CFP 561 |
Gary Smith, William C. Brainard, "A Disequilibrium Model of Savings and Loan Associations," Journal of Finance, (December 1982), 37(5): 1277-1293 (See CFDP 535) |
|
CFP 500 |
David Backus, William C. Brainard, Gary Smith, James Tobin, "A Model of U.S. Financial and Non-financial Economic Behavior," Journal of Money, (May 1980), 12(2): 259-293 (See CFDP 548) |
|
CFP 496 |
Gary Smith, Frank Campbell, "A Critique of Some Ridge Regression Methods," Journal of the American Statistical Association, (March 1980), 75(369): 74-103 (See CFDP 402) |
|
CFP 479 |
Gary Smith, "The Long Run Consequences of Monetary and Fiscal Policies When the Government’s Budget Is Not Balanced," Journal of Public Economics, (February 1979), 11(1): 59-79 (See CFDP 464) |
|
CFP 476 |
Gary Smith, William Starnes, "A Short-Run Two-Sector Model with Immobile Capital," Journal of Money, (February 1979), 11(1): 47-67 (See CFDP 426) |
|
CFP 471 |
Gary Smith, "Dynamic Models of Portfolio Behavior: Comment on Purvis," American Economic Review, (June 1978), 68(3): 410-416 |
|
CFP 442 |
William C. Brainard, Gary Smith, "The Value of A Priori Information in Estimating A Financial Model," Journal of Finance, (December 1976), 31(5): 1299-1322 (See CFDP 382) |
|
CFP 429 |
Gary Smith, "Pitfalls in Financial Model Building: A Clarification," American Economic Review, (June 1975), 65(3): 510-516 |
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