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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ F: International Economics
/ / F3: International Finance
/ / / F30: General
/ / / F31: Foreign Exchange
/ / / F32: Current Account Adjustment; Short-term Capital Movements
/ / / F33: International Monetary Arrangements and Institutions
/ / / F34: International Lending and Debt Problems
/ / / F35: Foreign Aid
/ / / F36: Financial Aspects of Economic Integration
/ / / F37: International Finance Forecasting and Simulation: Models and Applications
/ / / F38: International Financial Policy: Financial Transactions Tax; Capital Controls
/ / / F39: Other

This JEL code is mentioned in the follow RePEc Biblio entries:
  1. > International Economics > Exchange Rate Economics

This topic is covered by the following reading lists:
  1. Mondialisation
  2. SOEP based publications

Most recent items first, undated at the end.
  • 2014 The Effects of Exchange Rates on Employment in Canada
    by Haifang Huang, Ke Pang, Yao Tang
  • 2014 The Real Exchange Rate and External Competitiveness in Egypt, Morocco and Tunisia
    by Zuzana Brixiova & Balázs Égert & Thouraya Hadj Amor Essid
  • 2014 The Dynamics of Currency Crises---Results from Intertemporal Optimization and Viscosity Solutions
    by Christian Bauer & Philip Ernstberger
  • 2014 Are exporting firms always a good hedge against currency risk? Evidence from Central and Eastern European Countries
    by M. FRÖMMEL & M. LUETJE
  • 2014 Forex Trading and the WMR Fix
    by Evans, Martin
  • 2014 What determines cross-border bank lending and risk-taking? The effects of culture, geography, institutions, and information exchange
    by Owen, Ann L. & Temesvary, Judit
  • 2014 Financial liberalization, Foreign Direct investment (FDI) and Economic Growth: A Panel Dynamic Data Validation
    by SAIEF EDDINE, AYOUNI & FAKHRI, ISSAOUI & SALEM, BRAHIM
  • 2014 External Balances, Trade Flows and Financial Conditions
    by Evans, Martin
  • 2014 Impact of FDI on GDP: An Analysis of Global Economy on Production Function
    by Khan, Shiraz & Mehboob, Farhan
  • 2014 Estimating and Testing Threshold Regression Models with Multiple Threshold Variables
    by Chong, Terence Tai Leung & Yan, Isabel K.
  • 2014 Investment Opportunity Sets of Real Assets: An International Empirical Study Based on Ownership Types
    by Ang, James & Knill, April & Mauck, Nathan
  • 2014 Tapering Talk: The Impact of Expectations of Reduced Federal Reserve Security Purchases on Emerging Markets
    by Eichengreen, Barry & Gupta, Poonam
  • 2014 Comparing U.S. and European Market Volatility Responses to Interest Rate Policy Announcements
    by Krieger, Kevin & Mauck, Nathan & Vasquez, Joseph
  • 2014 Liberalisation reform and export performance of India
    by Ramesh C. Paudel
  • 2014 The Authority of the FSOC and the FSB to Designate SIFIs: Implications for the Regulation of Insurers in the United States after the Prudential Decision
    by Peter J. Wallison
  • 2014 The Revived Bretton Woods System's First Decade
    by Michael P. Dooley & David Folkerts-Landau & Peter M. Garber
  • 2014 International Reserves Before and After the Global Crisis: Is There No End to Hoarding?
    by Joshua Aizenman & Yin-Wong Cheung & Hiro Ito
  • 2014 International Banking and Liquidity Risk Transmission: Lessons from Across Countries
    by Claudia M. Buch & Linda S. Goldberg
  • 2014 Liquidity Risk and U.S. Bank Lending at Home and Abroad
    by Ricardo Correa & Linda S. Goldberg & Tara Rice
  • 2014 Globalisation, Pass-through and the Optimal Policy Response to Exchange Rates
    by Michael B. Devereux & James Yetman
  • 2014 Global Value Chains and Effective Exchange Rates at the Country-Sector Level
    by Nikhil Patel & Zhi Wang & Shang-Jin Wei
  • 2014 The Price Impact of Joining a Currency Union: Evidence from Latvia
    by Alberto Cavallo & Brent Neiman & Roberto Rigobon
  • 2014 Varieties of Sovereign Crises: Latin America 1820-1931
    by Graciela L. Kaminsky & Pablo Vega-García
  • 2014 The Transmission of Federal Reserve Tapering News to Emerging Financial Markets
    by Joshua Aizenman & Mahir Binici & Michael M. Hutchison
  • 2014 Chocs extérieurs et régimes monétaires en Asie du Sud-Est : une analyse DSGE
    by Ibrahima Sangaré
  • 2014 Stock Market Reactions to Sovereign Credit Rating Changes: Evidence from Four European Countries
    by Ibrahim Fatnassi & Zied Ftiti & Habib Hasnaoui
  • 2014 World gold prices and stock returns in China: insights for hedging and diversification strategies
    by Mohamed El Hedi Arouri & Amine Lahiani & Duc Khuong Nguyen
  • 2014 Pareto optima and exchange rates under risk neutrality: A note
    by Stefano Bosi & Patrice Fontaine & Cuong Le Van
  • 2014 Firm dollar debt and central bank dollar reserves: Empirical evidence from Latin America
    by Rajeswari Sengupta
  • 2014 The Federal Reserve Engages the World (1970-2000): An Insider’s Narrative of the Transition to Managed Floating and Financial Turbulence
    by Edwin M. Truman
  • 2014 Debt Deleveraging and the Zero Bound: Potentially Perverse Effects of Real Exchange Rate Movements
    by Paul Luk & David Vines
  • 2014 Increase in Home Bias and the Eurozone Sovereign Debt Crisis
    by Camille Cornand & Pauline Gandré & Céline Gimet
  • 2014 Monetary policy and real exchange rate dynamics in sticky-price models
    by Carvalho, Carlos & Nechio, Fernanda
  • 2014 Institutional quality, the cyclicality of monetary policy and macroeconomic volatility
    by Duncan, Roberto
  • 2014 What drives the German current account? And how does it affect other EU member states?
    by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in’t Veld & Lukas Vogel
  • 2014 The Social Value of Finance
    by van Dijk, M.A.
  • 2014 The costs of separation: friction between company and insolvency law in the single market
    by Carsten Gerner-Beuerle & Edmund-Philipp Schuster
  • 2014 Intermediated securities and legal certainty
    by Eva Micheler
  • 2014 What drives the German current account? And how does it affect other EU member states?
    by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in’t Veld & Lukas Vogel
  • 2014 Global Implications of the Renminbi’s Ascendance
    by Eswar Prasad
  • 2014 Global Implications of the Renminbi’s Ascendance
    by Eswar Prasad
  • 2014 Revisiting the nexus between currency misalignments and growth in the CFA Zone
    by Carl Grekou
  • 2014 The impact of the global and eurozone crises on European banks stocks Some evidence of shift contagion
    by Jean-Pierre Allegret & Hélène Raymond & Houda Rharrabti
  • 2014 Determinants of the real impact of banking crises: A review and new evidence
    by Philip Wilms & Job Swank & Jakob de Haan
  • 2014 International Capital Markets Structure, Preferences and Puzzles: The US-China Case
    by Guglielmo Maria Caporale & Michael Donadelli & Alessia Varani
  • 2014 The Global Crisis and Equity Market Contagion
    by Geert Bekaert & Michael Ehrmann & Marcel Fratzscher & Arnaud Mehl
  • 2014 What drives the German current account? And how does it affect other EU member states?
    by In 'T Veld, Jan & Kollmann, Robert & Ratto, Marco & Roeger, Werner & Vogel, Lukas
  • 2014 Income-Induced Expenditure Switching
    by Bems, Rudolfs & di Giovanni, Julian
  • 2014 Capital Controls and Macroprudential Measures: What Are They Good For?
    by Forbes, Kristin & Fratzscher, Marcel & Straub, Roland
  • 2014 Countries’ safety and competitiveness, and the estimation of current account misalignments
    by Teresa Sastre & Francesca Viani
  • 2014 Capital Flows and Macroprudential Policies - A Multilateral Assessment of Effectiveness and Externalities
    by John Beirne & Christian Friedrich
  • 2014 Banking and Sovereign Debt Crises in a Monetary Union Without Central Bank Intervention
    by Jing Cheng & Meixing Dai & Frédéric Dufourt
  • 2014 The Chinese Growth Miracle
    by Yao, Yang
  • 2014 The Applicability Of The Option Exchange Markets In The Central Bank Foreign Exchange Policies: The Colombia Application
    by BULENT DICLEHAN CADIRCI & MEVLUDIYE SIMSEK
  • 2014 Currency Exposure and Hedging Practices among Indian Non-financial Firms
    by Praveen Bhagawan M. & P.J. Jijo Lukose
  • 2014 Investments in research and development: case study in Eastern Europe
    by Raluca Coada & Luminita Maria Gogan
  • 2014 A weighted least squares analysis of globalization and the Nigerian stock market performance
    by Alenoghena Osi Raymond & Odior Simeon Ernest
  • 2014 Asymmetric Realized Volatility Risk
    by David E. Allen & Michael McAleer & Marcel Scharth
  • 2014 Refining Our Understanding of Beta through Quantile Regressions
    by Allen B. Atkins & Pin T. Ng
  • 2014 International Diversification Versus Domestic Diversification: Mean-Variance Portfolio Optimization and Stochastic Dominance Approaches
    by Fathi Abid & Pui Lam Leung & Mourad Mroua & Wing Keung Wong
  • 2014 Remuneration Committee, Board Independence and Top Executive Compensation
    by Chii-Shyan Kuo & Shih-Ti Yu
  • 2014 Validation of the Merton Distance to the Default Model under Ambiguity
    by Wei-ling Chen & Leh-chyan So
  • 2014 Revisiting the Performance of MACD and RSI Oscillators
    by Terence Tai-Leung Chong & Wing-Kam Ng & Venus Khim-Sen Liew
  • 2014 Review of Family Business Definitions: Cluster Approach and Implications of Heterogeneous Application for Family Business Research
    by Henrik Harms
  • 2014 Capital Asset Pricing Model Testing at Warsaw Stock Exchange: Are Family Businesses the Remedy for Economic Recessions?
    by Jacek Lipiec
  • 2014 The Corporate Social Responsibility of Family Businesses: An International Approach
    by Gérard Hirigoyen & Thierry Poulain-Rehm
  • 2014 Socio Emotional Wealth Preservation in the REIT Industry: An Exploratory Study
    by Magdy Noguera & Erick Paulo Cesar Chang
  • 2014 Does Trading by Small Investors Improve or Deteriorate Price Efficiency? Evidence from the Minimum Trade Unit Changes on the Korea Exchange
    by Hee-Joon Ahn
  • 2014 Market Efficiency and Behavioral Biases in the WNBA Betting Market
    by Rodney J. Paul & Andrew P. Weinbach
  • 2014 The Effects of the Clock and Kickoff Rule Changes on Actual and Market-Based Expected Scoring in NCAA Football
    by Kenneth Linna & Evan Moore & Rodney Paul & Andrew Weinbach
  • 2014 Financial Stability Board: Mandate and Implementation of Its Systemic Risks Standards
    by Rolf H. Weber & Dominic N. Staiger
  • 2014 The Long-Term Game: An Analysis of the Life Expectancy of National Football League Players
    by Ruud Koning & Victor Matheson & Anil Nathan & James Pantano
  • 2014 Credibility and Crisis Stress Testing
    by Li Lian Ong & Ceyla Pazarbasioglu
  • 2014 Sovereign Credit Risk and Stock Markets–Does the Markets’ Dependency Increase with Financial Distress?
    by Paulo Pereira da Silva
  • 2014 Acknowledgement to Reviewers of the International Journal of Financial Studies in 2013
    by IJFS Editorial Office
  • 2014 Bank Credit Risk Management and Rating Migration Analysis on the Business Cycle
    by Dimitris Gavalas & Theodore Syriopoulos
  • 2014 Family-Concentrated Ownership in Chinese PLCs: Does Ownership Concentration Always Enhance Corporate Value?
    by Jin-Hui Luo & Heng Liu
  • 2014 Dilemmas and Challenges in the Marketing of Hybrid Organizations: A Theoretical Exploration of Dutch Sheltered Work Companies
    by Lieske van der Torre & Menno Fenger & Mark van Twist & Daphne Bressers
  • 2014 Does market timing persistently affect capital structure? Evidence from stock market liberalization
    by Huang, I-Hsiang
  • 2014 Transmission of pricing information between level III ADRs and their underlying domestic stocks: Empirical evidence from India
    by Bhattacharjee, Kaushik & Bang, Nupur Pavan & Mamidanna, Sravya
  • 2014 The Greek Economy and Banking System: Recent Developments and the Way Forward
    by Provopoulos, George A.
  • 2014 Institutional quality, the cyclicality of monetary policy and macroeconomic volatility
    by Duncan, Roberto
  • 2014 Granular institutional investors and global market interdependence
    by Jinjarak, Yothin & Zheng, Huanhuan
  • 2014 The transmission of international shocks to the UK. Estimates based on a time-varying factor augmented VAR
    by Liu, Philip & Mumtaz, Haroon & Theophilopoulou, Angeliki
  • 2014 Should I stay or should I go? Bank productivity and internationalization decisions
    by Buch, Claudia M. & Koch, Cathérine T. & Koetter, Michael
  • 2014 Determinants of syndicated lending in European banks and the impact of the financial crisis
    by Howcroft, Barry & Kara, Alper & Marques-Ibanez, David
  • 2014 LIBOR deception and central bank forward (mis-)guidance: Evidence from Norway during 2007–2011
    by Stenfors, Alexis
  • 2014 Large capital infusions, investor reactions, and the return and risk-performance of financial institutions over the business cycle
    by Elyasiani, Elyas & Mester, Loretta J. & Pagano, Michael S.
  • 2014 Consumer attitudes, stock market liquidity, and the macro economy: A Canadian perspective
    by Smimou, K.
  • 2014 Oil price fluctuation, volatility spillover and the Ghanaian equity market: Implication for portfolio management and hedging effectiveness
    by Lin, Boqiang & Wesseh, Presley K. & Appiah, Michael Owusu
  • 2014 Using local Gaussian correlation in a nonlinear re-examination of financial contagion
    by Støve, Bård & Tjøstheim, Dag & Hufthammer, Karl Ove
  • 2014 Exchange rate fluctuations and international portfolio rebalancing
    by Gyntelberg, Jacob & Loretan, Mico & Subhanij, Tientip & Chan, Eric
  • 2014 Bias in reduced-form estimates of pass-through
    by MacKay, Alexander & Miller, Nathan H. & Remer, Marc & Sheu, Gloria
  • 2014 Price level targeting and the delegation issue in an open economy
    by Froyen, Richard T. & Guender, Alfred V.
  • 2014 Can gold hedge and preserve value when the US dollar depreciates?
    by Reboredo, Juan C. & Rivera-Castro, Miguel A.
  • 2014 Revisiting the shock and volatility transmissions among GCC stock and oil markets: A further investigation
    by Jouini, Jamel & Harrathi, Nizar
  • 2014 Limited participation in international business cycle models: A formal evaluation
    by Gao, Xiaodan & Hnatkovska, Viktoria & Marmer, Vadim
  • 2014 What drives corporate minority acquisitions around the world? The case for financial constraints
    by Liao, Rose C.
  • 2014 International variation in sin stocks and its effects on equity valuation
    by Fauver, Larry & McDonald, Michael B.
  • 2014 Can Bank be a Cause of Contagion during the Global Financial Crisis?
    by Nadhem Selm & Nejib Hachicha
  • 2014 Forecasting Exchange Rates using Bayesian Threshold Vector Autoregressions
    by Florian Huber
  • 2014 Determinants of International Reserves: Empirical Evidence from Emerging Asia
    by Chandan Sharma & Sunny K Singh
  • 2014 Economic policy uncertainty, oil price shocks and GCC stock markets
    by Mohamed Arouri & Christophe Rault & Frédéric Teulon
  • 2014 A causality test of inflation environment and lower exchange rate pass-through
    by Reginaldo Pinto Nogueira, Jr.
