Research classified by
Journal of
Economic Literature (JEL) codes
Top JEL
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F: International Economics
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F3: International Finance
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F30: General
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F31: Foreign Exchange
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F32: Current Account Adjustment; Short-term Capital Movements
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F33: International Monetary Arrangements and Institutions
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F34: International Lending and Debt Problems
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F35: Foreign Aid
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F36: Financial Aspects of Economic Integration
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F37: International Finance Forecasting and Simulation: Models and Applications
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F39: Other
This topic is covered by the following reading lists:- Mondialisation
- SOEP based publications
Most recent items first, undated at the end.
2012 Discount rate policy under the Classical Gold Standard: core versus periphery (1870s – 1914)
by Matthias Morys
2012 Globalization, Inequality, and Corruption
by Harald Badinger & Elisabeth Nindl
2012 Limited Participation in International Business Cycle Models: A Formal Evaluation
by Gao, Xiaodan & Hnatkovska, Viktoria & Marmer, Vadim
2012 Leading Behavior of Interest Rate Term Spreads and Credit Risk Spreads in Korea
by Won-Gi Kim & Noh-Sun Kwark
2012 The Sustainability of Monetary Unions. Can the Euro Survive?
by Paolo Canofari & Giancarlo Marini & Giovanni Piersanti
2012 Capital mobility in the Caucasus
by Jamilov, Rustam
2012 International financial integration of Mediterranean economies : A bird’s-eye view
by Peeters, Marga & Sabri, Nidal Rachid
2012 The impact of exchange rate volatility on trade integration among North and South Mediterranean countries
by Sabri, Nidal Rachid & Peeters, Marga & Abulaben, Diama K.
2012 The effects of real exchange rate volatility on productivity growth
by Diallo, Ibrahima Amadou
2012 Country Size, Currency Unions, and International Asset Returns
by Tarek Alexander Hassan
2012 Bubble Thy Neighbor: Portfolio Effects and Externalities from Capital Controls
by Kristin Forbes & Marcel Fratzscher & Thomas Kostka & Roland Straub
2012 The Evolving Importance of Banks and Securities Markets
by Asli Demirguc-Kunt & Erik Feyen & Ross Levine
2012 U.S. International Equity Investment
by John Ammer & Sara B. Holland & David C. Smith & Francis E. Warnock
2012 Accounting for Real Exchange Rates Using Micro-data
by Mario J. Crucini & Anthony Landry
2012 Nominal Stability and Financial Globalization
by Michael B. Devereux & Ozge Senay & Alan Sutherland
2012 The Renminbi's Role in the Global Monetary System
by Prasad, Eswar & Ye, Lei (Sandy)
2012 International Reserves and the Composition of Equity Capital Inflows
by Xingwang Qian & Andreas Steiner
2012 Model of Financial Development: A cluster analysis
by Dalila NICET-CHENAF (GREThA, CNRS, UMR 5113)
2012 More Pain, No Gain for Greece: Is the Euro Worth the Costs of Pro-Cyclical Fiscal Policy and Internal Devaluation?
by Mark Weisbrot & Juan Antonio Montecino
2012 International Financial Integration and Economic Growth: New Evidence on Threshold Effects
by Jinzhao Chen & Thérèse Quang
2012 International Macroeconomic Policy: When Wealth Affects People's Impatience
by Wang Peng & Heng-fu Zou
2012 The Return of Financial Repression
by Reinhart, Carmen
2012 A Darwinian Perspective on "Exchange Rate Undervaluation"
by Du, Qingyuang & Wei, Shang-Jin
2012 On the connection between intra-temporal and intertemporal trade
by Ju, Jiandong & Shi, Kang & Wei, Shang-Jin
2012 Liquidity, Risk and the Global Transmission of the 2007-08 Financial Crisis and the 2010-11 Sovereign Debt Crisis
by Chudik, Alexander & Fratzscher, Marcel
2012 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
by Reinhart, Carmen
2012 Are the Real Exchange Rates of the New EU Member Countries in Line with Fundamentals? – Implications of the NATREX Approach
by Michael Frenkel & Isabell Koske
2012 Malaysia's Time Varying Capital Mobility
by Turkhan Ali Abdul Manap & Gairuzazmi M Ghani
2012 Is there an S-curve relationship between U.S. trade balance and terms of trade? An analysis across industries and countries
by Amit Ghosh
2012 Protect and survive? Did capital controls help shield emerging markets from the crisis?
by Makram El-Shagi
2012 A dynamic conditional correlation analysis of European stock markets from the perspective of the Greek sovereign debt crisis
by Go Tamakoshi & Yuki Toyoshima & Shigeyuki Hamori
2012 A structural VARX modelling of international parities between China and Japan in the liberalization era
by Tze-Haw Chan & Chee-Wooi Hooy & Ahmad Zubaidi Baharumshah
2012 Purchasing Power Parity in African Countries: Further Evidence based on the ADL Test for Threshold Cointegration
by Tsangyao Chang & Chia-hao Lee & Guochen Pan
2012 McKinnon-Shaw Complimentarity Hypothesis: Evidence From Lesotho
by Sephooko Motelle & Rethabile Masenyetse
2011 International Price Differences in Ski Lift Tickets
by Martin Falk
2011 2010 Presidential Address - The New Deal and Modern Memory
by William F. Shughart II
2011 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
by Carmen M. Reinhart
2011 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
by Carmen M. Reinhart
2011 Opposition to capital market opening
by Engler, Philipp & Wulff, Alexander
2011 Zaduženost Republike Hrvatske i zemalja srednje i istočne Europe
by Vlatka Bilas & Sanja Franc & Vanja Cvitković
2011 John Maynard Keynes: Is That you Knocking on the Door?
by Tadeusz Kowalski & Yochanan Shachmurove
2011 As the Current Account Turns: Disaggregating the Effects of Current Account Reversals in Industrial Countries
by William D. Craighead & David R. Hineline
2011 International Risk-Sharing and Commodity Prices
by Martin Berka & Mario J. Crucini & Chih-Wei Wang
2011 Paradigm shift? A critique of the IMF’s new approach to capital controls
by Daniela Gabor
2011 Innovation and diffusion in risky industries under liability law: the case of “double-impact” innovations
by Julien Jacob
2011 Motivations and strategies for a real revaluation of the Yuan
by Meixing Dai
2011 Home Bias and Prediction Markets: Evidence from the Racetrack
by Paul Scanlon
2011 The Role of Monetary Policy in Turkey during the Global Financial Crisis (Kuresel Kriz Doneminde Turkiye'de Para Politikasinin Rolu)
by Harun Alp & Selim Elekdag
2011 Is There a Beijing Consensus on International Macroeconomic Policy
by Graham Bird & Alex Mandilaras & Helen Popper
2011 Trilemma Stability and International Macroeconomic Archetypes in Developing Economies
by Helen Popper & Alex Mandilaras & Graham Bird
2011 Incentives and the delegation of decision making power in sovereign wealth funds
by Artur Grigoryan
2011 Volatility Spillovers across South African Asset Classes during Domestic and Foreign
by Andrew S. Duncan & Alain Kabundi
2011 J-Curve Dynamics and the Marshall-Lerner Condition: Evidence from Azerbaijan
by Jamilov, Rustam
2011 The financial trilemma in China and a comparative analysis with India
by Aizenman, Joshua & Sengupta, Rajeswari
2011 Turkey’s trilemma trade-offs: is there a role for reserves?
by Cortuk, Orcan & Singh, Nirvikar
2011 Exchange rate determination in Jamaica: A market microstructures and macroeconomic fundamentals approach
by Wright, Allan S & Craigwell, Roland C & RamjeeSingh, Diaram
2011 Money laundry and financial development
by Buscemi, Antonino & Yallwe, Alem Hagos
2011 Is devaluation contractionary? empirical evidence for Pakistan
by Muhammad, Shahbaz & Faridul, Islam & Naveed, Aamir
2011 Money laundry and financial development
by Buscemi, Antonino & Yallwe, Alem Hagos
2011 Money laundry and financial development
by Yallwe, Hagos Alem & Buscemi, Antonino
2011 Determinants of Public Debt for middle income and high income group countries using Panel Data regression
by Sinha, Pankaj & Arora, Varun & Bansal, Vishakha
2011 The impact of oil price fluctuations on stock markets in developed and emerging economies
by Le, Thai-Ha & Chang, Youngho
2011 Financial repression redux
by Reinhart, Carmen & Kirkegaard, Jacob & Sbrancia, Belen
2011 Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems
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
2011 Financial development, international migrant remittances, and endogenous growth in Ghana
by Adenutsi, Deodat E.
