Jayasri Dutta

www.jayasridutta.org

 

Articles and Publications

 

1.     “On Predictive Evaluation of Econometric Models,” International Economic Review, 1980.

2.     “Structural Estimation in the Presence of Stochastic Regressors,” Indian Economic Review, 1981.

3.     “The Structure of Specification Errors in Simultaneous Equations Models,” Sankhya, Series C, 1982.

4.     “The Wage Goods Constraint in a Developing Economy: Theory and Evidence,” Journal of Development Economics, 1988.

5.     “Asset Markets and Equilibrium Processes,” Review of Economic Studies, 1990 ; with H. Polemarchakis.

6.     “Testing for Heterogeneous Parameters in Least Squares Approximations,” Review of Economic Studies, 1991; with H. Leon.

7.     “Credit Constraints and Investment Finance: Empirical Evidence from Greece,” in M.Monti (ed.),Financial Markets, Economic Adjustment and Fiscal Policy, International Monetary Fund, 1989; with H. Polemarchakis.

8.     “The Wage Premium, Public Activity and Surplus Labour,” in B. Dutta, D.Mookherjee, and D.Ray, (eds.), Economic Theory and Policy: Essays in Honour of D. Banerji, Cambridge University Press, 1990.

9.     “On Resampling Inference in Econometric Models,” in R.Carter, J. Dutta, and A. Ullah, (eds.), Econometric Theory and Application: Essays in Honour of A. L. Nagar, Springer Verlag, 1990.

10. “Asset Pricing and Observability,” in C. d’Aspremont et. al. (eds.), Equilibrium Theory and Applications: Essays in Honor of J. H. Dreze, Cambridge University Press, 1992; with H. Polemarchakis.

11. “Investment and the Aggregation of Risks,” in P. Dasgupta, O.Hart and D.Gale (eds.), The Economics of Markets and Games: Essays in Honour of F. H. Hahn, M.I.T. Press, 1993; with H. Polemarchakis.

12. “What do Heteroskedasticity Tests Detect?,” March 1990; with A. Zaman. Discussion Paper, CORE, Universit`e Catholique de Louvain.

13. “Anticipation and the Aggregation of Individual Risks,” July 1992; Discussion Paper, Department of Applied Economics, University of Cambridge; with J. Donaldson.

14. Eciency Wages and Underemployment in the Long Run,” March 1992; Discussion Paper, Department of Applied Economics, University of Cambridge.

15. “Learning by Observation within the Firm,” Journal of Economic Dynamics and Control, 1996; with K. Prasad.

16. “Liquidity Preference and Financial Intermediation,” Review of Economic Studies; , July 1998 with S. Kapur.

17. “ Equilibrium Selections,” ; August 1994; Discussion Paper, Institute for Empirical Macroeconomics, Federal Reserve Bank of Minneapolis; with B. Allen and H. Polemarchakis.

18. “ The Revelation of Information and Self -Fulfilling Beliefs,” Journal of Economic Theory, 1996; with S. Morris.

19. “The Distribution of Wealth with Imperfect Altruism,” Journal of Economic Theory, November 1998; with P. Michel.

20. “ A Calibrated Model of Saving and Income Distribution for the UK” November 1997, Discussion Paper, National Institute of Economic and Social Research, with J. Sefton and M. Weale

21. “ Pension Finance in a Calibrated Model of Income Distribution in the UK” November 1998, National Institute Economic Review. with J. Sefton and M. Weale

22. “Distributional Eects of Education Expenditures” July 1999, National Institute Economic Review with M. Biggs

23. “ Financial Intermediation and Monetary Policy” (in Japanese), MITA Journal of Economics, Keio University.

24. “Education and Public Policy”, Fiscal Studies Quarterly, December 1999 with J. Sefton and M.R. Weale

25. “A Mean-variance approach to Pension Funding”, Economics Letters, November 2000. with S. Kapur and M.Orczag

26. “ Some lasting thing: Barter and the value of money”, in The Vanishing Rouble, (edited), P.B. Seabright, Cambridge University Press, 2000.

27. “Consumption and the Means of Payment: An Empirical Analysis for the United Kingdom” , Economica, 2001 with M. Weale

28. “Income Dynamics in the United Kingdom”, Journal of Applied Econometrics, 2001 with J. Sefton and M.R. Weale.

29. “Default and Ecient Debt Markets”, Journal of Mathematical Economics, November 2002. with S. Kapur

30. “Stable Risk Sharing”, Journal of Mathematical Economics, 2003 with K. Prasad

31. “ Dread of Depreciation: measuring real exchange rate interventions”. with H. Leon IMF Working paper, International Monetary Fund, March 2002

32. “On the choice of instruments for environmental regulation”, Journal of Environmental Economics and Control, 2004, with T.S. Aidt

33. “Strategic Consensus , Journal of Mathematical Economics, 2004. with T.S. Aidt

34. “Democracy comes to Europe” with T.S. Aidt and Elena Loukoianova European Economic Review, 2006

35. “Imitation and the long run” with K.Prasad Advances in Economic Theory (2005)

36. “The Commons with Capital Markets” with C.Rowat Economic Theory,2007

37. “Governance, Corruption ad Economic Growth” with T.S.Aidt & V. Sena, Journal of Comparative Economics, 2007

38." Strategic Consensus: applications to Political Economy" with T.S. Aidt Dicussion Paper, University of Cambridge, 2007

39. “The Road to Extinction; the commons with capital markets” with C. Rowat Discussion paper, Birmingham University 2004