  • 2014 Reexamining what survey data say about currency risk and irrationality using the cointegrated VAR
    by Josh Stillwagon
  • 2014 Coexistence of Sustained External Imbalance and Real Exchange Rate Misalignment: The Underlying Fundamentals
    by Chen Fang & Cheng-te Lee
  • 2014 Models for forecasting exchange rate volatility: a comparison between developed and emerging countries
    by Marcelo Griebeler
  • 2014 Information Transmission between Dual Listed Stocks with Non-Overlapping Trading Hours
    by Chih-hsiang Hsu & Ming-sung Kao & Wei-pen Tsai
  • 2014 Do natural resources condition the aid-governance relationship? Evidence from Africa
    by Audrey Rose Menard
  • 2014 Do Exchange Rate Changes have Symmetric Effect on the S-Curve?
    by Mohsen Bahmani-oskooee & Hadise Fariditavana
  • 2014 Is The Real Effective Exchange Rate Biased Against the PPP Hypothesis?
    by Frederick H Wallace & Daniel Ventosa-santaulària & Manuel Gómez-zaldívar
  • 2014 Spillover Effects of Chinese Stock Markets
    by Ginny ju-ann Yang & Koyin Chang & Yung-Hsiang Ying & Chen-hsun Lee
  • 2014 Determinants of loans and deposits strategies of foreign bank subsidiaries in emerging countries
    by Jean-michel Sahut & Medhi Mili
  • 2014 The Market of Foreign Exchange Hedge in Brazil: Reaction of Financial Institutions to Interventions of the Central Bank
    by Fernando N. Oliveira
  • 2014 This Time is Different: A Panoramic View of Eight Centuries of Financial Crises
    by Carmen M. Reinhart & Kenneth S. Rogoff
  • 2014 The importance of managerial accounting in managerial accounting system
    by Dragan Cristian
  • 2014 The EU strategy and environmental accounting
    by Dragan Cristian
  • 2014 Determinants of foreign capital flows: The experience of selected Sub-Saharan African countries
    by William Gabriel Brafu-Insaidoo & Nicholas Biekpe
  • 2014 An empirical study of the substitution of foreign for domestic savings in Brazil
    by Luiz Carlos Bresser-Pereira & Eliane Araújo & Paulo Gala Author-Workplace-Name Fundacão Getúlio Vargas São Paulo School of Economics, Brazil
  • 2013 Cross-Border Retail Banking: Exploring the Unknown Financial Globalization in Times of Financial Crises
    by Harald Sander & Stefanie Kleimeier
  • 2013 Cost leadership and bank internationalization
    by Galema, Rients & Koetter, Michael & Liesegang, Caroline
  • 2013 Understanding global liquidity
    by Eickmeier, Sandra & Gambacorta, Leonardo & Hofmann, Boris
  • 2013 On the use of monetary and macroprudential policies for financial stability in emerging markets
    by F. Gulcin Ozkan & D. Filiz Unsal
  • 2013 Current Account Reversals and Structural Change in Developing and Industrialized Countries
    by William D. Craighead & David R. Hineline
  • 2013 The 90% Public Debt Threshold: The Rise & Fall of a Stylised Fact
    by Balazs Egert
  • 2013 Public debt, economic growth and nonlinear effects: Myth or reality?
    by Balázs Égert
  • 2013 Great earthquakes, exchange rate volatility and government interventions
    by Mariko Hatase & Mototsugu Shintani & Tomoyoshi Yabu
  • 2013 Exchange rate predictability
    by Barbara Rossi
  • 2013 The Forward Exchange Rate Unbiasedness Hypothesis: A Single Break Unit Root and CointegrationAnalysis
    by Michael Mazur & Miguel Ramirez
  • 2013 Currency forecast errors at times of low interest rates: evidence from survey data on the Yen/Dollar exchange rate
    by Ronald MacDonald & Jun Nagayasu
  • 2013 Unofficial Development Assistance: a model of development charities' donation income
    by Wiji Arulampalam & Peter G. Backus & John Micklewright
  • 2013 دور وكالات التنقيط العالمية: بين الحد من الأزمات المالية و التسبب فيها
    by Boudekhdekh, Karim & Kerbache, Rahma
  • 2013 Rational Inattention in Macroeconomics: A Survey
    by Luo, Yulei & Young, Eric
  • 2013 Policy Tradeoffs in an Open Economy and the Role of G-20 in Global Macroeconomic Policy Coordination
    by Sengupta, Rajeswari & Sen Gupta, Abhijit
  • 2013 Estimation of Keynesian Exchange Rate Model of Pakistan by Considering Critical Events and Multiple Cointegrating Vectors
    by Hina, Hafsa & Qayyum, Abdul
  • 2013 Foreign capital and exchange rate movement in developing economies: a theoretical note
    by Biswas, Anindya & Mandal, Biswajit & Saha, Nitesh
  • 2013 Global Imbalances, Risk, and the Great Recession
    by Evans, Martin
  • 2013 Trends and Challenges of India’s Balance of Payments
    by Sreenilayam, Dr Jomon Mathew
  • 2013 Goodbye Inflation Targeting, Hello Fear of Floating? Latin America after the Global Financial Crisis
    by Reinhart, Carmen
  • 2013 鼓励还是抑制?初探外商直接投资与新民营企业进入
    by Wang, Daili
  • 2013 U.S. Foreign Policy and Asia: Peace and Prosperity or Instability and Crisis?
    by Khan, Haider
  • 2013 Financial Crisis and Exchange Rates in Emerging Economics: An Empirical Analysis using PPP-UIP-Framework
    by Rashid, Abdul & Saedan, Mashael
  • 2013 A reconstructive critique of IPE and GPE from a critical scientific realist perspective: An alternative Keynesian-Kaleckian approach
    by Khan, Haider & Patomäki, Heikki
  • 2013 Constructing a New Global Economy after the Global Financial Crisis : Stagnation and Social Crisis or Towards a Green Economy and Global Freedom?
    by Khan, Haider
  • 2013 Globalization and Democracy: A Short Introduction
    by Khan, Haider
  • 2013 Deep Financial Crises, Reforming the IMF and Building Regional Autonomy:Towards a New Hybrid Global Financial Architecture
    by Khan, Haider
  • 2013 Basel III, BIS and Global Financial Governance
    by Khan, Haider
  • 2013 Global Financial Governance: Towards a New Global Financial Architecture for Averting Deep Financial Crises
    by Khan, Haider
  • 2013 Recasting the Power Politics of Debt: Structural Power, Hegemonic Stabilisers and Change
    by Antoniades, Andreas
  • 2013 Management of Capital Flows in India: 1990-2011
    by Sen Gupta, Abhijit & Sengupta, Rajeswari
  • 2013 The Ethical Dimensions Of Financial Crisis In The World Of Globalized Finance
    by Saha, Malayendu
  • 2013 How has politico-economic liberalization affected financial allocation efficiency? Fresh African evidence
    by Asongu, Simplice A
  • 2013 Una nota preliminar sobre el ejercicio de stress testing 2011 del sistema bancario europeo; impacto de la crisis soberana griega
    by Ruston, Agustina & García Fronti, Javier
  • 2013 The 90% Public Debt Threshold: The Rise and Fall of a Stylised Fact
    by Balázs Égert
  • 2013 Challenges to Sustain Poland's Growth Model
    by Balázs Égert & Rafal Kierzenkowski
  • 2013 Should Financial Regulators Engage in International Policy Coordination?
    by David VanHoose
  • 2013 China's Growth, Stability, and Use of International Reserves
    by Joshua Aizenman & Yothin Jinjarak & Nancy P. Marion
  • 2013 Are Commodity Futures Prices Barometers of the Global Economy?
    by Conghui Hu & Wei Xiong
  • 2013 Are Capital Controls Prudential? An Empirical Investigation
    by Andrés Fernández & Alessandro Rebucci & Martín Uribe
  • 2013 Asia Chartbook: Crises, Credit and Debt, 1835-2013
    by Carmen M. Reinhart
  • 2013 The Optimal Currency Area in a Liquidity Trap
    by David Cook & Michael B. Devereux
  • 2013 Linkages across Sovereign Debt Markets
    by Cristina Arellano & Yan Bai
  • 2013 Rounding the Corners of the Policy Trilemma: Sources of Monetary Policy Autonomy
    by Michael W. Klein & Jay C. Shambaugh
  • 2013 Carry
    by Ralph S.J. Koijen & Tobias J. Moskowitz & Lasse Heje Pedersen & Evert B. Vrugt
  • 2013 Roads and the Real Exchange Rate
    by Qingyuan Du & Shang-Jin Wei & Peichu Xie
  • 2013 External Adjustment, Global Imbalances and Valuation Effects
    by Pierre-Olivier Gourinchas & Hélène Rey
  • 2013 Slow Moving Debt Crises
    by Guido Lorenzoni & Ivan Werning
  • 2013 Capital Controls, Global Liquidity Traps and the International Policy Trilemma
    by Michael B. Devereux & James Yetman
  • 2013 The “Greatest” Carry Trade Ever? Understanding Eurozone Bank Risks
    by Viral V. Acharya & Sascha Steffen
  • 2013 R-squared and the Economy
    by Randall Morck & Bernard Yeung & Wayne Yu
  • 2013 A Bargaining Theory of Trade Invoicing and Pricing
    by Linda S. Goldberg & Cédric Tille
  • 2013 A Theory of the Competitive Saving Motive
    by Qingyuan Du & Shang-Jin Wei
  • 2013 Informational Frictions and Commodity Markets
    by Michael Sockin & Wei Xiong
  • 2013 Why do emerging markets liberalize capital outflow controls? Fiscal versus net capital flow concerns
    by Joshua Aizenman & Gurnain Kaur Pasricha
  • 2013 On Returns Differentials
    by Stephanie E. Curcuru & Charles P. Thomas & Francis E. Warnock
  • 2013 Nation Building
    by Alberto Alesina & Bryony Reich
  • 2013 A Model of the Safe Asset Mechanism (SAM): Safety Traps and Economic Policy
    by Ricardo J. Caballero & Emmanuel Farhi
  • 2013 Hot Tip: Nominal Exchange Rates and Inflation Indexed Bond Yields
    by Richard H. Clarida
  • 2013 International Monetary Coordination and the Great Deviation
    by John B. Taylor
  • 2013 Coordination in the European Union
    by Martin Feldstein
  • 2013 Three Branches of Theories of Financial Crises
    by Itay Goldstein & Assaf Razin
  • 2013 Transmission Channels Of The Global Economic Crisis: Micro Evidence For The Republic Of Macedonia
    by Biljana Jovanovikj & Ljupka Georgievska
  • 2013 Payment Choice in International Trade: Theory and Evidence from Cross-country Firm Level Data
    by Andreas Hoefele & Tim Schmidt-Eisenlohr & Zihong Yu
  • 2013 Financial stress and economic dynamics: an application to France
    by Sofiane Aboura & Björn van Roye
  • 2013 The Real Exchange Rate and External Competitiveness in Egypt, Morocco and Tunisia
    by Brixiova, Zuzana & Égert, Balázs & Hadj Amor Essid, Thouraya
  • 2013 The Income Lever and the Allocation of Aid
    by Lidia Ceriani & Paolo Verme
  • 2013 Rounding the Corners of the Policy Trilemma: Sources of Monetary Policy Autonomy
    by Michael W. Klein & Jay C. Shambaugh
  • 2013 The International Finance Multiplier in Business Cycle Fluctuations
    by Naohisa Hirakata & Takushi Kurozumi
  • 2013 Real Exchange Rates in a Model of Structural Change: Applications to the Real Yen-Dollar and Chinese RMB-Dollar Exchange Rates
    by Robert Dekle
  • 2013 Asian and European Financial Crises Compared
    by Edwin M. Truman
  • 2013 Are There Bubbles in the Sterling-dollar Exchange Rate? New Evidence from Sequential ADF Tests
    by Timo Bettendorf & Wenjuan Chen & &
  • 2013 A Theory of the Competitive Saving Motive
    by Qingyuan Du & Shang-Jin Wei
  • 2013 A Model of Chinese Capital Account Liberalisation
    by Dong He & Paul Luk
  • 2013 Ecuador’s Economy Since 2007
    by Mark Weisbrot & Jake Johnston & Stephan Lefebvre
  • 2013 Money for nothing: how firms have financed R&D-projects since the Industrial Revolution
    by Gerben Bakker
  • 2013 A theory of the evolution of derivatives markets
    by Ulf Axelson
  • 2013 Economic diversification in GCC countries: past record and future trends
    by Martin Hvidt
  • 2013 Comparative institutional advantage in the European sovereign debt crisis
    by Alison Johnston & Bob Hancké & Suman Pant
  • 2013 A fetish and fiction of finance: unraveling the subprime crisis
    by Erica Pani & Nancy Holman
  • 2013 Point process bridges and weak convergence of insider trading models
    by Umut Cetin & Hao Xing
  • 2013 Explicit construction of a dynamic Bessel bridge of dimension 3
    by Luciano Campi & Umut Cetin & Albina Danilova
  • 2013 The role of care home fees in the public costs and distributional effects of potential reforms to care home funding for older people in England
    by Ruth Hancock & Juliette Malley & Raphael Wittenberg & Marcello Morciano & Linda Pickard & Derek King & Adelina Comas-Herrera
  • 2013 Borders and Nominal Exchange Rates in Risk-Sharing
    by Michael B. Devereux & Viktoria V. Hnatkovska
  • 2013 Risk-On/Risk-Off, Capital Flows, Leverage, and Safe Assets
    by Robert N. McCauley
  • 2013 Risk-On/Risk-Off, Capital Flows, Leverage, and Safe Assets
    by Robert N. McCauley
  • 2013 Price Transmission and Effects of Exchange Rates on Domestic Commodity Prices via Offshore and Currency Hedging
    by Nongnuch Tantisantiwong
  • 2013 The 90% public debt threshold: The rise and fall of a stylised fact
    by Balázs Égert
  • 2013 Capital Controls and Macroprudential Measures: What Are They Good For?
    by Kristin Forbes & Marcel Fratzscher & Roland Straub
  • 2013 Optimal monetary policy in open economies: the role of reference currency in vertical production and trade
    by Chan Wang & Heng-fu Zou
  • 2013 Financial and Sovereign Debt Crises: Some Lessons Learned and Those Forgotten
    by Reinhart, Carmen M. & Rogoff, Kenneth
  • 2013 Exchange Rate Predictability
    by Rossi, Barbara
  • 2013 Policy Coordination, Convergence, and the Rise and Crisis of EMU Imbalances
    by Bertola, Giuseppe
  • 2013 The "Greatest" Carry Trade Ever? Understanding Eurozone Bank Risks
    by Acharya, Viral V & Steffen, Sascha
  • 2013 Trade Reforms and Current Account Imbalances: When Does the General Equilibrium Effect Overturn a Partial Equilibrium Intuition?
    by Ju, Jiandong & Shi, Kang & Wei, Shang-Jin
  • 2013 Dodging the Steamroller: Fundamentals versus the Carry Trade
    by Copeland, Laurence & Lu, Wenna
  • 2013 Exchange Rate Predictability
    by Barbara Rossi
  • 2013 Currency Union with and without Banking Union
    by Bignon, V. & Breton, R. & Rojas Breu, M.
  • 2013 Central bank and government in a speculative attack model
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  • 2012 The Renminbi's Role in the Global Monetary System
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    by Balázs Égert
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    by Francisco Comín
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    by Forbes, Kristin & Fratzscher, Marcel & Straub, Roland
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  • 2012 Factors Influencing Export Of Financial Services
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    by Mohammad Nabi Shahiki Tash
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    by Hiroyuki Yamada & Gerwin Bell
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    by Ping Hua
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    by Ping-Yu Chen & Chia-Lin Chang & Chi-Chung Chen & Michael McAleer
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    by Thomas C. Chiang & Jiandong Li
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    by Forbes, Kristin J. & Fratzscher, Marcel & Kostka, Thomas & Straub, Roland
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    by Nagayasu, Jun
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    by Pericoli, Marcello & Taboga, Marco
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    by Burgoon, Brian & Demetriades, Panicos & Underhill, Geoffrey R.D.
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    by Lopes, José Mário & Nunes, Luis C.
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    by Aizenman, Joshua & Hutchison, Michael M.
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    by Sentance, Andrew & Taylor, Mark P. & Wieladek, Tomasz
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    by Christopher, Rachel & Kim, Suk-Joong & Wu, Eliza
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    by Bley, Jorg & Saad, Mohsen
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    by Antell, Jan & Vaihekoski, Mika
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    by Fratzscher, Marcel
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    by Bertaut, Carol & DeMarco, Laurie Pounder & Kamin, Steven & Tryon, Ralph
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    by Frankel, Jeffrey & Saravelos, George
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    by Boivin, Jean & Clark, Robert & Vincent, Nicolas
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    by Dong, Wei
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    by Giannetti, Mariassunta & Ongena, Steven
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    by Kourtis, Apostolos & Markellos, Raphael N. & Psychoyios, Dimitris
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    by Arouri, Mohamed El Hedi & Jouini, Jamel & Nguyen, Duc Khuong
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    by Christian Pierdzioch & Jan C Rülke & Georg Stadtmann
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    by Zeddies, Götz
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    by Tadeusz Kowalski & Yochanan Shachmurove
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    by Ojo, Marianne
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    by Aizenman, Joshua & Sengupta, Rajeswari
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    by Cripps, Francis & Izurieta, Alex & Singh, Ajit
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    by Aizenman, Joshua & Sengupta, Rajeswari
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    by Cortuk, Orcan & Singh, Nirvikar
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    by Wright, Allan S & Craigwell, Roland C & RamjeeSingh, Diaram
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    by Buscemi, Antonino & Yallwe, Alem Hagos
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    by Muhammad, Shahbaz & Faridul, Islam & Naveed, Aamir
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    by Buscemi, Antonino & Yallwe, Alem Hagos
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    by Yallwe, Hagos Alem & Buscemi, Antonino
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    by Sinha, Pankaj & Arora, Varun & Bansal, Vishakha
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    by Le, Thai-Ha & Chang, Youngho
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    by Reinhart, Carmen & Kirkegaard, Jacob & Sbrancia, Belen
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    by Ojo, Marianne
  • 2011 Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems
    by Ojo, Marianne
  • 2011 Motivations and strategies for a real revaluation of the Yuan
    by Dai, Meixing
  • 2011 Dove or Hawk? characterizing monetary regime switches during financial liberalization in India
    by Hutchison, Michael & Sengupta, Rajeswari & Singh, Nirvikar
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    by Adenutsi, Deodat E.
