TOC: Econometrica
Introduction
Econometrica, 86(2)
Demand Analysis Using Strategic Reports: An Application to a School Choice Mechanism
–Nikhil Agarwal and Paulo Somaini [] []
A Theory of Non-Bayesian Social Learning
–Pooya Molavi, Alireza Tahbaz-Salehi and Ali Jadbabaie [] []
A News-Utility Theory for Inattention and Delegation in Portfolio Choice
–Michaela Pagel [] []
Multiproduct-Firm Oligopoly: An Aggregative Games Approach
–Volker Nocke and Nicolas Schutz [] []
A Theory of Input–Output Architecture
–Ezra Oberfield [] []
Who Should Be Treated? Empirical Welfare Maximization Methods for Treatment Choice
–Toru Kitagawa and Aleksey Tetenov [] []
Identifying Long-Run Risks: A Bayesian Mixed-Frequency Approach
–Frank Schorfheide, Dongho Song and Amir Yaron [] []
Optimal Inference in a Class of Regression Models
–Timothy B. Armstrong and Michal Kolesár [] []
Inference Based on Structural Vector Autoregressions Identified With Sign and Zero Restrictions: Theory and Applications
–Jonas E. Arias, Juan F. Rubio-Ramírez and Daniel F. Waggoner [] []
Notes and Comments
Very Simple Markov-Perfect Industry Dynamics: Theory
–Jaap H. Abbring, Jeffrey R. Campbell, Jan Tilly and Nan Yang [] []
Estimating Semi-Parametric Panel Multinomial Choice Models Using Cyclic Monotonicity
–Xiaoxia Shi, Matthew Shum and Wei Song [] []
Estimating Both Supply and Demand Elasticities Using Variation in a Single Tax Rate
–Floris T. Zoutman, Evelina Gavrilova and Arnt O. Hopland [] []