapped in the middle-income range']" (co-author: Linda Glawe), in: Asia Bridge, April 2017.
  24. "The Middle-Income Trap - Definitions, Theories and Countries Concerned: A Literature Survey" (co-author: Linda Glawe), in: Comparative Economic Studies, vol. 58, pp. 507-538 (2016)
  25. "The impact of European integration on institutional development" (Co-author: N. Schönfelder), in: Journal of Economic Integration, vol. 31, Sept. 2016, pp. 472-530.
  26. "China in the Middle Income Trap?" (co-author: Linda Glawe), SSRN Paper No. 2830439, August 2016[pdf]
  27. "Some Results on the Stability of the Aggregate Balanced Growth Path in Neoclassical Multi-sector Growth Models" (co-author: Denis Stijepic), published online November 2016, DOI 10.13140
  28. "Positive Trend Inflation and the Phillips Curve - A Tale of Two Slopes" (co-author: Katrin Heinrichs), SSRN Paper No. 2888366, 2016.
  29. "The effects of external shocks on the business cycle in China: A structural change perspective" (co-author: M. Murach), SSRN Paper No. 2741579, March 2016 [pdf]
  30. "Structural Change and Mid-Income Trap - Under which conditions can China succeed in moving towards higher income status", in: European Journal of Comparative Economics, vol. 12, no. 2, Dec. 2015, pp. 165 - 188. [pdf]
  31. "The impact of European integration on institutional development" (co-author: N. Schönfelder), MPRA Paper No. 63392, 2015. [pdf]
  32. "Can We Expect Convergence Through Monetary Integration? (New) OCA Theory vs Empirical Evidence From European Integration", in: Comparative Economic Studies, vol. 56, no.2 (June) 2014, pp. 176-199.
  33. "Challenges to China's Policy: Structural Change", in: Comparative Economic Studies, vol. 55, 2013, pp.721-736.
  34. "Convergence and Divergence in the European Monetary Union", in: The Macrotheme Review, vol.2 (4), 2013
  35. "A Structural Approach to Financial Stability: On the Benefical Role of Regulatory Governance", in: Journal of Governance and Regulation, vol.2, issue 1, 2013, (co-author: B. Mohr), pp.7-26.
  36. „Is the European Monetary Union Sustainable? The Role of Convergence“, In: S. Kaji and E. Ogawa (eds.), Who will provide the Next Financial Model?: Asia‘s Muscle and Europe‘s Financial Maturity, Springer Japan 2013, pp. 183-218.
  37. "Volatility Impact of Stock Index Futures Trading - A Revised Analysis" in: Journal of Applied Finance & Banking, Vol. 2 (5), 2012, pp. 113-126 (co-author: E. Matanovic) pdf
  38. "Is harmonization of legal rules an appropriate target? Lessons from global financial crisis" in: European Journal of Law and Economics, Vol. 33 (3), 2012, pp. 541-564 pdf
  39. "Nutzen und Kosten einer Regelbindung" in: Wirtschaftsdienst, 92. Jahrgang, Heft 3, März 2012.
  40. „Structural Change Patterns and Development: China in Comparison“ , Diskussionsbeitrag der Fakultät für Wirtschaftswissenschaft der FernUniversität in Hagen, Nr. 477, January 2012.
  41. "Monetary Policy and Boom-Bust Cycles: The Role of Central Bank Communication" in: Ekonomia, Vol. 14 (1), 2011 (co-author: R. Knuetter)
  42. "Ungleichgewichte und internationale Politikkoordinierung" in: Wirtschaftspolitische Blätter, 3/2011, (58 Jg.), pp. 487-99
  43. "Optimal Monetary Policy during Boom-Bust Cycles: The Impact of Globalization" in: International Journal of Economics and Finance, Vol. 3 (2), May 2011 (co-author: R. Knuetter), pp.34-44.
  44. “Implementation of technological breakthroughs at sector level and the technology-bias”, MPRA Paper No. 33352, September 2011 (co-author: D. Stijepic)pdf
  45. „A Structural Approach to Financial Stability: On the Beneficial Role of Regulatory Governance“ (mit B. Mohr), Diskussionsbeitrag der Fakultät für Wirtschaftswissenschaft der FernUniversität in Hagen, Nr. 467, Mai 2011.