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    by Myriam Dahman Saidi & Christina Wolf
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    by Nicolas Coeurdacier & Hélène Rey
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    by Barry Eichengreen
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    by Barry Eichengreen & Hui Tong
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    by Eswar S. Prasad
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    by Kathryn M.E. Dominguez & Yuko Hashimoto & Takatoshi Ito
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    by Stijn Claessens & Hui Tong & Shang-Jin Wei
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    by Nicola Cetorelli & Linda S. Goldberg
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    by Sebnem Kalemli-Ozcan & Bent Sorensen & Sevcan Yesiltas
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    by Carol Bertaut & Laurie Pounder DeMarco & Steven B. Kamin & Ralph W. Tryon
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    by Michael B. Devereux & Viktoria Hnatkovska
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    by Michael B. Devereux & Viktoria Hnatkovska
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    by Fabrizio Perri & Vincenzo Quadrini
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    by Gianluca Benigno & Pierpaolo Benigno & Salvatore Nisticò
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    by Craig Doidge & G. Andrew Karolyi & René M. Stulz
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    by Carmen M. Reinhart & M. Belen Sbrancia
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    by Carmen M. Reinhart & Kenneth S. Rogoff
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    by Nicolas E. Magud & Carmen M. Reinhart & Kenneth S. Rogoff
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    by Shang-Jin Wei & Xiaobo Zhang
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    by Assaf Razin & Steven Rosefielde
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    by Bernard Dumas & Karen K. Lewis & Emilio Osambela
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    by Martin S. Feldstein
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    by Thai-Ha LE & Youngho CHANG
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    by Artur Grigoryan
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    by Jean J. Gabszewicz & Salome Gvetadze & Skerdilajda Zanaj
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    by Michael Hudson
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    by Jesus Munoz
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    by Ricardo Bebczuk & Arturo Galindo
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    by Björn van Roye
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    by Henning Klodt
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    by Prasad, Eswar
  • 2011 Role Reversal in Global Finance
    by Prasad, Eswar
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    by Godart, Olivier & Görg, Holger & Hanley, Aoife
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    by Godart, Olivier & Görg, Holger & Hanley, Aoife
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    by Arulampalam, Wiji & Backus, Peter G. & Micklewright, John
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    by Brian M Lucey & Cal Muckley
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    by Morris Goldstein
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    by Edwin M. Truman
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    by Carmen M. & M. Belen Sbrancia
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    by Sercu, Piet & Vanpée, Rosanne
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    by Kang Shi
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    by Rodney Schmidt & Aniket Bhushan
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    by Götz Zeddies
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    by Mark Weisbrot & Rebecca Ray
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    by Sudipto Bhattacharya & Georgy Chabakauri & Kjell G. Nyborg
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    by Heski Bar-Isaac & Guillermo Caruana & Vicente Cuñat
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    by Angelos Dassios & Jayalaxshmi Nagaradjasarma
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    by Luciano Campi & Umut Cetin & Albina Danilova
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    by Barry Eichengreen & Gisela Rua
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    by Yung Chul Park & Chi-Young Song
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    by Natasha Hamilton-Hart
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    by Yung Chul Park & Chi-Young Song
  • 2011 Distribution, Domestic Politics, and Monetary Cooperation in East Asia
    by Natasha Hamilton-Hart
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    by Barry Eichengreen & Gisela Rua
  • 2011 Distribution, Domestic Politics, and Monetary Cooperation in East Asia
    by Natasha Hamilton-Hart
  • 2011 The impact of oil price fluctuations on stock markets in developed and emerging economies
    by Thai-Ha Le & Youngho Chang
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    by Enrico Perotti & Lev Ratnovski & Razvan Vlahu
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    by Mohamed EL HEDI AROURI & Philippe FOULQUIER & Julien FOUQUAU
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    by Juan Angel Lafuente & Rafaela Pérez & Jesús Ruiz
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    by Farhi, Emmanuel & Gopinath, Gita & Itskhoki, Oleg
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    by Fratzscher, Marcel
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    by Perri, Fabrizio & Quadrini, Vincenzo
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    by Bekaert, Geert & Ehrmann, Michael & Fratzscher, Marcel & Mehl, Arnaud
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    by Reinhart, Carmen & Rogoff, Kenneth
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    by GABSZEWICZ, Jean J. & GVETADZE, Salome & ZANAJ, Skerdilajda
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    by David Wheeler
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    by Alfred Guender
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    by Cripps, F. & Izurieta, A. & Singh, A.
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    by Sá, F. & Wieladek, T.
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    by Yao Tang
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    by Martin D. D. Evans & Dagfinn Rime
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    by Morten Balling & Ernest Gnan & Patrick Honohan & David T. Llewellyn & Nigel Jenkinson & Aerdt Houben & Jan Kakes & Pat Farrell & Patricia Jackson & Edward J. Kane & Alistair Milne
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    by Ernest Gnan & Andras Simor & Manfred Schepers & Markus Eller & Michael Froemmel & Nora Srzentic & Debora Revoltella & Fabio Mucci & Malgorzata Iwanicz-Drozdowska & Petra Kalfmann
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    by Canuto, Otaviano & Mohapatra, Sanket & Dilip Ratha
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    by Chelsky, Jeff
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    by Fengler, Wolfgang & Kharas, Homi
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    by Padurean, Elena & Dinga, Emil & Leonida, Ionel
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    by Martin Falk
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    by Erzsébet Gém
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    by Mihalache D. Arsenie-Samoil
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    by Mihalache D. Arsenie-Samoil
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    by Puiu Cristina
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    by Marcos Rocha & Paulo Gala
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    by Irina Bosie (Ungureanu) & Andrei Puicã
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    by Eric S. Fung & Kin Lam & Tak-Kuen Siu & Wing-Keung Wong
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    by Vadhindran K. Rao
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    by Dror Parnes
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    by Gala, Paulo & Libânio, Gilberto
  • 2011 US macroeconomic news spillover effects on Vietnamese stock market
    by Tho Nguyen
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    by Levan Efremidze & Samuel M. Schreyer & Ozan Sula
  • 2011 Classifying international aspects of currency regimes
    by Thomas Willett & Eric M.P. Chiu & Sirathorn (B.J.) Dechsakulthorn & Ramya Ghosh & Bernard Kibesse & Kenneth Kim & Jeff (Yongbok) Kim & Alice Ouyang
  • 2011 Financial flows to developing and advanced countries: determinants and implications
    by Magda Kandil
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    by Nagayasu, Jun
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    by Shi, Kang
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    by Garcia-Cebro, Juan A. & Varela-Santamaría, Ramón
  • 2011 Measuring financial market integration over the long run: Is there a U-shape?
    by Volosovych, Vadym
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    by Kim, Heeho
  • 2011 Volatility spillovers between oil prices and stock sector returns: Implications for portfolio management
    by El Hedi Arouri, Mohamed & Jouini, Jamel & Nguyen, Duc Khuong
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    by Xu, Juanyi
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    by Samarakoon, Lalith P.
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    by Buch, Claudia M. & Koch, Cathérine T. & Koetter, Michael
  • 2011 Financial liberalization, structural change, and real exchange rate appreciations
    by Meza, Felipe & Urrutia, Carlos
  • 2011 The Global Financial Crises of 2007–2010 and the future of capitalism
    by Shahrokhi, Manuchehr
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    by Büttner, David & Hayo, Bernd
  • 2011 The role of transparency in currency crisis models: a laboratory experiment
    by Emna Trabelsi
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    by Edward W. Sun & Daniel Tenengauzer & Ali Bastani & Omid Rezania
  • 2011 The stabilization of foreign bank lending: A neglected benefit of hard pegs
    by Caroline Duburcq & Eric Girardin
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    by Usama Al-mulali & Che Normee Che Sab
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    by Virginie Coudert & Hélène Raymond-Feingold
  • 2011 The profitability of technical analysis in the Taiwan-U.S. forward foreign exchange market
    by Yun-Shan Dai & Wei-Ming Lee
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    by Loredana Ureche-Rangau & Fabien Collado & Ulysse Galiay
  • 2011 Time varying regional integration in emerging stock market
    by Khaled Guesmi
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    by Kang Shi
  • 2011 Risk transmission between Latin America stock markets and the US: impacts of the 2007/2008 Crisis
    by Fernanda G Barba & Paulo S Ceretta
  • 2011 Free trade agreements, exhange rates and foreign portfolio investment in pakistan. dynamic causality analysis
    by Muhammad Anees & Ahmed Jamil & Faisal Shahzad
  • 2011 Exchange rate fluctuations and extra-eurozone exports: A comparison of Germany and France
    by Serge Rey
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    by Giray Gozgor
  • 2011 Purchasing Power Parity and the Chinese Yuan
    by Richard Paul Gregory & Gary Shelley
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    by Chun-Teck Lye & Tze-Haw Chan & Chee-Wooi Hooy
  • 2011 Purchasing power parity in G-7 countries: Further evidence based on ADL test for threshold cointegration
    by Tsangyao Chang & Chia-hao Lee & Pei-I Chou
  • 2011 Modeling the volatility of Mediterranean stock markets: a regime-switching approach
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  • 2011 Does asymmetric information play a role in explaining the Asian crisis? Application to Indonesian and Malaysian cases using a two-state Markov Switching model
    by Emna Trabelsi
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    by Claudiu T Albulescu & Daniel Goyeau
  • 2011 Universities and authors: a ranking for international finance
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  • 2011 Workers´ Remittances and the Equilibrium Real Exchange Rate: Theory and Evidence
    by Adolfo Barajas & Ralph Chami & Dalia Hakura & Peter Montiel
  • 2011 Macroeconomic and welfare implications of financial globalization
    by Ester Faia
  • 2011 L'impact de la loi de 1862 généralisant la responsabilité limitée au secteur bancaire et financier sur la crise anglaise de 1866
    by David Foucaud
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    by Robert McCauley
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    by Claudio Borio & Robert McCauley & Patrick McGuire
  • 2011 An Ex-Post Empirical Investigation of the Efficacy of Central Bank Interventions in Currency Markets: Bilateral Exchange Rate of the Dollar
    by Bahram Adrangi & Mary Allender & Kambiz Raffiee
  • 2011 Exchange Rates and Inflation Rates: Exploring Nonlinear Relationships
    by Bahram Adrangi & Mary E. Allender & Kambiz Raffiee
  • 2011 Basel Iii Regulations On Strengthening The Banking System Capitalization
    by Natalita HURDUC & Nicoleta HURDUC
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    by Moshi Optat Herman & Kirsten Wandschneider & Thierry Warin & Phanindra Wunnava
  • 2011 Gustav von Schmoller-Vorlesung, 5. Konferenz für Sozial- und Wirtschaftsdaten: Die Internationalisierung deutscher Banken und Unternehmen aus Perspektive der Mikrodaten
    by Claudia M. Buch
  • 2011, 2nd quarter update subprime mortgage crisis, the
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  • 2010 Assessing the World Bank’s influence on the good governance paradigm
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    by Peter J. Buckley & Jeremy Clegg & Nicolas Forsans & Kevin T. Reilly
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    by gulielmo maria caporale & rea cipollini & nicola spagnolo
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    by Muhd-Zulkhibri Abdul Majid
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    by Sergio Da Silva
  • 2004 International Finance, Levy Distributions, and the Econophysics of Exchange Rates
    by Sergio Da Silva
  • 2004 The Dornbusch Model with Chaos and Foreign Exchange Intervention
    by Sergio Da Silva
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    by Adrian E. Tschoegl
  • 2004 Real Exhange Rate Stationarity in Managed Floats: Evidence From India
    by Renu Kohli
  • 2004 Exchange RAte Dynamics with Financial Repression: A Test of Exchange Rate Models for India
    by Renu Kohli & Kenneth Kletzer
  • 2004 Capital Flows and Domestic Financial Sector in India
    by Renu Kohli
  • 2004 Real Exchange Rate Stationarity in Managed Floats: Evidence from India
    by Renu Kohli
  • 2004 Aspects of Exchange Rate Behaviour and Management in India 1993- 98
    by Renu Kohli
  • 2004 Capital Account Liberalisation: Empirical Evidence and Policy Issues II
    by Renu Kohli
  • 2004 Capital Account Liberalisation: Empirical Evidence and Policy Capital Account Liberalisation: Empirical Evidence and Policy Issues - I
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  • 2004 EURO currency implications on the Czech financial institutions sector
    by Tomas Lhotak
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    by Gunther Schnabl
  • 2004 Teoria dei Processi Imitativi e Applicazioni Economiche
    by Marco Arnone
  • 2004 Etude de la convergence des économies d’Amérique Latine : Une union monétaire est-elle envisageable ?
    by GIMET Céline & GUESSOUM Yasmine
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    by MARAIS Elise
  • 2004 Is a transactions tax an effective means to stabilize the foreign exchange market?
    by Andrea Terzi
  • 2004 Time-varying Correlations of Russian and U.S. Equity Returns
    by Thadavillil Jithendranathan
  • 2004 Balance Sheet Effects And The Country Risk Premium: An Empirical Investigation
    by Alicia Garcia Herrero & Juan Carlos Berganza & Roberto Chang
  • 2004 Determinants And Impact Of Financial Sector Fdi To Emerging
    by Alicia Garcia Herrero & Daniel Navia Simon
  • 2004 Policy Assessment of the European Central Bank and the Stability and Growth Pact’s Echo of the Conventional Wisdom on Budget Management
    by William E. Ginn
  • 2004 Does the IMF cause moral hazard? A critical review of the evidence
    by Axel Dreher
  • 2004 The Efficiency of Canadian Capital Markets: Some Bank of Canada Research
    by Scott Hendry & Michael R. King
  • 2004 Modelling Long Memory and Risk Premia in Latin American Sovereign Bond Markets
    by Alfonso Mendoza
  • 2004 Beliefs about Exchange-Rate Stability: Survey Evidence From the Currency Board in Bulgaria
    by Neven T. Valev & John A. Carlson
  • 2004 Worsening of the Asian Financial Crisis: Who is to Blame?
    by Ali M. Kutan & Brasukra G. Sudjana
  • 2004 New approaches to debt relief and debt sustainability in LDCs
    by Olav Bjerkholt
  • 2004 Sustaining East Asia's Economic Dynamism: How Aid Worked
    by Hadi Soesastro
  • 2004 On the Dynamics of Information, Coordination and Regime Change
    by A. Pavan & G.M. Angeletos & C. Hellwig
  • 2004 Getting PPP Right: Identifying Mean-Reverting Real Exchange Rates in Panels
    by Georgios Chortareas & George Kapetanios
  • 2004 Value-based measure: an application of EVA in small manufacturing company in Bangladesh
    by Hoque, Mahfuzul & Akter, Mahmuda & Shil, Nikhil Chandra
  • 2004 The Use of Options in Corporate Risk Management
    by Bartram, Söhnke M.
  • 2004 Determinantes de la Cuenta Corriente en Costa Rica
    by Leon, Jorge & Saenz, Manrique
  • 2004 Economic Development in the Middle East
    by Yochanan Shachmurove
  • 2004 Information Dynamics and Equilibrium Multiplicity in Global Games of Regime Change
    by George-Marios Angeletos & Christian Hellwig & Alessandro Pavan
  • 2004 Crises and Prices: Information Aggregation, Multiplicity and Volatility
    by George-Marios Angeletos & Ivan Werning
  • 2004 Covered Interest Arbitrage: Then vs. Now
    by Ted Juhl & William Miles & Marc D. Weidenmier
  • 2004 Globalization and Disinflation: A Note
    by Assaf Razin
  • 2004 Managing Macroeconomic Crises
    by Jeffrey A. Frankel & Shang-Jin Wei
  • 2004 Acquiring Control in Emerging Markets: Evidence from the Stock Market
    by Anusha Chari & Paige P. Ouimet & Linda L. Tesar
  • 2004 Contingent Reserves Management: An Applied Framework
    by Ricardo J. Caballero & Stavros Panageas
  • 2004 Financing Consumption in an Aging Japan: The Role of Foreign Capital Inflows in Immigration
    by Robert Dekle
  • 2004 Fixed Exchange Rates and Trade
    by Michael W. Klein & Jay C. Shambaugh
  • 2004 Can Inflation Targeting Work in Emerging Market Countries?
    by Frederic S. Mishkin
  • 2004 Capital Income Taxation in the Globalized World
    by Assaf Razin & Efraim Sadka
  • 2004 Measuring Market Integration: Foreign Exchange Arbitrage and the Gold Standard, 1879-1913
    by Eugene Canjels & Gauri Prakash-Canjels & Alan M. Taylor
  • 2004 Global Imbalances and the Lessons of Bretton Woods
    by Barry Eichengreen
  • 2004 Financial-Sector FDI and Host Countries: New and Old Lessons
    by Linda Goldberg
  • 2004 A New Micro Model of Exchange Rate Dynamics
    by Martin D.D. Evans & Richard K. Lyons
  • 2004 Transaction Structures in the Developing World
    by Josh Lerner & Antoinette Schoar
  • 2004 A Risk Management Approach to Emerging Market's Sovereign Debt Sustainability with an Application to Brazilian Data
    by Marcio Garcia & Roberto Rigobon
  • 2004 Is the Invisible Hand Discerning or Indiscriminate? Investment and Stock Prices in the Aftermath of Capital Account Liberalizations
    by Anusha Chari & Peter Blair Henry
  • 2004 Capital Controls: Mud in the Wheels of Market Discipline
    by Kristin J. Forbes
  • 2004 A Scapegoat Model of Exchange Rate Fluctuations
    by Philippe Bacchetta & Eric van Wincoop
  • 2004 On the Desirability of Fiscal Constraints in a Monetary Union
    by V.V. Chari & Patrick J. Kehoe
  • 2004 Helping the Poor to Help Themselves: Debt Relief or Aid
    by Serkan Arslanalp & Peter Blair Henry
  • 2004 World Markets for Raising New Capital
    by Brian J. Henderson & Narasimhan Jegadeesh & Michael S. Weisbach
  • 2004 Private Benefits and Cross-Listings in the United States
    by Evangelos Benos & Michael S. Weisbach
  • 2004 Is Debt Relief Efficient?