2011 Trade Liberalization Sequence for Sustained Economic Growth
by Mo, Pak Hung
2011 An Historical Walk Through Recent Financial Crises
by Tadeusz Kowalski & Yochanan Shachmurove
2011 Towards a Theory of Trade Finance
by Tim Schmidt-Eisenlohr
2011 The Demand for Safe Assets in Emerging Economies and Global Imbalances: New Empirical Evidence
by Rudiger Ahrend & Cyrille Schwellnus
2011 Sovereign Wealth Funds as Investors in Africa: Opportunities and Barriers
by Edouard Turkisch
2011 Recalibrating Development Co-operation: How Can African Countries Benefit from Emerging Partners?
by Myriam Dahman Saidi & Christina Wolf
2011 Home Bias in Open Economy Financial Macroeconomics
by Nicolas Coeurdacier & Hélène Rey
2011 International Contagion Through Leveraged Financial Institutions
by Eric van Wincoop
2011 International Policy Coordination: The Long View
by Barry Eichengreen
2011 The External Impact of China's Exchange Rate Policy: Evidence from Firm Level Data
by Barry Eichengreen & Hui Tong
2011 Role Reversal in Global Finance
by Eswar S. Prasad
2011 International Reserves and the Global Financial Crisis
by Kathryn M.E. Dominguez & Yuko Hashimoto & Takatoshi Ito
2011 From the Financial Crisis to the Real Economy: Using Firm-level Data to Identify Transmission Channels
by Stijn Claessens & Hui Tong & Shang-Jin Wei
2011 On the International Transmission of Shocks: Micro-Evidence from Mutual Fund Portfolios
by Claudio Raddatz & Sergio L. Schmukler
2011 Liquidity management of U.S. global banks: Internal capital markets in the great recession
by Nicola Cetorelli & Linda S. Goldberg
2011 Leverage Across Firms, Banks, and Countries
by Sebnem Kalemli-Ozcan & Bent Sorensen & Sevcan Yesiltas
2011 The Financial Crisis and The Geography of Wealth Transfers
by Pierre-Olivier Gourinchas & Hélène Rey & Kai Truempler
2011 Capital Flow Waves: Surges, Stops, Flight, and Retrenchment
by Kristin J. Forbes & Francis E. Warnock
2011 ABS Inflows to the United States and the Global Financial Crisis
by Carol Bertaut & Laurie Pounder DeMarco & Steven B. Kamin & Ralph W. Tryon
2011 The Extensive Margin, Sectoral Shares and International Business Cycles
by Michael B. Devereux & Viktoria Hnatkovska
2011 Consumption Risk-Sharing and the Real Exchange Rate: Why does the Nominal Exchange Rate Make Such a Difference?
by Michael B. Devereux & Viktoria Hnatkovska
2011 International Recessions
by Fabrizio Perri & Vincenzo Quadrini
2011 Risk, Monetary Policy and the Exchange Rate
by Gianluca Benigno & Pierpaolo Benigno & Salvatore Nisticò
2011 The U.S. Left Behind: The Rise of IPO Activity Around the World
by Craig Doidge & G. Andrew Karolyi & René M. Stulz
2011 The Liquidation of Government Debt
by Carmen M. Reinhart & M. Belen Sbrancia
2011 A Decade of Debt
by Carmen M. Reinhart & Kenneth S. Rogoff
2011 Capital Controls: Myth and Reality - A Portfolio Balance Approach
by Nicolas E. Magud & Carmen M. Reinhart & Kenneth S. Rogoff
2011 Sex Ratios, Entrepreneurship, and Economic Growth in the People’s Republic of China
by Shang-Jin Wei & Xiaobo Zhang
2011 Currency and Financial Crises of the 1990s and 2000s
by Assaf Razin & Steven Rosefielde
2011 Differences of Opinion and International Equity Markets
by Bernard Dumas & Karen K. Lewis & Emilio Osambela
2011 The Role of Currency Realignments in Eliminating the US and China Current Account Imbalances
by Martin S. Feldstein
2011 The Impact of Oil Price Fluctuations on Stock Markets in Developed and Emerging Economies
by Thai-Ha LE & Youngho CHANG
2011 Incentives and the Delegation of Decision Making Power in Sovereign Wealth Funds
by Artur Grigoryan
2011 Migrations, public goods and taxes
by Jean J. Gabszewicz & Salome Gvetadze & Skerdilajda Zanaj
2011 Trade and Payments Theory in a Financialized Economy
by Michael Hudson
2011 Orthodox versus Heterodox (Minskyan) Perspectives of Financial Crises: Explosion in the 1990s versus Implosion in the 2000s
by Jesus Munoz
2011 Corporate Leverage, the Cost of Capital,and the Financial Crisis in Latin America
by Ricardo Bebczuk & Arturo Galindo
2011 Financial stress and economic activity in Germany and the Euro Area
by Björn van Roye
2011 Ist die Währungsunion zu retten? Für einen anreizeffizienten Krisenmechanismus
by Henning Klodt
2011 Role Reversal in Global Finance
by Prasad, Eswar
2011 Surviving the Crisis: Foreign Multinationals vs Domestic Firms in Ireland
by Godart, Olivier & Görg, Holger & Hanley, Aoife
2011 Unofficial Development Assistance: A Dynamic Model of Charities' Donation Income
by Arulampalam, Wiji & Backus, Peter G. & Micklewright, John
2011 Robust Global Stock Market Interdependencies
by Brian M Lucey & Cal Muckley
2011 Capital Controls: Myth and Reality--A Portfolio Balance Approach
by Nicolas E. Magud E. & Carmen M. & Kenneth S. Rogoff
2011 Integrating Reform of Financial Regulation with Reform of the International Monetary System
by Morris Goldstein
2011 Sovereign Wealth Funds: Is Asia Different?
by Edwin M. Truman
2011 The Liquidation of Government Debt
by Carmen M. & M. Belen Sbrancia
2011 The Value of Clean Hands: How to Appeal to International Equity Investors
by Sercu, Piet & Vanpée, Rosanne
2011 Sectoral Labor Adjustment and Monetary Policy in a Small Open Economy
by Kang Shi
2011 The Currency Transactions Tax: Feasibility, revenue estimates, and potential use of revenues
by Rodney Schmidt & Aniket Bhushan
2011 Der Euro als Triebfeder des deutschen Exports?
by Götz Zeddies
2011 The Argentine Success Story and its Implications
by Mark Weisbrot & Rebecca Ray & Juan Montecino & Sara Kozameh
2011 The Scorecard on Development, 1960-2010: Closing the Gap?
by Mark Weisbrot & Rebecca Ray
2011 From a “normal recession” to the “Great Depression”: finding the turning point in Chicago bank portfolios, 1923-1933
by Postel-Vinay, Natacha
2011 Exchange Rates and Global Rebalancing
by Barry Eichengreen & Gisela Rua
2011 Prospects for Monetary Cooperation in East Asia
by Yung Chul Park & Chi-Young Song
2011 Distribution, Domestic Politics, and Monetary Cooperation in East Asia
by Natasha Hamilton-Hart
2011 Prospects for Monetary Cooperation in East Asia
by Yung Chul Park & Chi-Young Song
2011 Distribution, Domestic Politics, and Monetary Cooperation in East Asia
by Natasha Hamilton-Hart
2011 Exchange Rates and Global Rebalancing
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
2011 Capital Regulation and Tail Risk
by Enrico Perotti & Lev Ratnovski & Razvan Vlahu
2011 Estimating US persistent and transitory monetary shocks: implications for monetary policy
by Juan Angel Lafuente & Rafaela Pérez & Jesús Ruiz
2011 Fiscal Devaluations
by Farhi, Emmanuel & Gopinath, Gita & Itskhoki, Oleg
2011 Capital Flows, Push versus Pull Factors and the Global Financial Crisis
by Fratzscher, Marcel
2011 International Recessions
by Perri, Fabrizio & Quadrini, Vincenzo
2011 Global crises and equity market contagion
by Bekaert, Geert & Ehrmann, Michael & Fratzscher, Marcel & Mehl, Arnaud
2011 Poultry in Motion: A Study of International Trade Finance Practices
by Antràs, Pol & Foley, C. Fritz
2011 A Decade of Debt
by Reinhart, Carmen & Rogoff, Kenneth
2011 Migration, public goods and taxes
by GABSZEWICZ, Jean J. & GVETADZE, Salome & ZANAJ, Skerdilajda
2011 CPI Inflation Targeting and the UIP Puzzle: An Appraisal of Instrument and Target Rules
by Alfred Guender
2011 Global Imbalances, Under-Consumption and Over-Borrowing: The State of the World Economy and Future Policies
by Cripps, F. & Izurieta, A. & Singh, A.
2011 Monetary Policy, Capital Inflows, and the Housing Boom
by Sá, F. & Wieladek, T.