  46. "Regulatory Governance and the Framework for Safeguarding Financial Stability", in: Tavidze, A. (eds.), Progress in Economics Research, Vol. 23, New York, 2012 (co-author: B. Mohr), pp. 1-32.
  47. "Monetary Policy and Boom-Bust Cycles in Asset Prices: A Literature Survey", In: Paul E. Schulz and Barbara P. Hoffmann (eds.), Financial Asset Pricing: Theory, Global Policy and Dynamics, 2012 (co-author: R. Knuetter), pp. 69-96.
  48. "The Effects of Central Bank Communication on Financial Stability: A Systematization of the Empirical Evidence" Discussion Paper No. 463, Department of Economics, University of Hagen, January 2011 (Co-author: R. Knütter, B. Mohr) pdf
  49. "The causes of the recent financial crisis and the role of central banks in avoiding the next one", in International Economics and Economic Policy, vol. 7, No. 1, 2010, pp. 63-82 [pdf]
  50. "Monetary Policy and Boom-Bust-Cycles: The Role of Communication" (co-author R. Knütter), Diskussionsbeitrag der Fakultät für Wirtschaftswissenschaft der FernUniversität in Hagen, Nr. 453, Juni 2010. [pdf]
  51. "A New Keynesian Model with Endogenous Frictions", Discussion Paper Series A No. 520, The Institute of Economic Research, Hitotsubashi University, July 2009 [pdf]
  52. "Globalization and Asset Prices: Which Trade-Offs. Do Central Banks Face in Small Open Economies?", Discussion Paper No. 433, Department of Economics, University of Hagen, December 2008 (co-author: R. Knütter). [pdf]
  53. "International Policy Coordination and Simple Monetary Policy Rules", Discussion Paper No. 434, Department of Economics, University of Hagen, October 2008 (co-author: W. Berger).
  54. "Dynamic Effects of Offshoring", Discussion Paper No. 427, Department of Economics, University of Hagen, May 2008 (co-author: D. Stijepic)
  55. "Globalization, Financial Volatility, and Monetary Risk Management", Working Paper, Princeton University, February 2007
  56. "Monetary Policy and Asset Prices: More Bad News for 'Benign Neglect' ", in International Finance, Vol. 10 No. 1, 2007, pp. 1-20 (co-Authors: W. Berger, F. Kißmer)
  57. "Information and Uncertainty in the Theory of Monetary Policy", in: SUERF Studies, vol. 2007 (1), [ Societé Universitaire Européenne de Recherches Financières. The European Money and FInance Forum. Vienna], Vienna 2007
  58. "Fiscal Issues in the New EU-Member Countries - Lessons for Asian Economic and Monetary Cooperation?", (in chinese translation) in: World Economic Papers, Issue 2, 2007
  59. “International Lessons for the Property Price Boom in South Africa”, in: South African Journal of Economics, Vol. 74, Issue 2, 2006(co-authors: N. Funke and F. Kißmer) [pdf]
  60. „International Policy Coordination and Simple Monetary Policy Rules“, IMF Working Paper WP/06/164, International Monetary Fund, Washington, D.C., 2006 (co-author: W. Berger)
  61. "Fiscal Issues in the New EU-Member Countries - Prospects and Challenges", in: SUERF Studies, vol. 2006 (1), Vienna 2006
  62. "Interdependent Expectations and the Spread of Currency Crises", in: IMF Staff Papers, vol. 52, no. 1, 2005, pp. 41-54 (Co-author: W. Berger)
  63. "Reform in the New EU Member States - Will a 3-Pillar Pension System Work?", in: Eastern European Economics [pdf], vol. 43, 2005, pp. 27-51
  64. "Das Redux-Modell - eine neukeynesianische Theorie offener Volkswirtschaften" ("The Redux Model: A New Keynesian Theory of Open Economies"), in: Wisu, vol. 8-9/05, 2005 (co-author: D. Schulz)
  65. "Globalization and Financial Instability", in: International Journal of Social Economics, vol. 32, no. 7, 2005, pp. 616-638
  66. "Globalization, Financial Stability and Monetary Policy", in: Empirica, vol. 31, no. 2-3, 2004 (co-Autor: W. Berger)
  67. "Geld- und währungspolitische Herausforderungen durch Globalisierung und Finanzmarktinstabilität", in: Jahrbuch für Wirtschaftswissenschaften, vol. 54, Heft 3, 2003, pp. 1-31
  68. "Financial Globalization and Monetary Policy", in: DNB Staff Reports no. 95, De Nederlandsche Bank, Amsterdam, 2003 (co-author: W. Berger)
  69. "Growth Effects of 'Heterogenous' Economic Integration : The Example of EMU-Enlargement", in Journal of Economic Integration, Volume 17, 2002, no. 4, pp. 623-649
  70. "Implications of Globalization for Monetary Policy", in SUERF Studies no. 2002/17, previous version published as IMF Working Paper WP/01/184, International Monetary Fund, Washington D.C.
