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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ F: International Economics
/ / F3: International Finance
/ / / F36: Financial Aspects of Economic Integration
This JEL code is mentioned in the follow RePEc Biblio entries:
  1. > International Economics > Economics of FDI
  2. > Political Economy > The Political Economy of the European Union
  3. > Political Economy > The Political Economy of the European Union > Economic Policy and Policy-Making in the European Union

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

Most recent items first, undated at the end.
  • 2014 Valuation effects of termination of cross-listings
    by Füss, Roland & Hommel, Urich & Plagge, Jan-Carl
  • 2014 Capital’s long march west: saving and investment frictions in Chinese regions
    by Samuel Cudré
  • 2014 Lucas paradox and allocation puzzle: Is the euro area different?
    by Herrmann, Sabine & Kleinert, Jörn
  • 2014 Ailing Mothers, Healthy Daughters? Contagion in the Central European Banking Sector
    by Tomas Fiala & Tomas Havranek
  • 2014 The resurgence of cultural borders in international finance during the financial crisis: Evidence from Eurozone cross-border depositing
    by Kleimeier S. & Sander H. & Heuchemer S.
  • 2014 Repatriation of Debt in the Euro Crisis: Evidence for the Secondary Market Theory
    by Filippo Brutti & Philip Ulrich Sauré
  • 2014 Equity Home Bias, Financial Integration, and Regulatory Reforms: Implications for Emerging Asia
    by Park, Cyn-Young & Mercado, Jr., Rogelio V.
  • 2014 The End of Grand Expectations: Monetary and Financial Integration After the Crisis in Europe
    by Dieter, Heribert
  • 2014 Capital Market Financing for SMEs: A Growing Need in Emerging Asia
    by Shinozaki, Shigehiro
  • 2014 The Renminbi and Exchange Rate Regimes in East Asia
    by Kawai, Masahiro & Pontines, Victor
  • 2014 Connecting South Asia to Southeast Asia: Cross-Border Infrastructure Investments
    by Gautrin, Jean-Francois
  • 2014 Paths to a Reserve Currency: Internationalization of the Renminbi and Its Implications
    by Huang, Yiping & Wang, Daili & Fan, Gang
  • 2014 The Benefits and Costs of Renminbi Internationalization
    by Zhang, Liqing & Tao, Kunyu
  • 2014 Use of National Currencies for Trade Settlement in East Asia: A Proposal
    by Lee, Il Houng & Park, Yung Chul
  • 2014 Is There Really a Renminbi Bloc in Asia?
    by Kawai, Masahiro & Pontines, Victor
  • 2014 Lessons for Asia from Europe’s History with Banking Integration
    by Elliott, Douglas J.
  • 2014 Regional Financial Regulation in Asia
    by Kawai, Masahiro & Morgan, Peter J.
  • 2014 Determinants of the Trilemma Policy Combination
    by Ito, Hiro & Kawai, Masahiro
  • 2014 Dynamic Integration of Domestic Equity Price, Foreign Equity Price and Macroeconomic Indicators: Evidence from Malaysia
    by Kabir, Sarkar Humayun & Masih, Mansur
  • 2014 Consideration on the single currency seen from a competitiveness perspective
    by Iordan-Constantinescu, Nicolae & Dusa, Silvia
  • 2014 مجلس ”التنسيق“ وليس ”التعاون“: تحدّيات الاتحاد أمام الدول الأعضاء
    by Al-Ubaydli, Omar
  • 2014 The Malfunctioning of the Gulf Cooperation Council Single Market: Features, Causes and Remedies
    by Abdulghaffar, Mahmood & Al-Ubaydli, Omar & Mahmood, Omar
  • 2014 Foreign direct investment in retail market in India: some issues and challenges
    by Santra, Swarup & Bagaria, Nidhi
  • 2014 Self-fulfilling and fundamentals based speculative attacks on public debt
    by Pompeo Della Posta
  • 2014 The Eurocrisis: Muddling Through, or On the Way to a More Perfect Euro Union?
    by Joshua Aizenman
  • 2014 Host-Country Financial Development and Multinational Activity
    by Kamran Bilir & Davin Chor & Kalina Manova
  • 2014 The Euro and The Geography of International Debt Flows
    by Galina Hale & Maurice Obstfeld
  • 2014 The Transmission of Federal Reserve Tapering News to Emerging Financial Markets
    by Joshua Aizenman & Mahir Binici & Michael M. Hutchison
  • 2014 Macroprudential Policies in a Global Perspective
    by Olivier Jeanne
  • 2014 Political Risk Spreads
    by Geert Bekaert & Campbell R. Harvey & Christian T. Lundblad & Stephan Siegel
  • 2014 Further evidence on the determinants of regional stock market integration in Latin America
    by Khaled Guesmi & Duc Khuong Nguyen & Frédéric Teulon
  • 2014 Analyzing Financial Integration in East Asia through Fractional Cointegration in Volatilities
    by Gilles de Truchis & Benjamin Keddad
  • 2014 Equity Risk Premium and Regional Integration
    by Mohamed Arouri & Frédéric Teulon & Christophe Rault
  • 2014 The Evolution of Risk Premium as a Measure for Intra-regional Equity Market Integration
    by Khaled Guesmi & Frederic Teulon & Ahmed Taneem Muzaffar
  • 2014 Market Structure and the Cost of
    by Mohamed El Hedi Arouri & Christophe Rault & Anamaria Sova & Robert Sova & Frédéric Teulon
  • 2014 Integration versus segmentation in Middle East North Africa equity market: Time variations and currency risk
    by Khaled Guesmi & Jean-Yves Moisseron & Frédéric Teulon
  • 2014 L’intégration financière des marchés d’actions émergents : une analyse au niveau régional
    by Khaled Guesmi & Duc Khuong Nguyen
  • 2014 The determinants of regional stock market integration in Middle East: A Conditional ICAPM Approach
    by Khaled Guesmi & Frédéric Teulon
  • 2014 Equity Market Integration and Currency Risk: Empirical Evidence for Indonesia
    by Khaled Guesmi & Frédéric Teulon
  • 2014 Macroprudential Policies in a Global Perspective
    by Olivier Jeanne
  • 2014 Sovereign Credit Ratings, Transparency and International Portfolio Flows
    by Amar Gande & David Parsley
  • 2014 Invoicing Currency in International Trade: An Empirical Investigation and Some Implications for the Renminbi
    by Edwin L.-C. Lai & Xiangrong Yu
  • 2014 Financial Market Contagion during the Global Financial Crisis
    by Mollah, Sabur & Zafirov, Goran & Quoreshi, AMM Shahiduzzaman
  • 2014 The euro and the geography of international debt flows
    by Hale, Galina & Obstfeld, Maurice
  • 2014 Four Instruments to Strengthen Financial Integration in Sub-Saharan Africa
    by Amadou SY
  • 2014 Four Instruments to Strengthen Financial Integration in Sub-Saharan Africa
    by Amadou SY
  • 2014 Ailing Mothers, Healthy Daughters? Contagion in the Central European Banking Sector
    by Tomas Fiala & Tomas Havranek
  • 2014 The determinants of the volatility of returns on cross-border asset holdings
    by Faruk Balli & Syed Abul Basher & Faisal Rana
  • 2014 When arm’s length is too far: relationship banking over the business cycle
    by Thorsten Beck & Hans Degryse & Ralph De Haas & Neeltje van Horen
  • 2014 Connecting South Asia to Southeast Asia : Cross-Border Infrastructure Investments
    by Jean-Francois Gautrin
  • 2014 The Renminbi and Exchange Rate Regimes in East Asia
    by Masahiro Kawai & Victor Pontines
  • 2014 Paths to a Reserve Currency : Internationalization of the Renminbi and Its Implications
    by Yiping Huang & Daili Wang & Gang Fan
  • 2014 The Benefits and Costs of Renminbi Internationalization
    by Liqing Zhang & Kunyu Tao
  • 2014 Regional Financial Regulation in Asia
    by Masahiro Kawai & Peter J. Morgan
  • 2014 Determinants of the Trilemma Policy Combination
    by Hiro Ito & Masahiro Kawai
  • 2014 Regional Financial Regulation in Asia
    by Masahiro Kawai & Peter J. Morgan
  • 2014 The Renminbi and Exchange Rate Regimes in East Asia
    by Masahiro Kawai & Victor Pontines
  • 2014 Paths to a Reserve Currency : Internationalization of the Renminbi and Its Implications
    by Yiping Huang & Daili Wang & Gang Fan
  • 2014 The Benefits and Costs of Renminbi Internationalization
    by Liqing Zhang & Kunyu Tao
  • 2014 Regional Financial Regulation in Asia
    by Masahiro Kawai & Peter J. Morgan
  • 2014 When arm's length is too far. Relationship banking over the business cycle
    by Thorsten Beck & Hans Degryse & Ralph de Haas & Neeltje van Horen
  • 2014 Macro News and Stock Returns in the Euro Area: A VAR-GARCH-in-Mean Analysis
    by Guglielmo Maria Caporale & Fabio Spagnolo & Nicola Spagnolo
  • 2014 The Transmission of Real Estate Shocks Through Multinational Banks
    by Bertay, A.C.
  • 2014 The Euro and the Geography of International Debt Flows
    by Hale, Galina B & Obstfeld, Maurice
  • 2014 Macroprudential Policies in a Global Perspective
    by Jeanne, Olivier
  • 2014 Never Say Never: Commentary on a Policymaker’s Reflections
    by Obstfeld, Maurice
  • 2014 Towards a Banking Union: Open issues. A report
    by Christian de Boissieu
  • 2014 Finanical Frictions, Product Quality, And International Trade
    by Rosario Crinò & Laura Ogliari
  • 2014 Conflicting incentives for the public to support the EMU
    by Brigitte Granville & Dominik Nagly
  • 2014 The Anatomy of Program-for-Results - An Approach to Results-Based Aid - Working Paper 374
    by Alan Gelb and Nabil Hashmi
  • 2014 When Arm's Length Is Too Far. Relationship Banking over the Business Cycle
    by Thorsten Beck & Hans Degryse & Ralph de Haas & Neeltje van Horen
  • 2014 Shock Transmission through International Banks – Evidence from France
    by Bussière, M. & Camara, B. & Castellani, F.-D. & Potier, V. & Schmidt, J.
  • 2014 Sovereign debt markets in turbulent times: creditor discrimination and crowding-out effects
    by Fernando Broner & Alberto Martin & Jaume Ventura & Aitor Erce
  • 2014 Integración financiera y modelos de financiación de los bancos globales
    by José María Serena & Eva Valdeolivas
  • 2014 Basel III, Clubs and Eurozone Asymmetries
    by Michele Fratianni & John Pattison
  • 2014 An update on emu sovereign yield spread drivers in times of crisis: a panel data analysis
    by Marta Gómez-Puig & Simón Sosvilla-Rivero & María del Carmen Ramos-Herrera
  • 2014 Causality and Contagion in EMU Sovereign Debt Markets
    by Marta Gómez-Puig & Simón Sosvilla-Rivero
  • 2014 Extreme negative coexceedances in South Eastern European stock markets
    by Dragan Tevdovski
  • 2014 Effects of Monetary Policy Shocks on the Exchange Rate in the Republic of Korea: Capital Flows in Stock and Bond Markets
    by Soyoung Kim
  • 2014 Scotland: Currency Options and Public Debt
    by Angus Armstrong & Monique Ebell
  • 2014 Influence of the EU Accession Process and the Global Crisis on the CEE Stock Markets: A Multivariate Correlation Analysis
    by Anghelache, Gabriela Victoria & Kralik, Lorand Istvan & Acatrinei, Marius & Pete, Stefan
  • 2014 Capital Market Development in CESEE and the Need for Further Reform
    by Krisztina Jäger-Gyovai
  • 2014 The Priorities of Deleveraging in the Euro Area and Austria and Its Implications for CE SEE
    by Judith Eidenberger & Stefan W. Schmitz & Katharina Steiner
  • 2014 Financial integration and fragmentation in the euro area
    by M. de Sola Perea & Ch. Van Nieuwenhuyze
  • 2014 Magyarország tíz éve az EU-ban - mekkora volt a mozgástér?
    by Losoncz, Miklós
  • 2014 A félig tele pohár
    by Csaba, László
  • 2014 EU-tagságunk tíz éve a pénzügyi szektor perspektívájából
    by Terták, Elemér
  • 2014 Az Európai Beruházási Bank az Európai Unió intézményrendszerében
    by Baranyay, László & Halász, Zsolt
  • 2014 Magyarország tízéves EU-tagságának pénzügyi mérlege
    by Fazakas, Szabolcs
  • 2014 The Cohesion versus Better Spending Debate During the Negotiation of the EU Multiannual Financial Framework 2014–2020
    by Alexandru Huza
  • 2014 The Roots of China’s Economic Slowdown
    by Gheorghe H. Popescu & Elvira Nica
  • 2014 Financial Frictions and Optimal Monetary Policy in an Open Economy
    by Marcin Kolasa & Giovanni Lombardo
  • 2014 Linkages and Performance Comparison among Eastern Europe Stock Markets
    by José Soares da Fonseca
  • 2014 The balance of payments crisis in the euro area periphery
    by Higgins, Matthew & Klitgaard, Thomas
  • 2014 Understanding emerging market equity risk premia: Industries, governance and macroeconomic policy uncertainty
    by Donadelli, Michael & Persha, Lauren
  • 2014 Financial integration and consumption risk sharing and smoothing
    by Suzuki, Yui
  • 2014 How should we bank with foreigners? An empirical assessment of lending behavior of international banks to six East Asian economies
    by Pontines, Victor & Siregar, Reza Y.
  • 2014 Has there been any change in the comovement between the Chinese and US stock markets?
    by Zhang, Bing & Li, Xiao-Ming
  • 2014 The impact of oil price shocks on the large emerging countries' stock prices: Evidence from China, India and Russia
    by Fang, Chung-Rou & You, Shih-Yi
  • 2014 Asymmetric information, foreign entry and multi-period credit competition in banking industry
    by Li, Qiang & Zeng, Yong & Liu, Bin
  • 2014 Wearing corset, losing shape: The euro's effect on trade imbalances
    by Berger, Helge & Nitsch, Volker
  • 2014 Lessons for Monetary Policy from the Euro-Area Crisis
    by Goodhart, C.A.E.
  • 2014 How much Fiscal Discipline in a Monetary Union?
    by De Grauwe, Paul & Ji, Yuemei
  • 2014 The Euro Area Crisis: A View from the North
    by Honkapohja, Seppo
  • 2014 The European Crisis and the Role of the Financial System
    by Constâncio, Vítor
  • 2014 The determinants of the volatility of returns on cross-border asset holdings
    by Balli, Faruk & Basher, Syed Abul & Rana, Faisal
  • 2014 Do capital importing countries pay higher prices for their imports of goods?
    by Adam, Antonis & Moutos, Thomas
  • 2014 Housing-market heterogeneity in a monetary union
    by Rubio, Margarita
  • 2014 Donor ideology and types of foreign aid
    by Brech, Viktor & Potrafke, Niklas
  • 2014 The financial crisis and bank–client relationships: Foreign ownership, transparency, and portfolio selection
    by Pennathur, Anita & Vishwasrao, Sharmila
  • 2014 Integration of European bond markets
    by Christiansen, Charlotte
  • 2014 The global financial crisis and integration in European retail banking
    by Rughoo, Aarti & Sarantis, Nicholas
  • 2014 Do ethics imply persistence? The case of Islamic and socially responsible funds
    by Abdelsalam, Omneya & Duygun, Meryem & Matallín-Sáez, Juan Carlos & Tortosa-Ausina, Emili
  • 2014 Does economic integration stimulate capital mobility? An analysis of four regional economic communities in Africa
    by Kumar, Saten & Sen, Rahul & Srivastava, Sadhana
  • 2014 Integration versus segmentation in Middle East North Africa Equity Market: Time variations and currency risk
    by Guesmi, Khaled & Moisseron, Jean-Yves & Teulon, Frédéric
  • 2014 International capital flows under dispersed private information
    by Tille, Cédric & van Wincoop, Eric
  • 2014 Welfare implications of trade liberalization and fiscal reform: A quantitative experiment
    by Kim, Sunghyun H. & Kose, M. Ayhan
  • 2014 International capital flows, returns and world financial integration
    by Evans, Martin D.D. & Hnatkovska, Viktoria V.
  • 2014 Financial liberalization and bank risk-taking: International evidence
    by Cubillas, Elena & González, Francisco
  • 2014 Ring fencing and consolidated banks’ stress tests
    by Cerutti, Eugenio & Schmieder, Christian
  • 2014 Financial integration, globalization, and real activity
    by De Nicolò, Gianni & Juvenal, Luciana
  • 2014 European integration and corporate financing
    by Muradoğlu, Yaz Gülnur & Onay, Ceylan & Phylaktis, Kate
  • 2014 Foreign shocks and international cost of equity destabilization. Evidence from the MENA region
    by Guyot, Alexis & Lagoarde-Segot, Thomas & Neaime, Simon
  • 2014 Financial liberalization and the relationship-specificity of exports
    by Defever, Fabrice & Suedekum, Jens
  • 2014 How integrated are real estate markets with the world market? Evidence from case-wise bootstrap analysis
    by Hatemi-J, Abdulnasser & Roca, Eduardo & Al-Shayeb, Abdulrahman
  • 2014 Credit constraints, equity market liberalization, and growth rate asymmetry
    by Popov, Alexander
  • 2014 Monetary Integration and Optimum Currency Area in ASEAN+3: What We Need for a New Framework?
    by Reza Moosavi Mohseni & M. Azali
  • 2014 Effects of Currency Unions on Foreign Direct Investment Inflows: The European Economic and Monetary Union Case
    by Cuneyt KILIC & Yýlmaz BAYAR & Feyza ARICA
  • 2014 Testing Nonlinear Inflation Convergence for the Central African Economic and Monetary Community
    by Emmanuel Anoruo & Vasudeva N.R. Murthy
  • 2014 Economic Growth, Foreign Direct Investment, Macroeconomic Conditions and Sustainability in Malaysia
    by Othman, J & Jafari, Y & Sarmidi, T
  • 2014 Die Europäische Zentralbank als Lender of Last Resort
    by Gerhard Illing & Philipp König
  • 2014 Financial Globalization in Emerging Economies: Much Ado About Nothing?
    by Eduardo Levy Yeyati & Tomas Williams
  • 2014 The determinants of regional stock market integration in middle east: A conditional ICAPM approach
    by Khaled Guesmi & Frédéric Teulon
  • 2014 Harmonisation And Fiscal Competition In The European Union
    by Danut, CHILAREZ & George-Sebastian, ENE
  • 2014 Interdependence between Islamic capital market and money market: Evidence from Indonesia
    by Imam Wahyudi & Gandhi Anwar Sani
  • 2014 Cointegration of Capital Markets in ASEAN-5 Countries
    by Channarong Chaiphat
  • 2014(XXIV) Structural And Cohesion Funds Absorption In Romania. Balance Of The 2007-2013 Financial Exercise And Lessons For The Current Period
    by Gheorghe ZAMAN & George GEORGESCU
  • 2013 Asian Capital Market Integration: Theory and Evidence
    by Park, Cyn-Young
  • 2013 Sovereign Risk, Elections, and Contagion
    by Li, Chi & Balding, Christopher & Lee, Minsoo
  • 2013 An Empirical Investigation of the Colombian Stock Market Reaction to the US Market: Evidence from a Casewise Bootstrap Approach - Un’analisi empirica della reazione del mercato azionario colombiano al mercato USA
    by Hatemi-J, Abdulnasser & Sarmiento-Sabogal, Julio
  • 2013 EMBI+México y su relación dinámica con otros factores de riesgo sistemático: 1997-2011
    by Francisco López Herrera & Francisco Venegas Martínez & César Gurrola Ríos
  • 2013 What is the wind behind the sails to go abroad? Empirical evidence from the mutual fund industry
    by Lang, Gunnar & Schäfer, Henry
  • 2013 Real interest rate convergence among G7 countries
    by Riedel, Jana
  • 2013 Credit Ratings and Cross-Border Bond Market Spillovers
    by Zabel, Michael & Böninghausen, Benjamin
  • 2013 Regional Implications of Financial Market Development: Credit Rationing, Trade, and Location
    by Seidel, Tobias & von Ehrlich, Maximilian
  • 2013 Financial liberalization, financial development and productivity growth: An overview
    by Gehringer, Agnieszka
  • 2013 Financial liberalization and the relationship-specificity of exports
    by Defever, Fabrice & Suedekum, Jens
  • 2013 Unkonventionelle Geldpolitik: Warum die Europäische Zentralbank ihre Unabhängigkeit nicht verloren hat
    by Schwäbe, Carsten
  • 2013 Another look at the determinants of current account imbalances in the European Union: An empirical assessment
    by Agnieszka Gehringer
  • 2013 The EU’s Multi-Annual Financial Framework for 2014-2020: an Old Construct Fit for a Changed EU?
    by Sándor Richter
  • 2013 Offshoring And Financial Markets
    by Gianfranco Battisti
  • 2013 The implications of TARGET2 in the European balance of payment crisis and beyond
    by Sergio Cesaratto
  • 2013 The endless Eurozone crisis, where do we stand? A Classical-Kaleckian overview
    by Sergio Cesaratto
  • 2013 Banks, government bonds, and default: what do the data say?
    by Nicola Gennaioli & Alberto Martin & Stefano Rossi
  • 2013 Sovereign debt markets in turbulent times: Creditor discrimination and crowding-out effects
    by Fernando Broner & Aitor Erce & Alberto Martin & Jaume Ventura
  • 2013 Post-Crisis Capital Account Regulation in South Korea and South Africa
    by Brittany Baumann & Kevin Gallagher
  • 2013 Tariff-induced Transfer Pricing and the CCCTB
    by Ronald B Davies
  • 2013 Teoría de las Áreas Monetarias Óptimas: Una revisión de la literatura desde una perspectiva europea
    by Martínez Romera, José Pablo
  • 2013 At the core of the international financial system
    by Valentina Feroldi & Edoardo Gaffeo
  • 2013 The forward premium puzzle and the euro
    by Jun Nagayasu
  • 2013 Portfolio Choice of Financial Investors and European Business Cycle Convergence – A Panel Analysis for EU Countries
    by Ansgar Belke & Jennifer Schneider
  • 2013 Sezession: Ein gefaehrliches Spiel
    by Malte Krueger
  • 2013 The People's Republic of China's Financial Policy and Regional Cooperation in the Midst of Global Headwinds
    by Azis, Iwan J.
  • 2013 Cross-Border Price Differentials and Goods Market Integration in East Asia
    by Moon, Woosik
  • 2013 Financing Development Cooperation in Northeast Asia
    by Kawai, Masahiro
  • 2013 Financial liberalization, disaggregated capital flows and banking crisis: Evidence from developing countries
    by BOUKEF JLASSI, NABILA & HAMDI, HELMI
  • 2013 Criza Datoriilor Suverane Și Contagiunea Pe Piețele Financiare: Cazul Crizei Financiare Din Islanda
    by Ana, Maria-Irina & Chitu, Lucia Mihaela & Adriana, Stefania Adriana
  • 2013 TARGET2 imbalances and the need for a lender of last resort
    by Astarita, Caterina & Purificato, Francesco
  • 2013 Financing Utilities: How the Role of the European Investment Bank shifted from regional development to making markets
    by Clifton, Judith & Diaz Fuentes, Daniel & Revuelta, Julio
  • 2013 Financing Utilities: How the Role of the European Investment Bank shifted from regional development to making markets
    by Clifton, Judith & Diaz Fuentes, Daniel & Revuelta, Julio
  • 2013 Eurozone Debt Crisis and its Effects on Turkish Economy
    by Aysan, Ahmet Faruk & Ermişoğlu, Ergun
  • 2013 The global financial crisis: An analysis of the spillover effects on African stock markets
    by Sugimoto, Kimiko & Matsuki, Takashi & Yoshida, Yushi
  • 2013 Testing Twin Deficits and Saving-Investment Nexus in Turkey
    by Ferda, HALICIOGLU & Kasim, EREN
  • 2013 The Political Economy of Trade-Financial Liberalization and Financial Underdevelopment: A perspective from China
    by Morgan, Horatio M.
  • 2013 Sezession: Ein gefährliches Spiel
    by Krueger, Malte
  • 2013 The effects of foreign and government ownership on bank lending behavior during a crisis in Central and Eastern Europe
    by Allen, Franklin & Jackowicz, Krzysztof & Kowalewski, Oskar
  • 2013 Credit Ratings and Cross-Border Bond Market Spillovers
    by Böninghausen, Benjamin & Zabel, Michael
  • 2013 Der Euro – ein Projekt ohne Zukunft? Ein Plädoyer für europäische Solidarität und Toleranz
    by Fischer, Justina A.V.
  • 2013 Regional Initiative in the Gulf Arab States: The Search for a Common Currency
    by Syed Abul, Basher
  • 2013 Stock Market Linkages in Emerging Asia-Pacific Markets
    by P., Srinivasan & M., Kalaivani
  • 2013 The Forward Premium Puzzle And The Euro
    by Nagayasu, Jun
  • 2013 The euro crisis and its lessons from a Greek perspective
    by Skouras, Thanos
  • 2013 Fiscal Policy Stance in the European Union: The Impact of the Euro
    by Mencinger, Jernej & Aristovnik, Aleksander
  • 2013 PKB a upadłość
    by Staszkiewicz, Piotr W.
  • 2013 International Income Risk-Sharing and the Global Financial Crisis of 2008--2009
    by Balli, Faruk & Basher, Syed Abul & Balli, Hatice Ozer
  • 2013 Globalized Banking Sectors: Features and Policy Implications amidst Global Uncertainties
    by Siregar, Reza
  • 2013 Contexto internacional y desempeño macroeconómico en América Latina y el Perú: 1980-2012
    by Waldo Mendoza Bellido
  • 2013 Policyholder Protection Schemes: Selected Considerations
    by OECD
  • 2013 China's Growth, Stability, and Use of International Reserves
    by Joshua Aizenman & Yothin Jinjarak & Nancy P. Marion
  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Fernando Broner & Aitor Erce & Alberto Martin & Jaume Ventura
  • 2013 Banking Globalization, Transmission, and Monetary Policy Autonomy
    by Linda S. Goldberg
  • 2013 Living with the Trilemma Constraint: Relative Trilemma Policy Divergence, Crises, and Output Losses for Developing Countries
    by Joshua Aizenman & Hiro Ito
  • 2013 External Adjustment, Global Imbalances and Valuation Effects
    by Pierre-Olivier Gourinchas & Hélène Rey
  • 2013 Capital Flows, Cross-Border Banking and Global Liquidity
    by Valentina Bruno & Hyun Song Shin
  • 2013 Assessing International Efficiency
    by Jonathan Heathcote & Fabrizio Perri
  • 2013 Quantifying Productivity Gains from Foreign Investment
    by Christian Fons-Rosen & Sebnem Kalemli-Ozcan & Bent E. Sørensen & Carolina Villegas-Sanchez & Vadym Volosovych
  • 2013 Why do emerging markets liberalize capital outflow controls? Fiscal versus net capital flow concerns
    by Joshua Aizenman & Gurnain Kaur Pasricha
  • 2013 Financial Development and the Choice of Trade Partners
    by Man Lung Chan & Kalina Manova
  • 2013 Measuring Sovereign Contagion in Europe
    by Massimiliano Caporin & Loriana Pelizzon & Francesco Ravazzolo & Roberto Rigobon
  • 2013 Export price adjustments under financial constraints
    by Angelo Secchi & Federico Tamagni & Chiara Tomasi
  • 2013 Export price adjustments under financial constraints
    by Angelo Secchi & Federico Tamagni & Chiara Tomasi
  • 2013 Explaining Infrastructure Investment Decisions at the European Investment Bank 1958-2004
    by Judith CLIFTON & Daniel DÍAZ-FUENTES & JULIO REVUELTA
  • 2013 Financial Crises, Financialization of Commodity Markets and Correlation of Agricultural Commodity Index with Precious Metal Index and S&P500
    by M.Fatih Oztek & Nadir Ocal
  • 2013 Fear of Sovereign Default, Banks, and Expectations-driven Business Cycles
    by Christopher M. Gunn & Alok Johri
  • 2013 Political Economics of External Sovereign Defaults
    by Carolina Achury & Christos Koulovatianos & John Tsoukalas
  • 2013 Credit Ratings and Cross-Border Bond Market Spillovers
    by Böninghausen, Benjamin & Zabel, Michael
  • 2013 Lost at Sea: The Euro Needs a Euro Treasury
    by Jorg Bibow
  • 2013 International transmission of financial stress: evidence from a GVAR
    by Jonas Dovern & Björn van Roye
  • 2013 Does active management add value? New evidence from a quantile regression
    by J. Carlos Matallín-Sáez & Amparo Soler-Domínguez & Emili Tortosa-Ausina
  • 2013 Financial Liberalization and the Relationship-Specificity of Exports
    by Defever, Fabrice & Suedekum, Jens
  • 2013 Does active management add value? New evidence from a quantile regression approach
    by Amparo Soler Domínguez & Juan Carlos Matallín Sáez & Emili Tortosa-Ausina
  • 2013 Bank performance and economic growth: evidence from Granger panel causality estimations
    by Cândida Ferreira
  • 2013 Regional Stock Market Integration in Singapore: A Multivariate Analysis
    by Khaled Guesmi & Frédéric Teulon
  • 2013 International Capital Flows and Domestic Financial Conditions: Lessons for Emerging Asia
    by Philip Lane
  • 2013 Asian and European Financial Crises Compared
    by Edwin M. Truman
  • 2013 Bank Linkages and International Trade
    by Galina Hale & Christopher Candelaria & Julian Caballero & Sergey Borisov
  • 2013 Capital Flows: Issues and Policies
    by Peter Montiel
  • 2013 Widening and Deepening Economic Integration Impact on Bilateral Trade in the Eurozone and ASEAN
    by Zaenal Mutaqin & Masaru Ichihashi
  • 2013 Suppliers, Investors, and Equity Market Liberalizations
    by Strieborny, Martin
  • 2013 Suppliers, Investors, and Equity Market Liberalizations
    by Strieborny, Martin
  • 2013 The euro crisis: a view from the North
    by Honkapohja, Seppo
  • 2013 Extracting global stochastic trend from non-synchronous data
    by Korhonen, Iikka & Peresetsky , Anatoly
  • 2013 China’s RMB bilateral swap agreements: What explains the choice of countries?
    by Garcia-Herrero , Alicia & Xia, Le
  • 2013 Common Correlated Effects and International Risk Sharing
    by Peter Fuleky & L Ventura & Qianxue Zhao
  • 2013 Common correlated effects and international risk sharing
    by Peter Fuleky & L Ventura & Qianxue Zhao
  • 2013 Common correlated effects and international risk sharing
    by Peter Fuleky & Luigi Ventura & Qianxue Zhao
  • 2013 Comparative Perspective on Financial System in the EU, Country Report on Turkey
    by Pinar Bedirhanoglu & Hasan Comert & Ipek Eren & Isil Erol & Demir Demiroz & Nilgün Erdem & Ali Riza Gungen & Thomas Marois & Aylin Topal & Oktar Turel & Galip Yalman & Erinc Yeldan & Ebru Voyvoda
  • 2013 Multi-Level Analysis of Dynamic Portfolio Formations: Central European Countries
    by Michael Princ
  • 2013 Institutional Investors Flows and the Geography of Contagion
    by Damien PUY
  • 2013 Finance at Center Stage: Some Lessons of the Euro Crisis
    by Maurice Obstfeld
  • 2013 Country adjustment to a ‘sudden stop’: Does the euro make a difference?
    by Daniel Gros & Cinzia Alcidi
  • 2013 Policy Coordination, Convergence, and the Rise and Crisis of EMU Imbalances
    by Giuseppe Bertola
  • 2013 Financial Integration Challenges in ASEAN beyond 2015
    by Maria Monica WIHARDJA
  • 2013 The financial resource curse
    by Gianluca Benigno & Luca Fornaro
  • 2013 Global Banks, Financial Shocks And International Business Cycles: Evidence From An Estimated Model
    by Robert Kollmann
  • 2013 International Income Risk-Sharing and the Global Financial Crisis of 2008- 2009
    by Faruk Balli & Syed Abul Basher & Hatice Ozer Balli
  • 2013 Macroeconomic Dynamics in Four Selected New Member States of the EU
    by Pasquale Foresti & Ugo Marani & Giuseppe Piroli
  • 2013 Global imbalances and the Intertemporal External Budget Constraint: A multicointegration approach
    by Mariam Camarero & Josep Lluís Carrion-i-Silvestre & Cecilio Tamarit
  • 2013 Perceptions of unreported economic activities in Baltic Firms. Individualistic and non-individualistic motives
    by Jaanika Meriküll & Tairi Rõõm & Karsten Staehr
  • 2013 Regional inflation and financial dollarisation
    by Martin Brown & Ralph De Haas & Vladimir Sokolov
  • 2013 Selection and hidden bias in cross-border bank acquisitions: Ukraine’s takeover wave
    by Muzaffarjon Ahunov & Leo Van Hove & Marc Jegers
  • 2013 Cross-Border Price Differentials and Goods Market Integration in East Asia
    by Woosik Moon
  • 2013 Cross-Border Price Differentials and Goods Market Integration in East Asia
    by Woosik Moon
  • 2013 Financing Development Cooperation in Northeast Asia
    by Masahiro Kawai
  • 2013 Financing Development Cooperation in Northeast Asia
    by Masahiro Kawai
  • 2013 Shocks Abroad, Pain at Home? Bank-Firm Level Evidence on the International Transmission of Financial Shocks
    by Steven Ongena & Jose Luis Peydro & Neeltje van Horen
  • 2013 Towards a Stable Monetary Union: What Role for Eurobonds?
    by Niels Gilbert & Jeroen Hessel & Silvie Verkaart
  • 2013 Quantifying Productivity Gains from Foreign Investment
    by Christian Fons-Rosen & Sebnem Kalemli-Ozcan & Bent E. Sorensen & Carolina Villegas-Sanchez & Vadym Volosovych
  • 2013 Regional Inflation and Financial Dollarization
    by Brown, M. & Haas, R. de & Sokolov, V.
