1: Policy Credibility and Unemployment in the UK, David Backus and John Driffill; 2: Debt Neutrality in Disequilibrium, Neil Rankin; 3: Fiscal Policy and the Real Exchange Rate, Francesco Giavazzi and Jeffrey Sheen; 4: Optimal Policy under Model Uncertainty, Robin Becker, Barry Dwolatzky, Elias Karakitsos and Berc Rustem; 5: The Financial Sector of the London Business School Model, Giles Keating; 6: Portfolio Selection and Interest Rate Setting by the Dutch Banking System, Peter D. van Loo; 7: A Markowitz Approach to Regulation: the Case of French Open Mutual Funds, Georges Gallais-Hamonno; 8: The Demand for Long-Term Government Securities in the UK by the Non-Bank Private Sector, Glenn Hoggarth and Paul Ormerod; 9: Insurance Regulation in the United Kingdom and Federal Republic of Germany, Elizabeth Hammond and John Kay; 10: Asymmetric Information and Credit Rationing: Another View of Industrial Bank Lending and Britain's Economic Problem, John Cable and Paul Turner; References