  71. "The Road to the Euro - Exchange Rate Arrangements in Transition Economies", in: Annals of the American Academy of Political and Social Science, vol. 579, 2002, pp. 168-182 (co-author: E. Hochreiter)
  72. "Spreading Currency Crises: The Role of Economic Interdependence", IMF Working Paper WP/02/144, International Monetary Fund, Washington D.C., 2002 (co-author: W. Berger)
  73. "Pitfalls in the European Enlargement Process - Financial Instability and Real Divergence", Discussion Paper 06/02, Economic Research Centre of the Deutsche Bundesbank, 2002, Frankfurt/M.
  74. "Braucht die EZB eine "neue" Geldpolitische Strategie?", in: List Forum für Wirtschafts- und Finanzpolitik, vol. 28 (1), 2002, pp. 1-35 (co-author: F. Kißmer)
  75. "Emerging-Market-Crises - Well-known Models and New Explanations", ("Emerging Market-Krisen: Bekannte Modelle und neue Ansätze") in: List Forum für Wirtschafts- und Finanzpolitik, vol.27(2), 2001, pp. 178-193 (co-author: W. Berger)
  76. "Implications of Globalization for Monetary Policy", in: IMF Working Paper, 11 / 2001 (WP 01/184).
  77. "Which Exchange Rate Regimes in an Era of High Capital Mobility?", in: North American Journal of Economics and Finance, vol. 11, Issue 2, 2000, pp. 191-203 [pdf]
  78. "Central Banking in Transition Countries", in: Eastern European Economics, vol. 38, no. 4, 2000, pp. 6-53 [pdf]
  79. "Controlling Inflation in Transition Economies: On the relevance of central bank independence and the right nominal anchor", in: Atlantic Economic Journal, vol. 27, no. 1, 2000, pp. 60-70 [pdf]
  80. "Central Bank Independence and the Lessons for Transition Economies from Developed and Developing Countries", in: Comparative Economic Studies, vol. 41, no. 4, 1999, pp. 1-22
  81. "Inflation Targeting versus Monetary Targeting", in: Kredit und Kapital, vol. 32, Issue 4, 1999, pp. 610-632
  82. "La banca central en los países en transición", in: CEMLA Boletín, vol. XLV, 1999, no. 2, pp. 49-75
  83. "Inflation Targeting", in: Wirtschaftswissenschaftliches Studium (WiSt), vol. 27, 1998, pp. 295-303
  84. "Central Banking in Transition Countries", IMF Working Paper WP/98/126, International Monetary Fund, Washington, D.C., 1998

II Collective volume articles:

  1. "Regulatory Governance and the Framework for Safeguarding Financial Stability", in: Tavidze, A. (eds.), Progress in Economics Research, Vol. 23, New York, 2012 (Co-author: B. Mohr)
  2. "Monetary Policy and Boom-Bust Cycles in Asset Prices: A Literature Survey", In: Paul E. Schulz and Barbara P. Hoffmann (eds.), Financial Asset Pricing: Theory, Global Policy and Dynamics, 2012 (Co-author: R. Knuetter) [https://www.novapublishers.com/catalog/product_info.php?products_id=15549]
  3. "Wirtschaftspolitische Entscheidungsfindung unter Modellunsicherheit", in: Bortfeldt, A. et al. (eds.), Intelligente Entscheidungunterstützung: Aktuelle Herausforderungen und Lösungsansätze, May 2008
  4. "Endogenous Uncertainty and Monetary Policy", Discussion Paper No. 419, Department of Economics, University of Hagen, Sept. 2007 (Co-author: G. Giese)