2011 Does Productivity Respond to Exchange Rate Appreciations? A Theoretical and Empirical Investigation
by Yao Tang
2011 Micro approaches to foreign exchange determination
by Martin D. D. Evans & Dagfinn Rime
2011 International financial flows, real exchange rates and cross-border insurance
by Francesca Viani
2011 Regulation and Banking after the Crisis
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
2011 The Future of Banking in CESEE after the Financial Crisis
by Ernest Gnan & Andras Simor & Manfred Schepers & Markus Eller & Michael Froemmel & Nora Srzentic & Debora Revoltella & Fabio Mucci & Malgorzata Iwanicz-Drozdowska & Petra Kalfmann
2011 Shadow Sovereign Ratings
by Canuto, Otaviano & Mohapatra, Sanket & Dilip Ratha
2011 The SDR and Its Potential as an International Reserve Asset
by Chelsky, Jeff
2011 Delivering Aid Differently: Lessons from the Field
by Fengler, Wolfgang & Kharas, Homi
2011 Evaluation Of The Budget Process Reform Within The European Union
by Padurean, Elena & Dinga, Emil & Leonida, Ionel
2011 Entrada de capitales y acumulación de reservas: evidencia reciente
by Reinhart, Carmen M. & Reinhart, Vincent R.
2011 Development of Internal Demand and Bank Lending
by Erzsébet Gém
2011 Devaluation As The Instrument For Recession Overcoming In Bosnia And Herzegovina
by ZELJKO MARIC &
2011 Outsourcing Company Accounting
by Mihalache D. Arsenie-Samoil
2011 Cloud Accounting
by Mihalache D. Arsenie-Samoil
2011 Rose Effect: How Far Can it be Argued that the Euro Increased Trade?
by Puiu Cristina
2011 An Empirical Analysis of the Impact of Foreign Direct Investment on Economic Activity of India
by R. Jayaraj & Sumeet Gupta
2011 Taxa de câmbio, poupança e produtividade: impactos de curto e longo prazo
by Gala, Paulo & Libânio, Gilberto
2011 US macroeconomic news spillover effects on Vietnamese stock market
by Tho Nguyen
2011 Sudden stops and currency crises
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
2011 Identification of Driving Factors for Emerging Markets Sovereign Spreads
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
2011 Gold and financial assets: Are there any safe havens in bear markets?
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
2011 The dynamics of the volatility – trading volume relationship: New evidence from developed and emerging markets
by Loredana Ureche-Rangau & Fabien Collado & Ulysse Galiay
2011 Time varying regional integration in emerging stock market
by Khaled Guesmi
2011 Shock Persistence and Current Account Dynamics
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 Exchange rate fluctuations and extra-eurozone exports: A comparison of Germany and France
by Serge Rey
2011 Purchasing power parity hypothesis among the main trading partners of Turkey
by Giray Gozgor
2011 Purchasing Power Parity and the Chinese Yuan
by Richard Paul Gregory & Gary Shelley
2011 Nonlinear prediction of Malaysian exchange rate with monetary fundamentals
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
by Walid Chkili & Duc Khuong Nguyen
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
2011 Structural change in the forward discount: a Bayesian analysis of forward rate unbiasedness hypothesis
by Yi-Chi Chen & Wei-Choun Yu
2011 Onto Exchange Rate's Short Run Impact on Oil Prices Dynamics: An OPEC Members' perspective
by Sadek Melhem & Michel Terraza
2011 Estimation of equilibrium exchange rate in CEECs: a rolling window approach
by Claudiu T Albulescu & Daniel Goyeau
2011 Universities and authors: a ranking for international finance
by Paulo S.A. Sousa & Pedro Cosme C. Vieira
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
2011 Renminbi internationalisation and China's financial development
by Robert McCauley
2011 Global credit and domestic credit booms
by Claudio Borio & Robert McCauley & Patrick McGuire
2011 Basel Iii Regulations On Strengthening The Banking System Capitalization
by Natalita HURDUC & Nicoleta HURDUC
2011 Southern African Economic Integration: Evidence from an Augmented Gravity Model
by Moshi Optat Herman & Kirsten Wandschneider & Thierry Warin & Phanindra Wunnava
2011, 2nd quarter update subprime mortgage crisis, the
by Christopher L. Foote & Paul S. Willen
2010 Assessing the World Bank's influence on the good governance paradigm
by Gaoussou DIARRA & Patrick PLANE
2010 Análisis comparado sobre la crisis y los rescates financieros de México (1995) y los Estados Unidos (2008)
by Bazdresch Parada, Carlos & Buira, Ariel & Calvo, Guillermo & Elizondo Almaguer, Everardo & Esquivel Hernández, Gerardo & Fernández, Eduardo & Hernández Trillo, Fausto & de Juan, Aristóbulo & Loser, Claudio M. & Reinhart, Carmen M. & Rojas Suárez, Liliana & Silva Herzog Flores, Jesús & Weintraub, Sidney & Williamson, John
2010 Contagious Policies: An Analysis of Spatial Interactions Among Countries' Capital Account Policies
by Steiner, Andreas
2010 Do banks benefit from internationalization? Revisiting the market power-risk nexus
by Buch, Claudia M. & Koch, Cathérine Tahmee & Koetter, Michael
2010 Monetary Policy under the Classical Gold Standard (1870s - 1914)
by M Morys
2010 Quelques Réflexions sur la Réévaluation du Yuan
by Meixing Dai
2010 Oil Volatility and the Option Value of Waiting: An analysis of the G-7
by Don Bredin & John Elder & Stilianos Fountas
2010 Money Supply Rules and Exchange Rate Dynamics
by Juha Tervala
2010 Does reserve accumulation lead to higher currency-risk taking in the corporate sector? Firm-level evidence for Latin America
by Sengupta, Rajeswari
2010 Tyrannical Greed and National Disintegration of the Sudanese Nation
by Mohamed, Issam A.W.
2010 Accumulation of reserves and keeping up with the Joneses: the case of LATAM economies
by Cheung, Yin-Wong & Sengupta, Rajeswari
2010 Сучасні Моделі Фінансових Криз
by Petrushchak, Bohdan
2010 Impactul modificării ratei dobânzii asupra cursului de schimb în România
by Ghiba, Nicolae
2010 Bank efficiency and openness in Africa: do income levels matter?
by Simplice A, Asongu
2010 Inattentive Consumers and Exchange Rate Volatility
by Mehmet Fatih, Ekinci
2010 Regional Inflation (Price) Behaviors: Heterogeneity and Convergence
by Nagayasu, Jun
2010 India’s trilemma: financial liberalization, exchange rates and monetary policy
by Hutchison, Michael & Sengupta, Rajeswari & Singh, Nirvikar
2010 Diminished Expectations, Double Dips, and External Shocks: The Decade After the Fall
by Reinhart, Carmen & Reinhart, Vincent
2010 Do countries “graduate” from crises? Some historical perspective
by Reinhart, Carmen & Qian, Rong & Rogoff, Kenneth
2010 A phronesis antenarrative about the understanding of money and usage of money in more phronetic ways
by Berendsen, Wilfred
2010 On cross-currency models with stochastic volatility and correlated interest rates
by Grzelak, Lech & Oosterlee, Kees
2010 Integration, decoupling and the global financial crisis: A global perspective
by Miankhel, Adil Khan & Kalirajan, Kaliappa & Thangavelu, Shandre
2010 Managing the Process of Removing Capital Controls: What Does the Literature Suggest?
by Moore, Winston
2010 When Bad Things Happen to Good Sovereign Debt Contracts: The Case of Ecuador
by Porzecanski, Arturo C.