    by Serkan Arslanalp & Peter Blair Henry
  • 2004 The Euro and European Financial Market Integration
    by Söehnke Bartram & Stephen Taylor & Yaw-Huei Wang
  • 2004 Monetary integration and inflation preferences: a real options analysis
    by Frank Strobel
  • 2004 The consumption-real exchange rate anomaly
    by Christoph Thoenissen & Gianluca Benigno
  • 2004 Financial Integration, Growth, and Volatility
    by Anne Epaulard & Aude Pommeret
  • 2004 A Scapegoat Model of Exchange Rate Fluctuations
    by Philippe BACCHETTA & Eric VAN WINCOOP
  • 2004 Exchange Rate Volatility and Trade among the Asia Pacific Countries Econometric Analysis
    by SaangJoon Baak
  • 2004 Speculative Attack and Informational Structure: An Experimental Study
    by Camille Cornand
  • 2004 The Impact of International Financial Integration on Industry Growth
    by Ellen Vanassche
  • 2004 At the origins of increased productivity growth in services. Productivity, social savings and the consumer surplus of the film industry, 1900-1938
    by Gerben Bakker
  • 2004 The effects of the 1925 Portuguese Bank Note Crisis
    by Henry Wigan
  • 2004 Reconstructing the Industrial Revolution: analyses, perceptions and conceptions of Britain’s precocious transition to Europe’s first industrial society
    by Giorgio Riello & Patrick O'Brien
  • 2004 The canton of Berne as an investor on the London capital market in the 18th century
    by Stefan Altorfer
  • 2004 News from London: Greek government bonds on the London Stock Exchange, 1914-1929
    by Olga Christodoulaki & Jeremy Penzer
  • 2004 The problem with party finance : theoretical perspectives on the funding of party politics
    by Jonathan Hopkin
  • 2004 Do the ECB and the Fed really need to cooperate? Optimal monetary policy in a two-country world
    by Evi Pappa
  • 2004 Flight to quality, flight to liquidity, and the pricing of risk
    by Dimitri Vayanos
  • 2004 Search and endogenous concentration of liquidity in asset markets
    by Dimitri Vayanos & Tan Wang
  • 2004 From risks to second-order dangers in financial markets: unintended consequences of risk management systems
    by Boris Holzer & Yuval Millo
  • 2004 The battle for hearts and minds? Evolutions in organisational approaches to environmental risk communication
    by Andrew Gouldson & Rolf Lidskog & Misse Wester-Herber
  • 2004 Creation of a market network: the regulatory approval of Chicago Board Options Exchange (CBOE)
    by Yuval Millo
  • 2004 Corporate-NGO partnerships as a form of civil regulation: lessons from the energy biodiversity initiative
    by Stephen Tully
  • 2004 Access to justice within the sustainable self-governance model
    by Stephen Tully
  • 2004 Justifying non-compliance. A case study of a Norwegian biotech firm
    by Filippa Corneliussen
  • 2004 The impact of regulations on firms. A study of the biotech industry
    by Filippa Corneliussen
  • 2004 Reforming the UK flood insurance regime. The breakdown of a gentlemen's agreement
    by Michael Huber
  • 2004 Family income and educational attainment : a review of approaches and evidence for Britain
    by Jo Blanden & Paul Gregg
  • 2004 Modeling credit risk with partial information
    by Umut Cetin & R. Jarrow & P. Protter & Y. Yildirim
  • 2004 Co-ordination failure and the role of banks in the resolution of financial distress
    by Spyros Pagratis
  • 2004 Credible pensions
    by Timothy Besley & Andrea Prat
  • 2004 Basel and procyclicality: a comparison of the standardised and IRB approaches to an improved credit risk method
    by Charles Goodhart & Miguel A. Segoviano
  • 2004 Barriers to pension scheme participation in small and medium sized enterprises
    by Alistair Byrne & Debbie Harrison & David Blake
  • 2004 Conglomerate entrenchment under optimal financial contracting
    by Antoine Faure-Grimaud & Roman Inderst
  • 2004 Highwaymen or heroes: should hedge funds be regulated?
    by Jon Danielsson & Ashley Taylor & Jean-Pierre Zigrand
  • 2004 A GARCH model of the implied volatility of the Swiss Market Index from options prices
    by Oliver Linton & Michael Sabbatini
  • 2004 Estimation of linear regression models by a spread-tolerant estimator
    by Oliver Linton
  • 2004 Feedback trading
    by Jon Danielsson & Ryan Love
  • 2004 Consistent testing for stochastic dominance: a subsampling approach
    by Oliver Linton & Esfandiar Maasoumi & Yoon-Jae Whang
  • 2004 Defined benefit or defined contribution?: an empirical study of pension choices
    by Joao F. Cocco & Paula Lopes
  • 2004 A semiparametric single-factor model of the term structure
    by Dennis Kristensen
  • 2004 Estimation in two classes of semiparametric diffusion models
    by Dennis Kristensen
  • 2004 Estimation of partial differential equations with applications in finance
    by Dennis Kristensen
  • 2004 A model to analyse financial fragility
    by Charles Goodhart & Pojanart Sunirand & Dimitrios P. Tsomocos
  • 2004 A theory of sovereign debt roll-over crisis
    by Masazumi Hattori
  • 2004 Sponsoring company finance and investment and defined benefit pension scheme deficits
    by David C. Webb
  • 2004 Performance of personal pension schemes in the UK
    by Alan Gregory & Ian Tonks
  • 2004 Stopping short?: evidence on contributions to long-term savings from aggregate and micro data
    by Sarah Smith
  • 2004 Principal agent problems under loss aversion: an application to executive stock options
    by David de Meza & David C. Webb
  • 2004 An Introduction to hedge funds
    by Gregory Connor & Mason Woo
  • 2004 Further calculations for Israeli options
    by Erik J. Baurdoux & Andreas E. Kyprianou
  • 2004 What determines monetary policy in the Franc zone? : estimating a reaction function for the BCEAO
    by Anja Shortland & David Stasavage
  • 2004 Opportunism, Corruption and the Multinational Firm’s Mode of Entry
    by Stephane Straub
  • 2004 Explaining the dollar/euro exchange rate: the role of policy uncertainty, asymmetric information, and hedging opportunities
    by Michael Melvin & Manuel Gomez
  • 2004 Exchange Rate Regimes And Fiscal Performance. Do Fixed Exchange Rate Regimes Generate More Discipline Than Flexible Ones?
    by Guillermo J. Vuletin
  • 2004 Exchange Rate Fluctuations, Financing Constraints, Hedging, and Exports: Evidence from Firm Level Data
    by Heajin Ryoo & Robert Dekle
  • 2004 The Role of Firm Size in Controlling Output Volatility during the Asian Financial Crisis
    by Hung-ju Chen; Hsiao-tang Hsu
  • 2004 Optimal Fear of Floating: The Role of Currency Mismatches and Fiscal Constraints
    by Eduardo J. J. Ganapolsky
  • 2004 Financial Frictions and Business Cycles in Developing Countries
    by Jaime Guajardo
  • 2004 Exchange Rate Volatility and Trade among the Asia Pacific Countries
    by SaangJoon Baak
  • 2004 Stock Market Volatility: Examining North America, Europe and Asia
    by Gamini Premaratne & Lakshmi Bala
  • 2004 Macroeconomic Crisis and Individual Firm Performance: The Mexican Experience
    by Karen Watkins & Dick van Dijk & Jaap Spronk
  • 2004 A Structuralist Model of the Small Open Economy in the Short, Medium and Long Run
    by Hian Teck Hoon & Edmund S. Phelps
  • 2004 A Price Based Approach To Estimate The Effects Of Monetary Arrangements On Trade Integration
    by David C. Parsley & Shang-Jin Wei
  • 2004 Devaluation Beliefs and Debt Crisis: The Argentinian Case
    by José-María Da-Rocha & Eduardo L. Giménez & Francisco-Xavier Lores
  • 2004 Deposit Insurance and Bank Intermediation in the Long Run
    by Robert Cull & Lemma Senbet & Marco Sorge
  • 2004 Correlação Poupança-Investimento: Indicador De Mobilidade De Capitais Ou De Solvência?
    by Fabiana Rocha & Maria Beatriz Zerbini
  • 2004 Supervisory Systems, Fiscal Soundness and International Capital Movement: More Challenges for new EU Members
    by Andreas Grünbichler & Patrick Darlap & Sinikka Salo & Leslie Lipschitz & Timothy Lane & Alex Mourmouras
  • 2004 A VAR Analysis of Monetary Transmission Mechanism in the European Union
    by Ivan Lovrinovic & Manuel Benazic
  • 2004 Current Account Deficits in the Transition Economies
    by Mark J. Holmes
  • 2004 Real exchange rates in the long and short run: a panel co-integration approach
    by César A. Calderón
  • 2004 Random Walk as a Universal Test of Weak-Form Foreign Exchange Market Efficiency : A Proof
    by Edward E. Ghartey
  • 2004 Exchange Rate Regimes: Choices and Consequences (A. R. Ghosh ? A.-M. Gulde ? H. C. Wolf)
    by Aleš Bulíø
  • 2004 Nothing Is Sacred: Economic Ideas for the New Millenium (R. J. Barro)
    by Aleš Bulíø
  • 2004 The Big Mac Standard: A statistical Illustration
    by Yukinobu Kitamura & Hiroshi Fujiki
  • 2004 Bank runs, political distortions and contagion
    by Victor Vaugirard
  • 2004 Big Mac parity, income, and trade
    by Sergio Da Silva & Guilherme Moura & Sidney Caetano
  • 2004 Nonlinear Adjustment of ASEAN-5 Real Exchange Rates: Symmetrical or Asymmetrical?
    by Venus Khim-Sen Liew
  • 2004 Estimating the equilibrium real exchange rate in Venezuela
    by Hilde Bjørnland
  • 2004 Does liquidity in the FX market depend on volatility?
    by Frank Westerhoff & Sebastiano Manzan
  • 2004 International Risk Sharing and Investor Protection: Some Evidence from the EU-15
    by Johann Scharler
  • 2004 The Impact of Increasing Stock Market Integration on Expected Gains from International Portfolio Diversification: Evidence from a Multivariate Approach with Time Varying Risk
    by AROURI Mohamed El Hedi
  • 2004 Optimal hedge ratio and elasticity of risk aversion
    by Udo Broll & Jack E. Wahl
  • 2004 Global Imbalances and the Lessons of Bretton Woods
    by Barry Eichengreen
  • 2004 The real exchange rate process and its real effects: The cases of Mexico and the USA
    by Kevin B. Grier & Fausto Hernández-Trillo
  • 2003 How does the spirit of capitalism affect stock market prices in a small-open economy
    by Turalay Kenc & Sel Dibooglu
  • 2003 The Non-Linearity of the Financial Accelerator
    by Fabio Natalucci & Andrew Levin
  • 2003 Techniques financières internationales - (8è ed.)
    by Lautier, Delphine & Simon, Yves
  • 2003 La balance des paiements
    by Venet, Baptiste & Raffinot, Marc
  • 2003 Protección contra la exposición del tipo de cambio a largo plazo con contratos de futuros a corto plazo. El caso de los contratos forward en UF Chilenas/dólares
    by Castillo, Augusto & Lefort, Fernando
  • 2003 Handels- und Finanzarchitektur im Umbruch: Globale Integration und die institutionelle Arbeitsteilung von IWF, Weltbank und WTO
    by Hefeker, Carsten
  • 2003 State of the Art Unit Root Tests and the PPP Puzzle
    by Claude Lopez & Christian J. Murray & David H. Papell
  • 2003 The Dynamics of Currency Substitution, Asset Substitution and De facto Dollarization and Euroization in Transition Countrieses
    by Edgar L. Feige
  • 2003 The Dynamics of Currency Substitution, Asset Substitution and De facto Dollarization and Euroization in Transition Countries
    by Edgar L. Feige
  • 2003 Trade Openness, Foreign Direct Investment and Child Labor
    by Eric Neumayer & Indra de Soysa
  • 2003 Impact Of Agriculture Output on Exchange Rates
    by Mukund Raj
  • 2003 Paper or Gold
    by Mukund Raj
  • 2003 Financial Integration and International Portfolio
    by AROURI Mohamed El Hedi
  • 2003 The Behavior of Money and Other Economic Variables: Two Natural Experiments
    by James R. Lothian & Cornelia H. McCarthy
  • 2003 External Debt Management-Case Study On India
    by Supreena Narayanan
  • 2003 Exchange Rates Forecasting Model: An Alternative Estimation Procedure
    by Ahmad Zubaidi Baharumshah & Liew Khim Sen & Lim Kian Ping
  • 2003 Introduction to Trade Finance
    by Bernardo Batiz-Lazo & Douglas Wood
  • 2003 International Evidence on Financial Derivatives Usage
    by Sohnke M. Bartram & Gregory W. Brown & Frank R. Fehle
  • 2003 Long Memory and Structural Changes in the Forward Discount: An Empirical Investigation
    by Kyongwook Choi & Eric Zivot
  • 2003 Issuing Policies In Currencies Denominated In Euros And Eurocents
    by Novak, Branko & Matić, Branko & Stjepanović, Slobodanka
  • 2003 Análisis de Variación de Reservas Internacionales para Costa Rica
    by Leon, Jorge & Saenz, Manrique
  • 2003 The role of taxes in capital structure: evidence from taxed and non-taxed Arab economies
    by Barakat, Mounther-Hussein & Rao, Ramesh-P
  • 2003 Real-Time Price Discovery in Stock, Bond and Foreign Exchange Markets
    by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Clara Vega
  • 2003 Financial Markets of the Middle East and North Africa: The Past and Present
    by Yochanan Shachmurove
  • 2003 Identifying Permanent and Transitory Components in Latin-American Real Exchange Rates
    by Indira Romero & Gabriel Rodriguez
  • 2003 Determinants Of The Initial Decisions By Japanese Firmsto Undertake Foreign Direct Investment
    by Akiomi Yutaka Horiba & Kazuo Yoshida
  • 2003 Financial Market Integration in the Euro Area
    by Carl Gjersem
  • 2003 Official Interventions and Occasional Violations of Uncovered Interest Party in the Dollar-DM Market
    by Nelson Mark & Young-Kyu Moh
  • 2003 Debt Intolerance
    by Carmen M. Reinhart & Kenneth S. Rogoff & Miguel A. Savastano
  • 2003 Explaining Sudden Stops, Growth Collapse and BOP Crises: The Case of Distortionary Output Taxes
    by Guillermo A. Calvo
  • 2003 Choosing (and reneging on) exchange rate regimes
    by Alberto Alesina & Alexander Wagner
  • 2003 The Mirage of Exchange Rate Regimes for Emerging Market Countries
    by Guillermo Calvo & Frederic S. Mishkin
  • 2003 Transparency, Risk Management and International Financial Fragility
    by Mario Draghi & Francesco Giavazzi & Robert C. Merton
  • 2003 Hedging Sudden Stops and Precautionary Contractions
    by Ricardo J. Caballero & Stavros Panageas
  • 2003 One Cost of the Chilean Capital Controls: Increased Financial Constraints for Smalles Traded Firms
    by Kristin J. Forbes
  • 2003 The Elusive Gains from International Financial Integration
    by Pierre-Olivier Gourinchas & Olivier Jeanne
  • 2003 A Brazilian-Type Debt Crisis: Simple Analytics
    by Assaf Razin & Efraim Sadka
  • 2003 Endogenous Exchange Rate Pass-through when Nominal Prices are Set in Advance
    by Michael B. Devereux & Charles Engel & Peter E. Storgaard
  • 2003 A Currency of One's Own? An Empirical Investigation on Dollarization and Independent Currency Unions
    by Sebastian Edwards & Igal Magendzo
  • 2003 Can Information Heterogeneity Explain the Exchange Rate Determination Puzzle?
    by Eric van Wincoop & Philippe Bacchetta
  • 2003 Equity market liberalizations as country IPOs
    by Rodolfo Martell & Rene M. Stulz
  • 2003 Modeling and Measuring Russian Corporate Governance: The Case of Russian Preferred and Common Shares
    by William N. Goetzmann & Matthew Spiegel & Andrey Ukhov
  • 2003 Capital Account Liberalization and Growth: Was Mr. Mahathir Right?
    by Barry Eichengreen & David Leblang
  • 2003 Estimating Models of On-the-Job Search Using Record Statistics
    by Gadi Barlevy
  • 2003 Which Countries Export FDI, and How Much?
    by Assaf Razin & Yona Rubinstein & Efraim Sadka
  • 2003 External Constraints on Monetary Policy and the Financial Accelerator
    by Mark Gertler & Simon Gilchrist & Fabio Natalucci
  • 2003 Cross-Border Valuation: The International Cost of Equity Capital
    by Gordon M. Bodnar & Bernard Dumas & Richard D. Marston
  • 2003 Domestic Capital Market Reform and Access to Global Finance: Making Markets Work
    by Peter Blair Henry & Peter Lombard Lorentzen
  • 2003 Winners and Losers of Tax Competition in the European Union
    by Enrique G. Mendoza & Linda L. Tesar
  • 2003 Experience of and Lessons from Exchange Rate Regime in Emerging Economies
    by Jeffrey A. Frankel
  • 2003 Exchange Rate Volatility and Exports from East Asian Countries to Japan and the U. S
    by SaangJoon Baak & Arif Al-Mahmood & Souksavanh Vixathep
  • 2003 Debt Sustainability, Brazil, and the IMF
    by Morris Goldstein
  • 2003 On the feasibility of a monetary union in the Southern Africa Development Community
    by Terence D.Agbeyegbe
  • 2003 The East Asian Dollar Standard, Fear of Floating, and Original Sin
    by Ronald McKinnon & Gunther Schnabl
  • 2003 Testing for Contagion in International Financial Markets: Which Way to Go?