  5. "Herausforderungen der Globalisierung für die Entwicklungsländer: Unsicherheit und geldpolitisches Risikomanagement", Discussion Paper No. 410, Department of Economics, University of Hagen, 2007
  6. "Beyond Balanced Growth: Some Further Results", Discussion Paper No. 409, Department of Economics, University of Hagen, 2007 (Co-author: D. Stijepic)
  7. "Financial Instability and Monetary Risk Management Policy Options- Systemization and an Application", in: A.N. Kandall (ed.): International Business and Financial Issues. Nova Science Publishers, New York, 2007, S. 169-184
  8. "Costs of Legal Uncertainty: Is Harmonization of Law a Good Solution?", In: United Nations Commission on International Trade Law (ed.), Modern Law for Global Governance. Congress to celebrate the 40th annual session of UNCITRAL (Vienna, 9-12 July 2007), Studies, proposals and background papers, Vienna, pp. 29-36.
  9. "Information und Unsicherheit in der Geldtheorie", in: C. Clemens et al. (eds.),Auf allen Märkten zu Hause - Gedenkschrift für Franz Haslinger, Marburg, 2006, pp. 193-231
  10. " 'Human Captital': Determinante der Wirtschaftsentwicklung", in: Das Personalvermögen, Vol. 2/06, 2006
  11. "Information Asymmetries, Uncertainty, an Central Bank Communication", Discussion Paper, Princeton University, September 2006
  12. "Model Uncertainty and Robust Control in Monetary Theory", Working Paper, University of Hagen, August 2006
  13. "Humankapital - Unwort des Jahres 2004. Eine Randnotiz", in: Mroß and Thielmann-Holzmayer
    (eds.), Zeitgemäßes Personalmanagement, Deutscher Universitätsverlag, 2005
  14. "Economic Analysis of Cross-Border Legal Uncertainty: the Example of the European Union", in: J. Smits (ed.), The Need for a European Contract Law. Empirical and Legal Perspectives, Groningen: Europa Law Publishing, 2005, pp. 25-51
  15. "Euro Adoption in the Accession Countries. Vulnerabilities and Strategies": Comment on Schadler (ed.), Euro Adoption in the new EU member countries, International Monetary Fund, Washington D.C., 2005
  16. "Central Bank Independence and Macroeconomic Performance: A Survey of the Evidence", in: N. Healey and P. Levine (eds.), Central Banking in Eastern Europe, London: Routledge 2004 (Co-author: F. Kißmer)
  17. "Die Zwei-Säulen-Strategie nach der Evaluation durch die EZB", in: M.B. Hofer, H.-K. Kotz and D.B. Simmert (eds.), Geld- und Wirtschaftspolitik in gesellschaftlicher Verantwortung, Duncker & Humblot Verlag: Berlin, 2004 (Co-Author: F. Kissmer)
  18. "Wachstumsdifferentiale Deutschland - USA: Befund, Analyse und Aspekte der New Economy. - Kommentar zu Gries, T., S. Jungblut und A. Birk", in: T. Gries et. al. (eds.), Neue Wachstums- und Innovationspolitik in Deutschland und Europa, Heidelberg/New York: Physica, 2003
  19. "Monetary Integration and Real Convergence", in: R. Caesar und H.-E. Scharrer (eds.), The European Economic and Monetary Union: Regional and Global Challenges, Baden-Baden: Nomos, 2001, pp. 79-95
  20. "Preconditions for the Success of the European Monetary Union", in: M. Haller (ed.), The Making of the European Union. Contributions of the Social Sciences, Springer Verlag Berlin, Heidelberg, 2001, pp. 43-65