2010 An Equity-Interest Rate Hybrid Model With Stochastic Volatility and the Interest Rate Smile
by Grzelak, Lech & Oosterlee, Kees
2010 The impact of capital and disclosure requirements on risks and risk taking incentives
by Ojo, Marianne
2010 Extending the scope of prudential supervision: Regulatory developments during and beyond the “effective” periods of the Post BCCI and the Capital Requirements directives
by Ojo, Marianne
2010 Corporate Governance in Pakistan: Corporate Valuation, Ownership and Financing
by Attiya Y. Javid & Robina Iqbal
2010 U.S. Foreign-Exchange-Market Intervention and the Early Dollar Float: 1973 – 1981
by Michael D. Bordo & Owen F. Humpage & Anna J. Schwartz
2010 Composition of Capital Flows: A Survey
by Koralai Kirabaeva & Assaf Razin
2010 The Chinese Corporate Savings Puzzle: A Firm-level Cross-country Perspective
by Tamim Bayoumi & Hui Tong & Shang-Jin Wei
2010 Countercyclical Currency Risk Premia
by Hanno Lustig & Nikolai Roussanov & Adrien Verdelhan
2010 U.S. Foreign-Exchange-Market Intervention during the Volcker-Greenspan Era
by Michael D. Bordo & Owen F. Humpage & Anna J. Schwartz
2010 After the Fall
by Carmen M. Reinhart & Vincent R. Reinhart
2010 Emerging Local Currency Bond Markets
by John D. Burger & Francis E. Warnock & Veronica Cacdac Warnock
2010 On Graduation from Default, Inflation and Banking Crisis: Elusive or Illusion?
by Rong Qian & Carmen M. Reinhart & Kenneth S. Rogoff
2010 Do Global Banks Spread Global Imbalances? The Case of Asset-Backed Commercial Paper During the Financial Crisis of 2007-09
by Viral V. Acharya & Philipp Schnabl
2010 External Capital Structures and Oil Price Volatility
by John D. Burger & Alessandro Rebucci & Francis E. Warnock & Veronica Cacdac Warnock
2010 Are Leading Indicators of Financial Crises Useful for Assessing Country Vulnerability? Evidence from the 2008-09 Global Crisis
by Jeffrey A. Frankel & George Saravelos
2010 A Sexually Unbalanced Model of Current Account Imbalances
by Qingyuan Du & Shang-Jin Wei
2010 Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach
by Olivier Jeanne & Anton Korinek
2010 This Time is Different Chartbook: Country Histories on Debt, Default, and Financial Crises
by Carmen M. Reinhart
2010 From Financial Crash to Debt Crisis
by Carmen M. Reinhart & Kenneth S. Rogoff
2010 Liquidity, Institutional Quality and the Composition of International Equity Flows
by Itay Goldstein & Assaf Razin & Hui Tong
2010 Virtual Borders: Online Nominal Rigidities and International Market Segmentation
by Jean Boivin & Robert Clark & Nicolas Vincent
2010 Growth in a Time of Debt
by Carmen M. Reinhart & Kenneth S. Rogoff
2010 Transition to Equilibrium in International Trades
by Gaël Giraud & Céline Rochon
2010 Oil Volatility and the Option Value of Waiting: An analysis of the G-7
by Don Bredin & John Elder & Stilianos Fountas
2010 Does Idiosyncratic Business Risk Matter?
by Claudio Michelacci & Fabiano Schivardi
2010 Three Futures for Postcrisis Banking in the Americas: The Financial Trilemma and the Wall Street Complex
by Gary A. Dymski
2010 Purchasing Power Parity and the European Single Currency: Some New Evidence
by Maria Christidou & Theodore Panagiotidis
2010 Better to Give than to Receive: Predictive Directional Measurement of Volatility Spillovers
by Francis X. Diebold & Kamil Yilmaz
2010 Sudden Stops, Financial Frictions, and Labor Market Flows: Evidence from Latin America
by Francisco Gallego & José Tessada
2010 Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach
by Olivier Jeanne & Anton Korinek
2010 Assessment on Valuation of RMB – a triangular analysis approach
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2008 The Macroeconomic Implications of a Key Currency
by Matthew Canzoneri & Robert E. Cumby & Behzad Diba & David Lopez-Salido
2008 Global Portfolio Rebalancing Under the Microscope
by Harald Hau & Hélène Rey
2008 Banking Globalization, Monetary Transmission, and the Lending Channel
by Nicola Cetorelli & Linda S. Goldberg
2008 An Anatomy Of Credit Booms: Evidence From Macro Aggregates And Micro Data
by Enrique G. Mendoza & Marco E. Terrones
2008 When Is Quality of Financial System a Source of Comparative Advantage?
by Jiandong Ju & Shang-Jin Wei
2008 Resolving the Global Imbalance: The Dollar and the U.S. Saving Rate
by Martin S. Feldstein
2008 The Forgotten History of Domestic Debt
by Carmen M. Reinhart & Kenneth S. Rogoff
2008 Institutions, Technology, and Trade
by Wolfgang Keller & Carol H. Shiue
2008 Why do Foreigners Invest in the United States?
by Kristin J. Forbes
2008 This Time is Different: A Panoramic View of Eight Centuries of Financial Crises
by Carmen M. Reinhart & Kenneth S. Rogoff
2008 Capital Account Liberalization, Real Wages, and Productivity
by Peter Blair Henry & Diego Sasson
2008 Capital Inflows and Reserve Accumulation: The Recent Evidence
by Carmen M. Reinhart & Vincent R. Reinhart
2008 Macroeconomic Interdependence and the International Role of the Dollar
by Linda S. Goldberg & Cédric Tille
2008 International Trade in Durable Goods: Understanding Volatility, Cyclicality, and Elasticities
by Charles Engel & Jian Wang
2008 Cross-Border Returns Differentials
by Stephanie E. Curcuru & Tomas Dvorak & Francis E. Warnock
2008 High Idiosyncratic Volatility and Low Returns: International and Further U.S. Evidence
by Andrew Ang & Robert J. Hodrick & Yuhang Xing & Xiaoyan Zhang
2008 Liquidity, Institutional Quality and the Composition of International Equity Outflows
by Itay Goldstein & Assaf Razin & Hui Tong
2008 How Does Corporate Governance Risk at Home Affect Investment Choices Abroad?
by Woochan Kim & Taeyoon Sung & Shang-Jin Wei
2008 Imperfect exchange rate pass-through : the role of distribution services and variable demand elasticity
by Philippe Jeanfils
2008 Optimal Pass-Through of Oil Prices in an Economy with Nominal Rigidities
by Hafedh Bouakez & Nooman Rebei & Désiré Vencatachellum
2008 A Pragmatic Approach to Capital Account Liberalization
by Prasad, Eswar & Rajan, Raghuram G.
2008 Inflación y Tipo de Cambio: Chile 1810-2005
by Gert Wagner & José Díaz
2008 The Optimal Currency Basket with Input Currency and Output Currency
by Kang Shi & Juanyi Xu
2008 Input Substitution, Export Pricing, and Exchange Rate Policy
by Kang Shi & Juanyi Xu
2008 Exchange Rate Pass-Through to Domestic Inflation in Hong Kong
by Li-gang Liu & Andrew Tsang
2008 Inflation Targeting and Real Exchange Rates in Emerging Markets
by Joshua Aizenman & Michael Hutchison & Ilan Noy
2008 Do Institutions Matter for Foreign Direct Investment?
by Fathi Ali & Norbert Fiess & Ronald MacDonald
2008 Asia-Europe: the third link
by Jean Pisani-Ferry & Jérémie Cohen-Setton
2008 Asset prices and exchange rates: a time dependent approach
by Giulia PICCILLO
2008 Update - Debt Cancellation for Haiti: No Reason For Further Delays
by Mark Weisbrot & Luis Sandoval
2008 The history, nature and economic significance of an exceptional fiscal state for the growth of the British economy, 1453-1815