    by Sébastien WÄLTI
  • 2003 Macroeconomics of International Price Discrimination
    by Giancarlo CORSETTI & Luca DEDOLA
  • 2003 Was the Bundesbank’s credibility undermined during the process of German reunification?
    by Matthias Morys
  • 2003 Steam as a general purpose technology: a growth accounting perspective
    by Nicholas Crafts
  • 2003 Fact or fiction? Re-examination of Chinese premodern population statistics
    by Kent Deng
  • 2003 Autarkic policy and efficiency in the Spanish industrial sector. An estimate of domestic resource cost in 1958
    by Elena Martínez Ruiz
  • 2003 The post-war rise of world trade: does the Bretton Woods System deserve credit?
    by Andrew G. Terborgh
  • 2003 Quantifying the contribution of technological change to economic growth in different eras: a review of the evidence
    by Nicholas Crafts
  • 2003 Bureau competition and economic policies in Nazi Germany, 1933-39
    by Oliver Volckart
  • 2003 Overcoming the zero bound on nominal interest rates with negative interest on currency : Gesell's solution
    by Willem H. Buiter
  • 2003 The transition from national currencies to the Euro
    by Charles Goodhart & Evi Pappa
  • 2003 Mapping the contours of contemporary financial services regulation
    by Julia Black
  • 2003 Precautionary bans or sacrificial lambs? Participative risk regulation and the reform of the UK food safety regime
    by Henry Rothstein
  • 2003 Incentives, choice and accountability in the provision of Public Services
    by Timothy Besley & Maitreesh Ghatak
  • 2003 Regulating parliament: the regulatory state within Westminster
    by Robert Kaye
  • 2003 Business history and risk
    by Terry Gourvish
  • 2003 Comparative and historical perspectives on business risk and antitrust in 20th century America, Japan, Europe and Australia
    by Tony Freyer
  • 2003 The risks of working and the risks of not working: trade unions, employers and responses to the risk of occupational illness in British industry, c.1890-1940s
    by Joseph Melling
  • 2003 The open method of co-ordination and the European welfare state
    by Damian Chalmers & Martin Lodge
  • 2003 Pricing of catastrophe reinsurance and derivatives using the Cox process with shot noise intensity
    by Angelos Dassios & Jiwook Jang
  • 2003 Macroeconomic news, order flows and exchange rates
    by Ryan Love & Richard Payne
  • 2003 Long-term value at risk
    by Kevin Dowd & David Blake & Andrew Cairns
  • 2003 Is immigration the answer to the UK’s pension crisis?
    by David Blake
  • 2003 Procyclicality and the new Basel Accord–banks’ choice of loan rating system
    by Eva Catarineu-Rabell & Patricia Jackson & Dimitrios P. Tsomocos
  • 2003 Financial system requirements for successful pension reform
    by David Blake
  • 2003 IPOs: insights from seven European countries
    by Josef Anton Schuster
  • 2003 The cross-section of European IPO returns
    by Josef Anton Schuster
  • 2003 The near impossibility of credit rationing
    by David de Meza & David C. Webb
  • 2003 What is a promise from the government worth?: measuring and assessing the implications of political risk in state and personal pension schemes in the United Kingdom
    by David Blake
  • 2003 Anatomy of a market crash: a market microstructure analysis of the Turkish overnight liquidity crisis
    by Jon Danielsson & Burak Saltoglu
  • 2003 Pension fund governance and the choice between defined benefit and defined contribution plans
    by Timothy Besley & Andrea Prat
  • 2003 Likelihood-based estimation of latent generalised ARCH structures
    by Gabriele Fiorentini & Enrique Sentana & Neil Shephard
  • 2003 The United Kingdom pension system: key issues
    by David Blake
  • 2003 Tranching
    by Guillaume Plantin
  • 2003 Does reinsurance need reinsurers?
    by Guillaume Plantin
  • 2003 Take (smoothed) risks when you are young, not when you are old: how to get the best from your stakeholder pension plan
    by David Blake
  • 2003 UK pension fund management after Myners: the hunt for correlation begins
    by David Blake
  • 2003 Pensionmetrics 2: stochastic pension plan design during the distribution phase
    by David Blake & Andrew J. G. Cairns & Kevin Dowd
  • 2003 Predatory trading
    by Markus K. Brunnermeier & Lasse Heje Pederson
  • 2003 Financing constraints, irreversibility, and investment dynamics
    by Andrea Caggese
  • 2003 Corporate bond prices and co-ordination failure
    by Max Bruche
  • 2003 Basel II and developing countries: diversification and portfolio effects
    by Stephany Griffith-Jones & Miguel Angel Segoviano & Stephen Spratt
  • 2003 Self-fulfilling liquidity and the coordination premium
    by Guillaume Plantin
  • 2003 Choosing the Regime in an Uncertain World, the UK and Monetary Union
    by Barrell, Ray & Ian Hurst & Tatiana Kirsanova
  • 2003 Stock markets and industry growth: an eastern European perspective
    by Zbigniew Kominek
  • 2003 Exchange Rate Pass-Through, Exchange Rate Volatility, and ExchangeRate Disconnect
    by M.B. Devereux & Ch. Engel
  • 2003 Risk and Wealth in a Model of Self-fulfilling Currency Crises
    by Bernardo Guimaraes & Stephen Morris
  • 2003 Risk and Wealth in a Model of Self-fulfilling Currency Crises
    by Bernardo Guimaraes & Stephen Morris
  • 2003 Comment fixer les cours de change? Annonces et correspondances maastrichtiennes
    by Jean-Sébastien PENTECOTE & Marc-Alexandre SENEGAS
  • 2003 Corrélations investissement-épargne et mobilité internationale des capitaux
    by Jean-Pierre BERDOT & Gérard KEBABDJIAN & Jacques LEONARD
  • 2003 Economic integration, similarity and convergence in the EU and CEECs trade structures
    by Luca De Benedictis & Lucia Tajoli
  • 2003 Dollarization and real volatility
    by Bastourre, Diego & Carrera, Jorge & Féliz, Mariano & Panigo, Demian
  • 2003 Credit constraints, financial liberalisation and twin crises
    by Haibin Zhu
  • 2003 Balance sheet effects and the country risk premium: an empirical investigation
    by Juan Carlos Berganza & Roberto Chang & Alicia García Herrero
  • 2003 Monetary Policy in Estimated Models of Small Open and Closed Economies
    by Ali Dib
  • 2003 The dynamics of currency substitution, asset substitution and de facto dollarization and euroization in transition countries
    by Feige,E.L.
  • 2003 Az Európai Monetáris Rendszer és az ERM-2
    by Polgár, Éva Katalin
  • 2003 Trade in Goods and Trade in Assets
    by Andre Burgstalle & Cem Karayalcin
  • 2003 Securities Transaction Taxes for U.S. Financial Markets
    by Robert Pollin & Dean Baker & Marc Schaberg
  • 2003 The Feldstein-Horioka puzzle and law
    by Hiroshi Gunji
  • 2003 CURRENCY CRISIS AND BALANCE SHEET CHANNEL EFFECT. The Korean Experience
    by Francois HERMET
  • 2003 Efficient unit root tests of real exchange rates in the post-Bretton Woods era
    by Francis Ahking
  • 2003 Threshold stationary real exchange rates: a nonlinear, multivariate approach
    by Philip Shively
  • 2003 The Nominal Exchange Rate and Monetary Fundamentals: Evidence from Nonlinear Unit Root Tests
    by Sofiane Hicham Sekioua
  • 2003 Are the Trade Deficits of Less Developed Countries Stationary?. Evidence for African Countries
    by Holmes, Mark J
  • 2002 Short and Long Term Real Effects of Exchange Rates
    by Yunus Aksoy & Hanno Lustig
  • 2002 Substitutability and Complementarity of FDI and PI in a Martingale Context
    by Brian J. Jacobsen
  • 2002 Techniques financières internationales (7è ed.)
    by Mannaï, Samir & Simon, Yves
  • 2002 Popular reaction to the intervention by the IMF in the Korean economic crisis
    by Hayo, Bernd & Shin, Doh Chull
  • 2002 Contagion of currency crises: Some theoretical and empirical analysis
    by Karmann, Alexander & Greßmann, Oliver & Hott, Christian
  • 2002 Is it time for a world currency?
    by Shams, Rasul
  • 2002 Yen or Yuan? China's role in the future of Asian monetary integration
    by Hefeker, Carsten & Nabor, Andreas
  • 2002 Contagion of currency crises: Some theoretical and empirical analysis
    by Karmann, Alexander & Greßmann, Oliver & Hott, Christian
  • 2002 Fractional Reserve Banking as Economic Parasitism: A Scientific, Mathematical & Historical Expose, Critique, and Manifesto
    by Vladimir Z. Nuri
  • 2002 Monitoring Costs and the Mode of International Investment
    by Chu-Chia S. Lin & Ivan P.L. Png
  • 2002 Currency Arrangements And Goods Market Integration: A Price Based Approach
    by David Parsley Shang-Jin Wei
  • 2002 Budgetticks- A must for the Government
    by Dr. George Benjamin
  • 2002 Budgetticks, not Economics-The need of the Day
    by Dr George Benjamin & .
  • 2002 Dollarization and Euroization in Transition Countries: Currency Substitution, Asset Substitution, Network Externalities and Irreversibility
    by Edgar Feige & James Dean
  • 2002 Unofficial Dollarization in Latin America: Currency Substitution, Network Externalities and Irreversibility
    by Edgar L. Feige & Vedran Šošiæ & Michael Faulend & Velimir Šonje
  • 2002 Three's Company:US Borders After September 11
    by Tapen Sinha & Bradly Condon
  • 2002 The Impact of the Introduction of the Euro on Foreign Exchange Rate Risk Exposures
    by Sohnke M. Bartram & G. Andrew Karolyi
  • 2002 Linear and Nonlinear Foreign Exchange Rate Exposures of German Nonfinancial Corporations
    by Sohnke M. Bartram
  • 2002 Mass Attitudes Toward Financial Crisis and Economic Reform in Korea
    by Bernd Hayo & Doh Shin
  • 2002 Popular Reaction to the Intervention by the IMF in the Korean Economic Crisis
    by Bernd Hayo & Doh Chull Shin
  • 2002 Credit derivatives in emerging markets
    by Romain Rancière
  • 2002 Currency Crises and Macroeconomic Performance
    by Luke Gower & Alan Krause
  • 2002 Corporate governance, competition, the new international financial architecture and large corporations in emerging markets
    by Singh, Ajit & Singh, Alaka & Weisse, Bruce
  • 2002 Financial turmoil: Systemic or regional?
    by Reinhart, Carmen & Kaminsky, Graciela
  • 2002 Optimal Financial Markets Liberalization
    by Khang Min Lee
  • 2002 Exchange Rate, Equity Prices and Capital Flows
    by Harald Hau & Helene Rey
  • 2002 Time Consistency and Free-Riding in a Monetary Union
    by V. V. Chari & Patrick J. Kehoe
  • 2002 Pricing the Global Industry Portfolios
    by Stefano Cavaglia & Robert J. Hodrick & Moroz Vadim & Xiaoyan Zhang
  • 2002 Trade Openness, Investment Instability and Terms-of-Trade Volatility
    by Assaf Razin & Efraim Sadka & Tarek Coury
  • 2002 Financial Globalization and Emerging Markets: With or Without Crash?
    by Philippe Martin & Helene Rey
  • 2002 The Great Exchange Rate Debate After Argentina
    by Sebastian Edwards
  • 2002 FDI Contribution to Capital Flows and Investment in Capacity
    by Assaf Razin
  • 2002 International Financial Integration and Economic Growth
    by Hali J. Edison & Ross Levine & Luca Ricci & Torsten Slok
  • 2002 A Brazilian Debt-Crisis
    by Assaf Razin & Efraim Sadka
  • 2002 Expenditure Switching and Exchange Rate Policy
    by Charles Engel
  • 2002 Gains from FDI Inflows with Incomplete Information
    by Assaf Razin & Efraim Sadka
  • 2002 Monetary Policy in a Financial Crisis
    by Lawrence J. Christiano & Christopher Gust & Jorge Roldos
  • 2002 Risk Sharing and Asset Prices: Evidence From a Natural Experiment
    by Anusha Chari & Peter Blair Henry
  • 2002 Micro Effects of Macro Announcements: Real-Time Price Discovery in Foreign Exchange
    by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Clara Vega
  • 2002 IMF Programs: Who is Chosen and What Are the Effects?
    by Robert J. Barro & Jong-Wha Lee
  • 2002 Why Should Emerging Economies Give up National Currencies: A Case for 'Institutions Substitution'
    by Enrique G. Mendoza
  • 2002 Debt Relief and Fiscal Sustainability
    by Sebastian Edwards
  • 2002 Exchange Rate Pass-Through into Import Prices: A Macro or Micro Phenomenon?
    by Jose Manuel Campa & Linda S. Goldberg
  • 2002 Capital Account Liberalization: Allocative Efficiency or Animal Spirits?
    by Anusha Chari & Peter Blair Henry
  • 2002 A Simple Framework for International Monetary Policy Analysis
    by Richard Clarida & Jordi Gali & Mark Gertler
  • 2002 Exchange Rate Pass-Through, Exchange Rate Volatility, and Exchange Rate Disconnect
    by Michael B. Devereux & Charles Engel
  • 2002 Economic and Financial Crises in Emerging Market Economies: Overview of Prevention and Management
    by Martin Feldstein
  • 2002 Quantity Controls, License Transferability, and the Level of Investment
    by Kala Krishna & Ling Hui Tan & Ram Ranjan
  • 2002 Uncovered Interest Rate Parity and the Term Structure
    by Geert Bekaert & Min Wei & Yuhang Xing
  • 2002 The Responsiveness of Consumer Prices to Exchange Rates And the Implications for Exchange-Rate Policy: A Survey Of a Few Recent New Open-Economy..
    by Charles Engel
  • 2002 Regímenes Cambiarios y Performance Fiscal ¿Generan los Regímenes Fijos Mayor Disciplina que los Flexibles?
    by Guillermo Javier Vúletin
  • 2002 Imperfect Knowledge, Temporal Instability and an Uncertainty Premium: Towards a Resolution of the Excess-Returns Puzzle in the Foreign Exchange Market
    by Roman Frydman & Michael D. Goldberg
  • 2002 An Iron Law of Currency Crises: The Divergence of the Nominal and the Real Exchange Rate and Increasing Current Account Deficits
    by Horst Siebert
  • 2002 Home Bias, Transaction Costs, and Prospects for the Euro: A More Detailed Analysis
    by Catherine L. Mann & Ellen E. Meade
  • 2002 Transnational compensation for oil pollution damage: examining changing spatialities of environmental liability
    by Michael Mason
  • 2002 Equilibrium and welfare in markets with financially constrained arbitrageurs
    by Denis Gromb & Dimitri Vayanos
  • 2002 Drivers and drawbacks: regulation and environmental risk management systems
    by Marius Aalders
  • 2002 Conceptualising Insurance: risk management under conditions of solvency
    by Michael Huber
  • 2002 Social licence and environmental protection: why businesses go beyond compliance
    by Neil Gunningham & Robert Kagan & Dorothy Thornton
  • 2002 Neglected risk regulation: the institutional attenuation phenomenon
    by Henry Rothstein
  • 2002 Mass media and political accountability
    by Timothy Besley & Robin Burgess & Andrea Pratt
  • 2002 Embedding regulatory autonomy: the reform of Jamaican telecommunications regulation 1988-2001
    by Lindsay Stirton & Martin Lodge
  • 2002 Critical reflections on regulation
    by Julia Black
  • 2002 Fiscal policy instruments to promote affordable housing
    by Alan Holmans & Kathleen Scanlon & Christine M. E. Whitehead
  • 2002 Analysis of spreads in the dollar/euro and Deutsche Mark/dollar foreign exchange markets
    by Charles Goodhart & Ryan Love & Richard Payne & Dagfinn Rime
  • 2002 Coordination, learning, and delay
    by Amil Dasgupta
  • 2002 Internal ratings, the business cycle and capital requirements: some evidence from an emerging market economy
    by Miguel A. Segoviano & Philip Lowe
  • 2002 Dealer liquidity in an auction market: evidence fom the London Stock Exchange
    by Sylvain Friederich & Richard Payne
  • 2002 Returns from active management in international equity markets; evidence from a panel of UK pension funds
    by David Blake & Allan Timmermann
  • 2002 Performance clustering and incentives in the UK pension fund industry
    by David Blake & Bruce N. Lehmann & Allan Timmermann
  • 2002 International asset allocation with time-varying investment opportunities
    by David Blake & Allan Timmermann
  • 2002 In-kind finance
    by Mike Burkart & Tore Ellingsen
  • 2002 You might as well be hung for a sheep as a lamb: the loss function of an agent
    by Margaret Bray & Charles Goodhart
  • 2002 Hedging housing risk in London
    by Matteo Iacoviello & François Ortalo-Magné
  • 2002 Market timing and return prediction under model instability
    by M. Hashem Pesaran & Allan Timmermann
  • 2002 Venture capital contracts and market structure
    by Roman Inderst & Holger M. Müller
  • 2002 Platform competition in two sided markets
    by Jean-Charles Rochet & Jean Triole
  • 2002 Coordination failures and the lender of last resort: was Bagehot right after all?
    by Jean-Charles Rochet & Xavier Vives
  • 2002 Consistent testing for stochastic dominance: a subsampling approach
    by Oliver Linton & Esfandiar Maasoumi & Yoon-Jae Whang
  • 2002 Family firms
    by Andrei Shleifer & Fausto Panunzi & Mike Burkart
  • 2002 Asymmetric information, heterogeneity in risk perceptions and insurance: an explanation to a puzzle
    by Kostas Koufopoulos
  • 2002 Bubbles and crashes
    by Dilip Abreu & Markus K. Brunnermeier
  • 2002 Pricing catastrophe insurance derivatives
    by Alexander Muermann
  • 2002 A Cox process with log-normal intensity
    by Sankarshan Basu & Angelos Dassios
  • 2002 Управление На Капиталовите Потоци В България
    by Tsvetan Manchev
  • 2002 Management of Capital Inflows in Bulgaria
    by Tsvetan Manchev
  • 2002 Le haut prix du lingot, conséquence ou cause du déficit des paiements ?
    by de Boyer des Roches, Jérôme
  • 2002 A Brazilian Debt-Crisis Model
    by Razin, Assaf & Sadka, Efraim
  • 2002 Dynamic General Equilibrium Analysis: The Open Economy Dimension
    by Ganelli, Giovanni & Lane, Philip R.