  • 2013 Shocks Abroad, Pain at Home? Bank-firm Level Evidence on the International Transmission of Financial Shocks
    by Ongena, S. & Peydro, J.L. & Horen, N. van
  • 2013 From the EU Savings Directive to the US FATCA, Taxing Cross Border Savings Income
    by Marcel GERARD & Lucia GRANELLI
  • 2013 Did the Euro Change the Effect of Fundamentals on Growth and Uncertainty?
    by Jaime Luque & Abderrahim Taamouti
  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Broner, Fernando A & Erce, Aitor & Martin, Alberto & Ventura, Jaume
  • 2013 Banking Integration and House Price Comovement
    by Landier, Augustin & Sraer, David & Thesmar, David
  • 2013 The Financial Resource Curse
    by Benigno, Gianluca & Fornaro, Luca
  • 2013 Quantifying Productivity Gains from Foreign Investment
    by Fons-Rosen, Christian & Kalemli-Ozcan, Sebnem & Sørensen, Bent E & Villegas-Sanchez, Carolina & Volosovych, Vadym
  • 2013 Assessing International Efficiency
    by Heathcote, Jonathan & Perri, Fabrizio
  • 2013 Finance at Center Stage: Some Lessons of the Euro Crisis
    by Obstfeld, Maurice
  • 2013 House Prices Drive Current Accounts: Evidence from Property Tax Variations
    by Geerolf, François & Grjebine, Thomas
  • 2013 Financial Shocks and Economic Activity in the Netherlands
    by Peter Broer & Jürgen Antony
  • 2013 Is Independence Possible in an Interdependent World? Scotland vs. the UK's Participation in the European Economy
    by Andrew Hughes Hallett
  • 2013 Collateral Composition, Diversification Risk, and Systemically Important Merchant Banks
    by Alexis Derviz
  • 2013 Is There any Rebalancing in the Euro Area?
    by Benjamin Carton & Karine Hervé
  • 2013 House Prices Drive Current Accounts: Evidence From Property Tax Variations
    by François Geerolf & Thomas Grjebine
  • 2013 Internationalization versus Regionalisation in the Emerging Stock Markets
    by Virgine Coudert & Karine Hervé & Pierre Mabille
  • 2013 Nowhere Left to Hide? Stock Market Correlation, Regional Diversification, and the Case for Investing in Africa
    by Todd Moss and Ross Thuotte
  • 2013 Oil and Vinegar: A Positive Fiscal Theory of the Euro Crisis
    by Charles B. Blankart
  • 2013 Donor Ideology and Types of Foreign Aid
    by Viktor Brech & Niklas Potrafke
  • 2013 Equity Risk Premium and Regional Integration
    by Mohamed El Hedi Arouri & Frédéric Teulon & Christophe Rault
  • 2013 Market Structure and the Cost of Capital
    by Mohamed El Hedi Arouri & Christophe Rault & Robert Sova & Anamaria Sova
  • 2013 Regional Implications of Financial Market Development: Credit Rationing, Trade, and Location
    by Maximilian Von Ehrlich & Tobias Seidel
  • 2013 The Financial Resource Curse
    by Gianluca Benigno & Luca Fornaro
  • 2013 Fear of Sovereign Default, Banks, and Expectations-Driven Business Cycles
    by Christopher M. Gunn & Alok Johri
  • 2013 Price Convergence in Euroland. Evidence from micro data without noise
    by Sophie-Charlotte Meyer & Ronald Schettkat
  • 2013 Putting the EMU integration into a new perspective: the case of capital market holdings
    by George T. Palaiodimos
  • 2013 International capital flows and development: financial openness matters
    by Reinhardt, Dennis & Ricci, Luca Antonio & Tressel, Thierry
  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Fernando Broner & Aitor Erce & Alberto Martín & Jaume Ventura
  • 2013 Heterogenous firms and credit frictions: a general equilibrium analysis of market entry decisions
    by Sara Formai
  • 2013 Banking Union: integrating components and complementary measures
    by Jorge Sicilia & Santiago Fernandez de Lis & Ana Rubio
  • 2013 Union bancaria: elementos integrantes y medidas complementarias
    by Jorge Sicilia & Santiago Fernandez de Lis & Ana Rubio
  • 2013 Fragmentation in European Financial Markets: Measures, Determinants, and Policy Solutions
    by Maria Abascal & Tatiana Alonso & Sergio Mayordomo
  • 2013 China s RMB Bilateral Swap Agreements: What explains the choice of countries?
    by Alicia Garcia-Herrero & Le Xia
  • 2013 Unhappy families are all alike: Minskyan cycles, Kaldorian growth, and the Eurozone peripheral crises
    by Alberto Bagnai
  • 2013 Measuring the Speed of Convergence of Stock Prices: A Nonparametric and Nonlinear Approach
    by Hyeongwoo Kim & Deockhyun Ryu
  • 2013 Equity market liberalization, credit constraints and income inequality
    by Sun, Puyang & Sen, Somnath & Jin, Shujing
  • 2013 EU Funds Absorption Rate and the Economic Growth
    by Claudiu-Tiberiu ALBULESCU & Daniel GOYEAU
  • 2013 Foreign Reserves as Hedging Instruments in Emerging Countries
    by Marcello Spanò
  • 2013 Financial Integration, Euro and the Twin Deficits of Southern Eurozone Countries
    by Nikolina E. Kosteletou
  • 2013 Aspects Concerning Economic And Social Factors Developments - An Assessment At The European Union Level
    by AILINCĂ, Alina Georgeta & IORDACHE, Floarea
  • 2013 A General Assessment Of The Monetary Integration Process In Europe After Euro Adoption
    by CRISTE, Adina
  • 2013 Risks And Constraints For The Monetary Stability
    by MILEA, Camelia
  • 2013 Unexploited Gains From International Diversification: Patterns Of Portfolio Holdings Around The World
    by Tatiana Didier & Roberto Rigobon & Sergio L. Schmukler
  • 2013 Trends and Impacts of Real and Financial Globalization in the People's Republic of China and India since the 1980s
    by TN Srinivasan
  • 2013 Theoretical Fundamentals Concerning the Transmission Channels From the Perspective of the External Equilibrium
    by AILINCA Alina Georgeta & IORDACHE Floarea & MILEA Camelia
  • 2013 LIVING WITH INTERCONNECTED BANKING SECTORS DURING THE PERIOD OF GLOBAL FINANCIAL MARKET UNCERTAINTIES: EXPERIENCES oF EAST AND SOUTHEAST ASIA
    by Reza Yamora SIREGAR
  • 2013 International Financial Integration And Financial Soundness In Emerging And Developing Economies
    by Ezzeddine ABAOUB & Nahil BOUSSIGA
  • 2013 The Impact of the Financial World Crisis on Romania’s Tax Burden
    by Ioana-Laura TIBULCA & Georgeta VINTILA
  • 2013 Comparative analysis of the degree of international capital mobility in Tunisia and Morocco: revised Feldstein Horioka approach
    by Sarra Ben Slimane & Moez Ben Tahar & Zied Essid
  • 2013 Book Review: International Handbook on the Economics of Integration
    by Ljumović, Isidora
  • 2013 Stock Market Integration in Asian Countries: evidence from Wavelet multiple correlations
    by Kumar Tiwari, Aviral & Billah Dar, Arif & Bhanja, Niyati & Shah, Aasif
  • 2013 Asia-Pacific Stock Returns around the Lehman Shock and Beyond: time-varying conditional correlations
    by Nagayasu, Jun
  • 2013 Liberalization Process and Financial Instability: A Mediterranean Perspective
    by Wafa, Aidi
  • 2013 Context of Economic Policy and the Current Financial and Economic Crisis
    by Slavoj Czesaný
  • 2013 Synchronisation of Stock Market Cycles: The Importance of Emerging and Developed Markets to ASEAN-5
    by Teng Kee Tuan & Yen Siew Hwa & Chua Soo Yean
  • 2013 Interdependence Between Some Major European Stock Markets - A Wavelet Lead/Lag Analysis
    by Silvo Dajčman
  • 2013 How Far Along is Euro Adoption in the Czech Republic? Benefits for Businesses Still Remain
    by Mojmir Helisek
  • 2013 Milagro peruano: ¿buena suerte o buenas políticas?
    by Waldo Mendoza Bellido
  • 2013 Gross Domestic Product and the Investment percent in Romania and in the European Union
    by Constantin Sanda
  • 2013 Analysis of the Degree of Absorption of EU Funds, 2007-2013
    by Ciobanu Carmen Liliana
  • 2013 On the Economic Development of Romania as a Member of EU in the Frame of the Global Economic Crisis
    by Bucur Iulia Andreea
  • 2013 European Union (Eu) Funds Absorption €" Romania
    by Capmare Irina-Cosmina
  • 2013 Financial Crises and Risk Premiums in International Interbank Markets
    by Shin-ichi Fukuda & Mariko Tanaka
  • 2013 Regulation on the prohibition on monetary financing - obligations and opportunities
    by Attila Korencsi & Melinda Lakatos & György Pulai
  • 2013 Monetary policy and redistribution: information from central bank balance sheets in the Euro area and the US
    by Philippine Cour-Thimann
  • 2013 Further evidence on the determinants of regional stock market integration in Latin America
    by Khaled Guesmi & Duc Khuong Nguyen & Frédéric Teulon
  • 2013 Asset Revaluation And Trade Balance Under Liability Dollarization: The Case Of South Korea
    by HUIRAN PAN
  • 2013 Saving-Investment Nexus In Developing Countries: Does Financial Development Matter?
    by OLUWATOSIN ADENIYI & FESTUS O. EGWAIKHIDE
  • 2013 Choosing and Assessing Exchange Rate Regimes: a Survey of the Literature
    by Alexis Cruz-Rodriguez
  • 2013 Imbalances and Policies
    by Vincenzo Quadrini
  • 2013 The Impact of Financial and Economic Crisis on EU-27 Member States' Balance of Payments
    by Simona Moagar Poladian & Ionela Baltatescu
  • 2013 Entrevista : Sandra Bessudo Lion (APC-Colombia)
    by Bessudo Lion, Sandra
  • 2013 Las organizaciones de la sociedad civil y las asociaciones incluyentes para la Cooperación Sur-Sur en América Latina
    by Balbis Pérez, Jorge
  • 2013 Entrevista : Masato Watanabe (JICA)
    by Watanabe, Masato
  • 2013 Entrevista : Rafael Garranzo (AECID)
    by Garranzo, Rafael
  • 2013 Entrevista : Juan Manuel Valle Pereña (AMEXCID)
    by Valle Pereña, Juan Manuel
  • 2013 La Revista Completa
    by Instituto para la Integración de América Latina y el Caribe, INTAL
  • 2013 Civil Society Organizations and Inclusive Partnerships for South-South Cooperation in Latin America
    by Balbis Pérez, Jorge
  • 2013 Interview : Masato Watanabe (JICA)
    by Watanabe, Masato
  • 2013 Interview : Rafael Garranzo (AECID)
    by Garranzo, Rafael
  • 2013 Interview : Juan Manuel Valle Pereña (AMEXCID)
    by Valle Pereña, Juan Manuel
  • 2013 Interview : Sandra Bessudo Lion (APC-Colombia)
    by Bessudo Lion, Sandra
  • 2013 The Complete Issue
    by Instituto para la Integración de América Latina y el Caribe, INTAL
  • 2013 Absorption Capacity of European Union Pre-accession Programs in Croatia
    by Vladimira Ivandic & Vinko Kandzija & Jelena Kandzija
  • 2013 Analysis of Sovereign Risk Market Indicators: The Case of the Czech Republic
    by Zlatuse Komarkova & Jitka Lesanovska & Lubos Komarek
  • 2013 Financial Linkages and Financial Stability (Introduction)
    by Zdenek Tuma
  • 2013 New Countries and New Economies in the Balkans
    by Miroslava Filipovic & Sonja Buncic
  • 2013 Financial integration, nominal rigidity, and monetary policy
    by Pang, Ke
  • 2013 Growth, productivity and capital accumulation: The effects of financial liberalization in the case of European integration
    by Gehringer, Agnieszka
  • 2013 Do U.S. macroeconomic surprises influence equity returns? An exploratory analysis of developed economies
    by Singh, Manohar & Nejadmalayeri, Ali & Lucey, Brian
  • 2013 Liquidity commonality among Asian equity markets
    by Wang, Jianxin
  • 2013 Is market integration associated with informational efficiency of stock markets?
    by Hooy, Chee-Wooi & Lim, Kian-Ping
  • 2013 International gross capital flows: New uses of balance of payments data and application to financial crises
    by Janus, Thorsten & Riera-Crichton, Daniel
  • 2013 Do contagion effects exist in capital flow volatility?
    by Lee, Hyun-Hoon & Park, Cyn-Young & Byun, Hyung-suk
  • 2013 Is China or India more financially open?
    by Ma, Guonan & McCauley, Robert N.
  • 2013 China's financial linkages with Asia and the global financial crisis
    by Glick, Reuven & Hutchison, Michael
  • 2013 Macroeconomic adjustment and the history of crises in open economies
    by Aizenman, Joshua & Noy, Ilan
  • 2013 Vertical debt spillovers in EMU countries
    by Van Hecke, Annelore
  • 2013 Currency intervention: A case study of an emerging market
    by Fry-McKibbin, Renée A. & Wanaguru, Sumila
  • 2013 Financial globalization, convergence and growth: The role of foreign direct investment
    by Gomes Neto, Delfim & Veiga, Francisco José
  • 2013 Interest rate pass-through in the EMU – New evidence from nonlinear cointegration techniques for fully harmonized data
    by Belke, Ansgar & Beckmann, Joscha & Verheyen, Florian
  • 2013 How central banks prepare for financial crises – An empirical analysis of the effects of crises and globalisation on international reserves
    by Steiner, Andreas
  • 2013 Sudden stops and financial frictions: Evidence from industry-level data
    by Cowan, Kevin & Raddatz, Claudio
  • 2013 Does the euro dominate Central and Eastern European money markets?
    by Kadow, Alexander & Cerrato, Mario & MacDonald, Ronald & Straetmans, Stefan
  • 2013 The cyclical properties of disaggregated capital flows
    by Contessi, Silvio & De Pace, Pierangelo & Francis, Johanna L.
  • 2013 Financial integration, capital misallocation and global imbalances
    by Benhima, Kenza
  • 2013 The European Union, the Euro, and equity market integration
    by Bekaert, Geert & Harvey, Campbell R. & Lundblad, Christian T. & Siegel, Stephan
  • 2013 Have the GIPSI settled down? Breaks and multivariate stochastic volatility models for, and not against, the European financial integration
    by Gębka, Bartosz & Karoglou, Michail
  • 2013 International income risk-sharing and the global financial crisis of 2008–2009
    by Balli, Faruk & Basher, Syed Abul & Balli, Hatice Ozer
  • 2013 Global imbalances and the intertemporal external budget constraint: A multicointegration approach
    by Camarero, Mariam & Carrion-i-Silvestre, Josep Lluís & Tamarit, Cecilio
  • 2013 On the importance of indirect banking vulnerabilities in the Eurozone
    by Bicu, Andreea & Candelon, Bertrand
  • 2013 Heterogeneity of the determinants of euro-area sovereign bond spreads; what does it tell us about financial stability?
    by Georgoutsos, Dimitris A. & Migiakis, Petros M.
  • 2013 Granger-causality in peripheral EMU public debt markets: A dynamic approach
    by Gómez-Puig, Marta & Sosvilla-Rivero, Simón
  • 2013 Real interest rate parity in East Asian countries based on China with flexible Fourier stationary test
    by Liu, Lin & Chang, Hsu-Ling & Su, Chi-Wei & Jiang, Chun
  • 2013 Stock and foreign exchange market linkages in emerging economies
    by Andreou, Elena & Matsi, Maria & Savvides, Andreas
  • 2013 Bank competition in the EU: How has it evolved?
    by Weill, Laurent
  • 2013 Integration versus segmentation in China's stock market: An analysis of time-varying beta risks
    by Li, Hong
  • 2013 Real interest parity in Central and Eastern European countries: Evidence on integration into EU and the US markets
    by Baharumshah, Ahmad Zubaidi & Soon, Siew-Voon & Boršič, Darja
  • 2013 International capital flows and development: Financial openness matters
    by Reinhardt, Dennis & Ricci, Luca Antonio & Tressel, Thierry
  • 2013 Financial integration and growth — Why is Emerging Europe different?
    by Friedrich, Christian & Schnabel, Isabel & Zettelmeyer, Jeromin
  • 2013 Global banks and crisis transmission
    by Kalemli-Ozcan, Sebnem & Papaioannou, Elias & Perri, Fabrizio
  • 2013 Default risk and risk averse international investors
    by Lizarazo, Sandra Valentina
  • 2013 Welfare analysis of currency regimes with defaultable debts
    by Araujo, Aloisio & Leon, Marcia & Santos, Rafael
  • 2013 A network analysis of global banking: 1978–2010
    by Minoiu, Camelia & Reyes, Javier A.
  • 2013 Equity risk premium and regional integration
    by Arouri, Mohamed & Teulon, Frédéric & Rault, Christophe
  • 2013 Measuring financial market integration in the European Union: EU15 vs. New Member States
    by Pungulescu, Crina
  • 2013 Financial sector ups and downs and the real sector in the open economy: Up by the stairs, down by the parachute
    by Aizenman, Joshua & Pinto, Brian & Sushko, Vladyslav
  • 2013 Economic integration and government revenue from financial repression
    by Jinjarak, Yothin
  • 2013 Foreign bank presence: Helping or hurting when financial contagion strikes?
    by Ahrend, Rudiger & Goujard, Antoine
  • 2013 Stock prices and the location of trade: Evidence from China-backed ADRs
    by Wang, Xue & Yao, Lee J. & Fang, Victor
  • 2013 The impact of NAFTA on North American stock market linkages
    by Lahrech, Abdelmounaim & Sylwester, Kevin
  • 2013 Parity reversion in real interest rate in the Asian countries: Further evidence based on local-persistent model
    by Baharumshah, Ahmad Zubaidi & Soon, Siew-Voon & Hamzah, Nor Aishah
  • 2013 New evidence of heterogeneous bank interest rate pass-through in the euro area
    by Bernhofer, Dominik & van Treeck, Till
  • 2013 Optima exchange crisis regression and twin crisis: Evidences for some MENA countries
    by Aidi, Wafa
  • 2013 Market structure and the cost of capital
    by El Hedi Arouri, Mohamed & Rault, Christophe & Sova, Anamaria & Sova, Robert & Teulon, Frédéric
  • 2013 Do real interest rates converge across East Asian countries based on China?
    by Liu, Yan & Chang, Hsu-Ling & Su, Chi-Wei
  • 2013 Effects of financial liberalization on financial market development and economic performance of the SSA region: An empirical assessment
    by Ahmed, Abdullahi D.
  • 2013 How big are the gains from international financial integration?
    by Hoxha, Indrit & Kalemli-Ozcan, Sebnem & Vollrath, Dietrich
  • 2013 Fear of appreciation
    by Levy-Yeyati, Eduardo & Sturzenegger, Federico & Gluzmann, Pablo Alfredo
  • 2013 Is foreign direct investment to China crowding out the foreign direct investment to other countries?
    by Resmini, Laura & Siedschlag, Iulia
  • 2013 Market characteristics and entry modes of foreign banks
    by LI, Qiang & Zeng, Yong & Zhang, Bo
  • 2013 Determinants and price discovery of China sovereign credit default swaps
    by Eyssell, Thomas & Fung, Hung-Gay & Zhang, Gaiyan
  • 2013 Determinants of bond market development in Asia
    by Bhattacharyay, Biswa Nath
  • 2013 Oil Prices and the Kuwaiti and the Saudi Stock Markets:The Contrast
    by Samih Antoine Azar & Loucine Basmajian
  • 2013 Evaluation of the Common Agricultural Policy’s Impact upon Inflation Rate in Central, Eastern and Southern Europe Countries
    by Ovidiu Stoica & Monica Damian
  • 2013 D-Mark, Euro, Eurokrise und danach
    by Charles B. Blankart
  • 2013 Crisis de la deuda soberana y apalancamiento en la zona euro: un intento de cuantificación
    by Marta Gómez-Puig
  • 2013 Global Deleveraging and Foreign Banks’ Lending to Latin American Countries
    by Herman Kamil & Kulwant Rai
  • 2013 Choques externos y precios de los activos en Latinoamérica antes y después de la quiebra de Lehman Brothers
    by Luis Fernando Melo & Hernán Rincón
  • 2013 TOWARDS THE EUROPEAN BANKING UNION-Literature review
    by Dragos G. TURLIUC & Andreea N. POPOVICI
  • 2013 Fiscality – Relevant Factor Influencing The Business Environment
    by Ionel MĂNDESCU
  • 2013 Impact Of The International Financial Crisis On The Garantibank In Turkey And Romania
    by Filiz AGAOGLU
  • 2013 Latest Challenges In Efficiency Convergence In Balkan And Baltic Countries
    by Mihăiță-Cosmin M. Popovici
  • 2013 Fiscalitatea - Factor Relevant De Influenţare A Mediului De Afaceri
    by Ionel MĂNDESCU
  • 2013 Către Uniunea Bancară Europeană
    by Dragoș G. TURLIUC & Andreea N. POPOVICI
  • 2013 Führt die Geldpolitik der japanischen Zentralbank zu einem Währungskrieg?
    by Jürgen Matthes & Horst Löchel & Uwe Vollmer & Oliver Landmann
  • 2013 Global and european financial reforms. Assessment and perspectives
    by Dominique Perrut
  • 2013 Debt, assets and imbalances in the euro area. An aggregate view
    by Christophe Van Nieuwenhuyze
  • 2013 The IMF and management of capital flows: the long road towards a pragmatic approach
    by J. Ramos-Tallada.
  • 2013 Non-residents holdings of French CAC 40 shares at end-2012
    by J. Le Roux.
  • 2013 France’s inward foreign direct investment from 2005 to 2011
    by D. Nivat. & B. Terrien.
  • 2013 La détention par les non-résidents des actions des sociétés françaises du CAC 40 à fin 2012
    by LE ROUX, J.
  • 2013 Le FMI et la gestion des flux de capitaux : la longue route vers une approche pragmatique
    by RAMOS-TALLADA, J.
  • 2013 Les investissements directs étrangers en France de 2005 à 2011
    by NIVAT, D. & TERRIEN, B.
  • 2013 Strategic Priorities to the Bulgarian Capital Market for Strengthening the Integration to EU
    by Julia Stefanova
  • 2013 An Analysis Of The Fiscal Convergence Criteria In The European Union In Terms Of The Sustainability
    by Iulia Andreea Bucur & Simona Elena Dragomirescu
  • 2013 Study Of The Financial Performance For Romanian Listed Companies Beneficiary Of Non-Repayable European Funds
    by Iulian PANAIT & Liviu UZLAU
  • 2013 On the new economic philosophy of crisis management in the European Union
    by László Csaba
  • 2013 The euro crisis and its lessons from a Greek perspective
    by Thanos Skouras
  • 2013 The Euro Area Crisis Impact On Candidate Countries
    by Anca Tanasie
  • 2013 Common Volatility Trends Across East African Foreign Exchange Markets
    by Pako Thupayagale & Thato Mokoti
  • 2013 Banking Efficiency and European Financial Integration
    by Cândida Ferreira
  • 2013 Cross of Euros
    by Kevin H. O'Rourke & Alan M. Taylor
  • 2013 Political Credit Cycles: The Case of the Eurozone
    by Jesús Fernández-Villaverde & Luis Garicano & Tano Santos
  • 2013 What Is European Integration Really About? A Political Guide for Economists
    by Enrico Spolaore
  • 2013,1st quarter update debt mutualisation in the ongoing Eurozone crisis – a tale of the ‘North’ and the ‘South’
    by Ansgar Belke
  • 2012 Another look at the determinants of current account imbalances in the European Union: An empirical assessment
    by Gehringer, Agnieszka
  • 2012 No Contagion, only Globalization and Flight to Quality
    by Marie Briere & Ariane Chapelle & Ariane Szafarz
  • 2012 Toward a bottom-up approach to assessing sovereign default risk: an update
    by Altman, Edward & Rijken, Herbert
  • 2012 Small Lessons from the Recent Euro- Dollar Skirmishes - Le piccole lezioni tratte dalle recenti schermaglie tra euro e dollaro
    by Martellato, Dino
  • 2012 The Theory of Endogenous Optimum Currency Areas: A Critical Note - La teoria delle aree monetarie ottimali endogene: una nota critica
    by Praussello, Franco
  • 2012 Sovereign debt and the euro - Il debito sovrano e l’euro
    by Amato, Amedeo & Consigliere, Isabella
  • 2012 Effectiveness of Capital Controls: Evidence from Thailand
    by JONGWANICH, JUTHATHIP & KOHPAIBOON, ARCHANUN
  • 2012 The effects of the exchange rate changes on the current account balance in the Turkish economy
    by Esin OKAY & Rana ATABAY BAYTAR & Ercan SARIDOĞAN
  • 2012 Are there Benefits from Sectoral Diversification in the Indian BSE Market? Evidence from Non-Parametric Test
    by TIWARI, AVIRAL KUMAR & ISLAM, FARIDUL
  • 2012 An Empirical Investigation of the Impact of Capital Inflows on Domestic Investment in India
    by RANJAN, RAJIV & KUMAR, SUNIL
  • 2012 Resolving sovereign debt crises: Opening or closing the tap?
    by Kohler, Wilhelm
  • 2012 Equity market liberalization, credit constraints and income inequality
    by Sun, Puyang & Sen, Somnath & Jin, Shujing
  • 2012 Financial liberalization, growth, productivity and capital accumulation: The case of European integration
    by Gehringer, Agnieszka
  • 2012 Current accounts in Europe: Implications of the external imbalances for the future of the common monetary policy
    by Gehringer, Agnieszka
  • 2012 Diversification and determinants of international credit portfolios: Evidence from German banks
    by Böninghausen, Benjamin & Köhler, Matthias
  • 2012 Financial liberalization, growth, productivity and capital accumulation: The case of European integration
    by Agnieszka Gehringer
  • 2012 Emerging Stock Premia: Do Industries Matter?
    by Marcella Lucchetta & Michael Donadelli
  • 2012 Financial reforms and capital flows: Insights from general equilibrium
    by Alberto Martin & Jaume Ventura
  • 2012 Le principali istituzioni finanziarie a livello internazionale e la crisi sistemica in Europa: dalla Grecia all’Italia?
    by Aurelio Bruzzo & Fabio Mantovani
  • 2012 CCCTB 4 EU? SA vs. FA w/ FTA
    by Ronald B Davies
  • 2012 Fear of a two-speed monetary union: what does a basic correlation scatter plot tell us?
    by Jean-Sébastien Pentecôte
  • 2012 Bank Capital Regulation with Asymmetric Countries
    by Damien S.Eldridge & Heajin H.Ryoo & Axel Wieneke
  • 2012 Measuring Financial Contagion with Extreme Coexceedances
    by Apostolos Thomadakis
  • 2012 No contagion, only globalization and flight to quality
    by Marie Briere & Ariane Chapelle & Ariane Szafarz
  • 2012 Fiscal and Monetary Policy Determinants of the Eurozone Crisis and its Resolution
    by Marek Dabrowski
  • 2012 Financial Integration in Emerging Europe: an Enviable Development Opportunity with Tail Risks
    by Aleksandra Iwulska & Naotaka Sugawara & Juan Zalduendo
  • 2012 Euro Zone Crisis and EU Governance: Tackling a Flawed Design and Inadequate Policy Arrangements
    by Daniel Daianu
  • 2012 Returns Correlation Structure and Volatility Spillovers Among the Major African Stock Markets
    by Tinashe Harry Dumile Kambadza & Zivanemoyo Chinzara
  • 2012 Interest Rate Pass-Through in the EMU – New Evidence from Nonlinear Cointegration Techniques for Fully Harmonized Data
    by Ansgar Belke & Joscha Beckmann & Florian Verheyen
  • 2012 Monetary Commitment and Structural Reforms – A Dynamic Panel Analysis for Transition Economies
    by Ansgar Belke & Lukas Vogel
  • 2012 Interest Rate Pass-Through in the EMU – New Evidence from Nonlinear Cointegration Techniques for Fully Harmonized Data
    by Ansgar Belke & Joscha Beckmann & Florian Verheyen
  • 2012 Revisiting the 1992-93 EMS crisis in the context of international political economy
    by Sotiropoulos, Dimitris P.
  • 2012 Establishing Monetary Union in the Gulf Cooperation Council: What Lessons for Regional Cooperation?
    by Takagi, Shinji
  • 2012 Financial Globalization in Emerging Countries: Diversification vs. Offshoring
    by Ceballos, Francisco & Didier, Tatiana & Schmukler, Sergio L.
  • 2012 How Should We Bank With Foreigners?—An Empirical Assessment of Lending Behavior of International Banks to Six East Asian Economies
    by Pontines, Victor & Siregar, Reza Y.
  • 2012 New Measures of the Trilemma Hypothesis: Implications for Asia
    by Ito, Hiro & Kawai, Masahiro
  • 2012 Managing Capital Flows in an Economic Community: The Case of ASEAN Capital account Liberalization
    by Park, Yung Chul & Takagi, Shinji
  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Collignon, Stefan
  • 2012 Prevention and Resolution of Foreign Exchange Crises in East Asia
    by Sussangkarn, Chalongphob
  • 2012 Exchange Rate Coordination in Asia: Evidence using the Asian Currency Unit
    by Gupta, Abhijit Sen
  • 2012 Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia
    by Volz, Ulrich
  • 2012 Regional and Global Monetary Cooperation
    by Lamberte, Mario & Morgan , Peter J.