  21. "Effects of Globalization on National Monetary Policy", in: A. Karmann (ed.), Financial Structure and Stability", Heidelberg/New York: Physica, 2001, pp. 34-52
  22. "Globalization and Inflation", in: H. Wagner (ed.), Globalization and Unemployment, Berlin: Springer, 2000, pp. 343-388
  23. "Central Banking in Transition Economies: lessons to be learned", in: Eesti Pank (Bank of Estonia) (ed.), The Role of a Central Bank in Economic Policy Management, Tallinn, 1999
  24. "Economics of Labour Co-Determination in View of Corporate Governance", in: K.J. Hopt et.al. (eds.), Comparative Corporate Governance -The State of the Art and Emerging Research, Oxford: Clarendon (Oxford University) Press 1998, pp. 341-360
  25. "Monetäre Integration und reale Konvergenz", in: R. Caesar und H.-E. Scharrer (eds.), Die europäische Währungsunion: Regionale und globale Herausforderungen, Bonn: Europa Union Verlag, 1998, pp. 69-84

III Books:

  1. "Stabilitätspolitik. Theoretische Grundlagen und institutionelle Alternativen" , München und Wien: Oldenbourg Verlag, 11. ed. 2018
  2. "VWL- Klausuren: Ein Übungsbuch" (mit H.Turke), München und Wien: Oldenbourg Verlag, 3.ed., 2016.
  3. "Einführung in die Weltwirtschaftspolitik. Internationale Wirtschaftsbeziehungen - Internationale Organisation - Internationale Politikkoordinierung" , Münschen und Wien, Oldenbourg Verlag, 7. ed., 2014
  4. "Stabilitätspolitik. Theoretische Grundlagen und institutionelle Alternativen" , München und Wien: Oldenbourg Verlag, 10. ed. 2014
  5. "VWL- Klausuren: Ein Übungsbuch" (mit H.Turke), München und Wien: Oldenbourg Verlag, 2013.
  6. "Stabilitätspolitik. Theoretische Grundlagen und institutionelle Alternativen" , München and Wien: Oldenbourg Verlag, 1989, 9. ed. 2011
  7. "Einführung in die Weltwirtschaftspolitik. Internationale Wirtschaftsbeziehungen - Internationale Organisation - Internationale Politikkoordinierung" , Munich and Vienna: Oldenbourg Verlag, 6th ed., 2009
  8. "Information and Uncertainty in the Theory of Monetary Policy", SUERF Studies, 2007/1, Vienna 2007
  9. "Fiscal Issues in the New EU-Member Countries - Prospects and Challenges, SUERF Studies 2006/1, Vienna, 2006
  10. "Übungsbuch Makroökonomie", München: Vahlen-Verlag, 2005
  11. "Makroökonomie", München: Vahlen-Verlag, 2003
  12. "Globalization and Unemployment", Berlin: Springer-Verlag, 2000
  13. "Europäische Wirtschaftspolitik. Perspektiven einer Europäischen Wirtschafts- und Währungsunion(EWWU)", Berlin, Springer-Verlag, 2nd edition 1998
  14. "Current Issues in Monetary Economics", (ed.), Heidelberg / New York : Physica - Verlag, 1998
  15. "Perspectives on European Monetary Union" , Research Report no. 7, American Institute for Contemporary German Studies, Johns Hopkins University, Washington, D.C., 1998

IV Other selected Publications:

  1. "Vertrauensbildung durch Dialog - Im Fokus: Weltwirtschaftsgipfel", in: economag (Wissenschaftsmagazin für Betriebs- und Volkswirtschaftslehre), Nr. 9/2009 [ http://www.economag.de/magazin/2009/9/254+Vertrauensbildung+durch+Dialog ]