by O'Brien, Patrick
2008 Expansion Abroad and Jobs at Home: Evidence from Japanese Multinational Enterprises
by Nobuaki Yamashita & Kyoji Fukao
2008 Will New Trends in Foreign Direct Investment Change the Structure of Intra-industry Trade between China and Japan?
by Tao Tao
2008 A Faith-based Initiative: Does a Flexible Exchange Rate Regime Really Facilitate Current Account Adjustment?
by Chinn, Menzie David & Wei, Shang-Jin
2008 Financial Crash, Commodity Prices and Global Imbalances
by Caballero, Ricardo & Farhi, Emmanuel & Gourinchas, Pierre-Olivier
2008 Inflation Targeting as the New Golden Standard
by Spivak, Avia & Sussman, Nathan
2008 Capital Flow Bonanzas: An Encompassing View of the Past and Present
by Reinhart, Carmen & Reinhart, Vincent
2008 Does Idiosyncratic Business Risk Matter?
by Michelacci, Claudio & Schivardi, Fabiano
2008 International Portfolios, Capital Accumulation and Foreign Assets Dynamics
by Coeurdacier, Nicolas & Kollmann, Robert & Martin, Philippe
2008 Tariffs, Trains, and Trade: The Role of Institutions versus Technology in the Expansion of Markets
by Keller, Wolfgang & Shiue, Carol Hua
2008 Vulnerability of Currency Pegs: Evidence from Brazil
by Bernardo Guimaraes
2008 Optimal External Debt and Default
by Bernardo Guimaraes
2008 Squeaky Hinges: Widening the Door to Canadian Cross-border Investment
by Matt Krzepkowski & Jack Mintz
2008 The Credit Risk Premium in a Disaster-Prone World
by Zhu, Yanhui & Copeland, Laurence
2008 Ungelöste Probleme der Bankenaufsicht
by Paul J.J. Welfens
2008 The Classification and Perfomance of Alternative Exchange-Rate Systems
by George Tavlas & Harris Dellas & Alan Stockman
2008 EU framework for safeguarding financial stability: Towards an analytical benchmark for assessing its effectiveness
by María J. Nieto & Garry J. Schinasi
2008 Welfare Effects of Commodity Price and Exchange Rate Volatilities in a Multi-Sector Small Open Economy Model
by Ali Dib
2008 Import Price Dynamics in Major Advanced Economies and Heterogeneity in Exchange Rate Pass-Through
by Stephane Dees & Matthias Burgert & Nicolas Parent
2008 Do Central Banks Respond to Exchange Rate Movements? Some New Evidence from Structural Estimation
by Wei Dong
2008 Reforming the IMF: Lessons from Modern Central Banking
by Philipp Maier & Eirc Santor
2008 From BNL-QR to PSL-QR: the history (1947-2007) and prospects of a journal
by Alessandro Roncaglia
2008 Ownership Concentration, Corporate Governance and Firm Performance: Evidence from Pakistan
by Attiya Y. Javid & Robina Iqbal
2008 Crises financeiras nos anos 1990 e poupança externa [Financial crises of the 1990s and current account deficits]
by Luiz Carlos Bresser-Pereira & Lauro Gonzalez & Cláudio Lucinda
2008 More on corporate diversification, firm size and value creation
by Duc Khuong Nguyen & Walid Mensi & Adel Boubaker
2008 Nonlinear Mean Reversion and Arbitrage in the Gold Futures Market
by Jeng-Bau Lin & Jin-Ming Liang & Chin-Chia Liang
2008 Does capital account liberalisation promote economic growth? Evidence from system estimation
by Fabrizio Carmignani
2008 Determinants of the Public's Preference for a Referendum on Monetary Union
by Steven Buigut
2008 Econometrics of the Forward Premium Puzzle
by Avik Chakraborty & Stephen E. Haynes
2008 Volatile capital flows: Interactions between de jure and de facto financial liberalization
by Rebecca Neumann & Ron Penl
2008 Purchasing power parity: A nonlinear multivariate perspective
by Frédérique Bec & Anders Rahbek & Mélika Ben Salem
2008 Nonlinear unit root tests of PPP using long-horizon data
by Frederick Wallace
2008 Purchasing power parity in Central and Eastern European countries
by Ahmad Zubaidi Baharumshah & Darja Borsic
2008 The Monetary Model of Exchange Rate: Evidence from the Philippines Using ARDL Approach
by Sovannroeun SAMRETH & Dara LONG
2008 Is Mercosur an optimum currency area? An assessment using generalized purchasing power parity
by Sergio Da Silva & Leandro Stocco & J. Anchieta Neves
2008 Are the fiscal and monetary policies of the G-7 countries effective in decreasing the U.S. trade deficit?
by Hideki Nishigaki
2008 Analysing the forward premium anomaly using a Logistic Smooth Transition Regression model
by Sofiane Amri
2008 The terms of trade, repudiation and default on sovereign debt
by Michael Bleaney
2008 Testing PPP for Central American real exchange rates. Evidence from new panel data stationary tests with structural breaks
by Jean-François Hoarau
2008 Testing for PPP in the mean-group panel rgression framework: further evidence
by Abdullah Noman
2008 One Proposition about Dynamic Portfolio Selection in an Open Economy and International Diversification
by Takaaki Aoki
2008 Non-linear PPP in South Asia and China
by Shabbir Ahmad & Abdul Rashid
2008 Non-linear PPP in South Asia and China
by Shabbir Ahmad & Abdul Rashid
2008 Are the Asian Equity Markets more Interdependent after the Financial Crisis?
by Terence Tai-Leung Chong & Wing Keung Wong & Siew-Yen Foo
2008 Are the Asian Equity Markets more Interdependent after the Financial Crisis?
by Terence Tai-Leung Chong & Wing Keung Wong & Siew-Yen Foo
2008 Empirical Test of Affine Stochastic Discount Factor Model of Currency Pricing
by Alex Lebedinsky
2008 Could Changes in Black Market Exchange Rates be Expansionary in LDCs?
by Mohsen Bahmani-Oskooee & Ilir Miteza & Gour Goswami
2008 Could Changes in Black Market Exchange Rates be Expansionary in LDCs?
by Mohsen Bahmani-Oskooee & Ilir Miteza & Gour Goswami
2008 Exchange Rate Volatility and Optimum Currency Area: Evidence from Africa
by Chrysost Bangaké
2008 An empirical analysis of structural changes in emerging market volatility
by Duc NGUYEN
2008 Country-specific shocks and optimal monetary policy
by Hyeongwoo Kim
2008 Monetary policy transmission asymmetries in a heterogeneous monetary union: a simple contractual solution
by Cristina Badarau Semenescu & Patrick Villieu & Nelly Gregoriadis
2008 Multivariate GARCH modeling analysis of unexpected U.S. D, Yen and Euro-dollar to Reminibi volatility spillover to stock markets
by Ching-Chun Wei
2008 The expectations hypothesis of the term structure in the Euro area:
by Javier Ordóñez & Cecilio Tamarit & Mariam Camarero
2008 The international price of idiosyncratic risk
by AROURI Mohamed
2008 Oil Prices, aggregate economic activity and global liquidity conditions: evidence from Turkey
by C. Emre Alper & Orhan Torul
2008 Non-Linear Trend Stationarity And Co-Trending In Latin American Real Exchange Rates
by HOLMES, Mark J
2008 Ricardo's denial of the gold point mechanism
by Jérôme DE BOYER DES ROCHES
2008 Political pressures and exchange rate stability in emerging market economies
by Ester Faia & Massimo Giuliodori & Michele Ruta
2008 Anatomy of the Credit Crisis: The role of Faulty Risk Management Systems
by Frank Milne
2008 The value relevance of the foreign currency translation differences : a study of multinational oil and gas companies in Australia
by Svetalna Vlady
2007 International Relocation, Difference in Production Costs, and Welfare: Analysis Based on the Two-Country Model
by Kohjiro Dohwa
2007 Using Financial Markets to Analyze History: The Case of the Second World War
by Bruno S. Frey & Daniel Waldenström
2007 The Chinese Bond Market: Historical Lessons, Present Challenges and Future Perspectives
by Haizhou Huang & Ning Zhu
2007 Market linkages, variance spillovers and correlation stability: empirical evidences of financial contagion
by Monica Billio & Massimiliano Caporin
2007 A counter-cyclical framework for a development-friendly international financial architecture
by José Antonio Ocampo & Stephany Griffith-Jones
2007 Taking stock: global imbalances. Where do we stand and where are we aiming to?
by Andrea Fracasso
2007 Nontraded Goods, Market Segmentation, and Exchange Rates
by Michael Dotsey & Margarida Duarte
2007 Revisiting Mrs. Machlup's Wardrobe: The Accumulation of International Reserves, 1992-2001
by Graham Bird & Alex Mandilaras
2007 Determinants of Portfolio Flows into CIS Countries
by Alina Kudina & Oleksandr Lozovyi
2007 Asian Financial Crisis and the J-Curve: Evidence from South Korea
by Artatrana Ratha & Eungmin Kang
2007 Policy Words and Policy Deeds: The ECB and the Euro
by Pierre L. Siklos & Martin T. Bohl
2007 Trade Costs and Some Puzzles in International Macroeconomics
by Luke Willard
2007 Investment and the exchange rate: Short run and long run aggregate and sector-level estimates
by Landon, Stuart & Smith, Constance
2007 Correlation dynamics between Asia-Pacific, EU and US stock returns
by Hyde, Stuart J & Bredin, Don P & Nguyen, Nghia
2007 Companies’ market penetration and activity patterns in european market
by Neamtu, Liviu & Neamtu, Adina Claudia
2007 The 2000-2001 Financial Crisis in Turkey: A Crisis for Whom?
by Dufour, Mathieu & Orhangazi, Ozgur
2007 Oil and Challenges of Trade Policy Making In Sudan in a Globalizing Arena
by Shafaeddin, Mehdi
2007 Corporate Cash Flow and Stock Price Exposures to Foreign Exchange Rate Risk
by Bartram, Söhnke M.
2007 What Lies Beneath: Foreign Exchange Rate Exposure, Hedging and Cash Flows
by Bartram, Söhnke M.