  • 2012 Responding to the Global Financial Crisis: The Evolution of Asian Regionalism and Economic Globalization
    by Chin, Gregory
  • 2012 Financial Globalisation and Sectoral Reallocation of Capital in South Africa
    by Ziv Chinzara & Radhika Lahiri & En Te chen
  • 2012 Deciphering financial contagion in the euro area during the crisis
    by Tola, Albi & Wälti, Sébastien
  • 2012 EDB Eurasian Integration Yearbook 2012
    by Vinokurov, Evgeny
  • 2012 A new governance for EMU and the economic policy framework
    by Schilirò, Daniele
  • 2012 The proposed eco: should West Africa proceed with a common currency?
    by Chuku, Chuku
  • 2012 Union bancaire européenne permet-elle de sauver l’euro ?
    by Dai, Meixing & SARFATI, Samuel
  • 2012 Un modèle suédois pour la résolution de la crise de la dette souveraine en Europe
    by Dai, Meixing & MAZUY, Nicolas & RIOUX, Marie-Claude
  • 2012 The european redemption fund: a comparison of two proposals
    by Parello, Carmelo Pierpaolo & Visco, Vincenzo
  • 2012 International portfolio diversification: An ICAPM approach with currency risk
    by Dimitriou, Dimitrios & Simos, Theodore
  • 2012 Impact of the global crisis on the linkages between CAC 40 and indexes from CEE countries
    by Nistor, Costel & Dumitriu, Ramona & Stefanescu, Razvan
  • 2012 Integracja finansowa w Europie po wprowadzeniu euro. Przegląd literatury
    by Gajewski, Krzysztof & Olszewski, Krzysztof & Pawłowska, Małgorzata & Rogowski, Wojciech & Tchorek, Grzegorz & Zięba, Jolanta
  • 2012 The European Redemption Fund: A Comparison of Two Proposals
    by Parello, Carmelo Pierpaolo & Visco, Vincenzo
  • 2012 Easing trade costs within Mercosul
    by Reiss, Daniel G
  • 2012 Stock Market Integration and International Portfolio Diversification between U.S. and ASEAN Equity Markets
    by Ardliansyah, Rifqi
  • 2012 Unlocking North Africa’s Potential through Regional Integration : Challenges and Opportunities
    by Santi, Emanuele
  • 2012 Are Proposed African Monetary Unions Optimal Currency Areas? Real, Monetary and Fiscal Policy Convergence Analysis
    by Simplice A, Asongu
  • 2012 The crisis of euro’s governance: institutional aspects and policy issues
    by Schilirò, Daniele
  • 2012 Risk Sharing in the Middle East and North Africa: The Role of Remittances and Factor Incomes
    by Balli, Faruk & Basher, Syed Abul & Jean Louis, Rosmy
  • 2012 Assessing the international parity conditions and transmission mechanism for Malaysia-China
    by Chan, Tze-Haw
  • 2012 The geopolitics in the spheres of influence, domination, and overrule: towards a new world order or disorder?
    by Mulaj, Isa
  • 2012 Financial Integration between China and Asia Pacific Trading Partners: Parities Evidence from the First- and Second-generation Panel Tests
    by Chan, Tze-Haw & Baharumshah, Ahmad Zubaidi
  • 2012 REAL Exchange Rate Misalignment and Economic Performance of WEST AFRICAN MONETARY ZONE:Implications for macroeconomic unionisation
    by Raji, Rahman Olanrewaju
  • 2012 Progress and prospects of regional financial arrangements and cooperation in East Asia: a critical survey
    by Jeon, Bang Nam
  • 2012 Foreign banks and foreign currency lending in emerging Europe
    by Brown, Martin & de Haas, Ralph
  • 2012 Financial Globalization and Animal Spirits
    by Kunieda, Takuma & Shibata, Akihisa
  • 2012 Are Proposed African Monetary Unions Optimal Currency Areas? Real and Monetary Policy Convergence Analysis
    by Simplice A, Asongu
  • 2012 African Financial Development Dynamics: Big Time Convergence
    by Simplice A, Asongu
  • 2012 Real and Monetary Policy Convergence: EMU Crisis to the CFA Zone
    by Simplice A, Asongu
  • 2012 International Shock Transmission after the Lehman Brothers Collapse. Evidence from Syndicated Lending
    by de Haas, Ralph & van Horen, Neeltje
  • 2012 The Euro Plus Pact: Competitiveness and External Capital Flows in the EU Countries
    by Hubert Gabrisch & Karsten Staehr
  • 2012 International Capital Mobility: Which Structural Policies Reduce Financial Fragility?
    by Rudiger Ahrend & Antoine Goujard & Cyrille Schwellnus
  • 2012 International Capital Mobility and Financial Fragility - Part 7. Enhancing Financial Stability: Country-Specific Evidence on Financial Account and Structural Policy Positions
    by Rudiger Ahrend & Carla Valdivia
  • 2012 International Capital Mobility and Financial Fragility - Part 6. Are all Forms of Financial Integration Equally Risky in Times of Financial Turmoil?: Asset Price Contagion During the Global Financial Crisis
    by Rudiger Ahrend & Antoine Goujard
  • 2012 International Capital Mobility and Financial Fragility - Part 3. How Do Structural Policies Affect Financial Crisis Risk?: Evidence from Past Crises Across OECD and Emerging Economies
    by Rudiger Ahrend & Antoine Goujard
  • 2012 International Capital Mobility and Financial Fragility - Part 1. Drivers of Systemic Banking Crises: The Role of Bank-Balance-Sheet Contagion and Financial Account Structure
    by Rudiger Ahrend & Antoine Goujard
  • 2012 Estimating the Impact of the Balassa-Samuelson Effect in Central and Eastern European Countries: A Revised Analysis of Panel Data Cointegration Tests
    by Mirjana Miletic
  • 2012 Are the Gains from Foreign Diversification Diminishing? Assessing the Impact with Cross-listed Stocks
    by Karen K. Lewis & Sandy Lai
  • 2012 Macroeconomic Performance During Commodity Price Booms and Busts
    by Luis Felipe Céspedes & Andrés Velasco
  • 2012 Dollar Funding and the Lending Behavior of Global Banks
    by Victoria Ivashina & David S. Scharfstein & Jeremy C. Stein
  • 2012 Macroeconomic Adjustment and the History of Crises in Open Economies
    by Joshua Aizenman & Ilan Noy
  • 2012 Capital Controls: Gates versus Walls
    by Michael W. Klein
  • 2012 Financial Reforms and Capital Flows: Insights from General Equilibrium
    by Alberto Martin & Jaume Ventura
  • 2012 Capital Account Policies and the Real Exchange Rate
    by Olivier Jeanne
  • 2012 Capital Mobility and International Sharing of Cyclical Risk
    by Julien Bengui & Enrique G. Mendoza & Vincenzo Quadrini
  • 2012 Global Banks and Crisis Transmission
    by Sebnem Kalemli-Ozcan & Elias Papaioannou & Fabrizio Perri
  • 2012 Income inequality, tax base and sovereign spreads
    by Joshua Aizenman & Yothin Jinjarak
  • 2012 The Euro and the global crises: finding the balance between short term stabilization and forward looking reforms
    by Joshua Aizenman
  • 2012 Exit from a Monetary Union through Euroization: Discipline without Chaos
    by Russell Cooper
  • 2012 Multilateral Resistance to International Portfolio Diversification
    by Paul R. Bergin & Ju Hyun Pyun
  • 2012 Does the Current Account Still Matter?
    by Maurice Obstfeld
  • 2012 Follow the Money: Quantifying Domestic Effects of Foreign Bank Shocks in the Great Recession
    by Nicola Cetorelli & Linda S. Goldberg
  • 2012 Trilemma Policy Convergence Patterns and Output Volatility
    by Joshua Aizenman & Hiro Ito
  • 2012 How Firms Use Domestic and International Corporate Bond Markets
    by Juan Carlos Gozzi & Ross Levine & Maria Soledad Martinez Peria & Sergio L. Schmukler
  • 2012 Competition, concentration and foreign capital in the Polish banking sector (prior and during the financial crisis)
    by Malgorzata Pawlowska
  • 2012 Were multinational banks taking excessive risks before the recent financial crisis?
    by Gulamhussen, Mohamed Azzim & Pinheiro, Carlos & Pozzolo, Alberto Franco
  • 2012 Integration of China Stock Markets with International Stock Markets: An application of Smooth Transition Conditional Correlation with Double Transition Functions
    by M. Fatih Oztek & Nadir Ocal
  • 2012 Heterogeneous distribution of money supply across the euro area
    by Jitka Pomenkova & Svatopluk Kapounek
  • 2012 Investability, Corporate Governance and Firm Value
    by Thomas O'Connor &
  • 2012 Investability, Corporate Governance and Firm Value
    by Thomas O'Connor &
  • 2012 Were multinational banks taking excessive risks before the recent financial crisis?
    by Luis Mohamed Azzim Gulamhussen & Carlos Pinheiro & Alberto Franco Pozzolo
  • 2012 ECB Worries/European Woes: The Economic Consequences of Parochial Policy
    by Robert J. Barbera & Gerald Holtham
  • 2012 The Euro Debt Crisis and Germany's Euro Trilemma
    by Jorg Bibow
  • 2012 The European Central Bank and Why Things Are the Way They Are: A Historic Monetary Policy Pivot Point and Moment of (Relative) Clarity
    by Robert Dubois
  • 2012 Imbalances? What Imbalances? A Dissenting View
    by L. Randall Wray
  • 2012 The Euro Imbalances and Financial Deregulation: A Post-Keynesian Interpretation of the European Debt Crisis
    by Esteban Perez-Caldentey & Matias Vernengo
  • 2012 Monetary Commitment and Structural Reforms: A Dynamic Panel Analysis for Transition Economies
    by Belke, Ansgar & Vogel, Lukas
  • 2012 Bank market concentration and efficiency in the European Union: a panel granger causality approach
    by Cândida Ferreira
  • 2012 Forward Exchange Rate Biasedness across Developed and Developing Country Currencies - Do Observed Patterns Persist Out of Sample?Abstract:
    by Brian Lucey & Grace Loring
  • 2012 Choice and Coercion in East Asian Exchange Rate Regimes
    by C. Randall Henning
  • 2012 The Dollar and Its Discontents
    by Olivier Jeanne
  • 2012 ¿Hay un sesgo anti-laboral en los impuestos en América Latina?
    by Eduardo Lora & Deisy Fajardo
  • 2012 Coping with Financial Crises: Latin American Answers to European Questions
    by Eduardo A. Cavallo & Eduardo Fernández-Arias
  • 2012 Rethinking stock market integration: Globalization, valuation and convergence
    by Pui Sun Tam & Pui I Tam & &
  • 2012 The AMU Deviation Indicators Based on the Purchasing Power Parity and Adjusted by the Balassa-Samuelson Effect
    by Eiji Ogawa & Zhiqian Wang
  • 2012 China's Outward Direct Investment: Evidence from a New Micro Dataset
    by Wei Liao & Kevin K. Tsui
  • 2012 Trilemma Policy Convergence Patterns and Output Volatility
    by Joshua Aizenman & Hiro Ito
  • 2012 The Role of Maastricht Criteria and Membership in Determining Convergence in the Eurozone and ASEAN: A Panel Data Analysis
    by Zaenal Mutaqin & Masaru Ichihashi
  • 2012 The 1980s financial liberalization in the Nordic countries
    by Honkapohja, Seppo
  • 2012 Financial Reforms, International Financial Flows, and Growth in Advanced Economies
    by Catherine Guillemineau
  • 2012 Another look at the determinants of current account imbalances in the European Union: An empirical assessment
    by Agnieszka Gehringer
  • 2012 Financial liberalization, growth, productivity and capital accumulation: The case of European integration
    by Agnieszka Gehringer
  • 2012 The International Integration of the Eastern Europe and two Middle East Stock Markets
    by José Soares da Fonseca
  • 2012 Financial Crisis and Domino Effect
    by Pedro Bação & João Maia Domingues & António Portugal Duarte
  • 2012 International Capital Flows and Development - Financial Openness Matters
    by Dennis Reinhardt & Luca Antonio Ricci & Thierry Tressel
  • 2012 Unholy compromise in the Eurozone and how to mend it
    by Stefano Micossi
  • 2012 Risk Sharing in the Middle East and North Africa: The Role of Remittances and Factor Incomes
    by Faruk Balli & Syed Abul Basherz & Rosmy Jean Louis
  • 2012 Currency Intervention: A Case Study of an Emerging Market
    by Renee Fry-McKibbin & Sumila Wanaguru
  • 2012 How Should We Bank With Foreigners? An Empirical Assessment of Lending Behaviour of International Banks to Six East Asian Countries
    by Victor Pontines & Reza Siregar
  • 2012 The Euro Plus Pact: Competitiveness and external capital flows in the EU countries
    by Hubert Gabrisch & Karsten Staehr
  • 2012 Foreign banks and the Vienna Initiative: turning sinners into saints
    by Ralph De Haas & Yevgeniya Korniyenko & Elena Loukoianova & Alexander Pivovarsky
  • 2012 International shock transmission after the Lehman Brothers collapse – evidence from syndicated lending
    by Ralph De Haas & Neeltje Van Horen
  • 2012 Financial Globalization in Emerging Countries : Diversification vs. Offshoring
    by Francisco Ceballos & Tatiana Didier & Sergio L. Schmukler
  • 2012 How Should We Bank With Foreigners?—An Empirical Assessment of Lending Behavior of International Banks to Six East Asian Economies
    by Victor Pontines & Reza Y. Siregar
  • 2012 New Measures of the Trilemma Hypothesis : Implications for Asia
    by Hiro Ito & Masahiro Kawai
  • 2012 Managing Capital Flows in an Economic Community : The Case of ASEAN Capital Account Liberalization
    by Yung Chul Park & Shinji Takagi
  • 2012 Exchange Rate Coordination in Asia : Evidence using the Asian Currency Unit
    by Abhijit Sen Gupta
  • 2012 Prevention and Resolution of Foreign Exchange Crises in East Asia
    by Chalongphob Sussangkarn
  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon
  • 2012 Financial Globalization in Emerging Countries : Diversification vs. Offshoring
    by Francisco Ceballos & Tatiana Didier & Sergio L. Schmukler
  • 2012 Managing Capital Flows in an Economic Community : The Case of ASEAN Capital Account Liberalization
    by Yung Chul Park & Shinji Takagi
  • 2012 Exchange Rate Coordination in Asia : Evidence using the Asian Currency Unit
    by Abhijit Sen Gupta
  • 2012 Prevention and Resolution of Foreign Exchange Crises in East Asia
    by Chalongphob Sussangkarn
  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon
  • 2012 Responding to the Global Financial Crisis : The Evolution of Asian Regionalism and Economic Globalization
    by Gregory Chin
  • 2012 Financial Globalization in Emerging Countries : Diversification vs. Offshoring
    by Francisco Ceballos & Tatiana Didier & Sergio L. Schmukler
  • 2012 How Should We Bank With Foreigners?—An Empirical Assessment of Lending Behavior of International Banks to Six East Asian Economies
    by Victor Pontines & Reza Y. Siregar
  • 2012 New Measures of the Trilemma Hypothesis : Implications for Asia
    by Hiro Ito & Masahiro Kawai
  • 2012 Managing Capital Flows in an Economic Community : The Case of ASEAN Capital Account Liberalization
    by Yung Chul Park & Shinji Takagi
  • 2012 Exchange Rate Coordination in Asia : Evidence using the Asian Currency Unit
    by Abhijit Sen Gupta
  • 2012 Prevention and Resolution of Foreign Exchange Crises in East Asia
    by Chalongphob Sussangkarn
  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon
  • 2012 Regional and Global Monetary Cooperation
    by Mario Lamberte & Peter J. Morgan
  • 2012 Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia
    by Ulrich Volz
  • 2012 Interest Rate Pass-through in the EMU: New Evidence from Nonlinear Cointegration Techniques for Fully Harmonized Data
    by Ansgar Belke & Joscha Beckmann & Florian Verheyen
  • 2012 Monetary Commitment and Structural Reforms: A Dynamic Panel Analysis for Transition Economies
    by Ansgar Belke & Lukas Vogel
  • 2012 Where are the Productivity Gains from Foreign Investment? Evidence on Spillovers and Reallocation from Firms, Industries and Countries
    by Christian Fons-Rosen & Sebnem Kalemli-Ozcan & Bent E. Sørensen & Carolina Villegas-Sanchez & Vadym Volosovych
  • 2012 No contagion, only globalization and flight to quality
    by Szafarz, Ariane & Chapelle, Ariane & Brière, Marie
  • 2012 Were Multinational Banks Taking Excessive Risks Before the Recent Financial Crisis?
    by Mohamed Azzim Gulamhussen & Carlos Pinheiro & Alberto Franco Pozzolo
  • 2012 Adjustment Mechanisms in a Currency Area
    by Goodhart, Charles A & Lee, D J
  • 2012 Target2 Redux: The simple accountancy and slightly more complex economics of Bundesbank loss exposure through the Eurosystem
    by Buiter, Willem H. & Rahbari, Ebrahim
  • 2012 Financial Reforms and Capital Flows: Insights from General Equilibrium
    by Martin, Alberto & Ventura, Jaume
  • 2012 Global Banks and Crisis Transmission
    by Kalemli-Ozcan, Sebnem & Papaioannou, Elias & Perri, Fabrizio
  • 2012 The Dollar and its Discontents
    by Jeanne, Olivier
  • 2012 Global Banks, Financial Shocks and International Business Cycles: Evidence from an Estimated Model
    by Kollmann, Robert
  • 2012 Does the Current Account Still Matter?
    by Obstfeld, Maurice
  • 2012 The home bias of the poor: Terms of trade effects and portfolios across the wealth distribution
    by Broer, Tobias
  • 2012 Capital Controls with International Reserve Accumulation: Can this Be Optimal?
    by Bacchetta, Philippe & Benhima, Kenza & Kalantzis, Yannick
  • 2012 Currency derivatives and the disconnection between exchange rate volatility and international trade
    by Bas Straathof & Paolo Calio
  • 2012 The Interplay between Organized Crime, Foreign Direct Investment and Economic Growth: The Latin American Case
    by Silvia C. Gómez Soler
  • 2012 Aplicación del modelo gravitacional al impacto del gobierno corporativo en las fusiones y adquisiciones en Latinoamérica
    by Mateo Vasco & Lina M. Cortés & Sandra C. Gaitán & Iván A. Durán
  • 2012 ¿Responden los diferentes tipos de flujos de capitales a los mismos fundamentos y en el mismo grado? Evidencia reciente para países emergentes
    by Fernando Arias & Daira Garrido & Daniel Parra & Hernán Rincón
  • 2012 Choques externos y precios de los activos en Latinoamérica antes y después de la quiebra de Lehman Brothers
    by luis Fernando Melo & Hernán Rincón
  • 2012 Why Is Sovereign Debt Restructuring a Challenge? The Case of Greece
    by Joanna Dreger
  • 2012 The Penn Effect within a Country - Evidence from Japan
    by Yin-Wong Cheung & Eiji Fujii
  • 2012 The Regulator's Trade-off: Bank Supervision vs. Minimum Capital
    by Florian Buck & Eva Schliephake
  • 2012 Mitigating Liquidity Constraints: Public Export Credit Guarantees in Germany
    by Gabriel J. Felbermayr & Inga Heiland & Erdal Yalcin
  • 2012 A Simple Theory of Trade, Finance, and Firm Dynamics
    by Gabriel J. Felbermayr & Gilbert Spiegel
  • 2012 Financial Integration, Globalization, and Real Activity
    by Gianni De Nicolò & Luciana Juvenal
  • 2012 Capital Importers Pay More for their Imports
    by Antonis Adam & Thomas Moutos
  • 2012 Globalization and the (Mis)Governance of Nations
    by Arthur Blouin & Sayantan Ghosal & Sharun Mukand
  • 2012 Understanding the Causal Links between Financial Development and International Trade
    by Youssouf KIENDREBEOGO
  • 2012 Heterogeneity of the determinants of euro-area sovereign bond spreads; what does it tell us about financial stability?
    by Dimitris A. Georgoutsos & Petros Migiakis
  • 2012 Measuring Sovereign Contagion in Europe
    by Massimiliano Caporin & Loriana Pelizzon & Francesco Ravazzolo & Roberto Rigobon
  • 2012 Measuring sovereign contagion in Europe
    by Massimiliano Caporin & Loriana Pelizzon & Francesco Ravazzolo & Roberto Rigobon
  • 2012 Financial Reforms and Capital Flows: Insights from General Equilibrium
    by Alberto Martin & Jaume Ventura
  • 2012 Sovereign Default, Domestic Banks and Financial Institutions
    by Nicola Gennaioli & Alberto Mart�n & Stefano Rossi
  • 2012 Capital Controls with International Reserve Accumulation: Can this Be Optimal?
    by Bacchetta, P. & Benhima, K. & Kalantzis, Y.
  • 2012 Financial Integration and External Sustainability
    by Towbin, P.
  • 2012 Disintermediation or financial diversification? The case of developed countries
    by Boutillier, M. & Bricongne, J.C.
  • 2012 RMB Internationalization: What is in for Taiwan?
    by AliciaGarcia-Herrero & Yingyi Tsai & Xia Le
  • 2012 Government bond market integration and the EMU: Correlation based evidence
    by Sebastian Missio
  • 2012 The Impact of EU Membership on the Economic Governance of Spain
    by Francesc Granell (Professor of International Economic Organisation)
  • 2012 Were multinational banks taking excessive risks before the recent financial crisis?
    by Mohamed Azzim Gulamhussen & Carlos Pinheiro & Alberto Franco Pozzolo
  • 2012 Foreign Banks and the Vienna Initiative: Turning Sinners into Saints?
    by Ralph De Haas & Yevgeniya Korniyenko & Elena Loukoianova & Alexander Pivovarsky
  • 2012 Real and Monetary Policy Convergence: EMU Crisis to the CFA Zone
    by Asongu Simplice
  • 2012 Are Proposed African Monetary Unions Optimal Currency Areas? Real, Monetary and Fiscal Policy Convergence Analysis
    by Asongu Simplice
  • 2012 Are Proposed African Monetary Unions Optimal Currency Areas? Real and Monetary Policy Convergence Analysis
    by Asongu Simplice
  • 2012 African Financial Development Dynamics: Big Time Convergence
    by Asongu Simplice
  • 2012 Integration of European Bond Markets
    by Charlotte Christiansen
  • 2012 New Paradigms in Banking, Financial Markets and Regulation?
    by Morten Balling & Frank Lierman & Freddy Van den Spiegel & Rym Ayadi & David T. Llewellyn & Martin Merlin & Donato Masciandaro & Marc Quintyn & Rosaria Vega-Pansini & Adam Szyszka & Rym Ayadi & Frank de Jonghe & Hans Groeneveld & Malgorzata Pawlowska & Emil Ślązak & Susanna Walter & Matthias Schaller & Peter Reedtz & Lars Machenil & Lieve Mostrey
  • 2012 The Impact of the International Economic and Financial Crisis on the Current Accounts’ and Foreign Direct Investments’ Trends in the New Member States of the European Union
    by Camelia MILEA & Alina Georgeta AILINCĂ & Iulia LUPU & Adina CRISTE & Floarea IORDACHE
  • 2012 Policy Responses to the European Debt Crisis Treating the “Symptoms†or the “Diseaseâ€?
    by Angelos A. Antzoulatos
  • 2012 The Future Of Financial Liberalization In South Asia
    by Ashima Goyal
  • 2012 The Future Of Financial Liberalization In South Asia
    by Ashima Goyal
  • 2012 How Effective Are Capital Controls in Asia?
    by Maria Socorro Gochoco-Bautista & Juthathip Jongwanich & Jong-Wha Lee
  • 2012 Macroeconomic Impacts Of The Interest Rate Shocks In The Selected Euro Area Countries
    by Júlia DURCOVÁ
  • 2012 Effects Of Single Monetary Policy On The Selected Economic And Monetary Union Countries. Case Of So-Called "Piigs" Countries
    by Ludmila BARTOKOVA
  • 2012 The Impact of FDIs on Exports, and Export Competitiveness in Central and Eastern European Countries
    by Magdalena RĂDULESCU & Luminiţa ŞERBĂNESCU
  • 2012 The integration of financial markets and growth - the role of banking regulation and supervision
    by Katarzyna Sum
  • 2012 The Role Of Accounting Engineering In Shaping The Balance Policy Of A Company
    by Leszek Michalczyk
  • 2012 Securitization As A Tool Of Bank Liquidity And Funding Management Before And After The Crisis: The Case Of The Eu
    by Sylwester Kozak & Olga Teplova
  • 2012 Seeking The Diversification Benefits With Foreign Equities And Commodities – The Case Of Polish Investor
    by Rados³aw Kurach
  • 2012 The Interdependence of the Stock Markets of Slovenia, The Czech Republic and Hungary with Some Developed European Stock Markets – The Effects of Joining the European Union and the Global Financial Crisis
    by Dajcman, Silvio & Festic, Mejra
  • 2012 Price Indicators as a Measure of Credit Market Integration in the Visegrad Countries
    by Vodova, Pavla
  • 2012 The Role Of Internal Control And Financial Audit In Implementing European Financed Projects From European Social Fund Category
    by NICA, Dumitru & COCOȘATU, Claudiu Cristinel & TOMOIAGĂ, Liviu
  • 2012 Does Input Substitutability in Banking Differ across Accession and Non-Accession Countries in Central and Eastern Europe?
    by Mixon, Jr., Franklin G. & Wu, Tong & B. Caudill, Steven & M. Gropper, Daniel & Hartarska, Valentina
  • 2012 Stock Market Integration Between Three CEECs
    by Maria Caporale, Guglielmo & Spagnolo, Nicola
  • 2012 Is the Eurozone Rescue Strategy Tantamount to the Rearrangement of the Deckchairs on the Titanic?
    by Jovanović, Miroslav
  • 2012 The role of the timeline in Granger causality test in the presence of daily data non-synchronism
    by Grigoryev, Ruslan & Jaffry, Shabbar & Marchenko, German
  • 2012 Investigation of the consequences of ignoring daily data non-synchronism in cross-market linkages: BRIC and developed countries
    by Grigoryev, Ruslan & Jaffry, Shabbar & Marchenko, German
  • 2012 Are remittances a stabilizing factor in the Mexican economy?
    by Jorge Eduardo Mendoza Cota
  • 2012 Testing the “EU Announcement Effect” on Stock Market Indices and Macroeconomic Variables in Croatia Between 2000 and 2010
    by Anita Radman Peša & Mejra Festić
  • 2012 Parent Influence on Loan Pricing by Czech Banks
    by Alexis Derviz & Marie Raková
  • 2012 Challenges of Direct European Supervision of Financial Markets
    by László Szegedi
  • 2012 The Relevance of Composite Indicators to Measure Countries Competitiveness
    by Corduneanu Carmen & Moldovan Nicoleta–Claudia
  • 2012 Consideration on the Financing of Tourism Development and Promotion Strategies in Romania
    by Jaliu Dumitru Dragoº & Anamaria Sidonia Ravar
  • 2012 A Study on Competitiveness Disparities Manifested in the European Union
    by Moldovan Nicoleta–Claudia & Corduneanu Carmen
  • 2012 The European Framework for Safeguarding Financial Stability
    by Ionescu Cristian
  • 2012 The PIIGS Group under the Pressure of Sovereign Debt
    by Voicu Ioana-Iulica & Talmaciu Iuliana
  • 2012 A Critical Analysis Regarding the Euro Area Governance
    by Criste Adina & Lupu Iulia
  • 2012 Traditionalism and Efficiency
    by Iulia Lupu
  • 2012 The Implications Of State Aid To R&D On Economic Development In The European Union
    by Bacila Nicolae
  • 2012 The European Fiscal Union. A Solution To Save The Euro?
    by Sabau-Popa Diana Claudia
  • 2012 Analysis For The Degree Of Euroization In Romania
    by Dinu Marin & Marinas Marius & Socol Aura Gabriela
  • 2012 How Do Austrian Banks Fund Their Swiss Franc Exposure?
    by Raphael Auer & Sebastien Kraenzlin & David Liebeg
  • 2012 Spillovers of the Greek Crisis to Southeastern Europe: Manageable or a Cause for Concern?
    by Peter Backé & Sándor Gardó
  • 2012 Residential Property Markets in CESEE EU Member States
    by Antje Hildebrandt & Reiner Martin & Katharina Steiner & Karin Wagner
  • 2012 The integration of the financial markets and growth evidence from a global cross-country analysis
    by Katarzyna Sum
  • 2012 Romanian Macroeconomic Stability Between The Balance Of Payment Assistance And The European Semester
    by Gabriela Dragan
  • 2012 Business Cycle Synchronization In The Euro Area
    by Ioana Laura Valeanu
  • 2012 Trade Liberalisation In Europe And The Rest Of The World
    by Cristian Spiridon
  • 2012 Euro Adoption – The Illusion Of The Monetary Integration Of Romania
    by Cristina Duhnea & Silvia Ghita-Mitrescu & Diane Paula Corina Vancea
  • 2012 On The Growth Effects Of Equity Market Liberalization
    by ZHEN LI
  • 2012 Globalisation And The Unpredictability Of Crisis Episodes: An Empirical Analysis Of Country Risk Indexes / La Imprevisibilidad De Los Episodios De Crisis: Un Análisis Sobre Los Índices De Riesgo País En La Era De La Globalización
    by San-Martín-Albizuri, Nerea & Rodríguez-Castellanos, Arturo
  • 2012 Reserve Currencies: Factors of Evolution and their Role in the World Economy
    by Sergey Narkevich & Pavel Trunin
  • 2012 Direct Investment Outflow from Russia: Essays of the Theory and Practice
    by Alexander Pakhomov
  • 2012 The Dynamics of Return Comovement and Spillovers Between the Czech and European Stock Markets in the Period 1997–2010
    by Silvo Dajcman
  • 2012 Sustainable Real Exchange Rates in the New EU Member States: What Did the Great Recession Change?
    by Jan Babecky & Ales Bulir & Katerina Smidkova
  • 2012 The Bright and the Dark Side of Cross-Border Banking Linkages
    by Martin Cihak & Sonia Munoz & Ryan Scuzzarella
  • 2012 The endless eurozone crisis, where do we stand? a classical-kaleckian overview
    by Sergio Cesaratto
  • 2012 Integración Financiera México-Estados Unidos: Mercados Accionarios y de Derivados Accionarios
    by Francisco López-Herrera. & Francisco Venegas-Martínez.
  • 2012 Volatility spillovers between the Chinese and world equity markets
    by Zhou, Xiangyi & Zhang, Weijin & Zhang, Jie
  • 2012 Sovereign debt exposures and banking risks in the current EU financial crisis
    by Arnold, Ivo J.M.
  • 2012 Adjustment patterns to commodity terms of trade shocks: The role of exchange rate and international reserves policies
    by Aizenman, Joshua & Edwards, Sebastian & Riera-Crichton, Daniel
  • 2012 The dollar and its discontents
    by Jeanne, Olivier
  • 2012 No contagion, only globalization and flight to quality
    by Brière, Marie & Chapelle, Ariane & Szafarz, Ariane
  • 2012 The impact of international portfolio composition on consumption risk sharing
    by Holinski, Nils & Kool, Clemens J.M. & Muysken, Joan
  • 2012 International financial integration and national price levels: The role of the exchange rate regime
    by Hoffmann, Mathias & Tillmann, Peter
  • 2012 Financial flows, financial crises, and global imbalances
    by Obstfeld, Maurice
  • 2012 How did a domestic housing slump turn into a global financial crisis?
    by Kamin, Steven B. & DeMarco, Laurie Pounder
  • 2012 Do foreigners facilitate information transmission in emerging markets?
    by Bae, Kee-Hong & Ozoguz, Arzu & Tan, Hongping & Wirjanto, Tony S.