  • 2002 Capital account liberalization, free long-term capital flows, financial crises and economic development
    by Ajit Singh
  • 2002 Macroeconomics of international price discrimination
    by Giancarlo Corsetti & Luca Dedola
  • 2002 Asymmetric Shocks, Risk Sharing, and the Latter Mundell
    by Klaus Desmet
  • 2002 Is there a Future for Regional Banks and Regional Exchanges? The Strategies of Selected Austrian Finance Institutions
    by David T. Llewellyn & Reinhard Ortner & Helmut Stepic & Stefan K. Zapotocky
  • 2002 Latin American growth cycles. Empirical evidence: 1960 - 2000
    by Ana María Cerro & José Pineda
  • 2002 How Do Large Depreciations Affect Firm Performance?
    by Kristin J Forbes
  • 2002 Crisis de credibilidad de la peseta en las bandas del SME. Una aplicación del Modelo de Markov con saltos de régimen
    by RODRÍGUEZ LÓPEZ, Mª A.
  • 2002 Einkommenseffekte, Wechselkursdynamik und der Euro/Dollar-Kurs
    by Hans-Joachim Jarchow
  • 2002 Nominal And Real Exchange Rates And Purchasing Power Parity During The Guatemalan Float, 1897-1922
    by Thomas E. Schweigert
  • 2002 Financial Deregulation And Volatility In Emerging Equity Markets
    by William Miles
  • 2002 K pøíèinám mìnových krizí - empirie a teorie
    by Mojmír Helísek
  • 2002 Effects Of U.S. Interest Rates On The Real Exchange Rate In Mexico
    by Andre Mollick
  • 2002/2003 The New International Architecture
    by Rüdiger Dornbusch
  • 2001 An Interacting-Agents Approach to International Financial Contagion
    by Taisei Kaizoji
  • 2001 Asset Market Linkages in Crisis Periods
    by Hartmann, P. & Straetmans, S. & De Vries, C.G.
  • 2001 Essays on Currency Crises and Exchange Rate Expectations
    by Kajanoja, L.
  • 2001 Insiders and International finance: Evidence From Complementary Markets Patterns in Neighboring Areas
    by Leighton Vaughan Williams
  • 2001 Corporate Financial Policies and Performance Around Currency Crises
    by Arturo Bris & Yrjo Juhani Koskinen & Vicente Pascual Pons-Sanz
  • 2001 Corporate Financial Policies and Performance Prior to Currency Crises
    by Yrjo Juhani Koskinen & Arturo Bris
  • 2001 Investor Panic, IMF Actions, and Emerging Stock Market Returns and Volatility
    by Bernd Hayo & Ali Kutan
  • 2001 Payments-Related Intraday Credit Differentials and the Emergence of a Vehicle Currency
    by Sujit Chakravorti
  • 2001 International Transmission under Floating Exchange Rates
    by James R.Lothian & Cornelia H. McCarthy
  • 2001 Equity Returns and Inflation: The Puzzlingly Long Lags
    by James R. Lothian & Cornelia H.. McCarthy
  • 2001 Currency Substitution, Unoffical Dollarization and Estimates of Foreign Currency Held Abroad: The Case of Croatia
    by Edgar L. Feige & Michael Faulend & Velimir Sonje & Vedran Sosic
  • 2001 Would Collective Action Clauses Raise Borrowing Costs? An Update and Additional Results
    by Barry Eichengreen & Ashoka Mody
  • 2001 The Interest Rate Exposure of Nonfinancial Corporations
    by Sohnke M. Bartram
  • 2001 Corporate Risk Management as a Lever for Shareholder Value Creation
    by Sohnke M. Bartram
  • 2001 The Costs, Wealth Effects, and Determinants of International Capital Raising: Evidence from Public Yankee Bonds
    by Darius P. Miller & John J. Puthenpurackal
  • 2001 Corporate Financial Policies and Performance Prior to Currency Crises
    by Arturo Bris & Yrjö Koskinen & Vicente Pons
  • 2001 Official Dollarization in Latin America: Could it Work?
    by Paul Hallwood & Ian W. Marsh & Jorg Scheibe
  • 2001 The Origins of the Modern Financial Revolution: Responses to Impediments from Church and State in Western Europe, 1200 - 1600
    by John H. Munro
  • 2001 Real and Monetary Shocks to the Canadian Dollar: Do Canada and the U.S Form an Optimal Currency Area?
    by Jack L. Carr & John E. Floyd
  • 2001 The Empirics of Foreign Reserves
    by Philip Lane & Dominic Burke
  • 2001 The Empirics of Foreign Reserves
    by Philip Lane & Dominic Burke
  • 2001 ODA in Indonesia: A Preliminary Assessment
    by Kurnya Roesad
  • 2001 Spurious Welfare Reversals in International Business Cycle Models
    by Jinill Kim and Sunghyun Henry Kim
  • 2001 Currency crises in Russia and other transition economies
    by Popov, Vladimir
  • 2001 Globalisation, multinational enterprises and European integration
    by Gilroy, Bernard Michael
  • 2001 Fear of Floating: Exchange Rate Flexibility Indices
    by Reinhart, Carmen
  • 2001 Dollarization, Inflation and Growth
    by Sebastian Edwards & I. Igal Magendzo
  • 2001 The Curse of Non-Investment Grade Countries
    by Roberto Rigobon
  • 2001 The Role of Industrial Country Policies in Emerging Market Crises
    by Jeffrey A. Frankel & Nouriel Roubini
  • 2001 Long-Term Global Market Correlations
    by William N. Goetzmann & Lingfeng Li & K. Geert Rouwenhorst
  • 2001 Endogenous Currency of Price Setting in a Dynamic Open Economy Model
    by Michael B. Devereux & Charles Engel
  • 2001 The Adjustment of Prices and the Adjustment of the Exchange Rate
    by Charles Engel & James C. Morley
  • 2001 Volatility Dependence and Contagion in Emerging Equity Markets
    by Sebastian Edwards & Raul Susmel
  • 2001 Deposit Insurance Around the Globe: Where Does it Work?
    by Edward J. Kane & Asli Demirguc-Kunt
  • 2001 Limiting Currency Volatility to Stimulate Goods Market Integration: A Price Based Approach
    by David C. Parsley & Shang-Jin Wei
  • 2001 Between Meltdown and Moral Hazard: The International Monetary and Financial Policies of the Clinton Administration
    by J. Bradford DeLong & Barry Eichengreen
  • 2001 Recovery and Sustainability in East Asia
    by Yung Chul Park & Jong-Wha Lee
  • 2001 Rational Speculation and Exchange Rates
    by Margarida Duarte & Alan C. Stockman
  • 2001 A Primer on Emerging Market Crises
    by Rudi Dornbusch
  • 2001 Malaysia: Was it Different?
    by Rudi Dornbusch
  • 2001 Fewer Monies, Better Monies
    by Rudi Dornbusch
  • 2001 The "New Keynesian" Phillips Curve: Closed Economy vs. Open Economy
    by Assaf Razin & Chi-Wa Yuen
  • 2001 Is Disinflation Good for the Stock Market?
    by Peter Blair Henry
  • 2001 Does the Current Account Matter?
    by Sebastian Edwards
  • 2001 Dollarization and Economic Performance: An Empirical Investigation
    by Sebastian Edwards
  • 2001 Stock Market Liberalizations and the Repricing of Systematic Risk
    by Anusha Chari & Peter Blair Henry
  • 2001 Financial Safety Nets: Reconstructing and Modeling a Policymaking Metaphor
    by Edward J. Kane
  • 2001 When Is U.S. Bank Lending to Emerging Markets Volatile?
    by Linda S. Goldberg
  • 2001 Country Risk and Capital Flow Reversals
    by Assaf Razin & Efraim Sadka
  • 2001 Protection of Minority Shareholder Interests, Cross-listings in the United States, and Subsequent Equity Offerings
    by William A. Reese, Jr. & Michael S. Weisbach
  • 2001 High- and Low-Frequency Exchange Rate Volatility Dynamics: Range-Based Estimation of Stochastic Volatility Models
    by Sassan Alizadeh & Michael W. Brandt & Francis X. Diebold
  • 2001 Exchange Rates and Wages
    by Linda Goldberg & Joseph Tracy
  • 2001 The Law of One Price - A Case Study
    by Jonathan Haskel & Holger Wolf
  • 2001 Capital Mobility and Economic Performance: Are Emerging Economies Different?
    by Sebastian Edwards
  • 2001 Optimal Currency Basket Pegs for Developing and Emerging Economies
    by Joseph Daniels & Peter G. Toumanoff & Marc von der Ruhr
  • 2001 Currency Crises in Asia and Latin America: A Comparison
    by Shoji Nishijima
  • 2001 The Regime-Dependent Determination of Credibility: A New Look at European Interest Rate Differentials
    by Peter Tillmann
  • 2001 Offshore Investment Funds: Monsters in Emerging Markets?
    by Woochan Kim & Shang-Jin Wei
  • 2001 A Nonparametric Bayesian Approach to Detect the Number of Regimes in Markov Switching Models
    by Edoardo Otranto & Giampiero M. Gallo
  • 2001 Modelling the Impact of Overnight Surprises on Intra-daily Stock Returns
    by Giampiero M. Gallo & Yongmiao Hong & Tae-Why Lee
  • 2001 The limits of social democracy? Tax and spend under Labour, 1974-1979
    by Tom Clark
  • 2001 Fiscal exceptionalism: Great Britain and its European rivals: from civil war to triumph at Trafalgar and Waterloo
    by Patrick O'Brien
  • 2001 Strategic trading in a dynamic noisy market
    by Dimitri Vayanos
  • 2001 Membership has its priveleges : the effect of social capital and neighbourhood characteristics on the earnings of microfinance borrowers
    by Rafael Gomez & Eric Santor
  • 2001 Saving eliminates credit rationing
    by David de Meza & David C. Webb
  • 2001 Crisis costs and debtor discipline: the efficacy of public policy in sovereign debt crises
    by Prasanna Gai & Simon Hayes & Hyun Song Shin
  • 2001 Financial development, agency and the pace of adoption of new techniques
    by Ronald W. Anderson & Kjell G. Nyborg
  • 2001 Mean-variance portfolio allocation with a value at risk constraint
    by Enrique Sentana
  • 2001 Tests of the Fama and French model in India
    by Gregory Connor & Sanjay Sehgal
  • 2001 The skill profile of central bankers and supervisors
    by Charles Goodhart & Dirk Schoenmaker & Paolo Dasgupta
  • 2001 Housing market dynamics: on the contribution of income shocks and credit constraints
    by François Ortalo-Magné & Sven Randy
  • 2001 The impact of technology on cash usage
    by Charles Goodhart & Malte Krueger
  • 2001 Coordination risk and the price of debt
    by Stephen Morris & Hyun Song Shin
  • 2001 Disclosures and asset returns
    by Hyun Song Shin
  • 2001 In defence of usury laws
    by Giuseppe Coco & David de Meza
  • 2001 Flexible term structure estimation: which method is preferable?
    by Andrew Jeffrey & Oliver Linton & Thong Nguyen
  • 2001 Explaining currency crises: a duration model approach
    by Maria Mercedes Tudela
  • 2001 New evidence on the effects of US monetary policy on exchange rates
    by Sarantis Kalyvitis & Alexander Michaelides
  • 2001 Asset Market Linkages in Crisis Periods
    by P. Hartmann & S. Straetmans & C.G. de Vries
  • 2001 International Finance in General Equilibrium
    by John Geanakoplos & Dimitri P. Tsomocos
  • 2001 Tax Smoothing with Stochastic Interest Rates: A Re-assessment of Clinton's Fiscal Legacy
    by Huw Lloyd-Ellis & Shiqiang Zhang & Xiaodong Zhu
  • 2001 Political Risk and Capital Flight
    by Quan Le & Paul J. Zak
  • 2001 Income Inequality in Advanced Economies: A Critical Examination of the Trade and Technology Theories and an Alternative Perspective
    by A Singh
  • 2001 Volatility and Sovereign Default
    by Luisa Lambertini
  • 2001 Vincoli sugli afflussi di capitale: un rimedio per le crisi finanziarie?
    by Paolo Spada
  • 2001 Crash-Free Sequencing Strategies for Financial Development and Liberalization
    by By Jorge A. Chan-Lau & Zhaohui Chen
  • 2001 Exchange Market Pressure and Monetary Policy: Asia and Latin America in the 1990s
    by Evan Tanner
  • 2001 On the Way to European Union: Nominal and Real Convergence in Transition Countries
    by Jan Frait & Luboš Komárek
  • 2001 The Equilibrium Value of The Euro/$ US Exchange Rate: An Evaluation of Research
    by Stein L.
  • 2001 Bayesian and DF-GLS unit root tests of real exchange rates over the current floating period
    by David O. Cushman
  • 2001 Contrôle des capitaux. Pourquoi les gouvernements hésitent-ils ?
    by Benjamin J. Cohen
  • 2001 Pegging the CEECs Exchange Rates to the Euro
    by Laurence Boone & Mathilde Maurel
  • 2000 Local vs Foreign Currency Ratings: What Determines Sovereign Transfer Risk?
    by Trevino, L. & Thomas, S.
  • 2000 Corporate Risk Management as a Lever for Shareholder Value Creation
    by Bartram, S.M.
  • 2000 Moral Theory and International Fiscal Law
    by Cappelen, A.W.
  • 2000 Leaving a Monetary Union: Expected Time and Probability
    by Strobel, Dr F.
  • 2000 Sources of real exchange rate fluctuations in transition economies: The case of Ploand and Hungary
    by Dibooglu, Selahattin & Kutan, Ali M.
  • 2000 Culture and finance in a globalised world - an uneasy relation
    by Reszat, Beate
  • 2000 New Directions for Stochastic Open Economy Models
    by Maurice Obstfeld & Kenneth Rogoff
  • 2000 Does Mercosur Need a Single Currency?
    by Barry Eichengreen
  • 2000 International Economic Policy in the Wake of the Asian Crisis
    by Barry Eichengreen
  • 2000 Corporate Finance in Europe from 1986 to 1996
    by Michel DELBREIL & Ana ESTEBAN & Hans FRIDERICHS & Bernard PARANQUE & Franz PARTSCH & Franco VARETTO
  • 2000 Retail Banking in Hungary: A Foreign Affair?
    by John P. Bonin & Istvan Abel
  • 2000 Wool and Wool-Based Textiles in the West European Economy, c.800 - 1500: Innovations and Traditions in Textile Products, Technology, and Industrial Organisation
    by John H. Munro
  • 2000 The West European Woollen Industries and their Struggles for International Markets, c.1000 - 1500
    by John H. Munro
  • 2000 The Changing Fortunes of Fairs in Medieval and Early Modern Europe: Warfare, Transaction Costs, and the 'New Institutional Economics'
    by John H. Munro
  • 2000 Measuring the Degree of Currency Misalignment Using Offshore Forward Exchange Rates: The Case of the Korean Financial Crisis
    by Daekeun Park & Changyong Rhee
  • 2000 When Capital Inflows Come to a Sudden Stop: Consequences and Policy Options
    by Reinhart, Carmen & Calvo, Guillermo
  • 2000 The Philippines in the Asian Financial Crisis: How the Sick Man Avoided Pneumonia
    by Noland, Marcus
  • 2000 Deviation from Purchasing Power Parity: Evidence from Malaysia, 1973–1997
    by Goh, Soo Khoon & Mithani, Dawood
  • 2000 Rating the Rating Agencies
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela
  • 2000 Early Warning System: Empirical Results from The Signals Approach
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela
  • 2000 Methodology for an Early Warning System: The Signals Approach
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela
  • 2000 Assessing financial vulnerability, an early warning system for emerging markets: Introduction
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela
  • 2000 Capital flows to emerging markets: Liberalization, overshooting and volatility (a comment)
    by Reinhart, Carmen
  • 2000 The EMS Crisis in Retrospect
    by Barry Eichengreen
  • 2000 Bank Runs and Banking Policies: Lessons for African Policymakers
    by Edward J. Kane & Tara Rice
  • 2000 Aspects of Global Economic Intergration: Outlook for the Future
    by Martin Feldstein
  • 2000 Optimal Exchange Rate Policy: The Influence of Price Setting and Asset Markets
    by Charles Engel
  • 2000 Managers, Investors, and Crises: Mutual Fund Strategies in Emerging Markets
    by Graciela Kaminsky & Richard K. Lyons & Sergio Schmukler
  • 2000 Balance Sheets and Exchange Rate Policy
    by Luis Felipe Cespedes & Roberto Chang & Andres Velasco
  • 2000 Comments on Obstfeld and Rogoff's "The Six Major Puzzles in International Macroeconomics: Is There a Common Cause?"