2007 What determines banks’ customer choice? Evidence from transition countries
by De Haas, Ralph & Ferreira, Daniel & Taci, Anita
2007 Collective Action Clauses in International Sovereign Bond Contracts - Whence the Opposition?
by Häseler, Sönke
2007 In Search of a Euro Effect: Big Lessons from a Big Mac Meal?
by Parsley, David & Wei, Shang-jin
2007 The Single Global Currency - Common Cents for the World (2007 Edition)
by Bonpasse, Morrison
2007 The country risk for Romania
by Fratostiteanu, Cosmin & Tanasie, Anca
2007 Financial Integration in Emerging Market Economies
by Pasricha, Gurnain
2007 Interactions between interest rates and the transmission of monetary and economic news: the cases of US and UK
by Tuysuz, Sukriye & Kuhry, Yves
2007 Régimes de change: Le chemin vers la flexibilité
by Sfia, Mohamed Daly
2007 Foreign Investment in Chinese Joint Stock Banks: 1996-2006
by Abotsi, Kodjo
2007 Agency Conflicts and Corporate Payout Policies: A Global Study
by Bartram, Söhnke M. & Brown, Philip & How, Janice C.Y. & Verhoeven, Peter
2007 The Causal Relationship between Foreign Direct Investment and Current Account: An Empirical Investigation for Pakistan Economy
by Siddiqui, Danish Ahmed & Ahmad, Mohsin Hasnain
2007 Foreign Currency Exposure and Hedging: Evidence from Foreign Acquisitions
by Bartram, Söhnke M. & Burns, Natasha & Helwege, Jean
2007 Internal and external factors on firms? transfer pricing decisions: Insights from organization studies
by Dan Li & Manuel Portugal Ferreira
2007 In the Same Boat: Exchange Rate Interdependence in the Asia-Pacific Region
by Tomer Shachmurove & Yochanan Shachmurove
2007 Demand Shocks and Trade Balance Dynamics
by José García-Solanes & Jesús Rodríguez López & José Luis Torres Chacón
2007 Banking on Development: Private Banks ans Aid Donors in Developing Countries
by Javier Rodríguez & Javier Santiso
2007 Dynamic Global Games of Regime Change: Learning, Multiplicity and Timing of Attacks
by George-Marios Angeletos & Alessandro Pavan
2007 Defense Policies Against Currency Attacks: on the Possibility of Predictions in a Global Game with Multiple Equilibria
by George-Marios Angeletos & Alessandro Pavan & Christian Hellwig
2007 Inflation in open economies with complete markets
by Celentani, Marco & Conde-Ruiz, J. Ignacio & Desmet, Klaus
2007 Foreign Capital and Economic Growth
by Eswar S. Prasad & Raghuram G. Rajan & Arvind Subramanian
2007 Goods Trade and International Equity Portfolios
by Fabrice Collard & Harris Dellas & Behzad Diba & Alan Stockman
2007 The Impacts of Renminbi Appreciation on Trades Flows and Reserve Accumulation in a Monetary Trade Model
by Li Wang & John Whalley
2007 The Impact of Foreign Interest Rates on the Economy: The Role of the Exchange Rate Regime
by Julian di Giovanni & Jay C. Shambaugh
2007 News and Business Cycles in Open Economies
by Nir Jaimovich & Sergio Rebelo
2007 Currency Choice and Exchange Rate Pass-through
by Gita Gopinath & Oleg Itskhoki & Roberto Rigobon
2007 Current Account Adjustment: Some New Theory and Evidence
by Jiandong Ju & Shang-Jin Wei
2007 Investment Cycles and Sovereign Debt Overhang
by Mark Aguiar & Manuel Amador & Gita Gopinath
2007 Returns on FDI: Does the U.S. Really Do Better?
by Barry Bosworth & Susan M. Collins & Gabriel Chodorow-Reich
2007 Flattened Inflation-Output Tradeoff and Enhanced Anti-Inflation Policy: Outcome of Globalization?
by Assaf Razin & Alon Binyamini
2007 Trade and Capital Flows: A Financial Frictions Perspective
by Pol Antràs & Ricardo J. Caballero
2007 Random Walk Expectations and the Forward Discount Puzzle
by Philippe Bacchetta & Eric van Wincoop
2007 Latin America's Access to International Capital Markets: Good Behavior or Global Liquidity?
by Ana Fostel & Graciela Laura Kaminsky
2007 Segmented Asset Markets and Optimal Exchange Rate Regimes
by Amartya Lahiri & Rajesh Singh & Carlos A. Vegh
2007 Why is the Dollar So High?
by Martin Feldstein
2007 Assessing China's Exchange Rate Regime
by Jeffrey A. Frankel & Shang-Jin Wei
2007 Productivity and Taxes as Drivers of FDI
by Assaf Razin & Efraim Sadka
2007 Global Currency Hedging
by John Y. Campbell & Karine Serfaty-de Medeiros & Luis M. Viceira
2007 The Stability of Large External Imbalances: The Role of Returns Differentials
by Stephanie E. Curcuru & Tomas Dvorak & Francis E. Warnock
2007 Is Bad News About Inflation Good News for the Exchange Rate?
by Richard Clarida & Daniel Waldman
2007 The Influence of Actual and Unrequited Interventions
by Kathryn M.E. Dominguez & Freyan Panthaki
2007 The Returns to Currency Speculation in Emerging Markets
by Craig Burnside & Martin Eichenbaum & Sergio Rebelo
2007 Financial Integration, Financial Deepness and Global Imbalances
by Enrique G. Mendoza & Vincenzo Quadrini & Jose-Victor Rios-Rull
2007 Capital Controls, Capital Flow Contractions, and Macroeconomic Vulnerability
by Sebastian Edwards
2007 The Overvaluation of Renminbi Undervaluation
by Yin-Wong Cheung & Menzie D. Chinn & Eiji Fujii
2007 Foreign exchange markets in south-east Asia 1990-2004: An empirical analysis of spillovers during crisis and non-crisis periods
by Alex Mandilaras & Graham Bird
2007 Random Walk Expectations and the Forward Discount Puzzle
by Philippe BACCHETTA & Eric VAN WINCOOP
2007 Foreign Capital and Economic Growth
by Eswar S. Prasad & Raghuram G. Rajan & Arvind Subramanian
2007 Is the Chinese Growth Miracle Built to Last?
by Eswar S. Prasad
2007 Where Has All the Money Gone? Foreign Aid and the Quest for Growth
by Santanu Chatterjee & Paola Giuliano & Ilker Kaya
2007 Monetary Policy in East Asia: Common Concerns
by Marvin Goodfriend
2007 Propuesta metodológica para la convergencia del Spaghetti Bowl de reglas de origen
by Rafael Cornejo & Jeremy Harris
2007 Volatility in International Financial Market Issuance: The Role of the Financial Center
by Marco Cipriani & Graciela L. Kaminsky
2007 Hoarding of International Reserves: Mrs Machlup¡¦s Wardrobe and the Joneses
by Yin-wong Cheung & XingWang Qian
2007 The IMF and the Liberalization of Capital Flows
by Ilan Noy & Joseph P. Joyce
2007 The international transmission of monetary shocks in a dollarized economy: The case of USA and Lebanon
by Charbel Cordahi & Jean-François Goux
2007 The Role of Expectations in Sudden Stops
by Karel Mertens
2007 Universal banking failure?: an analysis of the contrasting responses of the Amsterdamsche Bank and the Rotterdamsche Bankvereeniging to the Dutch financial crisis of the 1920s
by Colvin, Christopher Louis
2007 The triumph and denouement of the British fiscal state: taxation for the wars against Revolutionary and Napoleonic France, 1793-1815
by O'Brien, Patrick
2007 Testing for Structural Breaks and Dynamic Changes in Emerging Market Volatility
by Duc Khuong Nguyen & Mondher Bellalah
2007 A Small Open Economy Model with Currency Mismactches and a Financial Accelerator Mechanism
by Santiago L.E. Acosta Ormaechea
2007 Financial instability, political crises and contagion
by Victor VAUGIRARD
2007 Using Financial Markets to Analyze History: The Case of the Second World War
by Bruno S. Frey & Daniel Waldenstrom
2007 Monetary Policy, Default Risk and the Exchange Rate
by Guimarães, Bernardo & Soares Gonçalves, Carlos Eduardo
2007 Currency Crisis Triggers: Sunspots or Thresholds?
by Guimarães, Bernardo
2007 Domestic Institutions and the Bypass Effect of Financial Globalization
by Ju, Jiandong & Wei, Shang-Jin
2007 Credit Constraints and Stock Price Volatility
by Hale, Galina B & Razin, Assaf & Tong, Hui
2007 Productivity and Taxes as Drivers of FDI
by Razin, Assaf & Sadka, Efraim
2007 Assessing China’s Exchange Rate Regime
by Frankel, Jeffrey A & Wei, Shang-Jin
2007 The Returns to Currency Speculation in Emerging Markets
by Burnside, A Craig & Eichenbaum, Martin & Rebelo, Sérgio
2007 Random Walk Expectations and the Forward Discount Puzzle
by Bacchetta, Philippe & van Wincoop, Eric
2007 US Imbalances: The Role of Technology and Policy
by Bems, Rudolfs & Dedola, Luca & Smets, Frank
2007 Optimal external debt and default
by Guimarães, Bernardo
2007 It's One World Out There: The Global Consensus on Selecting the World Bank's Next President
by David Wheeler
2007 Rare Disasters and the Equity Premium in a Two-Country World
by Copeland, Laurence & Zhu, Yanhui
2007 Local debt expansion… vulnerability reduction? An assessment for six crises-prone countries
by Paloma Acevedo & Enrique Alberola & Carmen Broto
2007 Expenditure-Switching Effect and the Choice of Exchange Rate Regime
by Wei Dong
2007 World Real Interest Rates: A Global Savings and Investment Perspective
by Brigitte Desroches & Michael Francis
2007 Do We Need the IMF to Resolve a Crisis? Lessons from Past Episodes of Debt Restructuring
by Philipp Maier
2007 Finanza internazionale e distribuzione del reddito
by Pietro ALESSANDRINI & Alberto NICCOLI
2007 Demand shocks and trade balance dynamics
by José García-Solanes & Jesús Rodríguez & José L. Torres
2007 Real-Time Price Discovery in Global Stock, Bond and Foreign Exchange Markets
by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Clara Vega
2007 The International Transmission of Monetary Shocks in a Dollarized Economy: The Case of USA and Lebanon
by Jean François Goux & Charbel Cordahi
2007 Cost of Equity Capital and Country Risk: An econometric analysis of the expected rate of return for four Latin American countries
by Juan Pablo Domínguez H.