  • 2012 Bubbles and capital flows
    by Ventura, Jaume
  • 2012 After the global financial crisis: From international to multinational banking?
    by McCauley, Robert & McGuire, Patrick & von Peter, Goetz
  • 2012 Current account imbalances and systemic risk within a monetary union
    by Angelini, Elisabetta Croci & Farina, Francesco
  • 2012 The exchange rate as nominal anchor: A test for Ukraine
    by Conway, Patrick
  • 2012 Do financial systems converge? New evidence from financial assets in OECD countries
    by Bruno, Giuseppe & De Bonis, Riccardo & Silvestrini, Andrea
  • 2012 An international CAPM for partially integrated markets: Theory and empirical evidence
    by Arouri, Mohamed El Hedi & Nguyen, Duc Khuong & Pukthuanthong, Kuntara
  • 2012 Multimarket trading and corporate bond liquidity
    by Petrasek, Lubomir
  • 2012 Historical evidence on the finance-trade-growth nexus
    by Bordo, Michael D. & Rousseau, Peter L.
  • 2012 Political crises and the stock market integration of emerging markets
    by Frijns, Bart & Tourani-Rad, Alireza & Indriawan, Ivan
  • 2012 Interest rate co-movements, global factors and the long end of the term spread
    by Byrne, Joseph P. & Fazio, Giorgio & Fiess, Norbert
  • 2012 Market-specific and currency-specific risk during the global financial crisis: Evidence from the interbank markets in Tokyo and London
    by Fukuda, Shin-ichi
  • 2012 Financial contagion and the real economy
    by Baur, Dirk G.
  • 2012 Welfare implications of international financial integration
    by Lee, Jong-Wha & Shin, Kwanho
  • 2012 Integration in European retail banking: Evidence from savings and lending rates to non-financial corporations
    by Rughoo, Aarti & Sarantis, Nicholas
  • 2012 Arbitrage and the Law of One Price in the market for American depository receipts
    by Alsayed, Hamad & McGroarty, Frank
  • 2012 What drives delistings of foreign firms from U.S. Exchanges?
    by Chaplinsky, Susan & Ramchand, Latha
  • 2012 Multiple equilibria in the dynamics of financial globalization: The role of institutions
    by Van Campenhout, Bjorn & Cassimon, Danny
  • 2012 Changing integration of EMU public property markets
    by Yunus, Nafeesa & Swanson, Peggy E.
  • 2012 On the international transmission of shocks: Micro-evidence from mutual fund portfolios
    by Raddatz, Claudio & Schmukler, Sergio L.
  • 2012 Bank relationships, business cycles, and financial crises
    by Hale, Galina
  • 2012 Liquidity management of U.S. global banks: Internal capital markets in the great recession
    by Cetorelli, Nicola & Goldberg, Linda S.
  • 2012 Leverage across firms, banks, and countries
    by Kalemli-Ozcan, Sebnem & Sorensen, Bent & Yesiltas, Sevcan
  • 2012 The financial crisis and the geography of wealth transfers
    by Gourinchas, Pierre-Olivier & Rey, Hélène & Truempler, Kai
  • 2012 Currency composition of international bonds: The EMU effect
    by Hale, Galina B. & Spiegel, Mark M.
  • 2012 Financial integration and international risk sharing
    by Bai, Yan & Zhang, Jing
  • 2012 Emerging markets research: Trends, issues and future directions
    by Kearney, Colm
  • 2012 Price convergence in the EMU? Evidence from micro data
    by Fischer, Christoph
  • 2012 How national and international financial development affect industrial R&D
    by Maskus, Keith E. & Neumann, Rebecca & Seidel, Tobias
  • 2012 Money market pressure in emerging economies: International contagion versus domestic determinants
    by Hegerty, Scott W.
  • 2012 Monetary policy and stock prices in small open economies: Empirical evidence for the new EU member states
    by Pirovano, Mara
  • 2012 Exchange rate undervaluation and economic growth: Díaz Alejandro (1965) revisited
    by Glüzmann, Pablo Alfredo & Levy-Yeyati, Eduardo & Sturzenegger, Federico
  • 2012 Changes in the second-moment properties of disaggregated capital flows
    by Contessi, Silvio & De Pace, Pierangelo & Francis, Johanna L.
  • 2012 Trilemma policy convergence patterns and output volatility
    by Aizenman, Joshua & Ito, Hiro
  • 2012 Real interest rate parity with Flexible Fourier stationary test for Central and Eastern European countries
    by Su, Chi-Wei & Chang, Hsu-Ling & Liu, Lin
  • 2012 Revisiting the core-periphery view of EMU
    by Pentecôte, Jean-Sébastien & Huchet-Bourdon, Marilyne
  • 2012 The prospects of a monetary union in East Asia
    by Lee, Grace H.Y. & Koh, Sharon G.M.
  • 2012 Financial market integration: Theory and empirical results
    by Arouri, Mohamed El Hedi & Foulquier, Philippe
  • 2012 Trade intensity and business cycle synchronization: East Asia versus Europe
    by Rana, Pradumna Bickram & Cheng, Tianyin & Chia, Wai-Mun
  • 2012 The US tech pulse, stock prices, and exchange rate dynamics: Evidence from Asian developing countries
    by Kubo, Akihiro
  • 2012 Exploring dimensions of regional economic integration in East Asia: More than the sum of its parts?
    by Cavoli, Tony
  • 2012 Integration in the absence of institutions: China–North Korea cross-border exchange
    by Haggard, Stephan & Lee, Jennifer & Noland, Marcus
  • 2012 Impacts of the Trilemma Policies on Inflation, Growth and Volatility in Greece
    by Yu Hsing
  • 2012 Exchange Rate Volatility and its Impact on Industrial Production, Before and After the Introduction of Common Currency in Europe
    by Muhammad Jamil & Erich W. Streissler & Robert M. Kunst
  • 2012 "Grüne" Investitionen in einem europäischen Wachstumspaket
    by Thomas Spencer & Kerstin Bernoth & Lucas Chancel & Emmanuel Guérin & Karsten Neuhoff
  • 2012 Anti-crisis Politics Assumed by Some Governs from Euro Area
    by Mioara CHIRITA & Simona TOMA & Daniela SARPE
  • 2012 Effectiveness of Fiscal Policy Coordination Rules in the Monetary Union
    by Bernadeta Baran
  • 2012 Organized Crime, Foreign Investment and Economic Growth
    by Silvia Gómez Soler
  • 2012 Análisis de corto plazo del contagio de variables y noticias financieras en estados unidos y Colombia
    by César Augusto Corredor Velandia & Stefano Vega Mazzeo
  • 2012 Financial globalization and financial development in Latin America
    by Edgar Demetrio Tovar García
  • 2012 Securitization of mortgage debt, domestic lending, and international risk sharing
    by Mathias Hoffmann & Thomas Nitschka
  • 2012 Risk sharing through capital gains
    by Faruk Balli & Sebnem Kalemli-Ozcan & Bent E. Sørensen
  • 2012 Euro Area real effective exchange rate misalignments
    by Benjamin Carton & Karine Hervé
  • 2012 L'or est-il une valeur refuge pendant les récessions et les crises boursières ?
    by Virginie Coudert & Hélène Raymond
  • 2012 Banques étrangères et stabilité du financement bancaire extérieur dans les peco
    by Sophie Brana & Delphine Lahet
  • 2012 The analysis of the US income differential development in a context of its hegemonic position
    by Martina Jiránková
  • 2012 Reviewing the proposals for common bond issuances by the euro-area sovereign under a long-term perspective
    by Petros M. Migiakis
  • 2012 State Aid Policy Between Competition And Economic Growth: The Impact Of State Aid To R&D On Gdp In The Eu Member States
    by BACILA Nicolae
  • 2012 Non-residents’ equity holdings in French CAC 40 companies at end-2011
    by J. Le Roux.
  • 2012 La détention par les non-résidents des actions des sociétés françaises du CAC 40 à fin 2011
    by LE ROUX, J.
  • 2012 Les politiques budgétaire et monétaire à la suite de la crise financière. Synthèse de la conférence BDF/EABCN/EJ/PSE des 8 et 9 décembre 2011
    by BUSSIÈRE, M. & TOWBIN, P.
  • 2012 European Economic Integration Theories and Criteria
    by Ivan Todorov
  • 2012 Macroeconomic Specifics of Integration of Bulgaria into the European Union
    by Ivan Todorov
  • 2012 Internationalization, diversification and risk in multinational banks
    by Mohamed Azzim Gulamhussen & Carlos Pinheiro & Alberto Franco Pozzolo
  • 2012 A Financial Stability Fund as a tool for reducing interest payments on public debt
    by Giuseppe Vegas
  • 2012 Importance of Audit and Role of Supreme Audit Institutions in the Fight Against Global Crisis
    by H. Omer Kose
  • 2012 Regional Economic Integration And National Financial Supervision. A Comparative Study
    by Ovidiu Stoica & Delia-Elena Diaconasu
  • 2012 EURO zone crisis and EU governance: Tackling a flawed design and inadequate policy arrangements
    by Daniel Dăianu
  • 2012 Concerns Regarding To Successful Adoption Of The Euro In Romania
    by Adela Socol
  • 2012 Absorption Capacity Of Eu Funds In Romania
    by Claudiu George Bocean
  • 2012 The Reformof The Financialmonetary System In The Context Of Creation Of Anewglobal Order
    by Cosmin Durac
  • 2012 The Implications Of Globalization On The Efficiency And Stability Of Financial Systems
    by Oana Calitoiu
  • 2012 World Trade Liberalisation Since The Xixth Century Up To Date
    by Cristian SPIRIDON
  • 2012 The European Sovereign Debt Crisis
    by Philip R. Lane
  • 2012(XXII) New Banking Regulation Framework During The Crisis Period
    by Magdalena RADULESCU & Marinela Tanascovici
  • 2011 Effects of Financial Market Imperfections on Indian Firms' Exporting Behavior
    by Ito, Hiro & Terada-Hagiwara, Akiko
  • 2011 How Effective are Capital Controls in Asia?
    by Gochoco-Bautista,, Maria Socorro & Jongwanich, Juthathip & Lee, Jong-Wha
  • 2011 International Supply Chains as Real Transmission Channels of Financial Shocks
    by Escaith, Hubert & Gonguet, Fabien
  • 2011 Global Crises: A Network Perspective on the Economic Integration
    by Leila, Ali
  • 2011 Learning from the global economic crisis
    by Cayetano Paderanga, Jr.
  • 2011 Impact of the Foreign Institutional Investments on Stock Market: Evidence from India
    by GARG, ASHISH & BODLA, B. S.
  • 2011 Emerging from the war: Gold Standard mentality, current accounts and the international business cycle 1885-1939
    by Mathias Hoffmann & Ulrich Woitek
  • 2011 How does the domiciliation decision affect mutual fund fees?
    by Lang, Gunnar & Köhler, Matthias
  • 2011 Current account imbalances in the euro area: Catching up or competitiveness?
    by Belke, Ansgar & Dreger, Christian
  • 2011 Inter-Temporal Savings, Current Account Dynamics and Asymmetric Shocks in a Heterogeneous European Monetary Union
    by Schnabl, Gunther & Zemanek, Holger
  • 2011 Die Deutsche Wiedervereinigung und die europäische Schuldenkrise im Lichte der Theorie optimaler Währungsräume
    by Schnabl, Gunther & Zemanek, Holger
  • 2011 Contagion effect of financial crisis on OECD stock markets
    by Kazi, Irfan Akbar & Guesmi, Khaled & Kaabia, Olfa
  • 2011 Spillover and Competition Effects: Evidence from the Sub-Saharan African Banking Sector
    by Pohl, Birte
  • 2011 Regional Financial Integration in Sub-Saharan Africa - An Empirical Examination of its Effects on Financial Market Development
    by Frey, Leo & Volz, Ulrich
  • 2011 Current account imbalances in the euro area: Catching up or competitiveness?
    by Belke, Ansgar & Dreger, Christian
  • 2011 The two-sided effect of financial globalization on output volatility
    by Meller, Barbara
  • 2011 How do credit supply shocks propagate internationally? A GVAR approach
    by Eickmeier, Sandra & Ng, Tim
  • 2011 Portfolio holdings in the euro area - home bias and the role of international, domestic and sector-specific factors
    by Jochem, Axel & Volz, Ute
  • 2011 THE DEPENDENCE OF CEECs ON FOREIGN BANK CLAIMS: DIRECT AND INDIRECT RISKS OF CAPITAL WITHDRAWAL
    by Sophie Brana & Delphine Lahet
  • 2011 From Prosperity to Depression: Bulgaria and Romania (1996/97 – 2010)
    by Nikolay NENOVSKY & Kiril TOCHKOV & Camelia TURCU
  • 2011 Small Lessons from the Recent Euro-Dollar Skirmishes
    by Dino Martellato
  • 2011 Growth Shocks and Portfolio Flows
    by Eylem Ersal Kiziler
  • 2011 Time lags in processing market-sensitive information. A case study
    by Alessandro Innocenti & Pier Malpenga & Lorenzo Menconi & Alessandro Santoni
  • 2011 Culture Matters: French-German Conflicts on European Central Bank Independence
    by Femke van Esch & Eelke de Jong
  • 2011 The determinants of the composition of public debt in developing and emerging market countries
    by Forslund, Kristine & Lima, Lycia & Panizza, Ugo
  • 2011 Macro-finance interactions in the US: A global perspective
    by Fabio C. Bagliano & Claudio Morana
  • 2011 Global Imbalances, Current Account Rebalancing and Exchange Rate Adjustments
    by Yavuz Arslan & Mustafa Kilinc & M. Ibrahim Turhan
  • 2011 Endogenous Entry, International Business Cycles, and Welfare
    by Stéphane Auray & Aurélien Eyquem
  • 2011 Global Financial Crises and Time-varying Volatility Comovement in World Equity Markets
    by Andrew Stuart Duncan & Alain Kabundi
  • 2011 Current Account Imbalances in the Euro Area: Catching up or Competitiveness?
    by Ansgar Belke & Christian Dreger
  • 2011 External Balance Adjustment: An Intra-National and International Comparison
    by Smith, Constance
  • 2011 What Drives Different Types of Capital Flows and Their Volatilities in Developing Asia?
    by Mercado, Rogelio & Park, Cyn-Young
  • 2011 Economic Crises and Institutions for Regional Economic Cooperation
    by Henning, C. Randall
  • 2011 Financial Integration in Emerging Asia: Challenges and Prospects
    by Park, Cyn-Young & Lee, Jong-Wha
  • 2011 The Development of Local Debt Markets in Asia: An Assessment
    by Goswami, Mangal & Sharma, Sunil
  • 2011 Trilemma and Financial Stability Configurations in Asia
    by Aizenman, Joshua
  • 2011 Institutions for Economic and Financial Integration in Asia: Trends and Prospects
    by Capannelli, Giovanni
  • 2011 Bond Market Development in Asia: An Empirical Analysis of Major Determinants
    by Bhattacharyay, Biswa Nath
  • 2011 Managing Multinational Infrastructure: An analysis of EU Institutional Structures and Best Practices
    by Geest, Willem van der & Nunez-Ferrer, Jorge
  • 2011 Regional Integration in the Americas: State of Play, Lessons, and Ways Forward
    by Estevadeordal, Antoni & Shearer, Matthew & Suominen, Kati
  • 2011 Asian Monetary Unit and Monetary Cooperation in Asia
    by Ogawa, Eiji & Shimizu, Junko
  • 2011 Foreign Direct Investment in Cross-Border Infrastructure Projects
    by Fung, Kwok-Chiu & Garcia-Herrero, Alicia & Ng, Francis
  • 2011 Real Interest Parity: A Note on Asian Countries Using Panel Stationarity Tests
    by Mark J. Holmes & Jesús Otero & Theodore Panagiotidis
  • 2011 Terms of Trade Shocks: What are They and What Do They Do?
    by Jarkko Jääskelä & Penelope Smith
  • 2011 Does financial development reduce the motivation to hoard foreign reserves?
    by Heng, Dyna
  • 2011 Capital flows and real exchange rate: does financial development matter?
    by Heng, Dyna
  • 2011 Determinants of financial management practices: a conceptual study
    by Hunjra, Ahmed Imran & Iqbal, Jamshed & Batool, Irem & Niazi, Ghulam Shabbir Khan
  • 2011 Application of finance techniques: an empirical analysis of pakistani corporate sector
    by Hunjra, Ahmed Imran & Niazi, Ghulam Shabbir Khan & Akbar, Syed Waqar & Rehman, Kashif-Ur-
  • 2011 Dynamic linkages and interdependence between Mediterranean region EMU markets during 2007 financial crisis
    by Dimitriou, Dimitrios & Mpitsios, Petros & Simos, Theodore
  • 2011 Global Imbalances, Current Account Rebalancing and Exchange Rate Adjustments
    by Turhan, Ibrahim M. & Arslan, Yavuz & Kılınç, Mustafa
  • 2011 Finance and Inequality: How Does Globalization Change Their Relationship?
    by Kunieda, Takuma & Okada, Keisuke & Shibata, Akihisa
  • 2011 The Euro Area sovereign debt crisis: Some implications of its systemic dimension
    by Pessoa, Argentino
  • 2011 Theory of financial integration and achievements in the European Union
    by Stavarek, Daniel & Repkova, Iveta & Gajdosova, Katarina
  • 2011 A structural modeling of exchange rate, prices and interest rates between Malaysia-China in the liberalization era
    by Chan, Tze-Haw
  • 2011 A new governance for the EMU and the economic policy framework
    by Schilirò, Daniele
  • 2011 TARGET2 Unlimited: Monetary Policy Implications of Asymmetric Liquidity Management within the Euro Area
    by Abad, José M & Loeffler, Axel & Zemanek, Holger
  • 2011 Cross-border bank lending to selected SEACEN economies: an integrative report
    by Pontines, Victor & Siregar, Reza Yamora
  • 2011 Integrarea pietei bursiere europene in contextul UEM
    by Avadanei, Andreea
  • 2011 Channels of risk-sharing among Canadian provinces: 1961--2006
    by Balli, Faruk & Basher, Syed Abul & Jean Louis, Rosmy
  • 2011 A new governance for the EMU and the economic policy framework
    by Schilirò, Daniele
  • 2011 Averting Currency Crises: The Pros and Cons of Financial Openness
    by Gus, Garita & Chen, Zhou
  • 2011 Perspectives on Fulfilling the Nominal and Real Convergence Criteria by Romania for the Adoption of Euro Currency
    by Geza, Paula & Giurca Vasilescu, Laura
  • 2011 The Optimum Currency Area. Is the Euro Zone an Optimum Currency Area?
    by Geza, Paula & Giurca Vasilescu, Laura
  • 2011 Income insurance and the determinants of income insurance via foreign asset revenues and foreign liability payments
    by Balli, Faruk & Basher, Syed Abul & Ozer-Balli, Hatice
  • 2011 Indicatori de măsurare a integrării financiare europene. Literature review
    by Avadanei, Andreea
  • 2011 O abodare de ansamblu privind provocările adoptării euro: cazul României
    by Avadanei, Andreea
  • 2011 Structura balanţei serviciilor şi tendinţele evolutive ale acesteia
    by Juravle, Daniel
  • 2011 Bank Bailouts, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr
  • 2011 Understanding the Recent Surge in the Accumulation of International Reserves
    by Petar Vujanovic
  • 2011 India's financial globalisation
    by Shah, Ajay & Patnaik, Ila
  • 2011 Stochastic Convergence in the Euro Area
    by Giorgio Canarella & Stephen M. Miller & Stephen K. Pollard
  • 2011 Adjustment patterns to commodity terms of trade shocks: the role of exchange rate and international reserves policies
    by Joshua Aizenman & Sebastian Edwards & Daniel Riera-Crichton
  • 2011 The International Monetary System: Living with Asymmetry
    by Maurice Obstfeld
  • 2011 Risk Sharing through Capital Gains
    by Faruk Balli & Sebnem Kalemli-Ozcan & Bent Sorensen
  • 2011 Financial Sector Ups and Downs and the Real Sector: Up by the stairs, down by the parachute
    by Joshua Aizenman & Brian Pinto & Vladyslav Sushko
  • 2011 What is the Risk of European Sovereign Debt Defaults? Fiscal Space, CDS Spreads and Market Pricing of Risk
    by Joshua Aizenman & Michael M. Hutchison & Yothin Jinjarak
  • 2011 International Liquidity: The Fiscal Dimension
    by Maurice Obstfeld
  • 2011 On the International Transmission of Shocks: Micro-Evidence from Mutual Fund Portfolios
    by Claudio Raddatz & Sergio L. Schmukler
  • 2011 Bank Relationships, Business Cycles, and Financial Crises
    by Galina Hale
  • 2011 Asset Liquidity and International Portfolio Choice
    by Athanasios Geromichalos & Ina Simonovska
  • 2011 Capital flows: Catalyst or Hindrance to economic takeoffs?
    by Joshua Aizenman & Vladyslav Sushko
  • 2011 Capital Flow Types, External Financing Needs, and Industrial Growth: 99 countries, 1991-2007
    by Joshua Aizenman & Vladyslav Sushko
  • 2011 Surviving the Global Financial Crisis: Foreign Ownership and Establishment Performance
    by Laura Alfaro & Maggie Chen
  • 2011 Financial Protectionism: the First Tests
    by Andrew K. Rose & Tomasz Wieladek
  • 2011 Systemic Sovereign Credit Risk: Lessons from the U.S. and Europe
    by Andrew Ang & Francis A. Longstaff
  • 2011 Market-specific and Currency-specific Risk During the Global Financial Crisis: Evidence from the Interbank Markets in Tokyo and London
    by Shin-ichi Fukuda
  • 2011 Firm Exports and Multinational Activity Under Credit Constraints
    by Kalina Manova & Shang-Jin Wei & Zhiwei Zhang
  • 2011 Net Fiscal Stimulus During the Great Recession
    by Joshua Aizenman & Gurnain Kaur Pasricha
  • 2011 Transition to FDI Openness: Reconciling Theory and Evidence
    by Ellen R. McGrattan
  • 2011 Capital-Market Effects of Securities Regulation: Hysteresis, Implementation, and Enforcement
    by Hans B. Christensen & Luzi Hail & Christian Leuz
  • 2011 Financial frictions and optimal monetary policy in an open economy
    by Marcin Kolasa & Giovanni Lombardo
  • 2011 The evolution of Alexandre Lamfalussy's thought on the international and European monetary system (1961-1993)
    by Ivo Maes
  • 2011 On the Individual Optimality of Economic Integration
    by CASTRO, Rui & KOUMTINGUÉ, Nelnan
  • 2011 On the Individual Optimality of Economic Integration
    by CASTRO, Rui & KOUMTINGUÉ, Nelnan
  • 2011 Quo vadis, Euroland? European Monetary Union between Crisis and Reform
    by Martin Hellwig
  • 2011 Financial protectionism: the first tests
    by Rose, Andrew & Wieladek, Tomasz
  • 2011 Do multinational banks create or destroy economic value?
    by Gulamhussen, M. A. & Piheiro, Carlos & Pozzolo, Alberto Franco
  • 2011 Beating the Random Walk in Central and Eastern Europe by Survey Forecasts
    by Anna Naszódi
  • 2011 Testing the asset pricing model of exchange rates with survey data
    by Anna Naszódi
  • 2011 Assessing The Endogeneity Of Oca Conditions In Emu
    by Carlos Vieira & Isabel Vieira
  • 2011 Financial constraints, exports and monetary integration - Financial constraints and exports: An analysis of Portuguese firms during the European monetary integration
    by Filipe Silva & Carlos Carreira
  • 2011 Real Interest Parity: A note on Asian countries using panel stationarity tests
    by Mark J. Holmes & Theodore Panagiotidis & Jesus Otero
  • 2011 International Financial Integration and National Price Levels: The Role of the Exchange Rate Regime
    by Mathias Hoffmann & Peter Tillmann
  • 2011 Capital Controls with International Reserve Accumulation: Can this Be Optimal ?
    by Philippe Bacchetta & Kenza Benhima & Yannick Kalantzis
  • 2011 Bank Competition in the EU: How Has It Evolved?
    by Laurent Weill
  • 2011 Foreign Banks and the Stability of Foreign and Domestic Credit in CEECs
    by Sophie Brana & Delphine Lahet
  • 2011 Real Interest Parity: A Note on Asian Countries Using Panel Stationarity Tests
    by Mark J. Holmes & Jesús Otero & Theodore Panagiotidis
  • 2011 Financial Cooperation in East Asia: Its Future Directions
    by Wataru Takahashi
  • 2011 Hostages, Free Lunches and Institutional Gaps: The Case of the European Currency Union
    by Günter Franke
  • 2011 Evolvement of uniformity and volatility in the stressed global financial village
    by Dror Y. Kenett & Matthias Raddant & Thomas Lux & Eshel Ben-Jacob
  • 2011 What Might Central Banks Lose or Gain in Case of Euro Adoption – A GARCH-Analysis of Money Market Rates for Sweden, Denmark and the UK
    by Herbert S. Buscher & Hubert Gabrisch
  • 2011 FDI and growth: what cross-country industry data say
    by Maria Cipollina & Giorgia Giovannetti & Filomena Pietrovito & Alberto Franco Pozzolo
  • 2011 European integration and banking efficiency: a panel cost frontier approach
    by Cândida Ferreira
  • 2011 Macro-financial Linkage and Financial Deepening in China after the Global Financial Crisis
    by Kumiko Okazaki & Tomoyuki Fukumoto
  • 2011 Asian Regional Policy Coordination
    by Edwin M. Truman
  • 2011 Too Big to Fail: The Transatlantic Debate
    by Morris Goldstein & Nicolas Veron
  • 2011 Integration in the Absence of Institutions: China-North Korea Cross-Border Exchange
    by Marcus Noland & Stephan Haggard & Jennifer Lee
  • 2011 Why are Trend Cycle Decompositions of Alternative Models So Different?
    by Shigeru Iwata & Han Li
  • 2011 China's Outward Direct Investment in Africa
    by Yin-Wong Cheung & Jakob de Haan & XingWang Qian & Shu Yu
  • 2011 What Can International Finance Add to International Strategy?
    by Oxelheim, Lars & Randoy, Trond & Stonehill, Arthur
  • 2011 The euro and corporate financing
    by Bris, Arturo & Koskinen, Yrjö & Nilsson, Mattias
  • 2011 Transfer of financial risk in emerging eastern European stock markets: A sectoral perspective
    by Fedorova, Elena
  • 2011 Conditionality in Chinese bilateral lending
    by Mattlin, Mikael & Nojonen, Matti
  • 2011 The determinants of cross-border bank flows to emerging markets: New empirical evidence on the spread of financial crises
    by Herrmann, Sabine & Mihaljek, Dubravko
  • 2011 Drifting together of falling apart? The empirics of regional economic growth in post-unification Germany
    by Michael Funke & Roberta Colavecchio & Declan Curran
  • 2011 Financial constraints and exports: An analysis of Portuguese firms during the European monetary integration
    by Filipe SIlva & Carlos Carreira
  • 2011 Global crisis and Financial destabilization in ASEAN countries. A microstructural perspective
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    by Joshua Aizenman
  • 2011 The Development of Local Debt Markets in Asia : An Assessment
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  • 2011 Asian Monetary Unit and Monetary Cooperation in Asia
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    by Biswa Nath Bhattacharyay
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  • 2011 The Development of Local Debt Markets in Asia : An Assessment
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  • 2011 Foreign Direct Investment in Cross-Border Infrastructure Projects
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  • 2011 Managing Multinational Infrastructure : An Analysis of European Union Institutional Structures and Best Practice
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  • 2011 Multinational Banks and the Global Financial Crisis. Weathering the Perfect Storm?
    by Ralph de Haas & Iman van Lelyveld
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  • 2011 Risk Sharing through Capital Gains
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  • 2011 Financial Flows, Financial Crises, and Global Imbalances
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  • 2011 What Hinders Investment in the Aftermath of Financial Crises: Insolvent Firms or Illiquid Banks?
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  • 2011 Financial Protectionism: the First Tests
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  • 2011 The Euro and Corporate Financing
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  • 2011 Trade Credit and International Return Comovement
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  • 2011 Why Do Emerging Economies Borrow Short Term?
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  • 2011 Studies On Financial Markets In East Asia
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  • 2011 Changes in Stock Markets Interdependencies as a Result of the Global Financial Crisis: Empirical Investigation on the CEE Region
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    by Dorota Zuchowska
  • 2011 Exchange Rate Policy And Inflation In The Process Of Currency Integration In Slovenia, Slovakia And Estonia With The Eurozone
    by Dorota Zuchowska
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  • 2011 Portfolio Investments In The Selected European Transition Economies
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  • 2011 Effects Of Fdi In The European Transition Economies
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  • 2011 Foreign direct investment inflows and macroeconomic risks in Ukraine
    by Iuliia Tkachenko
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    by Cace, Corina & Cace, Sorin & Nicolaescu, Victor
  • 2011 Perceptions of Corporate Customers Towards Islamic Banking Products and Services in Pakistan
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  • 2011 Movilidad del capital, tasa de interes, tipo de cambio real y crecimiento economico
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    by Mihaela GÖNDÖR
  • 2011 A Common Corporate Tax Base In Order To Improve The European Smes Business Environment
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  • 2011 Emphasizing the Role of Financial Audit by World Financial Crisis
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    by Giurgiu Adriana
  • 2011 The Financing Of The Administrative - Territorial Units In The West Development Region Through The Regional Operational Programme 2007 - 2013
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  • 2011 New Open Economy Macroeconomics: Evidence from an Empirical Test on South Asian Economic Data
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    by Pietro ALESSANDRINI & Michele FRATIANNI & Pier Franco GIORGI & Francesco MARCHIONNE & Pietro MARCOLINI & Luca PAPI
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  • 2011 International Liquidity: The Fiscal Dimension
    by Keynote Speech by Maurice Obstfeld
  • 2011 Financial Constraints and Exports: An Analysis of Portuguese Firms During the European Monetary Integration
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  • 2011 Economic and Financial Integration of CEECs: The Impact of Financial Instability
    by Claudiu T. Albulescu
  • 2011 Identifying shocks in regionally integrated East Asian economies with structural VAR and block exogeneity
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  • 2011 Testing the international linkage in the platinum-group metal futures markets
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  • 2011 A network perspective on international banking integration
    by Arribas, Iván & Pérez, Francisco & Tortosa-Ausina, Emili
  • 2011 Current account imbalances and financial integration in the euro area
    by Schmitz, Birgit & von Hagen, Jürgen
  • 2011 Capital market imperfections and the theory of optimum currency areas
    by Agénor, Pierre-Richard & Aizenman, Joshua
  • 2011 Interest rate sensitivity of the European stock markets before and after the euro introduction
    by Korkeamäki, Timo
  • 2011 Financial development, technology, growth and performance: Evidence from the accession to the EU
    by Zagorchev, Andrey & Vasconcellos, Geraldo & Bae, Youngsoo
  • 2011 Stock market interdependence, contagion, and the U.S. financial crisis: The case of emerging and frontier markets
    by Samarakoon, Lalith P.