    by Charles Engel
  • 2000 Interest Rate Volatility and Contagion in Emerging Markets: Evidence from the 1990s
    by Sebastian Edwards & Raul Susmel
  • 2000 Interest Rates, Contagion and Capital Controls
    by Sebastian Edwards
  • 2000 Looking for Contagion: Evidence from the ERM
    by Carlo A. Favero & Francesco Giavazzi
  • 2000 Country Portfolios
    by Aart Kraay & Norman Loayza & Luis Serven & Jaume Ventura
  • 2000 Macroeconomic Volatility in Latin America: A View and Three Case Studies
    by Ricardo J. Caballero
  • 2000 The Six Major Puzzles in International Macroeconomics: Is There a Common Cause?
    by Maurice Obstfeld & Kenneth Rogoff
  • 2000 Emerging Equity Markets and Economic Development
    by Geert Bekaert & Campbell R. Harvey & Christian Lundblad
  • 2000 The Rise and Fall of Foreign Exchange Market Intervention
    by Anna J. Schwartz
  • 2000 Financial Crisis, Health Outcomes and Aging: Mexico in the 1980s and 1990s
    by David M. Cutler & Felicia Knaul & Rafael Lozano & Oscar Mendez & Beatriz Zurita
  • 2000 Foreign and Domestic Bank Participation in Emerging Markets: Lessons from Mexico and Argentina
    by Linda Goldberg & B. Gerard Dages & Daniel Kinney
  • 2000 Measuring Real Economic Effects of Bailouts: Historical Perspectives on How Countries in Financial Distress Have Fared With and Without Bailouts
    by Michael D. Bordo & Anna J. Schwartz
  • 2000 Monetary Policy in the Open Economy Revisited: Price Setting and Exchange Rate Flexibility
    by Michael B. Devereux & Charles Engel
  • 2000 The Bail-In Problem: Systematic Goals, Ad Hoc Means
    by Barry Eichengreen & Christof Ruehl
  • 2000 Expectations Hypotheses Tests
    by Geert Bekaert & Robert J. Hodrick
  • 2000 Globalization and International Public Finance
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  • 2000 U.S. Banks, Crises, and Bailouts: From Mexico to LTCM
    by Rene M. Stulz
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  • 2000 Lessons from the Asian Crisis
    by Frederic S. Mishkin
  • 2000 Explaining European Short-term Interest Rate Differentials: An Application of Tobin's Portfolio Theory
    by Thomas J. Flavin & Michele G. Limosani
  • 2000 Explaining European Short-term Interest Rate Differentials: An Application of Tobin's Portfolio Theory
    by Thomas J. Flavin & Michele G. Limosani
  • 2000 Are Banks Different? Evidence from International Data
    by Claudia M. Buch
  • 2000 Housing finance aspects of the green paper
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  • 2000 Too much of a good thing? High oil prices and Russian monetary policy
    by David M. Woodruff
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    by Robert Baldwin & Christopher Hood & Henry Rothstein & Bridget M. Hutter & Michael Power
  • 2000 Risk management and business regulation
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  • 2000 Financial integration and asset returns
    by Philippe Martin & Helene Rey
  • 2000 Optimal currency areas: why does the exchange rate regime matter? (with an application to UK membership in EMU)
    by Willem H. Buiter
  • 2000 Currency areas, policy domains, and the institutionalization of fixed exchange rates
    by Peter B. Kenen
  • 2000 Monetary misconceptions
    by Willem H. Buiter
  • 2000 Pass-through and Exposure
    by Bodnar, Gordon M. & Dumas, Bernard & Marston, Richard C.
  • 2000 A Simple Model of Foreign Exchange Exposure
    by Bodnar, Gordan M. & Marston, Richard C.
  • 2000 Fiscal Shocks and Fiscal Risk Management
    by Huw Lloyd-Ellis & Xiaodong Zhu
  • 2000 U.S.-Europe Economic Interdependence and Policy Transmission
    by Fabio Ghironi
  • 2000 Crises and Credibility in a Target Zone: A Logit from a Markov-Switching Model
    by M. Isabel Campos & M. Araceli Rodríguez
  • 2000 International Linkages in Short- and Long-Term Interest Rates
    by Guglielmo Maria Caporale & Geoffrey Williams
  • 2000 How Does Dollarization Affect Real Volatility and Country Risk?
    by Jorge Eduardo Carrera & Mariano Feliz & Demian Panigo
  • 2000 Los flujos de oro y el ajuste externo. Argentina 1903-1913
    by Elías Salama
  • 2000 A tőke forradalma. Lőrinczné Istvánffy Hajna: Nemzetközi pénzügyek. Aula Kiadó, Budapest, 1999, 623 oldal
    by Bácskai, Tamás
  • 2000 The (Past and) Future of European Currencies
    by Giancarlo Corseti & Paolo Pesenti
  • 2000 Macroeconomic Volatility in Latin America: A Conceptual Framework and Three Case Studies
    by Ricardo J. Caballero
  • 2000 Macroeconomic Policy Lessons from LDC's
    by Carlos Alfredo Rodríguez
  • 1999 Exchange Rate Market Tensions in a Small Open Economy During the Transition to EMU: can Asian countries learn from the Portuguese experience in 1992-1995?
    by Margarida Abreu
  • 1999 Finance et stratégie
    by Batsch, Laurent
  • 1999 When to Leave a Monetary Union: Now or Later?
    by Strobel, F.
  • 1999 An eclectic approach to real exchange rate: Determination
    by Cerveró, Susana G.
  • 1999 Global Real Estate Markets: Cycles And Fundamentals
    by William N. Goetzmann & Bradford Case & K. Geert Rouwenhorst
  • 1999 "Nonlinear" covariance matrix and portfolio theory for non-Gaussian multivariate distributions
    by D. Sornette & P. Simonetti & J.V. Andersen
  • 1999 Foreign Portfolio Investors before and during a Crisis
    by Woochan Kim & Shang-Jin Wei
  • 1999 Spurious Welfare Reversals in International Business Cycle Models
    by Jinill Kim & Sunghyun Henry Kim
  • 1999 The New Open Economy Macroeconomics: A Survey
    by Lane, P
  • 1999 The risk premium, exchange rate expectations, and the forward exchange rate: Estimates for the Yen-Dollar rate
    by Landon, Stuart & Smith, Constance
  • 1999 The Consequences and Management of Capital Inflows: Lessons for Sub-Saharan Africa
    by Reinhart, Carmen & Calvo, Guillermo
  • 1999 International Capital Flows: Identifying the Gender Dimension
    by Singh, Ajit & Zammit, Josephine Ann
  • 1999 On the use of reserve requirements in dealing with capital flow problems
    by Reinhart, Carmen & Reinhart, Vincent
  • 1999 Inversión de las corrientes de capital, tipo de cambio y dolarización
    by Reinhart, Carmen & Calvo, Guillermo
  • 1999 Some Parallels Between Currency and Banking Crises: A Comment
    by Reinhart, Carmen
  • 1999 Boom and Bust and Sovereign Ratings
    by Helmut Reisen & Julia von Maltzan
  • 1999 Exchange Rates and Financial Fragility
    by Barry Eichengreen & Ricardo Hausmann
  • 1999 Uncertainty and the Disappearance of International Credit
    by Joshua Aizenman & Nancy P. Marion
  • 1999 Exchange Rate Pass-Through and the Welfare Effects of the Euro
    by Michael B. Devereux & Charles Engel & Cedric Tille
  • 1999 Short-Term Capital Flows
    by Dani Rodrik & Andres Velasco
  • 1999 No Single Currency Regime is Right for All Countries or At All Times
    by Jeffrey A. Frankel
  • 1999 The Determinants of Cross-Border Equity Flows
    by Richard Portes & Helene Rey
  • 1999 New Directions for Stochastic Open Economy Models
    by Maurice Obstfeld & Kenneth Rogoff
  • 1999 Liquidity Crises in Emerging Markets: Theory and Policy
    by Roberto Chang & Andres Velasco
  • 1999 Can Capital Mobility be Destabilizing?
    by Qinglai Meng & Andres Velasco
  • 1999 Japan's Big Bang and the Transformation of Financial Markets
    by Takatoshi Ito & Michael Melvin
  • 1999 Explaining the Cross-Section of Stock Returns in Japan: Factors or Characteristics?
    by Kent Daniel & Sheridan Titman & K.C. John Wei
  • 1999 The Dynamics of Emerging Market Equity Flows
    by Geert Bekaert & Campbell R. Harvey & Robin L. Lumsdaine
  • 1999 Reserve Uncertainty and the Supply of International Credit
    by Joshua Aizenman & Nancy Marion
  • 1999 International Trade and Factor Mobility: An Empirical Investigation
    by Linda S. Goldberg & Michael W. Klein
  • 1999 An International Dynamic Asset Pricing Model
    by Robert J. Hodrick & David Tat-Chee Ng & Paul Sengmueller
  • 1999 Offshore Investment Funds: Monsters in Emerging Markets?
    by Woochan Kim & Shang-Jin Wei
  • 1999 Was Expansionary Monetary Policy Feasible During the Great Contraction? An Examination of the Gold Standard Constraint
    by Michael D. Bordo & Ehsan U. Choudhri & Anna J. Schwartz
  • 1999 Lending Booms, Reserves, and the Sustainability of Short-Term Debt: Inferences from the Pricing of Syndicated Bank Loans
    by Barry Eichengreen & Ashoka Mody
  • 1999 On the Foreign-Exchange Risk Premium in Sticky-Price General Equilibrium Models
    by Charles Engel
  • 1999 Exchange Rates and Local Labor Markets
    by Linda Goldberg & Joseph Tracy
  • 1999 Foreign Portfolio Investors Before and During a Crisis
    by Woochan Kim & Shang-Jin Wei
  • 1999 Self-Protection for Emerging Market Economies
    by Martin Feldstein
  • 1999 Risks to Lenders and Borrowers in International Capital Markets
    by Benjamin E. Hermalin & Andrew K. Rose
  • 1999 International Capital Movements, Financial Volatility and Financial Instability
    by Frederic S. Mishkin
  • 1999 A Simple Model of Monetary Policy and Currency Crises
    by Philippe AGHION & Philippe BACCHETTA & Abhijit BANERJEE
  • 1999 Strategic trading and welfare in a dynamic market
    by Dimitri Vayanos
  • 1999 Alice in Euroland
    by Willem H. Buiter
  • 1999 UDROP: a small contribution to the international financial architecture
    by Willem H. Buiter & Anne Sibert
  • 1999 Privatization, Political Risk and Stock Market Development
    by Perotti, Enrico C & van Oijen, Pieter
  • 1999 The Determinants of Cross-Border Equity Flows
    by Portes, Richard & Rey, Hélène
  • 1999 Currency Crises: A Perspective on Recent Theoretical Developments
    by Jeanne, Olivier
  • 1999 An Optimal Currency Area Perspective of the EU Enlargement to the CEECs
    by Boone, Laurence & Maurel, Mathilde
  • 1999 The New Open Economy Macroeconomics: a Survey
    by Lane, Philip R.
  • 1999 EMU and the External Value of the Euro
    by Demertzis, Maria & Hughes Hallett, Andrew
  • 1999 Ceny v èeském zahranièním obchodì (Prices in Czech Foreign Trade)
    by Tomáš Holub
  • 1998 Both Sides of Corporate Diversification: The Value Impacts of Geographic and Industrial Diversification
    by Bodnar, G.M. & Tang, C. & Weintrop, J.
  • 1998 Pass-Through and Exposure
    by Bodnar, G.M. & Dumas, B. & Marston, R.C.
  • 1998 Heterogeneous "Credit Channels" and Optimal Monetary Policy in a Monetary Union
    by Gambacorta, L.
  • 1998 Inflation and Exchange Rate Regimes in Mexico
    by Li, C.A. & Philippopoulos, A. & Tzavalis, E.
  • 1998 International Tax Arbitrage Tax Evasion amd Interest Parity Conditions
    by Strobel, F.
  • 1998 Internatioanl Tax Arbitrage, Currency Options and Put-Call Parity Conditions
    by Strobel, F.
  • 1998 Why EMU is irrelevant for the German economy
    by Posen, Adam
  • 1998 A Theoretical Analysis of the Investor Protection Regulations Argument for Global Listing of Stocks
    by Oren Fuerst
  • 1998 Is the Malaysian Foreign Exchange Market Efficient?
    by Omar Marashdeh
  • 1998 The Demand for Money in an Open Economy: the Case of Malaysia
    by Omar Marashdeh
  • 1998 Dynamic Hedging in Currency Crisis
    by Malte Krüger
  • 1998 Fiscal Shocks and Fiscal Risk Management
    by H. Lloyd-Ellis & Xiaodong Zhu
  • 1998 Monetary Policy and the Real Exchange Rate: Some Evidence
    by John E. Floyd
  • 1998 Stochastic Monetary Interdependence, Currency Regime Choice and the Operation of Monetary Policy
    by John E. Floyd
  • 1998 Empirical Strategies in Labor Economics
    by Joshua Angrist & Alan Krueger
  • 1998 “Some Lessons for Policy Makers Who Deal with the Mixed Blessing of Capital Inflows,”
    by Reinhart, Carmen & Reinhart, Vincent
  • 1998 Leading Indicators of Currency Crises
    by Reinhart, Carmen & Kaminsky, Graciela & Lizondo, Saul
  • 1998 On crises, contagion, and confusion
    by Reinhart, Carmen & Kaminsky, Graciela
  • 1998 The forward rate unbiasedness hypothesis in inflation-targeting regimes
    by W A Razzak
  • 1998 Real Interest Rate Parity under Regime Shifts: Evidence for Industrial Countries
    by Stilianos Fountas & Jyh-lin Wu
  • 1998 Testing for Real Interest Rate Convergence in European Countries
    by Stilianos Fountas & Jyh-lin Wu
  • 1998 Fixed vs. Floating Exchange Rates: How Price Setting Affects the Optimal Choice of Exchange-Rate Regime
    by Michael B. Devereux & Charles Engel
  • 1998 Does Mercosur Need a Single Currency
    by Barry Eichengreen
  • 1998 The Asian Liquidity Crisis
    by Roberto Chang & Andres Velasco
  • 1998 Interest Rate Volatility, Capital Controls, and Contagion
    by Sebastian Edwards
  • 1998 Employment versus Wage Adjustment and the US Dollar
    by Jose Manuel Campa & Linda S. Goldberg
  • 1998 Currency Hedging and Goods Trade
    by Shang-Jin Wei
  • 1998 Dating the Integration of World Equity Markets
    by Geert Bekaert & Campbell R. Harvey & Robin L. Lumsdaine
  • 1998 Capital Flows and the Behavior of Emerging Market Equity Returns
    by Geert Bekaert & Campbell R. Harvey
  • 1998 Financial Crises in Emerging Markets
    by Roberto Chang & Andres Velasco
  • 1998 Currency Crisis and Unemployment: Sterling in 1931
    by Barry Eichengreen & Olivier Jeanne
  • 1998 Financial Fragility and the Exchange Rate Regime
    by Roberto Chang & Andres Velasco
  • 1998 The Emergence of the Euro as an International Currency
    by Richard Portes & Helene Rey
  • 1998 What Explains Changing Spreads on Emerging-Market Debt: Fundamentals or Market Sentiment?
    by Barry Eichengreen & Ashoka Mody
  • 1998 International Home Bias in International Finance and Business Cycles
    by Karen K. Lewis
  • 1998 Optimal International Asset Allocation and Home Bias
    by Thomas J. Flavin & Michael R. Wickens
  • 1998 Optimal International Asset Allocation and Home Bias
    by Thomas J. Flavin & Michael R. Wickens
  • 1998 Finance capital in the Weimar Republic: does evidence on supervisory board representation support Hilferding's view of the role of large banks in German capitalism?
    by Jeroen F De Boer
  • 1998 Transaction costs and asset prices : a dynamic equilibrium model
    by Dimitri Vayanos
  • 1998 The real exchange rate in transition economies
    by Clemens Grafe & Charles Wyplosz
  • 1998 The Asian Liquidity Crisis
    by Velasco, A. & Chang, R.
  • 1998 Financial Crises in Emerging Markets: A Canonical Model
    by Chang, R. & Velasco, A.
  • 1998 Financial Fragility and the Exchange Rate Regime
    by Chang, R. & Velasco, A.
  • 1998 Economic Convergence of the CEECs with the EU
    by Boone, Laurence & Maurel, Mathilde
  • 1998 Currency Crises, Sunspots and Markov-Switching Regimes
    by Jeanne, Olivier & Masson, Paul R
  • 1998 International Borrowing, Specialization and Unemployment in a Small, Open Economy
    by Osakwe, Patrick N.
  • 1998 Fundamentals, Contagion and Currency Crises: An Empirical Analysis
    by Kruger, Mark & Osakwe, Patrick N. & Page, Jennifer
  • 1998 Транснациональные Финансово-Промышленные Группы И Межгосударственная Экономическая Интеграция: Реальность И Перспективы
    by Цветков В.А.
  • 1998 Visión Retrospectiva de Algunos Aspectos Esenciales de la Economía Chilena a Través de Cuadernos de Economía
    by Dominique Hachette & Fernando Ossa
  • 1997 The Balance of Payments in Belgium and the IMF Approach
    by Mikael Petitjean
  • 1997 Echanges internationaux et économie mondiale
    by Mikael Petitjean
  • 1997 Inflation Under Alternatives Exchange Rate Regimes: What Hapens When Countries are of Different Size?
    by Hughes Hallett, A.J. & Kavanagh, E.