  2. "Die Waage und das Gleichgewicht: Stabilitätspolitik: Gestern und Heute", in: economag (Wissenschaftsmagazin für Betriebs- und Volkswirtschaftslehre), Nr. 3/2007, S. 1-6
    [ http://economag.de/magazin/2007/3/41+Die+Waage+und+das+Gleichgewicht ]
  3. "Graphical Analysis of the New Neoclassical Synthesis", (September 17, 2006). Available at SSRN: http://papers.ssrn.com/sol3/papers.cfm?abstract_id=958382 (Co-authot: G. Giese)
  4. "Wettbewerb durch Vielfalt", Guest Commentary in Handelsblatt on 10.08.2004 [pdf, 1.13 MB]
  5. "Makro Interaktiv", Exercise course (CD-Rom) to "Makroökonomie" (Co-author: W. Laaser)
  6. “Pitfalls in EMU-Enlargement”, AICGS Advisor, American Institute for Contemporary German Studies, Washington, D.C., 2003
  7. "Japan als Warnung", Guest Commentary in Handelsblatt on 27.2.2003 [pdf, 191KB]
  8. "Braucht die EZB eine 'neue' geldpolitische Strategie", in: List Forum für Wirtschafts- und Finanzpolitik, vol. 28 (1) 2002, pp.1-35 (Co-Author: Friedrich Kissmer) [A longer version came out as Discussion paper no. 315, University of Hagen, 2002]
  9. "Sie rufen wieder!", Guest Commentary in Handelsblatt on 25.7.2002 [pdf 179 KB]
  10. "Mehr Transparenz, bitte!", Guest Commentary in Handelsblatt on 22.5.2002 [pdf 116 KB]
  11. "Die Sogkraft des neuen Geldes in Europa ist groß", Guest Commentary in Handelsblatt on 8.1.2002 [pdf, small 221KB] or: [pdf, big 636KB]
  12. "Fallstricke der E(WW)U-Erweiterung" ("The Trap of E(EM)U Expansion"), in: Finanzplatz, Issue 3/2001, Frankfurt/M., 2001 Link (deutsch), Link (english)
  13. "Die Geschichte des Geldes", Book manuscript for a multi-media CD-ROM-production of Springer-Verlag (Von der Kakaobohne zum Euro), 2001
  14. "New Economy and Economic Policy", started at Harvard University and NBER, Cambridge/Mass., Oct-Nov 2000
  15. "Gloomy Perspectives for Germany: Why Does Germany Have Problems Following the American Example of a "New Economy"", on-line publication of AICGS: Johns Hopkins University, October 2000
  16. "Ursachen und Erklärungen der Asienkrise", Discussion paper no. 286, University of Hagen, 2000 (Co-author: W. Berger)
  17. "Is Inflation Targeting an Appropriate Nominal Anchor for Transition Countries?", Discussion paper no. 305, University of Hagen, 1999
  18. "On the Effect of an Increase in Multiplier Uncertainty on Inflation", Discussion paper no. 285, University of Hagen, 1999
  19. "Monetary Policy in Trasition Economics: On Central Bank Independence and nominal Anchors", Discussion paper no. 270, University of Hagen, 1999
  20. "Inflation Targeting Versus Monetary Targeting", Discussion paper no. 258, University of Hagen, 1998
  21. "Central Bank Independence and Macroeconomic Performance: A Survey of the Evidence", Discussion paper no. 255, University of Hagen, 1998 (Co-author: F. Kißmer)

Selection of publications before 1998:

Between 1980 and 1997 Prof. Wagner published 8 books, about 70 journal articles and collective volume articles. The following list only presents a selection of the publications.