  • 2011 The effect of financial liberalization on stock-return volatility in GCC markets
    by Bley, Jorg & Saad, Mohsen
  • 2011 Financial integration and currency risk premium in CEECs: Evidence from the ICAPM
    by Boubakri, Salem & Guillaumin, Cyriac
  • 2011 Regional financial integration in the GCC
    by Espinoza, Raphael & Prasad, Ananthakrishnan & Williams, Oral
  • 2011 Determinants of European stock market integration
    by Büttner, David & Hayo, Bernd
  • 2011 Crises, portfolio flows, and foreign direct investment: An application to Turkey
    by Uctum, Merih & Uctum, Remzi
  • 2011 How globally contagious was the recent US real estate market crisis? Evidence based on a new contagion test
    by Hatemi-J, Abdulnasser & Roca, Eduardo
  • 2011 How strong is the global integration of emerging market regions? An empirical assessment
    by Guesmi, Khaled & Nguyen, Duc Khuong
  • 2011 Real interest parity: A note on Asian countries using panel stationarity tests
    by Holmes, Mark J. & Otero, Jesús & Panagiotidis, Theodore
  • 2011 Dynamics of Remittances towards Romania after EU Adhesion
    by Monica SUSANU
  • 2011 State aid in the European Union competition policy in the context of the financial crisis
    by Krzysztof Rutkiewicz
  • 2011 Social responsibility of the colombian SMES before the globalization
    by IVARTH PALACIO SALAZAR
  • 2011 The transfer effect: A comparative perspective between the European monetary union regime and fixed and floating regimes
    by Meriem Bouchoucha
  • 2011 Die Neuordnung der Europäischen Aufsichtsstruktur
    by Markus Ferber
  • 2011 Partage du risque interrégional. Une étude des canaux budgétaires et financiers aux États-Unis et en Europe
    by Mickaël Clévenot & Vincent Duwicquet
  • 2011 L'impact des fondamentaux macroéconomiques sur les spreads souverains de la zone euro est-il influencé par les réformes financières ?
    by Olivier Damette & Gilles Dufrénot & Philippe Frouté
  • 2011 Fiscal and monetary policy in the aftermath of the financial crisis. Summary of the BDF/EABCN/EJ/PSE conference on 8-9 December 2011
    by M. Bussière. & P. Towbin.
  • 2011 Households’ savings and portfolio choices: micro and macroeconomic approaches
    by L. Arrondel. & V. Borgy. & F. Savignac.
  • 2011 The relationship between capital flows and financial development:a review of the literature
    by J. Ramos-Tallada.
  • 2011 La crise fi nancière : quels enseignements pour la macroéconomie internationale ? Synthèse de la conférence AEJ Macro/BDF/CEPR/ECARES/PSE des 28 et 29 octobre 2011
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  • 2011 Liens entre les flux de capitaux et le développement financier : une revue de la littérature
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  • 2011 La détention par les non-résidents des actions des sociétés françaises du CAC 40 à fin 2010
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  • 2011 Épargne et choix de portefeuille des ménages : approches micro et macroéconomiques
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  • 2011 Financial Reforms and Financial Instability
    by Pablo Gluzmann & Martín Guzman
  • 2011 Emergence and Development of the Government Debt Crisis in the European Monetary Union
    by Yordanka Stateva
  • 2011 The Management of the Costs of Crisis Management Eurozone, EU 2020 and the Future of European Integration
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  • 2011 Basel Iii Regulations On Strengthening The Banking System Capitalization
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  • 2011 An Empirical Analysis On The Integration Of The Stock Exchanges Of The Ise With Those Of European Union Mediterranean Countries
    by Mustafa Ibicioglu & Ayhan Kapusuzoglu
  • 2011 Banking Efficiency And European Integration. Implications Of The Banking Reform In Romania
    by Jose L. Gallizo & Jordi Moreno & Ioana Iuliana Pop (Grigorescu)
  • 2011 The AKP story: Turkey’s bumpy reform path towards the European Union
    by Deniz Bingol Mcdonald
  • 2011 Price Convergence in the EU in General and in the Central, Eastern and Southern European EU Member States in Particular
    by Miklós Losoncz
  • 2011 The 2011 governance reform of the Eurozone: Two well-known problems of the centrally planned economies (An Essay)
    by P. Mihályi
  • 2011 The Part Of Brics Countries In International Trade Exchanges
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  • 2011 RMB Devaluation and Asean5 Countries’ Exports to the US: Complementary or Substitute?
    by Tri WIDODO & Diyah PUTRIANI
  • 2011 The Effect Of Exchange Rate Arrangements On Transmission Of Interest Rates And Monetary Policy Independence: Evidence From A Group Of New Eu Member Countries "
    by Bogdan Căpraru & Iulian Ihnatov
  • 2011 European Integration at the Crossroads: A Review Essay on the 50th Anniversary of Bela Balassa's Theory of Economic Integration
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  • 2011(XXI) EU Structural Funds Absorption in Romania: Obstacles and Issues
    by GHEORGHE ZAMAN & Anca CRISTEA
  • 2010 Exchange Rate Uncertainty and Export Decisions in the UK
    by Greenaway, David & Kneller, Richard
  • 2010 Collective Pegging to an External Currency: Lessons from a Three-Country Model
    by Bangaké, Chrysost & Desquilbet, Jean-Baptiste
  • 2010 Assessing Financial Integration in the European Union Equity Markets: Panel Unit Root and Multivariate Cointegration and Causality Evidence
    by C. Worthington, Andrew & Higgs, Helen
  • 2010 Did the Austrian Financial Market Become more Integrated with the German Market after EU Accession? - Il mercato finanziario austriaco si è integrato maggiormente con quello tedesco dopo l’adesione all’Unione europea?
    by Hatemi-J, Abdulnasser
  • 2010 Studiul relaţiei dintre pieţele de acţiuni din Europa Centrală şi de Est în contextul crizei financiare actuale
    by Ungureanu Elena-Adela
  • 2010 Foreign Banks in Sub-Saharan Africa - Do North-South and South-South Banks Induce Different Effects on Domestic Banks?
    by Pohl, Birte
  • 2010 Foreign banks and financial stability in emerging markets: Evidence from the global financial crisis
    by Vogel, Ursula & Winkler, Adalbert
  • 2010 The determinants of cross-border bank flows to emerging markets: New empirical evidence on the spread of financial crises
    by Herrmann, Sabine & Mihaljek, Dubravko
  • 2010 The discontinuous integration of Western Europe's heterogeneous market for corporate control from 1995 to 2007
    by Frey, Rainer
  • 2010 What can EMU countries' sovereign bond spreads tell us about market perceptions of default probabilities during the recent financial crisis?
    by Dötz, Niko & Fischer, Christoph
  • 2010 Financial Development, Financial Openness and Trade Openness: New evidence
    by Pham Thi Hong Hanh
  • 2010 How to Measure Globalisation? A New Globalisation Index (NGI)
    by Petra Vujakovic
  • 2010 EU Enlargement and Monetary Regimes from the Insurance Model Perspectives
    by Nikolay Nenovsky
  • 2010 Foreign News and Spillovers in Emerging European Stock Markets
    by Evzen Kocenda & Jan Hanousek
  • 2010 Intra-day anomalies in the relationship between U.S. futures and European stock indexes
    by Alessandro Innocenti & Pier Malpenga & Lorenzo Menconi & Alessandro Santoni
  • 2010 Rethinking the effects of financial liberalization
    by Fernando Broner & Jaume Ventura
  • 2010 Stochastic Convergence in the Euro Area
    by Giorgio Canarella & Stephen M. Miller & Stephen K. Pollard
  • 2010 The Great Recession: US dynamics and spillovers to the world economy
    by Fabio C. Bagliano & Claudio Morana
  • 2010 The effects of US economic and financial crises on euro area convergence
    by Fabio C. Bagliano & Claudio Morana
  • 2010 The Global Financial Crisis and its Impact on Emerging Market Economies in Europe and the CIS: Evidence from mid-2010
    by Marek Dabrowski
  • 2010 Transition, Integration And Convergence - The Case Of Romania -
    by Iancu, Aurel
  • 2010 Does Financial and Goods Market Integration Matter for the External Balance? A Comparison of OECD Countries and Canadian Provinces
    by Smith, Constance
  • 2010 Regionalism Cycle in Asia (-Pacific): A Game Theory Approach to the Rise and Fall of Asian Regional Institutions
    by Hamanaka, Shintaro
  • 2010 The Chiang Mai Initiative Multilateralization: Origin, Development and Outlook
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  • 2010 The Financial Crisis, Rethinking of the Global Financial Architecture, and the Trilemma
    by Aizenman, Joshua & Chinn, Menzie & Ito, Hiro
  • 2010 Regional Monitoring of Capital Flows and Coordination of Financial Regulation: Stakes and Options for Asia
    by Plummer, Michael
  • 2010 The Financial Crisis: A Wake-Up Call for Strengthening Regional Monitoring of Financial Markets and Regional Coordination of Financial Sector Policies?
    by Winkler, Adalbert
  • 2010 The Role of State Intervention in the Financial Sector: Crisis Prevention, Containment, and Resolution
    by Cho, Yoon Je
  • 2010 International Reserves and Swap Lines in Times of Financial Distress: Overview and Interpretations
    by Aizenman, Joshua
  • 2010 Do international remittances cause Dutch disease?
    by Beja, Edsel Jr.
  • 2010 On the choice of an anchor for the GCC currency: does the symmetry of shocks extend to both the oil and the non-oil sectors
    by Jean Louis, Rosmy & Balli, Faruk & Osman, Mohamed
  • 2010 Shaky emerging economies in view of the global financial crisis: the Turkish economy after three decades of liberal reforms
    by Ulgen, Faruk
  • 2010 The European Union, southern multinationals and the question of the 'strategic industries'
    by Clifton, Judith & Díaz-Fuentes, Daniel
  • 2010 Is the European Union ready for foreign direct investment from emerging markets?
    by Clifton, Judith & Díaz-Fuentes, Daniel
  • 2010 Dinamica integrarii pietelor europene de obligatiuni
    by Avadanei, Andreea
  • 2010 FDI, local Financial Markets, Employment and poverty alleviation
    by Abdelaal Mahmoud, Ashraf
  • 2010 The Role of Institutions, Culture, and Wellbeing in Explaining Bilateral Remittance Flows: Evidence Both Cross-Country and Individual-Level Analysis
    by Balli, Faruk & Guven, Cahit & Balli, Hatice O. & Gounder, Rukmani
  • 2010 Capital mobility and macroeconomic volatility: evidence from Greece
    by Anastasios, Pappas
  • 2010 Economic Factors Contributing to Time-Varying Conditional Correlations in Stock Returns
    by Nagayasu, Jun
  • 2010 Domestic Capital Mobility: A Panel Data Approach
    by Nagayasu, Jun
  • 2010 How related are interbank and lending interest rates? Evidence on selected EU countries
    by Heryan, Tomas & Stavarek, Daniel
  • 2010 European Union emission trading scheme (ETS). An analysis of its impact for Romanian economy ant its effectiveness
    by Drumea, Cristina
  • 2010 Determinants of the exchange market pressure in the euro-candidate countries
    by Stavarek, Daniel
  • 2010 The Optimal Path of the Chinese Renminbi
    by Dupuy, Philippe & Carlotti, Jean-Etienne
  • 2010 Financial integration in the four Basins: a quantitative comparison
    by alessandrini, sergio
  • 2010 Financial Market Integration of South Asian Countries: Panel data Analysis
    by Mohsin, H & Rivers, P
  • 2010 Markets of loans provided to household and their integration measured by price indicators
    by Pavla, Vodová
  • 2010 Management of International Capital Flows: The Indian Experience
    by Sen Gupta, Abhijit
  • 2010 FDI, local Financial Markets, employment and poverty alleviation
    by Abdel Aal Mahmoud, Ashraf
  • 2010 From Home Bias to Euro Bias: Disentangling the Effects of Monetary Union on the European Financial Markets
    by Balli, Faruk & Basher, Syed Abul & Ozer-Balli, Hatice
  • 2010 Indian Capital Control Liberalization: Evidence from NDF Markets
    by Hutchison, Michael & Kendall, Jake & Pasricha, Gurnain & Singh, Nirvikar
  • 2010 Choosing the Currency Structure of Foreign-currency Debt: a Review of Policy Approaches
    by Melecky, Martin
  • 2010 Sovereign Credit Ratings, Transparency and International Portfolio Flows
    by Gande, Amar & Parsley, David
  • 2010 No decoupling, more interdependence: business cycle comovements between advanced and emerging economies
    by Wälti, Sébastien
  • 2010 International Financial Integration and the External Positions of Euro Area Countries
    by Philip R. Lane
  • 2010 Resolving and Avoiding Unsustainable Imbalances in the Euro Area
    by Sebastian Barnes
  • 2010 Monetary policy implementation and uncovered interest parity: empirical evidence from Oceania
    by Alfred Guender & Bevan Cook
  • 2010 Understanding the ADR premium under market segmentation
    by Stigler, Mathieu & Shah, Ajay & Patnaik, Ila
  • 2010 Rethinking the Effects of Financial Liberalization
    by Fernando A. Broner & Jaume Ventura
  • 2010 International Macro-Finance
    by Anna Pavlova & Roberto Rigobon
  • 2010 Unexploited Gains from International Diversification: Patterns of Portfolio Holdings Around the World
    by Tatiana Didier & Roberto Rigobon & Sergio L. Schmukler
  • 2010 What Hinders Investment in the Aftermath of Financial Crises: Insolvent Firms or Illiquid Banks?
    by Sebnem Kalemli-Ozcan & Herman Kamil & Carolina Villegas-Sanchez
  • 2010 All Banks Great, Small, and Global: Loan pricing and foreign competition
    by Beatriz de Blas & Katheryn Niles Russ
  • 2010 Global Banks and International Shock Transmission: Evidence from the Crisis
    by Nicola Cetorelli & Linda S. Goldberg
  • 2010 Deep Financial Integration and Volatility
    by Sebnem Kalemli-Ozcan & Bent Sørensen & Vadym Volosovych
  • 2010 Surfing the Waves of Globalization: Asia and Financial Globalization in the Context of the Trilemma
    by Joshua Aizenman & Menzie D. Chinn & Hiro Ito
  • 2010 On the ease of overstating the fiscal stimulus in the US, 2008-9
    by Joshua Aizenman & Gurnain Kaur Pasricha
  • 2010 Central Bank Dollar Swap Lines and Overseas Dollar Funding Costs
    by Linda S. Goldberg & Craig Kennedy & Jason Miu
  • 2010 Risk and Global Economic Architecture: Why Full Financial Integration May Be Undesirable
    by Joseph E. Stiglitz
  • 2010 Management of International Capital Flows: The Indian Experience
    by Abhijit Sen Gupta
  • 2010 Financial integration and financial development in transition economies : what happens during financial crises ?
    by Arjana Brezigar-Masten & Fabrizio Coricelli & Igor Masten
  • 2010 Multiple Regime Shifts: The Influence of ASEAN Politics on Financial Integration within South-East Asia
    by David Treisman
  • 2010 The Case for Reforming Euro Area Entry Criteria
    by Zsolt Darvas
  • 2010 Linkages between Excess Currency and Stock Market Returns:Granger Causality in Mean and Variance
    by Eirini Syngelaki
  • 2010 A Reappraisal of the Allocation Puzzle through the Portfolio Approach
    by Benhima Kenza
  • 2010 Financial Development, Technological Change in Emerging Countries and Global Imbalances
    by Benhima Kenza
  • 2010 Is this time different for Asia?: Evidence from stock Markets
    by Yushi Yoshida
  • 2010 Deep Financial Integration and Volatility
    by Sebnem Kalemli-Ozcan & Bent E. Sørensen & Vadym Volosovych
  • 2010 Financial Regulation, Integration and Synchronization of Economic Activity
    by Sebnem Kalemli-Ozcan & Elias Papaioannou & José Luis Peydró
  • 2010 Contagion Between European and US Banks: Evidence from Equity Prices
    by Daniel Fricke
  • 2010 Banks, Financial Markets and International Consumption Risk Sharing
    by Markus Leibrecht & Johann Scharler
  • 2010 Financial Sector Regulation and Reforms in Emerging Markets: An Overview
    by Prasad, Eswar
  • 2010 Financial Sector Regulation and Reforms in Emerging Markets: An Overview
    by Prasad, Eswar
  • 2010 Financial Integration in European Countries: Some Panel Evidence
    by Cândida Ferreira
  • 2010 The Future of financial liberalization in South Asia
    by Ashima Goyal
  • 2010 International Risk Sharing and the Irish Economy
    by Agustin Benetrix
  • 2010 International Asset Holdings and the Euro
    by Pels
  • 2010 Reform of the Global Financial Architecture
    by Garry J. Schinasi & Edwin M. Truman
  • 2010 How Strong is the Case for Dollarization in Central America? An Empirical Analysis of Business Cycles, Credit Market Imperfections and the Exchange Rate
    by Nannette Lindenberg & Frank Westermann
  • 2010 Integración financiera en Centro América: Nuevos desafíos en el contexto de la crisis internacional
    by Arturo Galindo & Alejandro Izquierdo & Liliana Rojas-Suarez
  • 2010 Financial Integration and Foreign Banks in Latin America: How Do They Impact the Transmission of External Financial Shocks?
    by Arturo Galindo & Alejandro Izquierdo & Liliana Rojas-Suarez
  • 2010 The Great Recession: US dynamics and spillovers to the world economy
    by Fabio C. Bagliano & Claudio Morana
  • 2010 20 Jahre Währungsunion: Nach der Krise ist vor der Krise
    by Martin Klein & Diemo Dietrich
  • 2010 "Red Star Spangled Banner" Scrutinizing the Root Causes of Financial Crisis
    by Christian Fahrholz & Andreas Kern
  • 2010 Decline in the Persistence of Real Exchange Rates : But Not Sufficient for Purchasing Power Parity
    by OKIMOTO, Tatsuyoshi & SHIMOTSU, Katsumi
  • 2010 Financial Markets in East Asia and Europe during the Global Financial Crisis
    by Johansson, Anders C.
  • 2010 The Case for Reforming Euro Area Entry Criteria
    by Zsolt Darvas
  • 2010 French savings communities exposed to Russian risks on assets in the 1900s-1920s. A few issues about the actual risks on financial pledges (In French)
    by Hubert BONIN (GREThA UMR CNRS 5113 - Institut de Sciences Politique de Bordeaux)
  • 2010 Accession to the European Union, Interest Rates and Indebtedness: Greece and Portugal
    by Pedro Bação & António Portugal Duarte
  • 2010 Does the euro dominate Central and Eastern European money markets?
    by Mario Cerrato & Alexander Kadow & Ronald MacDonald
  • 2010 Interest Rate Co-movements, Global Factors and the Long End of the Term Spread
    by Joseph P. Byrne & Giorgio Fazio & Norbert Fiess
  • 2010 The Evolution of International Consumption Risk Sharing Over Time And Frequency
    by Cameron McLoughlin
  • 2010 Changes in the Second-Moment Properties of Disaggregated Capital Flows
    by Silvio Contessi & Pierangelo De Pace & Johanna Francis
  • 2010 Sovereign Wealth Funds: Form and Function in the 21st Century
    by Gordon L. Clark & Ashby H. B. Monk
  • 2010 Country size, Growth and Volatility
    by Olfa Alouini & Paul Hubert
  • 2010 Relationship between Czech and European developed stock markets: DCC MVGARCH analysis
    by Michael Princ
  • 2010 Are Small Countries Able to Set their Own Interest Rates? Assessing the Implications of the Macroeconomic Trilemma
    by Helmut Herwartz & Jan Roestel
  • 2010 Bank Bail-Outs, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr
  • 2010 Alternatives to Fiscal Austerity in Spain
    by Mark Weisbrot & Juan Antonio Montecino
  • 2010 Identifying Shocks in Regionally Integrated East Asian Economies with Structural VAR and Block Exogeneity
    by Sato, K. & Zhang, Z. & McAleer, M.J.
  • 2010 Financial Contagion and the Real Economy
    by Dirk G. Baur
  • 2010 Are the Gains from Foreign Diversification Diminishing? Assessing teh Impact with Cross-Listed Stocks
    by Chua, Choong Tze & Lai, Sandy & Lewis, Karen K.
  • 2010 In the wake of the crisis: dealing with distressed debt across the transition region
    by Ralph De Haas & Stephan Knobloch
  • 2010 The Financial Crisis, Rethinking of the Global Financial Architecture, and the Trilemma
    by Joshua Aizenman & Menzie D. Chinna & Hiro Ito
  • 2010 The Chiang Mai Initiative Multilateralization : Origin, Development and Outlook
    by Chalongphob Sussangkarn
  • 2010 East Asian Financial and Monetary Cooperation and Its Prospect : Beyond the CMI
    by Young-Joon Park & Yonghyup Oh
  • 2010 The Role of State Intervention in the Financial Sector : Crisis Prevention, Containment, and Resolution
    by Yoon Je Cho
  • 2010 International Reserves and Swap Lines in Times of Financial Distress : Overview and Interpretations
    by Joshua Aizenman
  • 2010 The Future of Financial Liberalization in South Asia
    by Ashima Goyal
  • 2010 The Financial Crisis : A Wake-Up Call for Strengthening Regional Monitoring of Financial Markets and Regional Coordination of Financial Sector Policies?
    by Adalbert Winkler
  • 2010 Regional Monitoring of Capital Flows and Coordination of Financial Regulation : Stakes and Options for Asia
    by Michael G. Plummer
  • 2010 The Future of Financial Liberalization in South Asia
    by Ashima Goyal
  • 2010 Understanding the ADR premium under market segmentation
    by Matthieu Stigler & Ajay Shah & Ila Patnaik
  • 2010 Mandatory IFRS Reporting and Stock Price Informativeness
    by Beuselinck, C.A.C. & Joos, P.P.M. & Khurana, I.K. & Meulen, S. van der
  • 2010 Has the Euro Affected the Choice of Invoicing Currency?
    by Ligthart, J.E. & Werner, S.E.V.
  • 2010 L’information boursière comme bien public. Enjeux et perspectives de la révision de la directive européenne « Marchés d’instruments financiers »
    by Hautcoeur, Pierre-Cyrille & Lagneau-Ymonet, Paul & Riva, Angelo
  • 2010 The origins of the Bilbao Stock Exchange, 1891-1936
    by Stefan Houpt & Juan Carlos Rojo Cagigal
  • 2010 Nonlinearity and Inflation Rate Differential Persistence: Evidence from the Eurozone
    by Nikolaos Giannellis
  • 2010 The effects of US economic and financial crises on euro area convergence
    by Fabio Bagliano & Claudio Morana
  • 2010 The Great Recession: US dynamics and spillovers to the world economy
    by Fabio Bagliano & Claudio Morana
  • 2010 Rethinking the Effects of Financial Liberalization
    by Broner, Fernando A & Ventura, Jaume
  • 2010 Financial Integration and Growth - Is Emerging Europe Different?
    by Friedrich, Christian & Schnabel, Isabel & Zettelmeyer, Jeromin
  • 2010 U.S. Monetary Shocks and Global Stock Prices
    by Laeven, Luc & Tong, Hui
  • 2010 Why the current account may matter in a monetary union: Lessons from the financial crisis in the Euro area
    by Giavazzi, Francesco & Spaventa, Luigi
  • 2010 The First Global Recession in Decades
    by Imbs, Jean
  • 2010 Sovereign Default, Domestic Banks and Financial Institutions
    by Gennaioli, Nicola & Martin, Alberto & Rossi, Stefano
  • 2010 Deep Financial Integration and Volatility
    by Kalemli-Ozcan, Sebnem & Sorensen, Bent E & Volosovych, Vadym
  • 2010 EMU, EU, capital market integration and consumption smoothing
    by Christev, Atanas & Mélitz, Jacques
  • 2010 The vulnerability of sub-Saharan Africa to the financial crisis: the case of trade
    by Berman, Nicolas & Martin, Philippe
  • 2010 Global Imbalances: In Midstream?
    by Blanchard, Olivier J & Milesi-Ferretti, Gian Maria
  • 2010 Export Performance and Credit Constraints in China
    by Joachim Jarreau & Sandra Poncet
  • 2010 Gold and Financial Assets: Are There Any Safe Havens in Bear Markets?
    by Virginie Coudert & Hélène Raymond
  • 2010 Financial Integration and Foreign Banks in Latin America: Do They Amplify External Financial Shocks?
    by Arturo J. Galindo, Alejandro Izquierdo, and Liliana Rojas-Suarez
  • 2010 Inter-temporal Savings, Current Account Dynamics and Asymmetric Shocks in a Heterogeneous European Monetary Union
    by Gunther Schnabl & Holger Zemanek
  • 2010 Has the Euro Affected the Choice of Invoicing Currency?
    by Jenny Ligthart & Sebastian E. V. Werner
  • 2010 Banking and Debt Crisis in Europe: The Dangerous Liaisons?
    by Bertrand Candelon & Franz Palm
  • 2010 Stock Market Integration between three CEECs, Russia and the UK
    by Guglielmo Maria Caporale & Nicola Spagnolo
  • 2010 Monetary policy implementation and uncovered interest parity: empirical evidence from Oceania
    by Alfred Guender & Bevan Cook
  • 2010 Identifying Shocks in Regionally Integrated East Asian Economies with Structural VAR and Block Exogeneity
    by Kiyotaka Sato & Zhaoyong Zhang & Michael McAleer
  • 2010 Bank Bailouts, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr
  • 2010 European sovereign bond spreads: monetary unification, market conditions and financial integration
    by Dimitris A. Georgoutsos & Petros Migiakis
  • 2010 Rethinking the Effects of Financial Liberalization
    by Fernando Broner & Jaume Ventura
  • 2010 Bubbles and Capital Flows
    by Jaume Ventura
  • 2010 An Assessment of Competition in the Argentine Banking Sector: Empirical Evidence with Data at Bank Level
    by Gustavo Hector González Padilla
  • 2010 The Propagation of U.S. Shocks to Canada: Understanding the Role of Real-Financial Linkages
    by Kimberly Beaton & René Lalonde & Stephen Snudden
  • 2010 Cost of Borrowing, Institutional Quality, and Capital Openness
    by Gabriel Martinez
  • 2010 Financial integration, monetary policy and stock prices: Empirical evidence for the new EU member states
    by PIROVANO, Mara
  • 2010 Do multinational banks create or destroy economic value?
    by Mohamed Azzim Gulamhussen & Carlos Pinheiro & Alberto Franco Pozzolo
  • 2010 Financial Globalization and Economic Policies
    by Kose, M. Ayhan & Prasad, Eswar & Rogoff, Kenneth & Wei, Shang-Jin
  • 2010 Financijska inkluzija i regionalni razvitak
    by Branko Matic & Davor Medaric & Maja Vretenar & Maja Lamza Maroniæ & Jerko Glavas & Jasna Kolar & Hrvoje Serdarusic
  • 2010 Contagion and Spillovers: New Insights from the Crisis
    by Peter Backé & Martin Feldkircher & Ernest Gnan & Mathias Lahnsteiner & Ewald Nowotny & Jürgen Kröger & Stefan Kuhnert & Mary McCarthy & Sebastián Nieto-Parra & Javier Santiso & Stéphane Dees & Filippo di Mauro & Catherine Keppel & Julia Wörz & Már Gudmundsson & Thorsteinn Thorgeirsson & Eugenio Cerutti & Anna Ilyina & Yulia Makarova & Christian Schmieder & Ove Sten Jensen & Claus Johansen & Sonsoles Gallego & Sándor Gardó & Reiner Martin & Luis Molina & José Maria Serena & Violetta Klyviene & Lars Tranberg Rasmussen & Dimitry Sologoub
  • 2010 The Quest for Stability: the Financial Stability View
    by Henk J. Brouwer & Dirk Schoenmaker & Jukka Vesala & Nicola Brink & Michael Kock
  • 2010 Crisis Management at Cross-Roads
    by Rym Ayadi & Morten Balling & Jaime Caruana & Johan Evenepoel & Ingimundur Fridriksson & Rosa Maria Lastra & Frank Lierman & Gregory Nguyen & Francesco Papadia & Peter Praet & Guy Quaden & Paul Tucker & Freddy van den Spiegel
  • 2010 The Link between International Supervision and Banking Crises
    by Houssem Rachdi
  • 2010 Analysis Of The Long-Term Interest Rate In The New Member States During The Process Of Adopting The Euro
    by Ailinca, Alina
  • 2010 Risks and Potential Benefits of Enlarging the Euro Zone
    by Criste, Adina
  • 2010 The Global Economic Downturn And African Economy €“ Recent Trends And Future Prospects
    by Ravinder RENA
  • 2010 A Predictive Model for Financial Crises: An Exploratory Public Policy Tool
    by Yap Kok Wei & Yap Su Fei
  • 2010 Regulations of Electricity Sector and Stranded Costs: Case of Turkey
    by Ilhan Ege
  • 2010 Stock Market Integration In The Emerging Markets: Some Empirical Evidence
    by Kadir KARAGOZ & Ebrahim REZAEI & ?lhan EGE
  • 2010 Discussion: The Swiss Franc Exchange Rate and Deviations from Uncovered Interest Parity: Global vs Domestic Factors
    by Kevin Ross & Tommaso Mancini Griffoli
  • 2010 The Swiss Franc Exchange Rate and Deviations from Uncovered Interest Parity: Global vs Domestic Factors
    by Mathias Hoffmann & Rahel Suter
  • 2010 Exchange Market Pressure and De Facto Exchange Rate Regime in the Euro-Candidates
    by Stavarek, Daniel
  • 2010 The Relation between State Aid and Economic Development in the European Union
    by Nicolae Băcilă
  • 2010 Effect of Intraday Information Flow on the Emerging European Stock Markets
    by Jan Hanousek & Evžen Kočenda
  • 2010 How Related are Interbank and Lending Interest Rates? Evidence on Selected European Union Countries
    by Tomáš HERYÁN & Daniel STAVÁREK
  • 2010 Implications Of Cross-Border Mergers And Acquisitions In The Polish Banking Sector In The Context Of The Global Financial Crisis
    by Zbigniew Korzeb
  • 2010 European Fisheries Fund – New Development Opportunities For Romania
    by Claudia Diana Sabău-Popa
  • 2010 Unemployment – The Unbalance Of The Labour Market In Jiu Valley
    by Daniela Florescu & Petre Brezeanu
  • 2010 European Post-Accession funds for SMEs: Challenges and Realities
    by Nancu Dumitru
  • 2010 The Financial Crisis and the Capital Market
    by Guni Claudia Nicoleta
  • 2010 Financial Integration of European Money Market: from EMU to the Global Crisis and Beyond
    by Avadanei Andreea & Avadanei Anamaria & Ghiba Nicolae
  • 2010 Controversies Regarding the Necessity of an Integrated Supervision for the EU-27 Financial Markets
    by SARGU Alina Camelia
  • 2010 The Impact of the European Integration Process on the New Member States Banking Sectors
    by ILUT Bogdan
  • 2010 Comparative Analysis of the Adoption of the Euro. Case Study: Slovenia and Slovakia
    by CROITORU Elena Lucia & PRICOPI Alexandra & PREDESCU Iuliana
  • 2010 The Banking Products and Services: the Globalisation Challenges
    by AVRAM Costin Daniel & AVRAM Veronel & AVRAM Marioara
  • 2010 The Concept and Definition of EU Tax in EU Law and the Compatibility with the Romanian Law
    by PAUN Ciprian Adrian & JULA Octavian
  • 2010 Euro - Challenges And Perspectives For Romania
    by Sandu Carmen
  • 2010 European Monetary Fund - Between Illusion And Future Instrument For European Financial Stability
    by Firtescu Bogdan
  • 2010 The Perspectives Of Euro Integration In Romania, In The Uncertainty Context Around The Foreign Markets
    by Ciobanu (Sireteanu) Elena
  • 2010 Current Trends In Tax Harmonization And Competition Within The European Union
    by Sabau - Popa Diana & Kulcsar-Pop Edina & Gherman Adela-Teodora
  • 2010 The Analysis Of Absorption Capacity Of European Funding In The North Western Region Of Romania
    by Droj Laurentiu
  • 2010 Financial Indicators For The Implementation Of An European Funded Investment Project Under Sop Iec Programme €“ Case Study Of A Romanian Sme
    by Droj Laurentiu
  • 2010 Macrofinancial Stability in Croatia in the Wake of the Global Crisis: Risks and Policy Responses
    by Sándor Gardó
  • 2010 The Threat of Capital Drain: A Rationale for Regional Public Banks?
    by Hendrik Hakenes & Isabel Schnabel
  • 2010 A tőkefedezeti rendszer alapkérdéseinek új megközelítése
    by Mosolygó, Zsuzsa
  • 2010 Does ADR Listing Affect the Dynamics of Volatility in Emerging Markets?
    by Mehmet Umutlu & Aslihan Altay-Salih
  • 2010 Co-Integration between Mortgage Markets in the Monetary Union: 1995–2008
    by Carmen López Andión & José Manuel Maside Sanfiz & Ma Celia López Penabad
  • 2010 Volatility Regimes in Central and Eastern European Countries’ Exchange Rates
    by Michael Frömmel
  • 2010 Flujos de capital externo y crecimiento económico múltiple
    by Enrique R. Casares.