  • 1997 The Emergence of the Euro as an International Currency
    by Alogoskoufis, G. & Portes, R. & Rey, H.
  • 1997 The Effect of the Current Account Balance on Interest Rates
    by Peter S. Spiro
  • 1997 Do Financial Markets Expect a Significant Delay before EMU ?
    by A. Frachot
  • 1997 Real Exchange Rate Misalignments and Growth
    by Ofair Razin & Susan M. Collins
  • 1997 Capital Imports and the Jacksonian Economy: A New View of the Balance of Payments
    by T. J. O. Dick & John E. Floyd
  • 1997 Cost Effectiveness Of Foreign Aid Programs In The Baltics
    by van der Hoek, M. Peter & Chong, Yen Yee
  • 1997 Considerazioni finali del governatore della Banca d’Italia: un commento
    by Schilirò, Daniele
  • 1997 Tests for Interest Rate Convergence and Structural Breaks in the EMS
    by Stilianos Fountas & Jyh-lin Wu
  • 1997 Tests for Interest Rate Convergence and Structural Breaks in the EMS
    by Stilianos Fountas & Jyh-lin Wu
  • 1997 The Mexican Peso Crisis? How Much Did We Know? When Did We Know It?
    by Sebastian Edwards
  • 1997 Foreign Speculators and Emerging Equity Markets
    by Geert Bekaert & Campbell R. Harvey
  • 1997 Both Sides of Corporate Diversification: The Value Impacts of Geographic and Industrial Diversification
    by Gordon M. Bodnar & Charles Tang & Joseph Weintrop
  • 1997 "Peso Problem" Explanations for Term Structure Anomalies
    by Geert Bekaert & Robert J. Hodrick & David A. Marshall
  • 1997 Measuring Market Integration: A Model of Arbitrage with an Econometric Application to the Gold Standard, 1879-1913
    by Gauri Prakash & Alan M. Taylor
  • 1997 Wage Dispersion and Country Price Levels
    by Robert E. Lipsey & Birgitta Swedenborg
  • 1997 Hot Money
    by V. V. Chari & Patrick Kehoe
  • 1997 The Valuation of the Foreign Income of U.S. Multinational Firms: A Growth Opportunities Perspective
    by Gordon M. Bodnar & Joseph Weintrop
  • 1997 The Segmentation of International Markets: Evidence from The Economist
    by Michael M. Knetter
  • 1997 Deutschmark appreciation and structural change: An overview of economic structural reports
    by Schmidt, Klaus-Dieter
  • 1997 Interpreting the ERM crisis: country-specific and systemic issues
    by Willem H. Buiter & Giancarlo M. Corsetti & Paolo A. Pesenti
  • 1997 The real exchange rate in India: determinants and targeting
    by U. Patel & P. Srivastava
  • 1997 Foreign direct investment
    by J. Hatzius
  • 1997 Enterprises in transition: macroeconomic influences on enterprise decision-making and performance
    by Willem H. Buiter & R. Lago & H. Rey
  • 1997 Corporate governance and shareholder rights in Russia
    by D. Willer
  • 1997 Dynamic analysis in the Viner model of mercantilism
    by Heng-fu Zou
  • 1997 International Interest Rate Differentials: The Interaction with Fiscal and Monetary Variables, and the Business Cycle
    by Paul Fenton & Alain Paquet
  • 1997 Politiques économiques et intégration des marchés financiers: que pouvons-nous apprendre des différentiels de taux d'intérêt?
    by Paul Fenton & Alain Paquet
  • 1997 The Emergence of the Euro as an International Currency
    by Alogoskoufis, George & Portes, Richard & Rey, Hélène
  • 1997 Implications of the Great Depression for the Development of the International Monetary System
    by Bordo, Michael D & Eichengreen, Barry
  • 1997 How Will the Euro behave?
    by Cohen, Daniel
  • 1997 How Will Transatlantic Policy Interactions Change with the Advent of EMU?
    by Eichengreen, Barry & Ghironi, Fabio
  • 1997 Sources of Purchasing Power Disparities Between the G3-Economies
    by Weber, Axel A.
  • 1997 Sources of Currency Crisis: An Empirical Analysis
    by Weber, Axel A.
  • 1997 Финансово-Промышленные Группы: История Создания, Международный Опыт, Российская Модель
    by Цветков В.А.
  • 1997 European Monetary Union: an old Keynesian guide to issues
    by T.I. PALLEY
  • 1997 European Monetary Union: an old Keynesian guide to issues
    by T.I. PALLEY
  • 1996 Currency Fluctuations vs. Interest and Inflation Differentials : Does the Double Equality Hold ?
    by Jean-Christian LAMBELET
  • 1996 From Halifax to Lyons : What Has Been Done About Crisis Management?
    by Summers, L-H & Cline, W-R & Eichengreen, B & Portes, R & Fraga, A & Goldstein, M
  • 1996 From Halifax to Lyons : What Has Been Done About Crisis Management?
    by Summers, L-H & Cline, W-R & Eichengreen, B & Portes, R & Fraga, A & Goldstein, M
  • 1996 The credibility of monetary policy: a survey of the literature with some simple applications to Caanda
    by Robert Amano & Paul Fenton & David Tessier & Simon van Norden
  • 1996 Switching Between Chartists and Fundamentalists: A Markov Regime-Switching Approach
    by Robert Vigfusson
  • 1996 Stochastic Monetary Interdependence: The Case for Flexible Exchange Rates Revisited
    by John E. Floyd
  • 1996 Derivative Exposure and the Interest Rate and Exchange Rate Risks of U.S. Banks
    by Jongmoo Jay Choi & Elyas Elyasiani
  • 1996 Capital Flows to Latin America: Is There Evidence of Contagion Effects?”
    by Reinhart, Carmen & Calvo, Sara
  • 1996 Saving Behavior in Low- and Middle-Income Developing Countries: A Comparison
    by Reinhart, Carmen & Ogaki, Masao & Ostry, Jonathan
  • 1996 Dealing with capital inflows: Are there any lessons?
    by Reinhart, Carmen & Dunnaway, Steve
  • 1996 Inflows of capital to developing countries in the 1990s
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo
  • 1996 Goods Prices and Exchange Rates: What Have We Learned?
    by Pinelopi K. Goldberg & Michael M. Knetter
  • 1996 Fundamental Determinants of National Equity Market Returns: A Perspective on Conditional Asset Pricing
    by Wayne E. Ferson & Campbell R. Harvey
  • 1996 Testing for the Fundamental Determinants of the Long-Run Real Exchange Rate: The Case of Taiwan
    by Hsiu-Ling Wu
  • 1996 Issues in Korean Exchange Rate Policy
    by Stanley W. Black
  • 1996 The Effects of Industry Structure on Economic Exposure
    by Richard C. Marston
  • 1996 Fiscal Policy and Monetary Union: Is There a Tradeoff between Federalism and Budgetary Restrictions?
    by Barry Eichengreen & Jurgen von Hagen
  • 1996 Trade and Growth: An Empirical Investigation
    by Jeffrey A. Frankel & David Romer
  • 1996 Japanese FDI in Australia in the 1990s: Manufacturing, Financial Services and Tourism
    by Stephen Nicholas & David Merrett & Greg Whitwell & William Purcell & Sue Kimberley
  • 1996 A Stochastic Dynamic General Equilibrium Model for Greece
    by Kollintzas, Tryphon & Vassilatos, Vanghelis
  • 1996 Relative Labour Productivity and the Real Exchange Rate in the Long Run: Evidence for a Panel of OECD Countries
    by Canzoneri, Matthew B & Cumby, Robert & Diba, Behzad
  • 1996 The Use of SDRs in the Financing of Official Safety-net Mechanisms
    by De Cecco, Marcello & Giavazzi, Francesco
  • 1996 External debt and creditworthiness : theory with evidence
    by Amartya Lahiri & Hinh T. Dinh
  • 1995 Africa's Experience with Structural Adjustment. Proceedings of the Harare Seminar, May 23-24, 1994
    by Kapoor, K.
  • 1995 Intervention and Long Term Bias: Evidence from the Spot U.S. Dollar/Japanese Yen Fractal structure
    by Batten, J. & Ellis, C.
  • 1995 Structural Adjustment and the Effect of Drought: The Case of Zimbabwe
    by Durkan, J.
  • 1995 On the Optimal Exchange Rate Trends
    by Sinclair, P.J.N.
  • 1995 Russian Reform / International Money
    by Yegor Gaidar & Karl Otto Pöhl
  • 1995 Exchange Rates and Oil Prices
    by Robert A. Amano & Simon van Norden
  • 1995 National, regional and international capital markets: Measurement and implications for domestic financial fragility
    by Menzie Chinn & Michael Dooley
  • 1995 Financial and capital account liberalization in the Pacific Basin: Korea and Taiwan during the 1980's
    by Menzie Chinn & William Maloney
  • 1995 The relative influence of US and Japan on real interest rates around the Pacific Rim
    by Menzie Chinn & Jeffery Frankel
  • 1995 More survey data on exchange rate expectations: More currencies, more horizons, more tests
    by Menzie Chinn & Jeffery Frankel
  • 1995 Integration, cointegration and the forecast consistency of structural exchange rate models
    by Yin-Wong Cheung & Menzie Chinn
  • 1995 Whither the Yen? Implications of an intertemporal model of the Yen/Dollar rate
    by Menzie Chinn
  • 1995 Accounting for U.S. Current Account Deficits: An Empirical Investigation
    by Selahattin Dibooglu
  • 1995 Real Disturbances, Relative Prices, and Purchasing Power Parity
    by Selahattin Dibooglu
  • 1995 Oil Prices and the Rise and Fall of the U.S. Real Exchange Rate
    by Robert A. Amano & Simon van Norden
  • 1995 Uncovered Interest Parity: A Further Reconsideration
    by John E. Floyd
  • 1995 The evolution of a global network: a game of coalition formation
    by Chichilnisky, Graciela
  • 1995 Capital inflows to Latin America with reference to the Asian experience
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo
  • 1995 Accounting for U.S. Real Exchange Rate Changes
    by Charles Engel
  • 1995 The Forward Discount Anomaly and the Risk Premium: A Survey of Recent Evidence
    by Charles Engel
  • 1995 Emerging Equity Market Volatility
    by Geert Bekaert & Campbell R. Harvey
  • 1995 One Day in June, 1994: A Study of the Working of Reuters 2000-2 Electronic Foreign Exchange Trading System
    by Charles Goodhart & Takatoshi Ito & Richard Payne
  • 1995 Banks, firms, bad debts and bankruptcy in Hungary 1991-4
    by J. P. Bonin & M. E. Schaffer
  • 1995 Budgetary aspects of stabilization and structural adjustment in India: the painful road to a sustainable fiscal-financial-monetary plan
    by Willem H. Buiter & U. Patel
  • 1995 Macroeconomic policy during a transition to monetary union
    by Willem H. Buiter
  • 1995 European Monetary Unification: The Challenges Ahead
    by Eichengreen, Barry & Ghironi, Fabio
  • 1994 Technical Trading Rule Profitability and Foreign Exchange Intervention
    by Blake LeBaron
  • 1994 A New Meaure of the Korean Current Account
    by Eric O'N. Fisher & YoungSoo Woo
  • 1994 Is US Real GNP Chaotic? On Using the BDS test to Decide Whether an ARMA Model forthe US GNP Genreates I.I.D. Residuals
    by Domenico Mignacca & Mauro Gallegati
  • 1994 Is Money Neutral? Some Evidence for Italy
    by Gianluca Cubadda & Domenico Mignacca
  • 1994 Optimum Currency Areas and Shock Asymmetry A Comparison of Europe and the United States
    by Nick Chamie & Alain DeSerres & Rene Lalonde
  • 1994 The Macroeconomic Determinants of Commodity Prices
    by Reinhart, Carmen & Borensztein, Eduardo
  • 1994 The Size and Timing of Devaluations in Capital-Controlled Developing Countries
    by Robert Flood & Nancy Marion
  • 1994 Time-Varying World Market Integration
    by Geert Bekaert & Campbell R. Harvey
  • 1994 The Distribution of Exchange Rates in the EMS
    by Charles Engel & Craig S. Hakkio
  • 1994 What Determines Expected International Asset Returns?
    by Campbell R. Harvey & Bruno Solnik & Guofu Zhou
  • 1994 Relative Returns on Equities in Pacific Basin Countries
    by Charles Engel & John H. Rogers
  • 1994 The Implications of First-Order Risk Aversion for Asset Market Risk Premiums
    by Geert Bekaert & Robert J. Hodrick & David A. Marshall
  • 1994 Conditional Asset Allocation in Emerging Markets
    by Campbell R. Harvey
  • 1994 Predictable Risk and Returns in Emerging Markets
    by Campbell R. Harvey
  • 1994 Macroeconomic stabilisation and intervention policy under an exchange rate band
    by Beetsma, R.M.W.J. & Ploeg, F. van der
  • 1994 Macroeconomic Stabilization and Intervention Policy Under an Exchange Rate Band
    by Beetsma, Roel & van der Ploeg, Frederick
  • 1994 Short- and Long-term Hedging for the Corporation
    by Dumas, Bernard J
  • 1994 Exchange Rate Strategies and Fiscal Performance in Sub-Saharan Africa
    by Karim Nashashibi & Stefania Bazzoni
  • 1993 Exchange rate crises with domestic bank runs: Evidence from the 1890S
    by Victoria Miller
  • 1993 “Capital Inflows and Real Exchange Rate Appreciation in Latin America: The Role of External Factors
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo
  • 1993 El problema de la afluencia de capital: Conceptos y temas
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo
  • 1993 Tests of CAPM on an International Portfolio of Bonds and Stocks
    by Charles Engel
  • 1993 An Exploratory Investigation of the Fundamental Determinants of National Equity Market Returns
    by Wayne E. Ferson & Campbell R. Harvey
  • 1993 Emerging Currency Blocs
    by Jeffrey A. Frankel & Shang-Jin Wei
  • 1993 Income transfers in Russia : problems and some policy directions
    by Nicholas Barr
  • 1993 Five weeks in the life of the pound: interest rates
    by D. Robertson & J. Symons
  • 1993 Creating stable monetary systems in post-communist economies
    by J. Rostowski
  • 1993 Intramarginal interventions, bands and the pattern of EMS exchange rate distributions
    by Beetsma, R.M.W.J. & Ploeg, F. van der
  • 1993 Foreign Exchange Markets in Russia: Understanding the Reforms
    by Linda S. Goldberg
  • 1992 Irreversible investment with uncertainty and scale economies
    by Avinash Dixit
  • 1992 Exchange Rate Bands and Optimal Monetary Accommodation Under a Dirty Float
    by Beetsma, Roel & van der Ploeg, Frederick
  • 1992 Is There a Conflict Between EC Enlargement and European Monetary Unification?
    by Bayoumi, Tamim & Eichengreen, Barry
  • 1992 Shocking Aspects of European Monetary Unification
    by Bayoumi, Tamim & Eichengreen, Barry
  • 1992 An econometric diffusion model of exchange rate movements within a band : implications for interest rate differential and credibility of exchange rate policy
    by Olavi Rantala
  • 1991 The Japanese Economy
    by Takatoshi Ito
  • 1991 Output Fluctuations and Monetary Shocks: Evidence from Colombia
    by Reinhart, Carmen & Reinhart, Vincent
  • 1991 The stock market and economic development: should developing countries encourage stock markets?
    by Singh, Ajit
  • 1991 Output Fluctuations and Monetary Shocks
    by Reinhart, Carmen & Reinhart, Vincent
  • 1989 Venezuela public debt: 1979-1989
    by Hugo Contreras
  • 1987 Real-Financial Linkages among Open Economies
    by
  • 1982 Time series analysis of UK and US equity portfolios 1926-70
    by Lucien Foldes & Pauline Watson
  • 1981 Quarterly returns to treasury bills: U.K. and U.S. 1926-75
    by Lucien Foldes & Pauline Watson
  • 1978 Quarterly returns to U.K. equities 1919-70
    by Lucien Foldes & Pauline Watson
  • Existence of Sunspot Equilibria and Uniqueness of Spot Market Equilibria: The Case of Intrinsically Complete Markets
    by Thorsten Hens & Beate Pilgrim & Janos Mayer
  • External finance, sudden stops and financial crisis: what is different this time?
    by Gulcin Ozkan & Filiz Unsal
  • Moving People or Jobs? A New Perspective on Immigration and International Outsourcing
    by Hamid Beladi & Avik Chakrabarti
  • Exchange Rate Pass-Through: A Generalization
    by Hamid Beladi & Avik Chakrabarti & Sugata Marjit
  • My Studies in International Economics
    by Robert M. Stern
  • India's Experience in Navigating the Trilemma: Do Capital Controls Help?
    by R. Kohli
  • India's Experience in Navigating the Trilemma: Do Capital Controls Help?
    by R. Kohli
  • Capital Mobility for Developing Countries May Not Be So High
    by Thomas D. Willett & Young Seok Ahn & Manfred W. Keil
  • Inflation Targeting, Sudden Stops and the Cost of Fear of Floating
    by Javier Gómez Pineda
  • The Political Economy of Japan's Big Bang
    by Takatoshi Ito & Michael Melvin
  • Asymmetric Information and Price Discovery in the FX Market: Does Tokyo Know More About the Yen?
    by Michael Melvin & Vincentiu Covrig