2007 Approche Institutionnelle Du Processus De Délivrance De L’Aide : Cas De La Délégation A Une Institution Multilatérale Cas De La Délégation A Une Institution Multilatérale
by Gabriel M. BISSIRIOU
2007 The Impact of Exchange Rate Volatility on Brazilian Manufactured Exports
by Antonio Aguirre & Afonso Ferreira & Hilton Notini
2007 Foreign Institutional Investors in India
by P. Chellasamy & J. Udhaya Kumar
2007 India’s External Debt during Post Reform Period
by Renu Verma
2007 Monetary Policy in East Asia: Common Concerns
by Marvin Goodfriend
2007 Hurst exponents, power laws, and efficiency in the Brazilian foreign exchange market
by Sergio Da Silva & Annibal Figueiredo & Iram Gleria & Raul Matsushita
2007 The impact of the appreciation of East Asian currencies on global imbalance
by Hideki Nishigaki
2007 The Impact of a Net Increase in Japanese Investment in Foreign Assets on the Yen Rate
by Hideki Nishigaki
2007 Classifying exchange rate regimes: a statistical analysis of alternative methods
by Michael Bleaney & Manuela Francisco
2007 Learning, Forward Premium Puzzle and Exchange Rate Fundamentals under Sticky Prices
by Avik Chakraborty
2007 Sources of Real and Nominal Exchange Rate Movements for the Euro
by Shigeyuki Hamori & Naoko Hamori
2007 A Century of Purchasing Power Parity: Further Evidence
by Mohsen Bahmani-Oskooee & Su Zhou & Ali Kutan
2007 Is the real dollar rate highly volatile?
by Stefan Norrbin & Onsurang Pipatchaipoom
2007 Modelling Central Bank Intervention Activity under Inflation Targeting
by Roman Horvath
2007 Implications of within-period timing in models of speculative attack
by Antonio Doblas-Madrid
2007 Does the US IT stock market dominate other IT stock markets: Evidence from multivariate GARCH model
by Venus Khim-Sen Liew & Wing-Keung Wong & Zhuo Qiao
2007 Is there a J-Curve at the Industry Level?
by Mohsen Bahmani-Oskooee & Zohre Ardalani
2007 Does PPP hold for Big Mac price or consumer price index? Evidence from panel cointegration
by Chien-Fu Chen & Chien-an Andy Wang & Chung-Hua Shen
2007 Exchange rate dynamics in crawling-band systems
by José L. Torres & M. Isabel Campos
2007 Fiscal Theory of Exchange Rate Determination: Empirical Evidence from Turkey
by Pelin Oge Guney
2007 Are International Interest Rate Differentials Driven by the Risk Premium? The Case of Asian Countries
by Vincent Bouvatier
2007 Nonlinear Mean Reversion and Arbitrage in the Gold Futures Market
by Jeng-Bau Lin & Jin-Ming Liang & Chin-Chia Liang
2007 Estimating monetary policy rules for Malaysia: an optimal monetary conditions index
by Pei-Tha Gan & Kian-Teng Kwek
2007 Relationship between the yen carry trade and the related financial variables
by Hideki Nishigaki
2007 Financial instability, political crises and contagion
by V. Vaugirard
2007 Exchange rates and global volatility: implications for Asia-Pacific currencies
by John Cairns & Corrinne Ho & Robert McCauley
2006 Heterogeneity in lending and sectoral growth: evidence from German bank-level data
by Schertler, Andrea & Buch, Claudia M. & von Westernhagen, Natalja
2006 Foreign direct investment in the enlarged EU: do taxes matter and to what extent?
by Wolff, Guntram B.
2006 Hedge Your Costs: Exchange Rate Risk and Endogenous Currency Invoicing
by Novy, Dennis
2006 Policy Words and Policy Deeds: The ECB and the Euro
by P. Siklos, M. Bohl
2006 Real Exchange Rate, Monetary Policy and Employment
by Roberto Frenkel & Lance Taylor
2006 Fiscal uncertainty with donor herding and domestic debt crisis
by Yohane Khamfula
2006 An Equilibrium Model of Global Imbalances and Low Interest Rates
by Ricardo J. Caballero & Emmanuel Farhi & Pierre-Olivier Gourinchas
2006 A Framework for Identifying the Sources of Local-Currency Price Stability with an Empirical Application
by Pinelopi Koujianou Goldberg & Rebecca Hellerstein
2006 Nontraded Goods, Market Segmentation, and Exchange Rates
by Michael Dotsey & Margarida Duarte
2006 Capital markets liberalization and global imbalances
by Vincenzo Quadrini
2006 Pass-Through del Tipo de Cambio y Política Monetaria: Evidencia Empírica de los Países del OECD
by Cesar Carrera & Mahir Binici
2006 The Effects of Derivatives on Firm Risk and Value
by Bartram, Söhnke M. & Brown, Gregory W. & Conrad, Jennifer
2006 Volatility says less about the future than accounting rules suggest
by Schroeder, Gerhard
2006 Financial Intermediation in Muslim Community: Issues and Problems
by Alomar, Ibrahim
2006 The Effect of Legal Systems and Accounting Conservatism on Corporate Governance: The U.S. versus the U.K.(A Comparative Analysis)
by Narayanan, Supreena
2006 The effects of exchange rate volatility on the turkish export: an empirical investigation
by Ozturk, Ilhan & Acaravcı, Ali
2006 Crossing the Lines: The Conditional Relation between Exchange Rate Exposure and Stock Returns in Emerging and Developed Markets
by Bartram, Söhnke M. & Bodnar, Gordon M.
2006 The Purchasing Power Parity in The Maghreb Countries : A Nonlinear Perspective
by Benbouziane, Mohamed & Benamar, Abdelhak
2006 The real exchange rate of the rand and competitiveness of South Africa's trade
by Mtonga, Elvis
2006 Private vs. Official Creditors: The Record Speaks
by Porzecanski, Arturo C.
2006 Poverty-reducing or Poverty-inducing? A CGE-based Analysis of Foreign Capital Inflows in Pakistan
by Rizwana Siddiqui & A. R. Kemal
2006 The Concept Of Neutral Inflation And Its Application To The Eu Economic Growth Analyses
by Jan L. Bednarczyk
2006 The Maastricht convergence criteria and economic growth in the EMU
by Slawomir I. BUKOWSKI
2006 Foreign Direct Investment in Brazil and Home Country Risk
by Luís Francisco Aguiar-Conraria & Gulamhussen, Mohamed Azzim
2006 Why do Central Bankers Intervene in the Foreign Exchange Market? Some New Evidence and Theory
by Pablo A. Guerron
2006 The EU financial perspective 2007-2013 and the forces that shaped the final agreement
by Robert Ackrill & Adrian Kay
2006 Decomposing the Effects of Financial Liberalization: Crises vs. Growth
by Romain Ranciere & Aaron Tornell & Frank Westermann
2006 On the Macroeconomics of Asset Shortages
by Ricardo J. Caballero
2006 The Effect of Monetary Policy on Real Commodity Prices
by Jeffrey A. Frankel
2006 Capital Account Liberalization: Theory, Evidence, and Speculation
by Peter Blair Henry
2006 Is the International Diversification Potential Diminishing? Foreign Equity Inside and Outside the US
by Karen K. Lewis
2006 A Solution to Two Paradoxes of International Capital Flows
by Jiandong Ju & Shang-Jin Wei
2006 Why do firms hold so much cash? A tax-based explanation
by C. Fritz Foley & Jay C. Hartzell & Sheridan Titman & Garry Twite
2006 Cross-border Listings, Capital Controls, and Equity Flows To Emerging Markets
by Hali J. Edison & Francis E. Warnock
2006 Volatility in International Financial Market Issuance: The Role of the Financial Center
by Marco Cipriani & Graciela L. Kaminsky
2006 Foreign Participation in Local Currency Bond Markets
by John D. Burger & Francis E. Warnock
2006 Pass Through of Exchange Rates to Consumption Prices: What has Changed and Why?
by Jose Manuel Campa & Linda S. Goldberg
2006 Gravity for Dummies and Dummies for Gravity Equations
by Richard Baldwin & Daria Taglioni
2006 The International Role of the Dollar and Trade Balance Adjustment
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2005 Globalisation and the National Market
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2005 Market Expectations and Currency Crises: Theory and Empirics
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2005 Asian reserves and the dollar: Is gradual adjustment possible?