  • 2010 Credit expansion and development – A Schumpeterian and Keynesian view of the Chinese miracle
    by Hansjörg Herr
  • 2010 Internationale Risikoteilung und finanzielle Integration in der Europäischen Währungsunion
    by Axel Jochem & Stefan Reitz
  • 2010 Financing the Commerce – Creating Capacities and Diversifying the Offer within the National Financial Field
    by Irina-Stefana CIBOTARIU
  • 2010 Eurozone Crisis: Debts, Institutions and Growth
    by Agnès Bénassy-Quéré & Laurence Boone
  • 2010 The architecture of global banking: from international to multinational?
    by Robert McCauley & Patrick McGuire & Goetz von Peter
  • 2010 Economic linkages, spillovers and the fi nancial crisis
    by Bussière, M.
  • 2010 Non-residents’ equity holdings in French CAC 40 companies at end-2009
    by Le Roux, J.
  • 2010 Valuation of unquoted foreign direct investment stocks at market value: methods and results for France
    by Nivat, D. & Topiol, A.
  • 2010 Les investissements directs français à l’étranger et étrangers en France en 2009
    by NIVAT, D. & TERRIEN, B.
  • 2010 Liens économiques, contagion, et la crise financière. Synthèse de la conférence BdF/PSE/FMI des 28 et 29 janvier 2010
    by BUSSIÈRE, M.
  • 2010 La détention par les non-résidents des actions des sociétés françaises du CAC 40 à fin 2009
    by LE ROUX, J.
  • 2010 Évaluation des stocks d’investissements directs dans des sociétés non cotées en valeur de marché : méthodes et résultats pour la France
    by NIVAT, D. & TOPIOL, A.
  • 2010 MEASURES TO SUPPORT SMEs IN THE EUROPEAN UNION
    by VALENTINA DIANA IGNATESCU
  • 2010 The Impact of the European Financial Integration Process and Other International Tendencies on the Romanian Stock Market
    by Alina Camelia Sargu
  • 2010 The Involvement Of The Banking Sector In Co-Financing European Funded Projects Proposed By Romanian Private Companies
    by Laurentiu Droj
  • 2010 The case for reforming euro area entry criteria
    by Zsolt Darvas
  • 2010 A Teoretical Approach On Erm Ii
    by Assoc. Prof. Roxana Maria Nanu Ph. D
  • 2010 The Impact Of European Union - South Africa Trade Development And Cooperation Agreement On Botswana, Lesotho, Namibia And Swaziland
    by Montseng TSOLO & Imogen Bonolo MOGOTSI & Gaotlhobogwe MOTLALENG
  • 2010 The Impact Of Eu Integration On The Risk-Return Trade-Off Of European Diversified Portfolios
    by Alexandra Horobet & Sorin Dumitrescu & Dan Gabriel Dumitrescu & Iulia Tintea
  • 2010 The Macroeconomic Costs and Benefits of the EMU and Other Monetary Unions: An Overview of Recent Research
    by Roel Beetsma & Massimo Giuliodori
  • 2010-2011 French outward and inward foreign direct investment in 2009 - New presentation
    by Nivat, D. & Terrien, B.
  • 2009 The performance of the European Stock Markets: a time-varying Sharpe ratio approach
    by José A. Soares da Fonseca
  • 2009 Global Crisis and the Integration of India’s Stock Market
    by Dhal, Sarat
  • 2009 A Single Currency for Pacific Island Countries: a Revisit
    by Jayaraman, T.K. & Choong, Chee-Keong
  • 2009 The Transition from the Leu to the Euro in the Context of the Global Financial Crisis
    by Dochia Aurelian
  • 2009 Extinderea zonei euro în pragul crizei financiare: perspective şi provocări
    by Szapáry György
  • 2009 An empirical estimation of Balassa-Samuelson Effect in case of Eastern European Countries
    by Păun Cristian
  • 2009 Provocările adoptării euro pentru statele non-membre ale Eurozonei
    by Dăianu Daniel
  • 2009 Credit market imperfections, financial market regulation and business cycles in Eastern Europe
    by Drechsel, Katja & Westermann, Frank
  • 2009 Sovereign wealth - no fund: The decisive role of domestic veto players
    by Reinsberg, Bernhard
  • 2009 Finanzierungsstrukturen und makroökonomische Stabilität in den Ländern Südosteuropas, der Türkei und in den GUS-Staaten
    by Winkler, Adalbert & Vogel, Ursula
  • 2009 How does European Integration affect the European Stock Markets?
    by Erdogan, Burcu
  • 2009 Price convergence in the EMU? Evidence from micro data
    by Fischer, Christoph
  • 2009 Convergence of EMU Equity Portfolios
    by Maela Giofre
  • 2009 Banks, Financial Markets and International Consumption Risk Sharing
    by Markus Leibrecht & Johann Scharler
  • 2009 Banking Market Liberalization and Bank Performance: the Role of Entry Modes
    by Ngoc-Anh Vo Thi
  • 2009 The Monetary Union: The Decade Ahead. The Case of Non-Member States
    by DANIEL DAIANU & LAURIAN LUNGU
  • 2009 Capital Market Regimes and Bank Structure in Europe
    by Ronald E. Shrieves & Drew Dahl & Michael F. Spivey
  • 2009 Sovereign default, domestic banks and financial institutions
    by Nicola Gennaioli & Alberto Martin & Stefano Rossi
  • 2009 Capital account liberalization, financial development and industry growth: a synthetic view
    by Eichengreen, Barry & Gullapalli, Rachita & Panizza, Ugo
  • 2009 The geography of asset trade and the euro: insiders and outsiders
    by Nicolas Coeurdacier & Philippe Martin
  • 2009 Do trade costs in goods market lead to home bias in equities?
    by Nicolas Coeurdacier
  • 2009 Inflation Targets in a Monetary Union with Endogenous Entry
    by Stéphane Auray & Aurélien Eyquem & Jean-Christophe Poutineau
  • 2009 Interest Rate Convergence in the Euro-Candidate Countries: Volatility Dynamics of Sovereign Bond Yields
    by Gabrisch, Hurbert & Orlowski, Lucjan
  • 2009 Exporting, Capital Investment and Financial Constraints
    by Vlad Manole & Mariana Spatareanu
  • 2009 Interest rate convergence in the EMS prior to European Monetary Union
    by M. FRÖMMEL & R. KRUSE
  • 2009 Institutional Convergence
    by Iancu, Aurel
  • 2009 Convergenta Institutionala si Integrarea in UE
    by Iancu, Aurel
  • 2009 Transnational corporations' activity - the premise of economic globalization and sustainable development
    by Murariu, Ioana Adriana
  • 2009 Developing Indicators for Regional Economic Integration and Cooperation
    by Capannelli, Giovanni & Lee, Jong-Wha & Petri, Peter
  • 2009 Emerging Asia: Decoupling or Recoupling
    by Kim, Soyoung & Lee, Jong-Wha & Park, Cyn-Young
  • 2009 Re-considering Asian Financial Regionalism in the 1990s
    by Hamanaka, Shintaro
  • 2009 Developing Asian Local Currency Bond Markets: Why and How?
    by Spiegel, Mark M.
  • 2009 Volatility in International Capital Movements
    by Chris Becker & Clare Noone
  • 2009 A model for assessing Romania's real convergence based on distances and clusters methods
    by Miron, Dumitru & Dima, Alina & Paun, Cristian
  • 2009 Outward Foreign Direct Investment from India
    by Saikia, Dilip
  • 2009 Macroeconomic Management, Financial Sector Development and Crisis Resilience: Some Stylized Facts from Central and Eastern Europe
    by Melecky, Martin
  • 2009 FDI Effects of ASEAN Integration
    by Cheong, David & Plummer, Michael
  • 2009 Measuring the integration of credit markets
    by Pavla, Vodová
  • 2009 What is the Shape of Real Exchange Rate Nonlinearity?
    by Norman, Stephen & Phillips, Kerk L.
  • 2009 Financial services in the euro-mediterranean partnership : banking
    by Brack, Estelle & Elsen, Robert & Pons, Jean-François
  • 2009 Can Financial Openness Help Avoid Currency Crises?
    by Garita, Gus & Zhou, Chen
  • 2009 Business cycle synchronicity, amplitude and the euro: one size does not yet fit all
    by Wälti, Sébastien
  • 2009 Система Индикаторов Евразийской Интеграции: Основные Выводы
    by Vinokurov, Evgeny & Libman, Alexander
  • 2009 The myth of decoupling
    by Wälti, Sébastien
  • 2009 How Does Financial Openness Affect Economic Growth and its Components?
    by Garita, Gus
  • 2009 The Patterns of cross-border portfolio investments in the GCC region: do institutional quality and the number of expatriates play a role?
    by Balli, Faruk & Louis, Rosmy J. & Osman, Muhammed
  • 2009 Risk-Factor Portfolios and Financial Stability
    by Garita, Gus
  • 2009 Financial sector de-regulation in Emerging Asia: Focus on foreign bank entry
    by Gopalan, Sasidaran & Rajan, Ramkishen. S
  • 2009 Tamaño y Riesgo en los Mercados Financieros
    by Estrada, Fernando
  • 2009 The benefits of utilisation computer system for monitoring the movements of excise (EMCS)
    by Vătuiu, Teodora & Ţarcă, Naiana & Popeangă, Vasile & Popeangă, Vasile Nicolae
  • 2009 The determinants of international financial integration revisited: the role of networks and geographic neutrality
    by Arribas, Iván & Pérez, Francisco & Tortosa-Ausina, Emili
  • 2009 A Time Series Approach to the Feldstein-Horioka Puzzle with Panel Data from the OECD Countries
    by Kumar, Saten & Rao, B. Bhaskara
  • 2009 Channels of risk-sharing among Canadian provinces: 1961–2006
    by Basher, Syed A. & Balli, Faruk & Louis, Rosmy
  • 2009 Openness and geographic neutrality: How do they contribute to international banking integration?
    by Pérez, Francisco & Arribas, Iván & Tortosa-Ausina, Emili
  • 2009 Choosing and assessing exchange rate regimes: A survey of the literature
    by Cruz Rodriguez, Alexis
  • 2009 Exchange Market Pressure in Central Europe: An Application of the Girton-Roper Model
    by Stavarek, Daniel & Dohnal, Marek
  • 2009 International Trade and Real Transmission Channels of Financial Shocks in Globalized Production Networks
    by Escaith, Hubert & Gonguet, Fabien
  • 2009 Systems GMM estimates of the Feldstein-Horioka puzzle for the OECD countries and tests for structural breaks
    by Rao, B. Bhaskara & Tamazian, Artur & Kumar, Saten
  • 2009 FULL Capital Account Convertibility:India's Readiness in the context of Financial Integration
    by Bhattacharya, Sulagna
  • 2009 Evaluating the Present State of Japan as An International Financial Center
    by Shirai, Sayuri
  • 2009 The Role of Information Asimmetries and Inflation Hedging in International Equity Portfolios
    by Giofré, Maela M.
  • 2009 Indian Capital Control Liberalization: Evidence from NDF Markets
    by Hutchison, Michael & Kendall, Jake & Pasricha, Gurnain Kaur & Singh, Nirvikar
  • 2009 The strategy adopted by Romania EURO
    by Duduiala-Popescu, Lorena
  • 2009 Institutional aspects of economic integration – economic integration and political integration
    by Duduiala-Popescu, Lorena
  • 2009 Internal Capital Markets and Lending by Multinational Bank Subsidiaries
    by De Haas, Ralph & van Lelyveld, Iman
  • 2009 Relation entre intégration financière et croissance: pourquoi est-elle ambiguë?
    by Ben Doudou, Makrem
  • 2009 Are Chinese Stock Investors Watching Tokyo? An Analysis of Intraday High-Frequency Data from Two Chinese Stock Markets and the Tokyo Stock
    by Kenjiro Hirayama & Yoshiro Tsutsui
  • 2009 Do the new EU member states form an Optimum Currency Area with the eurozone? Evidence from six Central and Eastern European Countries
    by Dimitrios Sideris
  • 2009 Do the new EU member states form an Optimum Currency Area with the eurozone? Evidence from six Central and Eastern European Countries
    by Dimitrios Sideris
  • 2009 Do the new EU member states form an Optimum Currency Area with the eurozone? Evidence from six Central and Eastern European Countries
    by Dimitrios Sideris
  • 2009 Foreign Currency Debt, Financial Crises and Economic Growth: A Long Run View
    by Michael D. Bordo & Christopher M. Meissner & David Stuckler
  • 2009 Hoarding International Reserves Versus a Pigovian Tax-Cum-Subsidy Scheme: Reflections on the Deleveraging Crisis of 2008-9, and a Cost Benefit Analysis
    by Joshua Aizenman
  • 2009 Financial Globalization, Financial Crises and Contagion
    by Enrique G. Mendoza & Vincenzo Quadrini
  • 2009 Are Hard Pegs Ever Credible in Emerging Markets? Evidence from the Classical Gold Standard
    by Kris James Mitchener & Marc D. Weidenmier
  • 2009 Adjustment of State Owned and Foreign-Funded Enterprises in China to Economic Reforms,1980s-2007: a logistic smooth transition regression (LSTR) approach
    by Joshua Aizenman & Nan Geng
  • 2009 Hedging Price Volatility Using Fast Transport
    by David L. Hummels & Georg Schaur
  • 2009 Transmission of the U.S. Subprime Crisis to Emerging Markets: Evidence on the Decoupling-Recoupling Hypothesis
    by Michael P. Dooley & Michael M. Hutchison
  • 2009 Global Savings and Global Investment: The Transmission of Identified Fiscal Shocks
    by James Feyrer & Jay C. Shambaugh
  • 2009 Financial Crisis and the Paradox of Under- and Over-Regulation
    by Joshua Aizenman
  • 2009 Patterns of International Capital Raisings
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  • 2007 Does Capital Account Openness Lower Inflation?
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  • 2007 Does Capital Account Openness Lower Inflation?
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    by M. Ayhan Kose & Eswar S. Prasad & Marco E. Terrones
  • 2006 How Do Trade and Financial Integration Affect the Relationship between Growth and Volatility?
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  • 2006 Managing Exchange Rate Volatility : A Comparative Counterfactual Analysis Of Singapore 1994 To 2003
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  • 2006 Stock Market Liberalisations in the South Asian Region
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  • 2006 Internal Capital Markets and Lending by Multinational Bank Subsidiaries
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  • 2006 The International Financial Integration of China and India
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  • 2006 Financial Globalization: A Reappraisal
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  • 2006 The Home Bias and Capital Income Flows between Countries and Regions
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  • 2006 Migrant Remittances, Human Capital Formation and Job Creation Externalities in Colombia
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  • 2006 Sovereign Risk and Secondary Markets
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    by Khalifa H. Ghali & Musaed Ben Eid
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    by Sylviane Guillaumont Jeanneney
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  • 2005 How Domestic is the Fama and French Three-Factor Model? An Application to the Euro Area
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    by Viv B. Hall
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  • 2005 The Dot-Com Bubble, the Bush Deficits, and the US Current Account
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  • 2005 Wealth Transfers, Contagion and Portfolio Constraints
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    by Olena Havrylchyk & Emilia Jurzyk
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    by Liliana Rojas-Suarez
  • 2005 Systemic Crises and Growth
    by Romain Ranciere & Aaron Tornell & Frank Westermann
  • 2005 The Dot-Com Bubble, the Busch Deficits and the US Current Account
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  • 2005 The mix of international banks'foreign claims: determinants and implications
    by Alicia García-Herrero & María Soledad Martínez-Pería
  • 2005 Banking integration in Europe
    by Daniel Pérez & Vicente Salas-Fumás & Jesús Saurina
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  • 2005 Monetary Integration and the Cost of Borrowing
    by Marta Gomez Puig
  • 2005 Liberalização Da Conta De Capitais E Crescimento Econômico: Evidências De Dados Em Painel Para A América Latina
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  • 2005 Monetary Integration And The Cost Of Borrowing
    by Marta Gómez-Puig
  • 2005 Financial Integration and the New EU Member Countries: Challenges and Dilemmas
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  • 2005 Growth and Volatility in an Era of Globalization
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  • 2005 Financial Liberalization and Consumption Volatility in Developing Countries
    by Andrei A. Levchenko
  • 2005 Nueva Evidencia Empírica sobre las Turbulencias Cambiarias de la Peseta Española. 1989-1998/New Evidence about Turbulences on the Spanish Peseta. 1989-1998s
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  • 2005 Strategien zur Identifizierung von Nettozahlern und Nettoempfängern in der EU
    by Franz-Ulrich Willeke
  • 2005 Tests of microeconomic foundations of a North American common currency area
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  • 2005 Return relationships among European equity sectors: A comparative analysis across selected sectors in small and large economies
    by Siv Taing & Andrew Worthington
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    by Alžbeta Ivaničková & Viera Vlčková
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    by Jozef Polakovič
  • 2005 Trendy slovenského poľnohospodárstva po vstupe do Európskej únie
    by Beáta Adamkovičová
  • 2005 Foreign banks in emerging market economies: changing players, changing issues
    by Dietrich Domanski
  • 2005 Trading Asian currencies
    by Corrinne Ho & Guonan Ma & Robert N McCauley
  • 2005 Financing Small and Medium-Sized Enterprises in Bulgaria from the European Union Pre-Accession Funds
    by Rayna Tzaneva
  • 2005 The Flying Geese Model and Africa's Economic Development: What are the Prospects that South Africa will Play a Leading Role?
    by Oludele A. Akinboade & Daniel Makina
  • 2004 Co-movements in EU banks’ fragility: a dynamic factor model approach
    by Andrea Brasili & Giuseppe Vulpes
  • 2004 The international diversification puzzle is not as bad as you think
    by Jonathan Heathcote & Fabrizio Perri
  • 2004 Financial Liberalisation and Capital Regulation in Open Economies
    by Alan Morrison & Lucy White
  • 2004 The Decline and Fall of the Scandinavian Currency Union 1914 – 1924: Events in the Aftermath of World War I
    by Talia, Krim
  • 2004 The Integration and Efficiency of the Scandinavian Foreign Exchange Market 1873-1914: A Quantitative Analysis
    by Talia, Krim
  • 2004 Scandinavian Monetary Integration During the 19th Century: A Study of the Establishment of the Scandinavian Currency Union,1865-1875
    by Talia, Krim
  • 2004 Trade Costs and Real Exchange Rate Volatility
    by Claudio Bravo-Ortega AND Julian di Giovanni
  • 2004 Nonlinear Price Adjustment and Transaction Costs Between Global Stock Markets
    by Jae-Young Kim & Woong Yong Park
  • 2004 Sequences in Financial Liberalization in the Emerging-Market Economies: Growth, Volatility or Both?
    by K. Das, Dilip
  • 2004 External and Domestic Growth Forces in the Performance of European Union Economies
    by Serletis, Apostolos & Afxentiou, Panos & Yavari, Kazem
  • 2004 Assessing the Impact of Enlargement on the Eurozone
    by Praussello, Franco
  • 2004 The Tobin Tax: A Mean-Variance Approach
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  • 2004 Globalización, crecimiento y crisis financieras. Lecciones de México y del mundo en desarrollo
    by Martínez, Lorenza & Tornell, Aarón & Westermann, Frank
  • 2004 Worker Remittances and Capital Flows to Developing Countries
    by Kuckulenz, Anja & Buch, Claudia M.
  • 2004 Exchange rate risk and convergence to the Euro
    by Orlowski, Lucjan T.
  • 2004 Money rules for the eurozone candidate countries
    by Orlowski, Lucjan T.
  • 2004 Financial Market Integration in a Wider European Union
    by Stirbu, Corneliu
  • 2004 A Currency Crisis in Europe? The Europe's common currency and the new accession countries
    by Krawczyk, Mariusz K.
  • 2004 Financial Liberalization and Business Cycles: The Experience of Countries in the Baltics and Central Eastern Europe
    by Vinhas de Souza, Lúcio
  • 2004 Consumption Smoothing Across States and Time: International Insurance vs. Foreign Loans
    by von Furstenberg, George M.
  • 2004 Economies of scale and technological development in securities depository and settlement systems
    by Heiko Schmiedel & Markku Malkamäki & Juha Tarkka
  • 2004 Economies of scale and technological development in securities depository and settlement systems
    by Heiko Schmiedel & Markku Malkamäki & Juha Tarkka
  • 2004 A Cost-Benefit Analysis of a Monetary Union for MERCOSUR with Particular Emphasis on the Optimum Currency Area Theory?
    by Ralf Kronberger
  • 2004 The monetary approach to exchange rates in the CEECs
    by Jesús Crespo-Cuaresma & Jarko Fidrmuc & Ronald McDonald
  • 2004 WOULD ADOPTING THE US DOLLAR HAVE LED TO IMPROVED INFLATION, OUTPUT AND TRADE BALANCES FOR NEW ZEALAND IN THE 1990s?
    by Viv Hall & Angela Huang
  • 2004 Managerial Incentives and Financial Contagion
    by Sujit Chakravorti & Subir Lall
  • 2004 Characterizing Asymmetric Information in International Equity Markets
    by Rui Albuquerque & Gregory Bauer & Martin Schneider
  • 2004 The Composition of International Capital Flows: Risk Sharing Through Foreign Direct Investment
    by Rui Albuquerque
  • 2004 Do networks in the stock exchange industry pay off? European evidence
    by Iftekhar Hasan & Heiko Schmiedel
  • 2004 Financial Liberalization and Business Cycles: The Experience of Future EU Member States in the Baltics and Central Eastern Europe
    by Lucio Vinhas de Souza
  • 2004 Further evidence on the link between finance and growth: An international analysis of community banking and economic performance
    by Allen N. Berger & Iftekhar Hasan & Leora F. Klapper
  • 2004 Further evidence on the link between finance and growth: An international analysis of community banking and economic performance
    by Allen N. Berger & Iftekhar Hasan & Leora F. Klapper
  • 2004 The Impact of News, Oil Prices, and Global Market Developments on Russian Financial Markets
    by Bernd Hayo & Ali Kutan
  • 2004 Some Fundamental Inadequacies of the Washington Consensus: Misunderstanding the Poor by the Brightest
    by Wing Woo
  • 2004 Some Fundamental Inadequacies of the Washington Consensus: Misunderstanding the Poor by the Brightest
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  • 2004 The Impact of News, Oil Prices, and Global Market Developments on Russian Financial Markets
    by Bernd Hayo & Ali M. Kutan
  • 2004 Trust In Transition: Cross Country And Firm Evidence
    by Martin Raiser & Alan Rousso & Franklin Steves
  • 2004 Legislative Bargaining and Lobbying in the European Union
    by Hein Roelfsema
  • 2004 Are Real Interest Differentials Caused by Frictions in Goods or Assets Markets, Real or Nominal Shocks?
    by Alex Luiz Ferreira
  • 2004 Institutions to Promote Financial Stability: Reflections on East Asia and an Asian Monetary Fund
    by Gordon de Brouwer
  • 2004 Financial Liberalization and Emerging Stock Market Volatility
    by F. Pérez de Gracia & J. Cuñado; J. Gómez
  • 2004 Determinants and growth effects of foreign direct investment
    by Uppenberg, Kristian & Riess, Armin
  • 2004 The internationalisation of production: moving plants, products, and people
    by Riess, Armin & Uppenberg, Kristian
  • 2004 Which Countries Export FDI, and How Much?
    by Efraim Sadka & Assaf Razin & Yona Rubinstein
  • 2004 Bubbles and capital flows
    by Jaume Ventura
  • 2004 The FTAA After The Emergence Of the Euro
    by Schettino, Francesco
  • 2004 Convergencia, integración y competencia en los mercados financieros europeos
    by Maudos, Joaquin & Pérez, Francisco
  • 2004 Global Growth Opportunities and Market Integration
    by Geert Bekaert & Campbell R. Harvey & Christian Lundblad & Stephan Siegel
  • 2004 Does Openness to Trade Make Countries More Vulnerable to Sudden Stops, Or Less? Using Gravity to Establish Causality
    by Jeffrey A. Frankel & Eduardo A. Cavallo
  • 2004 Financial Globalization, Growth and Volatility in Developing Countries
    by Eswar S. Prasad & Kenneth S. Rogoff & Shang-Jin Wei & M. Ayhan Kose
  • 2004 When in Peril, Retrench: Testing the Portfolio Channel of Contagion
    by Fernando A. Broner & R. Gaston Gelos & Carmen Reinhart
  • 2004 The Unsustainable US Current Account Position Revisited
    by Maurice Obstfeld & Kenneth Rogoff
  • 2004 Globalization, Macroeconomic Performance, and the Exchange Rates of Emerging Economies
    by Maurice Obstfeld
  • 2004 External Adjustment
    by Maurice Obstfeld
  • 2004 The Comovement of Returns and Investment Within the Multinational Firm
    by Mihir A. Desai & C. Fritz Foley
  • 2004 Do Domestic Investors Have an Edge? The Trading Experience of Foreign Investors in Korea
    by Hyuk Choe & Bong-Chan Kho & Rene M. Stulz
  • 2004 The Balassa-Samuelson effect in an imperfectly competitive economy: empirical evidence for G7 countries
    by Javier Coto-Martinez & Juan C. Reboredo
  • 2004 Institutional Determinants of International Equity Portfolios - A Country-Level Analysis
    by Barbara Berkel
  • 2004 The effect of the Euro on country versus industry portfolio diversification
    by Thomas Flavin
  • 2004 Financial Integration, Growth, and Volatility
    by Anne Epaulard & Aude Pommeret
  • 2004 Are Corporate Tax Burdens Racing to the Bottom in the European Union?
    by Signe Krogstrup
  • 2004 Business Cycle Fluctuations and International Financial Integration
    by Renatas Kizys & Christian Pierdzioch
  • 2004 Exchange Rate Volatility and Employment Growth: Empirical Evidence from the CEE Economies
    by Belke, Ansgar & Setzer, Ralph
  • 2004 Exchange Rate Volatility and Employment Growth: Empirical Evidence from the CEE Economies
    by Belke, Ansgar & Setzer, Ralph
  • 2004 Asymmetric Shocks and Risk Sharing in a Monetary Union: Updated Evidence and Policy Implications for Europe
    by Sebnem Kalemli-Ozcan & Bent E. Sorensen & Oved Yosha
  • 2004 Does Regulatory Harmonization Increase Bilateral Asset Holdings?
    by Vlachos, Jonas
  • 2004 Further evidence on the link between finance and growth: An international analysis of community banking and economic performance
    by Berger, Allen N. & Hasan, Iftekhar & Klapper, Leora F.
  • 2004 Endogenous Financial and Trade Openness: Efficiency and Political Economy Considerations
    by Joshua Aizenman & Ilan Noy
  • 2004 Equity Returns and Integration: Is Europe Changing?
    by Kpate ADJAOUTE & Jean-Pierre DANTHINE
  • 2004 Endogenous Financial and Trade Openness: Political Economy Considerations
    by Joshua Aizenman & Ilan Noy
  • 2004 Asset Prices and Exchange Rates
    by Roberto Rigobon & Anna Pavlova
  • 2004 Exchange Rate Fluctuations, Financing Constraints, Hedging, and Exports: Evidence from Firm Level Data
    by Heajin Ryoo & Robert Dekle
  • 2004 Currency Mismatch, Uncertainty and Debt Structure
    by Winfried Koeniger & Matthieu Bussiere & Marcel Fratzscher
  • 2004 Financial Intermediation, Moral Hazard, And Pareto Inferior Trade
    by B.O.Hansen & H.Keiding
  • 2004 International linkage of real interest rates: the case of East Asian countries
    by Jae H. Kim & Philip I. Ji
  • 2004 Sources of gains from international portfolio diversification
    by Campa, Jose M. & Fernandes, Nuno
  • 2004 Taiwan'S Role In The Economic Architecture Of East Asia And The Pacific
    by Peter Drysdale & Xinpeng Xu
  • 2004 Exchange Rate Volatility and Labour Markets in the CEE Countries
    by Belke, Ansgar & Kaas, Leo & Setzer, Ralph
  • 2004 Financial Globalization, Growth and Volatility in Developing Countries
    by Kose, Ayhan & Prasad, Eswar & Rogoff, Kenneth & Wei, Shang-Jin
  • 2004 Is There Regional Tax Competition? Firm Level Evidence for Belgium
    by Crabbé, Karen & Janssen, Boudewijn & Vandenbussche, Hylke
  • 2004 Financial Globalization, International Business Cycles and Consumption Risk Sharing
    by Artis, Michael J & Hoffmann, Mathias
  • 2004 The Real Effects of the Euro: Evidence from Corporate Investments
    by Bris, Arturo & Koskinen, Yrjö & Nilsson, Mattias
  • 2004 Asymmetric Shocks and Risk Sharing in a Monetary Union: Updated Evidence and Policy Implications for Europe
    by Kalemli-Ozcan, Sebnem & Sorensen, Bent E & Yosha, Oved
  • 2004 Does Regulatory Harmonization Increase Bilateral Asset Holdings?
    by Vlachos, Jonas
  • 2004 Managing Volatility in Transition Economies: The Experience of the Central and Eastern European Countries
    by Coricelli, Fabrizio & Ianchovichina, Elena
  • 2004 Differences in Exchange Rate Pass-Through in the Euro Area
    by Campa, José Manuel & González Mìnguez, Jose Manuel
  • 2004 Are Foreign Ownership and Good Institutions Substitutes? The Case of Non-Traded Equity
    by Denis, Cecile & Huizinga, Harry
  • 2004 The Turkish Banking Sector, Challenges and Outlook in Transition to EU Membership
    by Alfred Steinherr & Ali Tukel & Murat Ucer
  • 2004 Exchange Rates in the New EU Accession Countries: What Have We Learned from the Forerunners
    by Ales Bulir & Katerina Smidkova
  • 2004 Burden Sharing and Exchange-Rate Misalignments within the Group of Twenty
    by Agnès Bénassy-Quéré & Pascale Duran-Vigneron & Amina Lahrèche-Revil & Mignon, Valerie
  • 2004 Absorción de shocks en economías volátiles: Ahorro a través de acciones en mercados de capitales. Caso argentino 1993-2001
    by José Pablo Dapena
  • 2004 Movimentos Especulativos de Capitais e Comportamento da Taxa de Câmbio no Brasil
    by Fernando de Aquino Fonseca Neto & Joanílio Rodolpho Teixeira
  • 2004 Crescimento com Restrições de Balanço de Pagamentos e Déficits Gêmeos no Brasil a Partir dos Anos Noventa
    by FERNANDO DE AQUINO FONSECA NETO & Joanílio Rodolpho Teixeira
  • 2004 Convergence of Government Bond Yields in the Euro Zone: The Role of Policy Harmonization
    by Denise Côté & Christopher Graham
  • 2004 Integração Financeira E Autonomia De Política Monetária: Investigando Relações De Causalidade Para A Economia Brasileira Em Época Recente
    by André M. Marques & Adelar Fochezatto
  • 2004 Crescimento Com Restrições De Balanço De Pagamentos E Déficits Gêmeos No Brasil A Partir Dos Anos Noventa
    by Fernando de Aquino Fonseca Neto & Joanílio Rodolpho Teixeira
  • 2004 A Survey of Financial Integration in East Asia; How Far? How Much Further to Go?
    by Reza Siregar & Ramkishen Rajan & Tony Cavoli
  • 2004 European Monetary and Financial Integration: Evolution and Prospects
    by Jean-Paul Abraham & Alexandre Lamfalussy & Jean-Claude Trichet & Robert Raymond & Franco Bruni
  • 2004 Multinationals and the Gains from International Diversification
    by Patrick F. Rowland & Linda L. Tesar
  • 2004 Capital Account Liberalization and Economic Performance: Survey and Synthesis
    by Hali J. Edison & Michael W. Klein & Luca Antonio Ricci & Torsten Sløk
  • 2004 Acces to internacional funds and the boom in Mexico after the tequila crisis: is there any evidence from the companies quoted in the nyse?
    by Françoise Boye
  • 2004 Problems Associated with Creation of a Single Currency Zone in the CIS Countries
    by Sergey Drobyshevsky & Dmitri Polevoy
  • 2004 The New ECB Governing Council Voting-Modalities Scheme: An Outside View
    by Petr Procházka
  • 2004 Linkages of Indian Interest Rates with US and Japanese Rates
    by Vuyyuri, S.