Books

  • "Europäische Wirtschaftspolitik." Perspektiven einer Europäischen Wirtschafts- und Währungsunion (EWWU), Berlin: Springer-Verlag, 1995
  • "Wachstum und Entwicklung. Theorie der Entwicklungspolitik.", Munich and Vienna: Oldenbourg Verlag, 2nd ed., 1997
  • "Einführung in die Weltwirtschaftspolitik. Internationale Wirtschaftsbeziehungen - Internationale Organisationen - Internationale Politikkoordinierung", Munich and Vienna: Oldenbourg Verlag, 1991
  • "Stabilitätspolitik. Theoretische Grundlagen und institutionelle Alternativen" (Preface by James Tobin), Munich and Vienna: Oldenbourg Verlag, 1989
  • "Inflation und Wirtschaftswachstum. Zum Einfluß von Inflation auf die Akkumulationsrate", Volkswirtschaftliche Schriften, no. 329, Berlin: Verlag Duncker & Humblot, 1983
  • "Inflation" , Würzburg and Vienna: Physica-Verlag, 1983

Journal articles

  • "Entwicklungsökonomie", in: 'WiSt' , Vol. 25., no. 3, 1996, pp. 127 - 134
  • "Transformation Process and the J-Curve Problem", in: International Journal of Social Economics', vol. 23, no. 10/11, 1996, pp. 73 - 87
  • "Unified Structural Adjustment Policy in Europe?", in: 'Intereconomics' , vol. 30, no. 1, 1995, pp. 25 - 30 (Co-author: W. Maennig)
  • "Reconstruction of the Financial System in East Germany: Description and Comparison with Eastern Europe", in: Journal of Banking and Finance, vol. 17, 1993, pp. 1001 - 1019
  • " Targeting versus Money Supply Targeting", in: Scottish Journal of Political Economy , vol. 39, 1992, pp. 167 - 187 (Co-author: K. Asako) (pdf)
  • "Seigniorage und Inflationsdynamik. Einige grundlegende Zusammenhänge", in: Kredit und Kapital, vol. 25, 1992, pp. 335 - 358
  • "Can Purely Monetary Disinflation Policy Produce Long-Run Involuntary Unemployment ?", in: 'ahrbuch für Sozialwissenschaft', vol. 41, no. 2, 1990, pp. 198 - 216
  • "Demokratie und Inflation - Eine 'rationale' wahlpolitische Theorie eines Inflationsbias", in: Jahrbücher für Nationalökonomie und Statistik', vol. 207, no. 4, 1990, pp. 356 - 373
  • "Vollbeschäftigung durch Gewinnbeteiligung ?", in: 'Konjunkturpolitik', vol. 35, no. 6, 1989, pp. 329 - 345
  • "Alternatives of Disinflation and Stability Policy. Costs, Efficiency and Implementability: A Comparison between Japan and West Germany", in: Bank of Japan. Monetary and Economic Studies, vol. 7, no. 1, 1989, pp. 41 - 98
  • "Soll die Bundesbank eine nominelle BSP-Regelpolitik betreiben ?", in: Kredit und Kapital, vol. 21, no. 1, 1988, pp. 8 - 33
  • "Reducing the 'NAIRU' by Building New Socio-Economic Institutions ?", in: The Indian Economic Journal, vol. 35, 1988, pp. 95 - 111
  • "Arbeitsangebot, Freizeitarbeit und Folgen einer Rationierung. Kritik und Erweiterung der traditionellen neoklassischen Arbeitsangebotstheorie", in: Jahrbücher für Nationalökonomie und Statistik, vol. 203/2, 1987, pp. 138 - 151
  • "Kurz- und Längerfristige Wirkungen einer Disinflationspolitik: Keynesianische Ängste des traditionellen neoklassischen Optimismus. Eine Modellanalyse", in: Jahrbuch für Sozialwissenschaft, vol. 38, 1987, pp. 159 - 187
  • "Zum Zusammenhang zwischen Mengen- und Preisänderungen. Betrachtungen zu einer auffallenden Trade-off-Beziehung", in: Kredit und Kapital, vol. 18, no. 1, 1985, pp. 61 - 89
  • "Einfluß der Inflation auf die Realkapitalbildung", in: W. Ehrlicher and D.B. Simmert (eds.), Der volkswirtschaftliche Sparprozeß, 'Beiheft 9 zu Kredit und Kapital', Berlin: Verlag Duncker & Humblot, 1985, pp. 201 - 233
  • "Inflation und Vermögensanlage. Ein Portfoliomodell", in: Zeitschrift für Wirtschafts- und Sozialwissenschaften, vol. 102, no. 2, 1982, pp. 135 - 154