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2005 General Equilibrium Model of Arbitrage Trade and Real Exchange Rate Persistence
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2005 سياسات تنمية الاستثمار الأجنبى المباشر الى الدول العربية
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2005 EMU – Fiscal Challenges: Conclusions For the New EU Members
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2005 India's Experience with Capital Flows: The Elusive Quest for a Sustainable Current Account Deficit
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2005 Capital Flows and Exchange Rate Volatility: Singapore's Experience
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2005 Speculative Trading and Stock Prices: Evidence from Chinese A-B Share Premia
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2005 International Borrowing and Macroeconomic Performance in Argentina
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2005 Slow Passthrough Around the World: A New Import for Developing Countries?
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2005 Do Firms Go Public to Raise Capital?
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2005 Corporate Taxation and Bilateral FDI with Threshold Barriers
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2005 Stocks, Bonds, Money Markets and Exchange Rates: Measuring International Financial Transmission
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2005 Mass Attidudes Toward Financial Crisis and Economic Reform in Korea
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2005 Can Information Heterogeneity Explain the Exchange Rate Determination?
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2005 What Has Driven Chinese Monetary Policy Since 1990? Investigating the People's Bank's Policy Rule
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2005 The IMF and the Liberalization of Capital Flows
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2005 Ottoman state finance: a study of fiscal deficits and internal debt in 1859-63
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2004 Capital Flows and Domestic Financial Sector in India
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2004 Real Exchange Rate Stationarity in Managed Floats: Evidence from India
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2004 Policy Assessment of the European Central Bank and the Stability and Growth Pact’s Echo of the Conventional Wisdom on Budget Management
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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 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 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 Bakker, Gerben
2004 The effects of the 1925 Portuguese Bank Note Crisis
by Wigan, Henry
2004 Reconstructing the Industrial Revolution: analyses, perceptions and conceptions of Britain’s precocious transition to Europe’s first industrial society
by Riello, Giorgio & O'Brien, Patrick
2004 The canton of Berne as an investor on the London capital market in the 18th century
by Altorfer, Stefan
2004 News from London: Greek government bonds on the London Stock Exchange, 1914-1929
by Christodoulaki, Olga & Penzer, Jeremy
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 Real-Time Price Discovery in Stock, Bond and Foreign Exchange Markets
by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Clara Vega
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 Bulíř
2004 Nothing Is Sacred: Economic Ideas for the New Millenium (R. J. Barro)
by Aleš Bulíř
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 Optimal hedge ratio and elasticity of risk aversion
by Udo Broll & Jack E. Wahl
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 International Risk Sharing and Investor Protection: Some Evidence from the EU-15
by Johann Scharler
2004 Bank runs, political distortions and contagion
by Victor Vaugirard
2004 The Big Mac Standard: A statistical Illustration
by Yukinobu Kitamura & Hiroshi Fujiki
2004 Big Mac parity, income, and trade
by Sergio Da Silva & Guilherme Moura & Sidney Caetano
2004 Does liquidity in the FX market depend on volatility?
by Frank Westerhoff & Sebastiano Manzan
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 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 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 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 Morys, Matthias
2003 Steam as a general purpose technology: a growth accounting perspective
by Crafts, Nicholas
2003 Fact or fiction? Re-examination of Chinese premodern population statistics
by Deng, Kent
2003 Autarkic policy and efficiency in the Spanish industrial sector. An estimate of domestic resource cost in 1958
by Martínez Ruiz, Elena
2003 The post-war rise of world trade: does the Bretton Woods System deserve credit?
by Terborgh, Andrew G.
2003 Quantifying the contribution of technological change to economic growth in different eras: a review of the evidence
by Crafts, Nicholas
2003 Bureau competition and economic policies in Nazi Germany, 1933-39
by Volckart, Oliver
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 Securities Transaction Taxes for U.S. Financial Markets
by Robert Pollin & Dean Baker & Marc Schaberg
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 CURRENCY CRISIS AND BALANCE SHEET CHANNEL EFFECT. The Korean Experience
by Francois HERMET
2003 The Feldstein-Horioka puzzle and law
by Hiroshi Gunji
2003 Are the Trade Deficits of Less Developed Countries Stationary?. Evidence for African Countries
by Holmes, Mark J
2003 The Role of Stock Markets in Current Account Dynamics: a Time Series Approach
by Benoit Mercereau
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 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 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 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 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 příčinám měnových 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 Currency Crises in Asia and Latin America: A Comparison
by Nishijima, S.
2001 Asset Market Linkages in Crisis Periods
by Hartmann, P. & Straetmans, S. & De Vries, C.G.
2001 Currency Crises in Asia and Latin America: A Comparison
by Nishijima, S.
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 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 Clark, Tom
2001 Fiscal exceptionalism: Great Britain and its European rivals: from civil war to triumph at Trafalgar and Waterloo
by O'Brien, Patrick
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 Political Risk and Capital Flight
by Quan Le & Paul J. Zak
2001 Exit Options for Argentina with a Special Focus on Their Impact on External Trade
by Sophie Chauvin
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 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 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 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 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
by Michael Kremer & Paras Mehta
2000 U.S. Banks, Crises, and Bailouts: From Mexico to LTCM
by Rene M. Stulz
2000 Capital Movements, Banking Insolvency, and Silent Runs in the Asian Financial Crisis
by Edward J. Kane
2000 Money as Stock: Price Level Determination with no Money Demand
by John H. Cochrane
2000 Estimating Exchange Rate Exposures: Some "Weighty" Issues
by Gordon M. Bodnar & M.H. Franco Wong
2000 Causes of the Korean Financial Crisis: Lessons for Policy
by Joon-Ho Hahm & Frederic S. Mishkin
2000 Would Collective Action Clauses Raise Borrowing Costs?
by Barry Eichengreen & Ashoka Mody
2000 Lessons from the Asian Crisis
by Frederic S. Mishkin
2000 Wage Dispersion and Country Price Levels
by Robert E. Lipsey & Birgitta Swedenborg
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 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 The International Monetary Fund and the International Financial Architecture
by Michel Aglietta
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 The (Past and) Future of European Currencies
by Giancarlo Corseti & Paolo Pesenti
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 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 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 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 českém zahraničním obchodě (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 Real Interest Rate Parity under Regime Shifts: Evidence for Industrial Countries
by Wu, J.-L. & Fountas, S.
1998 Inflation and Exchange Rate Regimes in Mexico
by Li, C.A. & Philippopoulos, A. & Tzavalis, E.
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 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 De Boer, Jeroen F
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 Visión Retrospectiva de Algunos Aspectos Esenciales de la Economía Chilena a Través de Cuadernos de Economía
by Dominique Hachette & Fernando Ossa
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 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 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 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 Emerging Equity Market Volatility
by Geert Bekaert & Campbell R. Harvey
1997 Deutschmark appreciation and structural change: An overview of economic structural reports
by Schmidt, Klaus-Dieter
1997 Dynamic analysis in the Viner model of mercantilism
by Heng-fu Zou
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.
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 The Forward Discount Anomaly and the Risk Premium: A Survey of Recent Evidence
by Charles Engel
1996 The Distribution of Exchange Rates in the EMS
by Charles Engel & Craig S. Hakkio
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 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 European Monetary Unification: The Challenges Ahead
by Eichengreen, Barry & Ghironi, Fabio
1995 Foreign Exchange Hedging and the Interest Rate Defense
by Peter M. Garber & Michael G. Spencer
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 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 “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 The Adjustment Mechanism
by Maurice Obstfeld
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 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 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
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
Trade Liberalization and Asset Markets
by JoAnne Feeney & Arye Hillman
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
Le haut prix du lingot, conséquence ou cause du déficit des paiements ?
by de Boyer des Roches, Jérôme
Estimating US persistent and transitory monetary shocks: implications for monetary policy
by Lafuente, Juan Angel & Pérez, Rafaela & Ruiz, Jesús
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
European Monetary Union at Ten: Had the German Maastricht Critics Been Wrong?
by Renate Ohr
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