  • 2004 Globalisation des marchés de capitaux et valorisation des actifs financiers
    by Dominique Pépin
  • 2004 Prerequisites and Requirements for the Formation of a Common European Economic Area
    by Sergei Silvestrov
  • 2004 Financial Intermediation, Moral Hazard, And Pareto Inferior Trade
    by Bodil O. Hansen & Hans Keiding
  • 2004 Seigniorage and the Proposed East Africa Community (EAC) Monetary Union
    by Steven Buigut
  • 2003 On the international financial architecture: Insuring emerging markets
    by Caballero, Ricardo
  • 2003 Forces Underlying Trade Integration in the APEC Region: A Gravity Model Analysis of Trade, FDI, and Complementarity
    by T. Otsubo, Shigeru & Umemura, Tetsuo
  • 2003 Political and Economic Dimensions of the European Union Expansion
    by Serletis, Apostolos & Afxentiou , Panos & Yavari, Kazem
  • 2003 The Performance of the Foreign-Owned Sector of UK Manufacturing: Some Evidence and Implications for UK Inward Investment Policy
    by Max Munday & Michael J. Peel & Karl Taylor
  • 2003 The Connection of Stock Markets Between Germany and the USA: New Evidence From a Co-integration Study
    by Eberts, Elke
  • 2003 Paradigmenwechsel der EU-Finanzpolitik? Der Stabilitätspakt auf dem Prüfstand
    by Buchmüller, Patrik & Marte, Andreas
  • 2003 Uncovered Interest Rate Parity and Analysis of Monetary Convergence of Potential EMU Accession Countries
    by Holtemöller, Oliver
  • 2003 Seignorage pooling of EMU, pool bias and seignorage change by the Euro
    by Läufer, Nikolaus K. A.
  • 2003 Exchange Rate and Output Dynamics Between Japan and Korea
    by Kang, Sammo & Kim, Soyoung & Wang, Yunjong & Yoon, Deok Ryong
  • 2003 OCA theory and EMU Eastern enlargement: An empirical application
    by Weimann, Marco
  • 2003 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
    by Florian Neagu
  • 2003 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
    by Florian Neagu
  • 2003 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
    by Florian Neagu
  • 2003 The Euro-Mediterranean Partnership and Inward FDI in Maghreb Countries
    by Iván Martín
  • 2003 Sovereign Risk, Credibility and the Gold Standard: 1870-1913 versus 1925-31
    by Maurice Obstfeld & Alan M. Taylor & )
  • 2003 Financial Globalization: Some Conceptual Problems
    by Philip Arestis & Santonu Basu
  • 2003 Has International Financial Integration Increased?
    by Lawrence G. Goldberg & James R. Lothian & John Okunev
  • 2003 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
    by Florian Neagu
  • 2003 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
    by Florian Neagu
  • 2003 Buitenlandse banken in Midden- en Oost-Europa. Aanwinst of risicofactor?
    by Ralph de Haas & Iman van Lelyveld
  • 2003 Foreign Banks and Credit Stability in Central and Eastern Europe: friends or foes? A panel data analysis
    by Ralph de Haas & Iman van Lelyveld
  • 2003 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
    by Florian Neagu
  • 2003 Consequences of EU Accession: Economic Effects on CEECs
    by Michael Landesmann & Sandor Richter
  • 2003 Firm-Specific Variation and Openness in Emerging Markets
    by Kan Li & Randall Morck & Fan Yang & Bernard Yeung
  • 2003 Exchange Rate Regimes and Volatility: Comparison of the Snake and Visegrad
    by Juraj Valachy & Evžen Ko?enda &
  • 2003 The Monetary Approach to Exchange Rates in the CEECs Relations and Output Performance
    by Jesús Crespo-Cuaresma & Jarko Fidrmuc & Ronald MacDonald
  • 2003 Capital Taxation, Globalization, and International Tax Competition
    by Kenneth G. Stewart & Michael C. Webb
  • 2003 Measuring the Economic Impact of Monetary Union: The Case of Okinawa
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  • 2003 On the Changing Nature of Currency Crises
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  • 2003 STAR-GARCH Models for Stock Market Interactions in the Pacific Basin Region, Japan and US
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  • 2003 Home Bias and the Structure of International and Regional Business Cycles
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  • 2003 International Risk Sharing and Bank Runs
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  • 2003 Price Convergence under EMU? First Estimates
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  • 2003 Foreign Bank Penetration and Private Sector Credit in Central and Eastern Europe
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  • 2003 Efficiency and Cost Differences across Countries in a Unified EuropeanBanking Market
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  • 2003 Foreign Banks and Credit Stability in Central and Eastern Europe: Friends or Foes? A Panel Data Analysis
    by Ralph de Haas & Iman van Lelyveld
  • 2003 Foreign Banks and Credit Stability in Central and Eastern Europe: Friends or Foes? A Panel Data Analysis
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  • 2003 Intermediation,integration and internationalisation: a survey on banking in Europe
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  • 2003 International Good Market Segmentation and Financial Market Structure
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  • 2003 Why Do Emerging Economies Borrow in Foreign Currency?
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  • 2003 Investor Protection and Equity-Holdings: An Explanation of Two Puzzles?
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  • 2003 The Euro is Good After All: Evidence from Corporate Valuations
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  • 2003 Government Bonds in Domestic and Foreign Currency: The Role of Macroeconomic and Institutional Factors
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  • 2003 Common Vulnerabilities
    by Mody, Ashoka & Taylor, Mark P
  • 2003 PPP Strikes Back: Aggregation and the Real Exchange Rate
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  • 2003 Sovereign Risk, Credibility and the Gold Standard: 1870-1913 versus 1925-31
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  • 2003 European and Asian integration processes compared
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  • 2003 Once More into the Breach: Economic Growth and Integration
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  • 2003 Why it Matters Who Runs the IMF and the World Bank-Updated October 2003
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  • 2003 Capital Flows and Speculative Attacks in Prospective EU Member States
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  • 2003 Exchange Rates and Fiscal Adjustments: Evidence from the OECD and Implications for EMU
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  • 2003 The Balassa-Samuelson effect in central Europe: a disaggregated analysis
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  • 2003 What to expect of the euro? Analysing price differences of individual products in Luxembourg and its surrounding regions
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  • 2003 Securing Financial Stability: Problems and Prospects for New EU Members
    by Michael C Bonello & Fabrizio Saccomanni & Claudia M Buch & Jörn Kleinert & Peter Zajc
  • 2003 Monetary and Financial Thinking in Europe - Evidence from Four Decades of SUERF
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  • 2003 The EU Experience in Financial Services Liberalization: A Model for GATS Negotiations?
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  • 2003 Il processo di integrazione monetaria europea: un confronto tra gli approcci belga e italiano
    by Ivo Maes & Lucia Quaglia
  • 2003 L 'euro ha creato inflazione? Changeover e arrotondamenti dei prezzi al consumo in Italia nel 2002
    by Franco Mostacci & Roberto Sabbatini
  • 2003 The process of european monetary integration: a comparison of the belgian and italian approaches
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  • 2003 The reputation of a newborn central bank
    by Zeno Rotondi & Giacomo Vaciago
  • 2003 The process of european monetary integration: a comparison of the belgian and italian approaches
    by Ivo Maes & Lucia Quaglia
  • 2003 The reputation of a newborn central bank
    by Zeno Rotondi & Giacomo Vaciago
  • 2003 Benefits and costs of the Czech republic membership in the European union
    by Petr Chvojka
  • 2003 Bank of slovenia adjustment policy to surges in capital flows
    by Žan Oplotnik
  • 2003 Economic and monetary union accession and capital flows
    by Jiří Jonáš
  • 2003 Sobre la creación de áreas monetarias óptimas. El aporte de Robert Mundell
    by Ana M. Martirena-Mantel
  • 2003 Crisis Financieras Internacionales, Prestamista de Última Instancia Nacional e Internacional
    by Esteban Jadresic & Klaus Schmidt-Hebbel & Rodrigo Valdés
  • 2003 The Path towards Economic and Monetary Integration: The Portuguese Experience
    by Joao Amador
  • 2003 Capital Flight In The 1990s – Lessons From E. Europe
    by Angelos A. Antzoulatos & Theodosios Sampaniotis
  • 2003 Degrees Of Integration In International Portfolio Diversification: Effective Systemic Risk
    by El. Thalassinos & Th. Kiriazidis
  • 2003 Living and Dying with Hard Pegs: The Rise and Fall of Argentina's Currency Board
    by Augusto de la Torre & Eduardo Levy Yeyati & Sergio L. Schmukler
  • 2003 The set of tools for evaluation of expenses on and benefits from the expansion of the European Union to the East
    by Svetla Boneva
  • 2003 Management of Public Financial Resources for Environmental Protection in Pre-Accession Bulgaria
    by Milkana Mochurova
  • 2002 Möglichkeiten und Risiken der Einführung eines grenzüberschreitenden Vorsteuerabzugs auf europäischer Ebene
    by Andrea Gebauer & Chang Woon Nam & Rüdiger Parsche & Doina Radulescu & Bettina Reichl
  • 2002 Regional Integration of Stock Markets in Latin America
    by Heaney, Richard & Hooper, Vince
  • 2002 How Integrated Were Foreign Exchange Markets in the Asia-Pacific Region in the Past?: Evidence from the Parallel Market
    by Gounder, Rukmani & Sen, Kunal
  • 2002 Currency Substitution: The Use of Hong Kong Dollars in Southern China
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  • 2002 Costs and Benefits of Dollarization: Evidence from North, Central, and South America
    by Karras, Georgios
  • 2002 Bond Pricing Before and after EMU From the Experience of the “European South”
    by A. Antzoulatos, Angelos & Klinaki, Eleni
  • 2002 Should Small Countries Join an Existing Monetary Union ?
    by M. von Furstenberg, George & P. Teolis, David
  • 2002 Financial and Economic Determinants of Privatization
    by Walker , David A.
  • 2002 How integrated are the European retail financial markets? A cointegration analysis
    by Heinemann, Friedrich & Schüler, Martin
  • 2002 The impact of news, oil prices, and international spillovers on Russian financial markets
    by Hayo, Bernd & Kutan, Ali M.
  • 2002 Real and monetary convergence within the European Union and between the European Union and candidate countries: A rolling cointegration approach
    by Brada, Josef C. & Kutan, Ali M. & Zhou, Su
  • 2002 OCA theory and EMU eastern enlargement: An empirical application
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  • 2002 Benchmark yield undershooting in the E.M.U
    by Antzoulatos, Angelos A.
  • 2002 How integrated are the European retail financial markets? A cointegration analysis
    by Schüler, Martin & Heinemann, Friedrich
  • 2002 Return and volatility spillovers to industry returns: Does EMU play a role?
    by Kaltenhäuser, Bernd
  • 2002 FDI and Economic Growth: The Role of Local Financial Markets
    by Sebnem Kalemli-Ozcan & Laura Alfaro & Selin Sayek & Areendam Chanda
  • 2002 Banking sector development and financial stability in the run up to EU accession
    by Henk Brouwer & Ralph de Haas & Bas Kiviet
  • 2002 Exchange Rate Pegs and Foreign Exchange Exposure in East Asia
    by David Parsley Helen Popper
  • 2002 How Important Are Foreign Banks in European Transition Countries? A Comparative Analysis
    by Hanneke Bol & Jakob de Haan & Bert Scholtens & Ralph de Haas
  • 2002 Foreign Bank Penetration and Private Sector Credit in Central and Eastern Europe
    by Ralph de Haas & Iman van Lelyveld
  • 2002 Finance, law and growth during transition: a survey
    by Ralph de Haas
  • 2002 The Impact of News, Oil Prices, and International Spillovers on Russian Financial Markets
    by Bernd Hayo & Ali Kutan
  • 2002 Cross-Border Trading as a Mechanism for Capital Flight: ADRs and the Argentine Crisis
    by Sebastian Auguste & Kathryn M.E. Dominguez & Herman Kamil & Linda L. Tesar
  • 2002 Opening the Capital Account of Transition Economies: How Much and How Fast
    by Daniel Daianu & Radu Vranceanu
  • 2002 Real and Monetary Convergence within the European Union and Between the European Union and Candidate Countries: A Rolling Cointegration Approach
    by Josef C. Brada & Ali M. Kutan & Su Zhou
  • 2002 Balkan and Mediterranean Candidates for European Union Membership: The Convergence of their Monetary Policy with that of the European Central Bank
    by Josef C. Brada & Ali M. Kutan
  • 2002 Systemic crises and growth
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  • 2002 Crises and growth: A re-evaluation
    by Romain Rancière & Aaron Tornell & Frank Westermann
  • 2002 Bubbles and capital flows
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  • 2002 Financing the Eastern Enlargement of the European Union
    by Luisa Giuriato
  • 2002 International Financial Liberalisation and Economic Growth
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  • 2002 Comovements among European equity sectors: Selected evidence from the consumer discretionary, consumer staples, financial, industrial and materials sectors
    by Siv Heng Taing & Andrew C. Worthington
  • 2002 Deepening European Financial Integration: Theoretical Considerations and Empirical Evaluation of Growth and Employment Benefits
    by Beckmann, Rainer & Eppendorfer, Carsten & Neimke, Markus
  • 2002 Dynamic financial linkages among the Asia Pacific economies: an empirical assessment of real interest parity condition
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  • 2002 Reform proposals from developing Asia: finding a win-win strategy
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  • 2002 Turkey and Europe: Undivided but not united
    by Erdogdu, Erkan
  • 2002 Monetary Integration in the Southern Cone: Mercosur is not like the EU?
    by Ansgar Belke & Daniel Gros
  • 2002 International Diversification, Growth, and Welfare with Non-Traded Income Risk and Incomplete Markets
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  • 2002 PPP Strikes Back: Aggregation and the Real Exchange Rate
    by Jean Imbs & Haroon Mumtaz & Morton O. Ravn & Helene Rey
  • 2002 Cross-Border Trading as a Mechanism for Capital Flight: ADRs and the Argentine Crisis
    by Sebastian Auguste & Kathryn M.E. Dominguez & Herman Kamil & Linda L. Tesar
  • 2002 Bubbles and Capital Flows
    by Jaume Ventura
  • 2002 Financial Globalization and Real Regionalization
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  • 2002 Sargent-Wallace Meets Krugman-Flood-Garber, or: Why Sovereign Debt Swaps Don't Avert Macroeconomic Crises
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  • 2002 Defining Benchmark Status: An Application using Euro-Area Bonds
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  • 2002 Pricing Currency Risk: Facts and Puzzles from Currency Boards
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  • 2002 Capital Account Liberalization, Institutions and Financial Development: Cross Country Evidence
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  • 2002 Trade Integration and Risk Sharing
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  • 2002 Financial Integration: Evidence from Australia
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  • 2002 La dollerisation des économies émergentes
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  • 2002 Consumer Preferences and the Reliability of Euler Equation Tests of Capital Mobility � Some Simulation-Based Evidence
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  • 2002 Worker Remittances and Capital Flows
    by Claudia M. Buch & Anja Kuckulenz & Marie-Helene Le Manchec
  • 2002 Business Cycle Volatility in Germany
    by Claudia M. Buch & Joerg Doepke & Christian Pierdzioch
  • 2002 Financial Openness and Business Cycle Volatility
    by Claudia M. Buch & Jörg Döpke & Christian Pierdzioch
  • 2002 Financial Market Integration and Business Cycle Volatility in a Monetary Union
    by Christian Pierdzioch
  • 2002 Capital Mobility, Consumption Substitutability, and the Effectiveness of Monetary Policy in Open Economies
    by Christian Pierdzioch
  • 2002 The Euro Is Good After All: Corporate Evidence
    by Bris, Arturo & Koskinen, Yrjo & Nilsson, Mattias
  • 2002 Financial Liberalization and the Changing Characteristics of Nordic Stock Returns
    by Nilsson, Birger
  • 2002 International Asset Pricing and the Benefits from World Market Diversification
    by Nilsson, Birger
  • 2002 The Euro Is Good After All: Corporate Evidence
    by Bris, Arturo & Koskinen, Yrjö & Nilsson, Mattias
  • 2002 Prospects for Asian Monetary Cooperation After the Asian Financial Crisis. Pipedream or Possible Reality?
    by Wilson, Peter
  • 2002 Economies of scale and technological development in securities depository and settlement systems
    by Schmiedel, Heiko & Malkamäki, Markku & Tarkka , Juha
  • 2002 Settlement in modern network-based payment infrastructures – description and prototype of the E-Settlement model
    by Leinonen, Harry & Lumiala, Veli-Matti & Sarlin, Riku
  • 2002 Effects of fiscal policy on the durability of low inflation regimes
    by Pohjola, Tapio
  • 2002 Informational Integration and FX Trading
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  • 2002 Inflation Differentials before and after the EMU
    by Giovanni Arese-Visconti
  • 2002 Is Eastern Europe ready for the Euro? A Cointegration Analysis for the Maastricht Criteria
    by I.S. Meister
  • 2002 Foreign Bank Penetration and Bank Credit Stability in Central and Eastern Europe
    by R.T.A. de Haas & I. van Lelyveld
  • 2002 Banking sector development and financial stability in the run up to EU accession
    by H. Brouwer & R. de Haas & B. Kiviet
  • 2002 Fertile Soil for Structural Funds?
    by Sjef Ederveen & Henri L.F. de Groot & Richard Nahuis
  • 2002 Bubbles and Capital Flows
    by Ventura, Jaume
  • 2002 Defining Benchmark Status: An Application using Euro-Area Bonds
    by Dunne, Peter & Moore, Michael J & Portes, Richard
  • 2002 Financial Globalization and Emerging Markets: With or Without Crash?
    by Martin, Philippe & Rey, Hélène
  • 2002 Financial Globalization and Real Regionalization
    by Heathcote, Jonathan & Perri, Fabrizio
  • 2002 Fertile soil for structural funds? A panel data analysis of the conditional effectiveness of European cohesion policy
    by Sjef Ederveen & Henri de Groot & Richard Nahuis
  • 2002 Exchange Rate Regimes and Sustainable Parities for CEECs in the Run-up to EMU Membership
    by Virginie Coudert & Cécile Couharde
  • 2002 Systemic Crises and Growth
    by Romain Ranciere & Aaron Tornell & Frank Westermann
  • 2002 The Impact of Common Currencies on Financial Markets: A Literature Review and Evidence from the Euro Area
    by Liliane Karlinger
  • 2002 Financial Structure and Economic Growth: A Non-Technical Survey
    by Veronika Dolar & Césaire Meh
  • 2002 Dollarization in Canada: The Buck Stops There
    by John Murray & James Powell
  • 2002 Monetary Aspects of the Transition to European Union Membership
    by Jan Toporowski
  • 2002 Monetary policy and wage bargaining in the EMU: restrictive ECB policies, high unemployment, nominal wage restraint and inflation above the target
    by Eckhard Hein
  • 2002 Monetary policy and wage bargaining in the EMU: restrictive ECB policies, high unemployment, nominal wage restraint and inflation above the target
    by Eckhard Hein
  • 2002 Gondolatok az európai értékpapírpiacok szabályozásáról
    by Lámfalussy, Sándor
  • 2002 Haushalts- und Steuerpolitik in der EU
    by Rolf Caesar
  • 2002 Cambios Estructurales e Integración. Discusión y Análisis del Mercado Accionario Chileno
    by Fernando Lefort & Eduardo Walker
  • 2002 Monetary and Fiscal Policy in the European Monetary Union
    by von-Hagen, Jurgen & Bruckner, Matthias
  • 2002 Analýza diskrepancí v poptávce po penìzích domácností a firem v ÈR 1994?2000 ? èást II: firmy
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  • 2002 Analýza diskrepancí v poptávce po penìzích domácností a firem v ÈR 1994-2000 (èást I: domácnosti)
    by Martin Melecký
  • 2002 Fiscal Deficits in Monetary Unions: A Comparison of EMU and United States
    by Philip Arestis & Mosahid Khan & Kul B. Luintel
  • 2002 Explaining the EURO's Initial Decline
    by Philip Arestis & Iris Biefang-Frisancho Mariscal & Andrew Brown & Malcolm Sawyer
  • 2002 The Euro and Monetary Policy Transparency
    by Guglielmo Maria Caporale & Andrea Cipollini
  • 2002 The Markets versus the ECB, and the EURO's Plunge
    by Jorg Bibow
  • 2002 The EURO: A Success against the Odds?
    by Iain Begg
  • 2002 EMU and the EURO: Current and Future Prospects--Introduction
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  • 2002 The EURO: Expectations and Performance
    by Dominick Salvatore
  • 2002 The EURO as a Stabilizing and Harmonizing Force in the International Monetary System: Analytical Foundations and Future Prospects
    by Jean-Pierre Allegret & Rene Sandretto
  • 2002 Enlarging European Monetary Union
    by Amina Lahrèche-Revil
  • 2002 Le Royaume-Uni devrait-il rejoindre l'Union economique et monetaire ?
    by Michael Artis
  • 2002 Möglichkeiten und Risiken der Einführung eines grenzüberschreitenden Vorsteuerabzugs auf europäischer Ebene
    by Andrea Gebauer & Doina Maria Radulescu
  • 2002 Poland´s road to the Euro : a review of options
    by Stanislaw Gomulka
  • 2002 Was there Monetary Autonomy in Europe on the eve of EMU? The German Dominance Hypothesis Re-Examined
    by Oscar Bajo-Rubio & M. Dolores Montávez-Garcés
  • 2001 Can Trade Theory Help Us Understand the Linkages Between International Trade and Business Cycles?
    by M. Ayhan Kose and Kei-Mu Yi
  • 2001 Global Integration in Primary Equity Markets: The Role of U.S. Banks and U.S. Investors
    by Tim Jenkinson & William Wilhelm
  • 2001 What Caused the Asian Currency and Financial Crisis?
    by Corsetti, G. & Pesenti, P. & Roubini, N.
  • 2001 Interbank Market Integration under Asymmetric Information
    by Freixas, X. & Holthausen, C.
  • 2001 Financial Globalization and Real Regionalization
    by Heathcote, J. & Perri, F.
  • 2001 Evaluating The Seignorage Costs Of Emu Integration In Case Of Romania
    by Zaman, Constantin
  • 2001 Regionalism, Political Risk and Capital Market Segmentation in International Asset Pricing
    by Heaney, Richard & Hooper, Vince
  • 2001 The Feldstein-Horioka Puzzle, Saving-Investment Causality and International Financial Market Integration
    by Tsoukis, Christopher & Alyousha, Ahmed
  • 2001 How Does the European Union Agenda Influence Economies Outside the European Union? The Case of Tunisia
    by Papi, Luca & Zazzaro, Alberto
  • 2001 Balkan and Mediterranean candidates for European Union membership: The convergence of their monetary policy with that of the European Central Bank
    by Brada, Josef C. & Kutan, Ali M.
  • 2001 Braucht es monetäre und reale Konvergenz für eine (in einer) Währungsunion? Anmerkungen zu einer aktuellen Debatte
    by Sell, Friedrich L.
  • 2001 Design and Implementation of Contracts: A Comparison of Factor Markets Relevant to Financial Reporting in Japan and the U.S
    by Shyam NMI Sunder
  • 2001 Central Bank Seigniorage: Czech Republic 1993-1997
    by Jacek Cukrowski & Emil Stavrev
  • 2001 Perspectives on OECD Economic Integration: Implications for US Current Account Adjustment
    by Maurice Obstfeld & Kenneth Rogoff
  • 2001 The Six Major Puzzles in International Macroeconomics: Is There a Common Cause?
    by Maurice Obstfeld & Kenneth Rogoff
  • 2001 The Determinants of Cross-Border Equity Flows: The Geography of=20 Information
    by Richard Portes & =20 H=E9l=E8ne Rey
  • 2001 Do Stock Markets Promote Economic Growth?
    by Jan Hanousek & Nauro F. Campos & Randall K. Filer
  • 2001 Interbank market integration under asymmetric information
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  • 2001 The policy mix in a monetary union under alternative policy institutions and asymmetries
    by Laurent GAGNOL & Moise SIDIROPOULOS
  • 2001 The Euro And Capital Markets: A New Era
    by Peree, Eric & Steinherr, Alfred
  • 2001 Understanding OECD Output Correlations
    by Glenn Otto & Graham Voss & Luke Willard
  • 2001 Growth and External Financing in Latin America
    by Reinhart, Carmen & Calvo, Guillermo & Fernandez Arias, Eduardo & Talvi, Ernesto
  • 2001 Bank Lending and Contagion: Evidence from the Asian Crisis
    by Reinhart, Carmen & Kaminsky, Graciela
  • 2001 Globalisation, multinational enterprises and European integration
    by Gilroy, Bernard Michael
  • 2001 Stopping hot money
    by Reinhart, Carmen & Edison, Hali
  • 2001 Would adopting the Australian dollar provide superior monetary policy in New Zealand?
    by Aaron Drew & Viv Hall & John McDermott & Robert St. Clair
  • 2001 Financial Systems, Economic Growth, and Globalization
    by Peter L. Rousseau & Richard Sylla
  • 2001 Are Trade Linkages Important Determinants of Country Vulnerability to Crises?
    by Kristin J. Forbes
  • 2001 Cross-Border Banking and Transmission Mechanisms: The Case of Europe
    by Claudia M. Buch
  • 2001 Financial Market Integration in a Monetary Union
    by Claudia M. Buch
  • 2001 European FDI Strategies in Mercosur Countries
    by Peter Nunnenkamp
  • 2001 Territorial redistribution through the EU budget. Empirical evidence at national and regional levels
    by Marta Espasa
  • 2001 The Impact of Foreign Board Membership on Firm Value
    by Oxelheim, Lars & Randøy, Trond
  • 2001 Financial Globalization and Real Regionalization
    by Heathcote, Jonathan & Perri, Fabrizio
  • 2001 The European Contribution to International Financial Stability
    by Portes, Richard
  • 2001 A Monetary Union in Motion: the European Experience
    by Portes, Richard
  • 2001 The EMS Crisis in Retrospect
    by Eichengreen, Barry
  • 2001 What Makes Stock Exchanges Succeed? Evidence from Cross-Listing Decisions
    by Pagano, Marco & Randl, Otto & Röell, Ailsa A & Zechner, Josef
  • 2001 Has 1997 Asian Crisis increased Information Flows between International Markets?
    by Francisco J. Climent & Vicente Meneu
  • 2001 Do Emu Countries Constitute an Optimum Currency Area? An Empirical Test of the Generalised Purchasing Power Parity Hypothesis
    by Konstantinos Mouratidis
  • 2001 A Question of Fit for EMU:Process and Policy in the Fiscal Domain
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  • 2001 Who is ruling Europe? Empirical evidence on the German Dominance Hypothesis
    by Mariam Camarero & Javier Ordóñez
  • 2001 What central banks have learned: lessons from pre-EMU Europe
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  • 2001 What central banks have learned: lessons from pre-EMU Europe
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  • 2001 How Does U.S. Monetary Policy Influence Sovereign Spreads in Emerging Markets?
    by Vivek Arora & Martin Cerisola
  • 2001 A felzárkózás fiskális feltételei
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  • 2001 A kevésbé fejlett EU-tagországok konvergenciájának tapasztalatai
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  • 2001 Industrielle Konzentration als Kriterium für die Geeignetheit eines einheitlichen Währungsraums - Eine empirische Untersuchung der Europäischen Union von 1972 bis 1996
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  • 2001 On the interdependence of Finnish and Swedish newsprint prices
    by Juuso Vataja
  • 2001 De economische motivaties achter regionale solidariteit
    by P. Vanhoudt
  • 2001 Trade Balance and Exchange-Rate for a Small Open Economy During the EMS: The Hellinic Case 1983:1-1995:12
    by Stamatopoulos T.
  • 2001 The Equilibrium Value of The Euro/$ US Exchange Rate: An Evaluation of Research
    by Stein L.
  • 2001 Finansal Serbestlesmenin, Turkiye'de Dogrudan Yabanci Sermaye Yatirimlari Uzerindeki Etkisi
    by R. Fatih Saygili
  • 2001 Die Europäische Wirtschafts- und Währungsunion: Eine Erfolgsgeschichte
    by Willem F. Duisenberg
  • 2001 Kann die Einführung des Euro-Bargelds die europäische Währung stabilisieren?
    by Peter Bofinger & Renate Ohr & Michael Hüther & Wolfgang Filc & Franco Reither
  • 2001 Positive and Negative Effects from the Integration of Bulgaria to European Union
    by Ivan Angelov
  • 2001 National Money as a Barrier to International Trade: The Real Case for Currency Union
    by Andrew K. Rose & Eric van Wincoop
  • 2000 Will the Euro Trigger More Monetary Unions in Africa?
    by Honohan, P. & Lane, P.R.
  • 2000 A Re-Examination of Saving - Investment Relationships: Cointegration, Causality and International Capital Mobility
    by Tsoukis, C. & Alyousha, A.
  • 2000 Routes to Equity Market Integration - the Interplay Between Politicians, Investors and Managers
    by Oxelheim, L.
  • 2000 Ouverture a l'est - ouverture au sud: dynamiques d'integration dans la peripherie europeenne
    by Lheritier, M.
  • 2000 The Effectiveness of Capital Controls: The Case of Slovenia
    by M. Buch, Claudia & Hanschel, Elke
  • 2000 Miniblocs and Fringe Currencies of the EMU
    by Honohan, Patrick
  • 2000 Griechenland: Vor dem Beitritt zur EWU
    by Oscar-Erich Kuntze
  • 2000 Wechselkursoptionen der Beitrittsländer Mittel- und Osteuropas
    by Heidemarie C. Sherman
  • 2000 Monetary policy and exchange rate targeting in open economies
    by Bofinger, Peter & Wollmershäuser, Timo
  • 2000 Options for the exchange rate policies in the EU accession countries (and other emerging market economies)
    by Bofinger, Peter & Wollmershäuser, Timo
  • 2000 Internal Versus External Convertibility and Developing-Country Financial
    by Gerardo della Paolera & Alan M. Taylor
  • 2000 Measurement of Costs and Benefits of Accession to the European Union for Selected Countries in Central and Eastern Europe
    by Jorgen Mortensen & Sandor Richter
  • 2000 What Makes Stock Exchanges Succeed? Evidence from Cross-Listing Decisions
    by Marco Pagano & Otto Randl & Ailsa A. Röell & Josef Zechner
  • 2000 FDI in the Mediterranean Region: a Comparison with CEE Experience
    by Alessandrini, Sergio & Resmini, Laura
  • 2000 Some Policy Issues Regarding an Early Warning System
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela
  • 2000 Early Warning System: An Assessment of Vulnerability
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela
  • 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 The Wake of Crises and Devaluations
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela
  • 2000 Notes on contagion
    by Reinhart, Carmen & Kaminsky, Graciela & Goldstein, Morris
  • 2000 Financial Liberalization: The African Experience
    by Reinhart, Carmen & Tokatlidis, Ioannis
  • 2000 Financial Integration and Consumption Comovements in the Nordic Countries
    by Egil Matsen & Øystein Thøgersen
  • 2000 Twin Deficits, Real Interest Rates and International Capital Mobility
    by Stilianos Fountas & Christopher Tsoukis
  • 2000 Endogenous Pricing to Market and Financing Costs
    by Joshua Aizenman
  • 2000 European Financial Markets After EMU: A First Assessment
    by Jean-Pierre DANTHINE & Francesco GIAVAZZI & Ernst-Ludwig VON THADDEN
  • 2000 Increased Capital Mobility - A Challenge for National Macroeconomic Policies
    by Paul De Grauwe & Magdalena Polan
  • 2000 Routes to Equity Market Integration - The Interplay between Politicians, Investors and Managers
    by Oxelheim, Lars
  • 2000 One good - two prices
    by Asplund, Marcus & Friberg, Richard
  • 2000 European Financial Markets After EMU: A First Assessment
    by Jean-Pierre DANTHINE & Francesco Giavazzi & Ernst-Ludwig von Thadden
  • 2000 The impact of the euro on money and bond markets
    by Javier Santillán & Marc Bayle & Christian Thygesen
  • 2000 The Role of Self-Regulation in Corporate Governance: Evidence from the Netherlands
    by Jong, A. de & DeJong, D.V. & Mertens, G.M.H. & Wasley, C.