  • "Wirtschaftspolitik im Lichte rationaler Erwartungen", in: 'Konjunkturpolitik', vol. 27, no. 1, 1981, pp. 1 - 11

Collective volume articles

  • "Rechtsunsicherheit und Wirtschaftswachstum", in: Ordnungskonforme Wirtschaftspolitik in der Marktwirtschaft, Festschrift für Hans-Rudolf Peters, S. Behrends (ed.), Berlin: Duncker & Humblot, 1997, pp. 227 - 253
  • "Conditionality in Development Aid. Is it welfare-enhancing in developing countries ?", in: Köhler/Gore/Reich/Ziesemer (eds.), Questioning Development - Essays on the Theory, Policies and Practice of Development Interventions, Marburg: Metropolis, 1996, pp. 245 - 262
  • "Structural Adjustment and Growth Policies in Europe: Competition and/or Cooperation ?", in: R.Tilly and P.J.J. Welfens (eds.), European Economic Integration as a Challenge to Industry and Government, Berlin: Springer, 1995, pp. 211 - 262 (Co-author: W. Maennig)
  • "The EMU-Debate in the Light of Modern Macroeconomics", in: J. Flemmig (ed.), Moderne
    Makroökonomik: eine kritische Bestandsaufnahme, Marburg: Metropolis, 1995, pp. 455 - 481
  • "Economic Development in Eastern Europe and Migration Push", in: F. Heckmann and W. Bosswick (eds.), Migration Policies: A Comparative Perspective, Stuttgart: Enke, 1995, pp. 249 - 261
  • "Why Do Stabilisation Programs in Developing Countries Fail So Often? - Lessons for Eastern Europe", Research Program on Development Studies Seminar Discussion Paper 03/92, Woodrow Wilson School of Public and International Affairs, Princeton University, 1992
  • "Einige Theorien des Systemwandels im Vergleich - und ihre Anwendbarkeit für die Erklärung des gegenwärtigen Reformprozesses in Osteuropa", in: J. Backhaus (ed.), Systemwandel und Reform in östlichen Wirtschaften, Marburg: Metropolis, 1991, pp. 17 - 40
  • "Dynamic Aspects of Disinflation. - On the Determinants of the 'Sacrifice Ratio' ", in: G. Feichtinger et al. (eds.), Operations Research 1990, XV. Symposium, Methods of Operations Research 64, Section Macroeconomics, Meisenheim: Anton Hain Verlag, 1991, pp. 371 - 377
  • "Zur wirtschaftlichen Strategiediskussion in der modernen Makroökonomie. Ein einführender Überblick", in: H.-P. Spahn (ed.), Wirtschaftspolitische Strategien, Regensburg: Transfer-Verlag, 1990, pp. 8 - 32
  • "Diskretionäre versus regelgebundene Makropoltik", in: W. Vogt (eds.), Politische Ökonomie heute, Regensburg: Transfer-Verlag, 1988, pp. 117 - 128
  • "Zinspolitik versus Geldmengenpolitik. Zu den theoretischen Grundlagen und Wirkungsmechanismen im Kontext von Stabilisierungspoltik", in: C. Köhler and R. Pohl (eds.): Aspekte der Geldpolitik in offenen Volkswirtschaften. Berlin: Duncker & Humblot, 1987, pp. 202 - 220
  • "The Costs of a Purely Monetary Disinflation Policy: The Case of Long-Run Involuntary Unemployment", Working Paper no. 443, Department of Economics, Massachusetts Institut of Technology (MIT), Cambridge/Mass., March 1987
  • "Wirtschaftspolitik und Vertrauensbildung", in: E. Hödl and G. Müller (eds.), Die Neoklassik und ihre Kritik. Sonderband zu 'Jahrbuch 1: Ökonomie und Gesellschaft', Frankfurt and New York: Campus-Verlag, 1986, pp. 351 - 381
  • "Anmerkungen zum Übergang in die Schattenwirtschaft. Eine Modellbetrachtung", in: P. de Gijsel and H. G. Seifert-Vogt (eds.), Schattenwirtschaft und alternative Ökonomie. Eine Herausforderung für die politische Ökonomie ?, Regensburg: Transfer-Verlag, 1984, pp. 88 - 102
Sekretariat Makro | 15.03.2019
FernUni-Logo FernUniversität in Hagen, Fakultät für Wirtschaftswissenschaft, Prof. Dr. Helmut Wagner