  • 2000 EU Reforms for Tomorrow’s Europe
    by Baldwin, Richard & Berglöf, Erik & Giavazzi, Francesco & Widgrén, Mika
  • 2000 Exchange Rates and Trade: How Important is Hysteresis in Trade?
    by Campa, José Manuel
  • 2000 Exchange Rates in Search of Fundamentals: The Case of the Euro-Dollar Rate
    by De Grauwe, Paul
  • 2000 European Financial Markets After EMU: A First Assessment
    by Danthine, Jean-Pierre & Giavazzi, Francesco & von Thadden, Ernst-Ludwig
  • 2000 On Regional Monetary Arrangements For ASEAN
    by Bayoumi, Tamim & Eichengreen, Barry & Mauro, Paolo
  • 2000 Monetary Policies In The Presence Of Asymmetries
    by De Grauwe, Paul
  • 2000 Options For The Exchange Rate Policies Of The EU Accession Countries (And Other Emerging Market Economies)
    by Bofinger, Peter & Wollmershaeuser, Timo
  • 2000 Big and Small Currencies: The Regional Connection
    by Agnès Bénassy-Quéré & Benoit Coeuré
  • 2000 A Quantitative Analysis Of The Effects Of Capital Controls: Spain, 1986-1990
    by Oscar Bajo-Rubio & Simón Sosvilla-Rivero
  • 2000 The transmission of monetary shocks in the euro area: a V AR analysis based on euro-wide data
    by Jan Kakes & Sitikantha Pattanaik
  • 2000 The transmission of monetary shocks in the euro area: a V AR analysis based on euro-wide data
    by Jan Kakes & Sitikantha Pattanaik
  • 2000 Portfolio Diversification, Leverage, and Financial Contagion
    by Garry J. Schinasi & R. Todd Smith
  • 2000 Az árfolyamrendszer kiválasztása az átmenet országaiban az EMU-csatlakozás előtt
    by Szapáry, György
  • 2000 Az euró első éve és a rövid távon várható változások
    by Rácz, Margit
  • 2000 Domestic Fiscal Policy in a Monetary Union: What are the Spillovers?
    by Heinz Welsch
  • 2000 Is EMU a Blueprint for Mercosur?
    by Eduardo Levy & Federico Sturzenegger
  • 2000 Prices And Exchange Rate of Hellenic Drachma (GRD), During 1981-1995: Are they Dependent from those of EU-partners?
    by Stamatopoulos V.Th.
  • 2000 Privatization and European Economic and Monetary Union
    by Venilde Jeronimo & Jose A. Pagan & Gokce Soydemir
  • 2000 Risk sharing in a federation with population mobility and long horizons
    by Arman Mansoorian
  • 2000 Government debt spillovers and creditworthiness in a federation
    by Stuart Landon & Constance E. Smith
  • 2000 Exchange Rate Regimes: With or Without the Sucre?
    by Agnès Bénassy-Quéré
  • 2000 The accidental redistribution of seignorage wealth in the Eurosystem
    by Hans-Werner Sinn & Holger Feist
  • 2000 The Choice of Exchange Rate Regime and Monetary Target in Highly Dollarized Economies
    by Andrew Berg & Eduardo Borensztein
  • 1999 Dynamic Aspects of Euro-Meditessanean Agressments for the MENA Economies
    by Stern, R.M.
  • 1999 Financial Integration, Vulnerability to Crisis, and EU Accession in Five Central European Countries
    by Nabli, M.
  • 1999 Consumption and Capital Mobility in the Nordic Countries
    by Lindberg, S.
  • 1999 Financial Liberalization and Competition in Banking: an Empirical Investigation
    by Ribon, S. & Yosha, O.
  • 1999 Stock Markets, Banks and Economic Growth: a Reasonable Extreme Bounds Analysis
    by Akhand, H.A.
  • 1999 Endogenous Growth in a Monetary Union
    by Palokangas, T.
  • 1999 Globalization in Historical Perspectives
    by O'Rourke, K.H.
  • 1999 The Asian Crisis: an Alternative View
    by Kumar, R. & Debroy, B.
  • 1999 Financial Integration and Monetary Competition
    by Cardarelli, R. & Vidal, J.-P.
  • 1999 Real Interest Rate Linkages in the GCC Countries
    by Al-Awad, Mouawiya
  • 1999 Is Europe an Optimum Currency Area? Business Cyc1es in the EU
    by Maria Caporale, Guglielmo & Pittis, Nikitas
  • 1999 A New Test of International Financial Integration with Application to the European Union
    by J. Holmes, Mark & J. Pentecost, Eric
  • 1999 Die Reformperspektive der EU-Finanzverfassung nach den Beschlüssen zur Agenda 2000
    by Heinemann, Friedrich
  • 1999 Capital Mobility within EMU
    by Stirböck, Claudia & Heinemann, Friedrich
  • 1999 Stability of monetary unions: Lessons from the break-up of Czechoslovakia
    by Fidrmuc, Jan & Horvath, Julius & Fidrmuc, Jarko
  • 1999 Financial crises after financial liberalization: Exceptional circumstances or structural weakness?
    by Weller, Christian E.
  • 1999 Financial liberalization, multinational banks and credit supply: The case of Poland
    by Weller, Christian E.
  • 1999 The connection between more multinational banks and less real credit in transition economies
    by Weller, Christian E.
  • 1999 The finance-investment link in a transition economy: Evidence for Poland from panel data
    by Weller, Christian E.
  • 1999 Risiken für die Emerging Markets in Mittel- und Osteuropa vor dem Hintergrund der Erfahrungen Thailands, Mexikos und Tschechiens ; Beitrag für den Projektbericht: Währungspolitische Optionen für die mittel- und osteuropäischen Beitrittskandidaten zur EU
    by Sell, Friedrich L.
  • 1999 How does EMU affect the dollar and the yen as international reserve and investment currencies?
    by Frenkel, Michael & Søndergaard, Jens
  • 1999 Risk Sharing in a Federation with Population Mobility and Long Horizons
    by Arman Mansoorian
  • 1999 Border, Border, Wide and Far, How We Wonder What You Are
    by David C. Parsley & Shang-Jin Wei
  • 1999 Do Stock Markets Promote Economic Growth
    by Randall K. Filer & Jan Hanousek & Nauro F. Campos
  • 1999 Une analyse de la compétitivité-prix des PTM et des PECO face à la Zone Euro
    by Bouoiyour, Jamal & Rey, Serge
  • 1999 Financial Sector Inefficiencies and Coordinate Failures: Implications for Crisis Management
    by Pierre-Richard Agenor & Joshua Aizenman
  • 1999 Capital Account Liberalization, Financial Depth and Economic Growth
    by Michael W. Klein & Giovanni Olivei
  • 1999 Banks, the IMF, and the Asian Crisis
    by Bong-Chan Kho & Rene M. Stulz
  • 1999 Global Diversification, Growth and Welfare with Imperfectly Integrated Markets for Goods
    by Bernard Dumas & Raman Uppal
  • 1999 Financial Markets' Assessment of EMU
    by David S. Bates
  • 1999 There Was Monetary Autonomy In Europe On the Eve Of Emu? The German Dominance Hypothesis Re-Examined
    by Oscar Bajo & Maria Dolores Montavez
  • 1999 The Effectiveness of Capital Controls � The Case of Slovenia
    by Claudia M. Buch & Elke Hanschel
  • 1999 Capital Mobility in Euroland � The Role of Banks
    by Claudia M. Buch
  • 1999 Real and Financial Integration in Europe � Evidence for the Accession States and for the Pre-Ins
    by Claudia M. Buch & Jörg Döpke
  • 1999 Stability of Monetary Unions: Lessons from the Break-up of Czechoslovakia
    by Fidrmuc, Jan & Horvath, Julius & Fidrmuc, Jarko
  • 1999 Consumption and Capital Mobility in the Nordic Countries
    by Lindberg, Sara
  • 1999 Eastern Enlargement and Portugal
    by Tania Fernandes
  • 1999 Foreign Direct Investment in the Banking Sector: A Transitional Economy Perspective
    by Luca Papi & Debora Revoltella
  • 1999 The EMU and the NAMU: What is the Case for North American Monetary Union?
    by Buiter, Willem H
  • 1999 The European Central Bank: Decision Rules and Macroeconomic Performance
    by Aksoy, Yunus & De Grauwe, Paul & Dewachter, Hans
  • 1999 Asymmetric shocks among U.S. states
    by Marco Del Negro
  • 1999 Do Stock Markets Promote Economic Growth?
    by Nauro F. Campos & Jan Hanousek & Randall K. Filer
  • 1999 Central Bank Seigniorage: Czech Republic 1993-1997
    by Jacek Cukrowski & Emil Stavrev
  • 1999 Canada’s Exchange Rate Regime and North American Economic Integration: The Role of Risk-Sharing Mechanisms
    by Zahir, Antia & Djoudad, Ramdane & St-Amant, Pierre
  • 1999 A közösségi támogatáspolitika és Magyarország. A külső forrásbevonással szembeni követelmények
    by Losoncz, Miklós
  • 1999 A maastrichti szerződés fiskális kritériumai és a hazai államháztartási helyzet értelmezése
    by Oblath, Gábor
  • 1999 Az euró bevezetésének hatásai az EMU és Magyarország gazdaságára. Az euróövezet gazdaságában várható változások
    by Várhegyi, Éva & Gáspár, Pál
  • 1999 Fiskális politika a Gazdasági és Monetáris Unióban
    by Benczes, István
  • 1999 Financial Market Globalization: Present and Future
    by Okina, Kunio & Shirakawa, Masaaki & Shiratsuka, Shigenori
  • 1999 Dopady Evropské mìnové unie na bankovní sektor (The effects of EMU on th estructure of European banking)
    by Bernhard Speyer
  • 1999 Credit Risks and European Government Bond Markets: A Panel Data Econometric Analysis
    by Jan J.G. Lemmen & Charles A.E. Goodhart
  • 1999 The Expected Failure of the European Economic and Monetary Union: A False Money against the Real Economy
    by Alain Parguez
  • 1999 Money and National Sovereignty in the Global Economy
    by John Smithin
  • 1999 Currency Stabilization through Full Employment: Can EMU Combine Price Stability with Employment and Income Growth?
    by J.A. Kregel
  • 1999 Introduction to Symposium on the European Economic and Monetary Union
    by Mathew Forstater
  • 1999 The Outlook for EMU
    by Peter Kenen
  • 1999 International Portfolio Diversification with Generalized Expected Utility Preferences
    by Joshua Aizenman
  • 1999 Le passe d’une region : les relations monetaires entre Hong Kong et la Chine dans les annees quarante
    by Catherine R. Schenk
  • 1999 La Grande Retransformation ? Integration financiere internationale et controles de capitaux, 1880-1997
    by Marc Flandreau & Marie-Chantale Riviere
  • 1998 Perspektiven des europäischen Steuerwettbewerbs
    by Gregor A. Larbig
  • 1998 Exchange Rate Variability Inside and Outside the EMU
    by Bergbom, L.
  • 1998 Macroeconomic Policy During the Transition of Monetary Union
    by Crowley, P.
  • 1998 Interpreting the ERM Crisis: Country-Specific and Systemic Issues
    by Buiter, W.H. & Corsetti, G.M. & Pesenti, P.A.
  • 1998 Common Information in a Common Market? Variance Changes in European Capital Markets
    by Alford, A. & Meric, G. & Meric, I.
  • 1998 Maxi vs Mini EMU: The Political Economy of Stage III
    by Fratianni, M.
  • 1998 Report of the Expert Group on Banking Charges for Conversion to the Euro
    by Directorate General XV. Internal Market and Financial Services.
  • 1998 EMU and the Cohesion Process
    by Barry, F.
  • 1998 Identifying European Monetary Policy Interactions: French and Spanish System with German Variables
    by Soyoung Kim
  • 1998 Parameterizing Currency Risk in the EMS: The Irish Pound and Spanish Peseta against the German Mark
    by Paul D. McNelis & G.C. Lim
  • 1998 International Diversification and the Irish Economy
    by Philip Lane
  • 1998 Emu, Exchange Rate Volatility and Bid-Ask Spreads
    by Nuno Cassola & Carlos Santos
  • 1998 Network Effects and Welfare Cultures
    by Marianne Bertrand & Erzo Luttmer & Sendhil Mullainathan
  • 1998 Der Euro, ein Segen für Afrika? Folgen der Anbindung der afrikanischen Franc-Zone an den Euro
    by Kohnert, Dirk
  • 1998 Contagion, Bank Lending Spreads and Output Fluctuations
    by P.R. Agenor & J. Aizenman & A. Hoffmaister
  • 1998 Volatility and the Welfare Costs of Financial Market Integration
    by Pierre-Richard Agenor & Joshua Aizenman
  • 1998 Risky Habits: On Risk Sharing, Habit Formation, and the Interpretation of International Consumption Correlations
    by Jeffrey C. Fuhrer & Michael W. Klein
  • 1998 Labor productivities and labor costs in Euroland
    by Siebert, Horst
  • 1998 Banking and balance of payments crises: On possible causes of the twin crises
    by Buch, Claudia M. & Heinrich, Ralph P.
  • 1998 Exchange Rate Variability Inside and Outside the EMU
    by Bergbom, Lennart
  • 1998 Stability of Monetary Unions: Lessons from the Break-Up of Czechoslovakia
    by Fidrmuc, J. & Horváth, J.
  • 1998 Exchange Rate Volatility and Intervention: Implications of the Theory of Optimum Currency Areas
    by Bayoumi, Tamim & Eichengreen, Barry
  • 1998 Is Coordination of Fiscal Deficits Necessary?
    by Huizinga, Harry & Nielsen, Soren Bo
  • 1998 The Risk of Deflation in the Future EMU: Lessons of the 1990s
    by De Grauwe, Paul
  • 1998 Pegging the CEECs Currencies to the Euro
    by Agnès Bénassy-Quéré & Amina Lahrèche-Revil
  • 1998 The International Role of the Euro
    by Agnès Bénassy-Quéré & Benoît Mojon & Armand-Denis Schor
  • 1998 What Caused the Asian Currency and Financial Crisis?
    by Giancarlo Corsetti & Paolo Pesenti & Nouriel Roubini
  • 1998 Contagion and Volatility with Imperfect Credit Markets
    by Pierre-Richard Agénor & Joshua Aizenman
  • 1998 Optimális valutaövezetek, gazdasági integráltság és hasonlatosság: az Európai Unió példája
    by Békés, Gábor
  • 1998 Töprengés a start előtt a Gazdasági és Monetáris Unióról
    by Rácz, Margit
  • 1998 A bankrendszer átrendeződése és az euro. Alkalmazkodási lehetőségek és hatások
    by Gál, Péter
  • 1998 A monetáris unió és Magyarország
    by Fölsz, Attila
  • 1998 La crisis económica internacional: Una reflexión financiera
    by ARBELÁEZ., Fernando & ROMERO., Camilo
  • 1998 A Re-examination of Real Interest Rate Parity
    by Jyh-Lin Wu & Show-Lin Chen
  • 1998 Les PECO et l'euro
    by Agnès Bénassy-Quéré & Amina Lahrèche-Revil & Mathilde Maurel
  • 1997 European Economic and Monetary Union: Problems, Prospects and Global Financial Implications
    by Harvie, C.
  • 1997 Regional Economic Integration and Agricultural Trade
    by Junichi Goto
  • 1997 The Euro and the Dollar
    by McCauley, R.N.
  • 1997 The Effects of Financial Deregulation on Integration : An Australian Perspective
    by Ragunathan, V
  • 1997 The Impact of the Changeover to the Euro on Community Policies, Institutions and Legislation
    by Directorate General II. Economic and Financial Affairs.
  • 1997 Practical Aspects of the Introduction of the Euro
    by Directorate General II. Economic and Financial Affairs.
  • 1997 The Introduction of the Euro. Compilation of Community Legislation and Related Documents
    by Directorate General II. Economic and Financial Affairs.
  • 1997 Checklist on the Introduction of the Euro for Entreprises and Auditors
    by Federation des Experts Comptables Europeens.
  • 1997 Round Table on Practical Aspects of the Changeover to the Euro. May 15, 1997. Summary and Conclusion
    by Directorate General II. Economic and Financial Affairs.
  • 1997 Legal Framework for the Use of the Euro
    by Directorate General II. Economic and Financial Affairs.
  • 1997 The Impact of the Introduction of the Euro on Capital Markets
    by Directorate General II, Economic and Financial Affaires.
  • 1997 Accounting for the Introduction of the Euro
    by Directorate General XV, Internal Market and Financial Services
  • 1997 Preparing Financial Information System for the Euro
    by Directorate General XV. Internal Market and Financial Services.
  • 1997 The Legal Framework for the Use of the Euro. Questions and Answers on the Euro Regulations
    by Directorate General II. Economic and Financial Affairs.
  • 1997 External Aspects of Economic and Monetary Union
    by Directorate General II,Economic and Financial Affairs
  • 1997 Prospects of African Integration in Light of the Theory of Optimum Currency Areas
    by Horváth, Július & Grabowski, Richard
  • 1997 Resolving the Feldstein-Horioka Puzzle
    by Moosa , Imad A.
  • 1997 Macroeconomic coordination and commercial integration in MERCOSUR
    by Afonso S. Bevilaqua
  • 1997 Capital Mobility and Exchange Market Intervention in Developing Countries
    by Michael P. Dooley & Donald J. Mathieson & Liliana Rojas-Suarez
  • 1997 Contagion and Volatility with Imperfect Credit Markets
    by Pierre-Richard Agenor & Joshua Aizenman
  • 1997 Industry Evolution and Transition: A Neoclassical Benchmark
    by Andrew Atkeson & Patrick Kehoe
  • 1997 International Portfolio Diversification with Generalized Expected Utility Preferences
    by Joshua Aizenman
  • 1997 Should the core fear the outs? Price setting practices and international monetary transmission
    by Friberg, Richard
  • 1997 Rational Herd Behavior and the Globalization of Securities Markets
    by Calvo, Guillermo A. & Mendoza, Enrique
  • 1997 Liquidity-Corrected Variance Ratios and the Effect of Foreign Equity Ownership on Information in an Emerging Market
    by Coppejans, Mark & Domowitz, Ian
  • 1997 Monetary Union, Entry Conditions and Economic Reform
    by Ozkan, F Gulcin & Sibert, Anne & Sutherland, Alan
  • 1997 Miniblocs and Fringe Currencies of the EMU
    by Honohan, Patrick
  • 1997 The Stability Pact: Safeguarding the Credibility of the European Central Bank
    by Artis, Michael J & Winkler, Bernhard
  • 1997 EMU: Why and How It Might Happen
    by Wyplosz, Charles
  • 1997 The Indeterminacy of the Euro Conversion Rates. Why it Matters and How it can be Solved
    by De Grauwe, Paul
  • 1997 Income and Consumption Smoothing Among US States: Regions or Clubs?
    by Sorensen, Bent E & Yosha, Oved
  • 1997 Exchange Rate Arrangements between the Ins and the Outs
    by De Grauwe, Paul
  • 1997 Setting Conversion Rates for the Third Stage of EMU
    by De Grauwe, Paul & Spaventa, Luigi
  • 1997 Optimal Pegs for Asian Currencies
    by Agnès Bénassy-Quéré
  • 1997 Interest Rates in East Asian Countries: Internal Financial Structures and International Linkages
    by Isabelle Bensidoun & Virginie Coudert & Laurence Nayman
  • 1997 The EMU debt criterion: an interpretation
    by R. BERNDSEN
  • 1997 Money, prices and the transition to EMU
    by J.M. GROENEVELD & K.G. KOEDIJK & C.J.M. KOOL
  • 1997 The EMU debt criterion: an interpretation
    by R. BERNDSEN
  • 1997 Money, prices and the transition to EMU
    by J.M. GROENEVELD & K.G. KOEDIJK & C.J.M. KOOL
  • 1997 A Provincial View of Economic Integration
    by Tamim Bayoumi & Michael W. Klein
  • 1997 Az EMU működésének néhány gyakorlati problémájáról - elméleti megközelítésben
    by Lőrincné Istvánffy, Hajna
  • 1997 Lőrincné Istvánffy Hajna: Európai pénzügyek. Múlt, jelen, jövő (Közgazdasági és Jogi Könyvkiadó, Budapest, 1996. 510 oldal)
    by Halm, Tamás
  • 1997 Az Európai Monetáris Unió és a statisztika
    by Hüttl, Antónia
  • 1997 EMU: Why and How It Might Happen
    by Charles Wyplosz
  • 1997 The Political Economy of the European Economic and Monetary Union: Political Sources of an Economic Liability
    by Martin Feldstein
  • 1996 On the Mark(s) Optimim Currency Areas in Germany
    by Ghosh, A.R. & Wolf, H.C.
  • 1996 Hysteresis, the Phillips Curve and the Costs of Monetary Union
    by David Cobham & Steve Williams
  • 1996 Monetary Union and the Outsiders - A Cointegration/ Codependence Analysis of Business Cycles in Europe
    by Jonathan Rubin & Niels Thygesen
  • 1996 Corporate Planning and Latin American Economic Integration with NAFTA
    by Joly, A.
  • 1996 Risk Sharing and Redistribution in a Federal System with Population Mobility
    by Arman Mansoorian
  • 1996 Quantifying APEC Trade Liberalization: A Dynamic Analysis
    by Warwick J. McKibbin
  • 1996 Policy Analysis of Foreign Direct Investment into the Russian Federation: A Study of the Current State of Affairs and Prospects for the Future
    by Stern, Richard E.
  • 1996 How to Fix Conversion Rates at the Start of EMU
    by De Grauwe, Paul
  • 1996 Operationalizing the Theory of Optimum Currency Areas
    by Bayoumi, Tamim & Eichengreen, Barry
  • 1996 The Prospects of a Mini Currency Union in 1999
    by De Grauwe, Paul
  • 1996 Inflation Targeting to Achieve Inflation Convergence in the Transition Towards EMU
    by De Grauwe, Paul
  • 1996 Forward Interest Rates as Predictors of EMU
    by De Grauwe, Paul
  • 1996 Getting Pegged: Comparing the 1879 and 1925 Gold Resumptions
    by Bayoumi, Tamim & Bordo, Michael D
  • 1996 Exchange Rate Dynamics and Financial Market Integration
    by Sutherland, Alan
  • 1996 Exchange Rate Regimes and Policies in Asia
    by Agnès Bénassy-Quéré
  • 1996 On the theoretical determination of optimal currency areas in the framework of club theory
    by Friedrich L. Sell
  • 1995 The Hicksian Traverse as a Process of Reproportionning: A Graphical Analysis
    by Henry, J. & Lavoie, M.
  • 1995 Asia-Pacific Capital Markets: Measurement of Integration and the Implications for Economic Activity
    by Menzie Chinn & Michael Dooley
  • 1995 The fundamental determinants of financial integration in the European Union
    by Lemmen, J.J.G. & Eijffinger, S.C.W.
  • 1995 East Germany: The Economics of Kinship
    by von Hagen, Jürgen
  • 1995 Macroeconomic Policy During a Transition to Monetary Union
    by Buiter, Willem H
  • 1995 The Economics of Convergence towards Monetary Union in Europe
    by De Grauwe, Paul
  • 1995 Who Needs Bands? Exchange Rate Policy Before EMU
    by Bayoumi, Tamim
  • 1995 On the Evolution of Credibility and Flexible Exchange Rate Target Zones
    by Avesani, Renzo & Gallo, Giampiero M & Salmon, Mark
  • 1995 Monetary Integration in Europe: Implications for Real Interest Rates, National Stock Markets and the Volatility of Prices and Exchange Rates
    by Canzoneri, Matthew B & Dellas, Harris
  • 1995 L'importance des exclus de l'intégration monétaire en Europe
    by Philippe Martin
  • 1995 Ni change fixe, ni change flexible
    by Agnès Bénassy-Quéré
  • 1994 On the Choice of Invoice Currency by Japanese Exporters: The PTM Approach
    by Shin-ichi Fukuda & Ji Cong
  • 1994 Targeting the real exchange rate
    by Reinhart, Carmen & Calvo, Guillermo & Vegh, Carlos
  • 1994 Are Industrial-Country Consumption Risks Globally Diversified?
    by Maurice Obstfeld
  • 1994 A Formal Model of Optimum Currency Areas
    by Bayoumi, Tamim
  • 1994 Stage Two: Feasible Transitions to EMU
    by Artis, Michael J
  • 1994 Central Bank Constitutions for Monetary Unions
    by Süppel, Ralph & von Hagen, Jürgen
  • 1994 Is Europe an Optimum Currency Area?
    by Bofinger, Peter
  • 1994 International Capital Mobility in the 1990s
    by Obstfeld, Maurice
  • 1994 Monetary Policies in the EMS: Lessons from the Great Recession of 1991-3
    by De Grauwe, Paul
  • 1994 On the Optimality of Consumption Across Canadian Provinces
    by Bayoumi, Tamim
  • 1994 Consumption, Income, and International Capital Market Integration
    by Bayoumi, Tamim
  • 1994 Trade Policy and Regional Integration: Implications for the Relations between Europe and Africa
    by Collier, Paul & Toye, John
  • 1994 Les systèmes de paiements dans l'intégration européenne
    by Michel Aglietta
  • 1994 An analysis of the ECU as an invoicing currency in international trade in the period 1983-1990
    by M. VAN LEUVENSTEIJN
  • 1994 An analysis of the ECU as an invoicing currency in international trade in the period 1983-1990
    by M. VAN LEUVENSTEIJN
  • 1994 A Formal Model of Optimum Currency Areas
    by Tamim Bayoumi
  • 1993 Resource Allocation During the Transition to a Market Economy: Political Implications of Supply Bottlenecks and Adjustment Costs
    by Joshua Aizenman & Peter Isard
  • 1993 The Political Economy of Monetary Union in Europe
    by De Grauwe, Paul
  • 1993 On the Feasibility of a One- or Multi-Speed European Monetary Union
    by Alesina, Alberto F & Grilli, Vittorio
  • 1993 Currency Substitution
    by Giovannini, Alberto & Turtelboom, Bart
  • 1993 Asymmetry in the ERM: A Case Study of French and German Interest Rates Since Basel-Nyborg
    by Gardner, Edward H & Perraudin, William
  • 1993 Asymmetry in the ERM: A Case Study of French and German Interest Rates Before and After German Unification
    by Edward H. Gardner & William R. M. Perraudin
  • 1992 Economic and Monetary Union: Critical Notes on the Maastricht Treaty Revisions
    by Niels Thygesen
  • 1992 Monetary Union, Money Demand and Money Supply: A Review of the German Monetary Union
    by von Hagen, Jürgen
  • 1992 The Integration of Financial Services and Economic Welfare after `1992'
    by Ryan, Cillian
  • 1992 Real Exchange Rates Within and Between Currency Areas: How Far Away is EMU?
    by Neumann, Manfred J.M. & von Hagen, Jürgen
  • 1992 Inflation Convergence During the Transition to EMU
    by De Grauwe, Paul
  • 1992 A Multilateral Payments Union for the Commonwealth of Independent States: Why and How?
    by Bofinger, Peter & Gros, Daniel
  • 1992 Problems of Post-CMEA Trade and Payments
    by Rosati MEP, Dariusz
  • 1992 Fiscal Policy Coordination and EMU: A Dynamic Game Approach
    by Brociner, Andrew & Levine, Paul L
  • 1992 Fiscal Policies and the Choice of Exchange Rate Regime
    by Grilli, Vittorio
  • 1992 East Germany, West Germany, and their Mezzogiorno Problem: An Empirical Investigation
    by Hughes Hallett, Andrew & Ma, Yue
  • 1992 Common Currency Areas and Currency Unions: An Analysis of the Issues
    by Masson, Paul R & Taylor, Mark P
  • 1992 Monetary Policy in Stage Two of EMU
    by Moore, Michael J & O'Connell, Thomas
  • 1992 The Case for Central Bank Independence
    by Jakob De Haan & Jan Egbert Sturm
  • 1992 The Case for Central Bank Independence
    by Jakob De Haan & Jan Egbert Sturm
  • 1992 Exchange Rate Flexibility, Volatility, and Domestic and Foreign Direct Investment
    by Joshua Aizenman
  • 1992 Increasing Export Diversification in Commodity Exporting Countries: A Theoretical Analysis
    by A. Derosa
  • 1992 The Effect of the ERM on Participating Economies
    by Tamim Bayoumi
  • 1992 Economic and Monetary Union in Europe
    by Charles R. Bean
  • 1992 A Note from the President-Elect
    by Zvi Griliches
  • 1991 Time-Varying Estimates on the Openness of the Capital Account in Korea and Taiwan
    by Helmut Reisen & Hélène Yèches
  • 1991 International Currency Regimes, Capital Mobility, and Macroeconomic Policy
    by James Tobin
  • 1991 Options for a New Monetary Framework for the Area of the Soviet Union
    by Bofinger, Peter
  • 1991 Inflation Convergence with Realignments in a Two-Speed Europe
    by Lambertini, Luisa & Miller, Marcus & Sutherland, Alan
  • 1991 The Currency Reform as the Last Stage of Economic and Monetary Union: Some Policy Questions
    by Giovannini, Alberto
  • 1991 Designing a Central Bank for Europe: A Cautionary Tale from the Early Years of the Federal Reserve System
    by Eichengreen, Barry
  • 1991 Monetary Policy in an Emerging European Economic and Monetary Union: Key Issues
    by Jacob A. Frenkel & Morris Goldstein
  • 1991 On the First Year of German Monetary, Economic and Social Union
    by Irwin L. Collier
  • The Effectiveness of Monetary and Fiscal Policy with Different Degrees of Goods and Financial Market Integration
    by Özge Senay
  • Regional Inflation and Financial Dollarization
    by Brown, Martin & De Haas, Ralph & Sokolov, Vladimir
  • The Impact of Trading Activity by Trader Types on Asymmetric Volatility in Nasdaq-100 Index Futures
    by Jullavut Kittiakaraskun & Yiuman Tse & George H.K. Wang
  • India's Experience in Navigating the Trilemma: Do Capital Controls Help?
    by R. Kohli
  • India's Experience in Navigating the Trilemma: Do Capital Controls Help?
    by R. Kohli
  • Capital Account Policies and the Real Exchange Rate
    by Olivier Jeanne
  • Monetary Policy and the Stock Market: Some International evidence
    by Luis Angeles
  • Migrant Remittances, Human Capital Formation and Job Creation Externalities in Colombia
    by Maurice Kugler
  • Capital Account Controls, Bank’s Efficiency, Growth and Macroeconomic Volatility in the FLAR’s Member Countries?
    by Humberto Mora & Hernán Rincón