This file is part of IDEAS , which uses RePEc data
[ Papers |
Articles |
Software |
Books |
Chapters |
Authors |
Institutions |
JEL Classification |
NEP reports |
Search |
New papers by email |
Author registration |
Rankings |
Volunteers |
FAQ |
Blog |
Help! ]
Research classified by
Journal of
Economic Literature (JEL) codes Top JEL
/ G: Financial Economics
/ / G1: General Financial Markets
/ / / G18: Government Policy and Regulation
Most recent items first, undated at the end.
2009 Addressing the psychology of financial markets by Tuckett, David [Downloadable!]
2009 Where Have All the Shooting Stars Gone? by Mario Holzner & Sebastian Leitner & Josef Pöschl & Anton Mihailov & Waltraut Urban & Hermine Vidovic & Leon Podkaminer & Sándor Richter & Olga Pindyuk & Vladimir Gligorov & Gábor Hunya & Vasily Astrov & Peter Havlik & Zdenek Lukas [Downloadable!]
2009 Greenspan’s Legacy and Bernanke’s attitude to the Financial Crisis by John Ryan & Adam Koronowski [Downloadable!]
2009 Regulating Financial Innovations Without Apology by Pol, Eduardo [Downloadable!]
2009 El Mercado de Valores Chileno: Análisis y Propuesta en el Ámbito Tributario by Claudio Agostini & Carlos Budnevich [Downloadable!]
2009 A Note on Studies of Monetary Policy and Implementation in Vietnam by Tran Tri Dung & Quan-Hoang Vuong [Downloadable!]
2009 Short-Selling Bans around the World: Evidence from the 2007-09 Crisis by Alessandro Beber & Marco Pagano [Downloadable!]
2009 Credit Ratings Failures and Policy Options by Marco Pagano & Paolo Volpin [Downloadable!]
2009 Disposition in the Carbon Market and Institutional Constraints by Leon Vinokur [Downloadable!]
2009 Evaluation with Dynamic Reference: Sustainable Investment by Leon Vinokur [Downloadable!]
2009 Competitiveness of the Polish economy compared with the Romanian one by Wioletta Wereda & Alina Hagiu [Downloadable!]
2009 The Global Financial Crisis – The Consequences Of Sins Of The (American) Fathers by Woodrow Sears [Downloadable!]
2009 Das Goodwill-Modell des Wettbewerbsmarktes: Vertrauen ermöglichen und Arbeitsplätze schaffen by Rapold, Ingo [Downloadable!]
2009 Responding to the 2007- 09 financial crisis: A new Consumer Financial Protection Agency? by Tatom, John [Downloadable!]
2009 La exigencia de capitales mínimos por riesgo de mercado - Nota técnica by Delfiner, Miguel & del Canto, Angel [Downloadable!]
2009 When risk weights increase the risk: some concerns for capital regulation by Varsanyi, Zoltan [Downloadable!]
2009 The structural funds management in third-Central and Eastern European by Duduiala-Popescu, Lorena [Downloadable!]
2009 Does Pre-trade Transparency Affect Market Quality in the Tokyo Stock Exchange? by Hideaki Sakawa & Masato Ubukata [Downloadable!]
2009 Policy Evaluation of Public Insurance Institutions from the view points of flow of funds by Manabe Masashi [Downloadable!]
2009 Financial Stability in the United Kingdom: Banking on Prudence by E. Philip Davis [Downloadable!]
2009 Le secteur financier peut-il rester le principal moteur de la croissance au Luxembourg? by Arnaud Bourgain & Patrice Pieretti & Jens Høj [Downloadable!]
2009 Can the Financial Sector continue to be the Main Growth Engine in Luxembourg? by Arnaud Bourgain & Patrice Pieretti & Jens Høj [Downloadable!]
2009 Pension Fund Investment in Infrastructure by Georg Inderst [Downloadable!]
2009 Pension Coverage and Informal Sector Workers: International Experiences by Yu-Wei Hu & Fiona Stewart [Downloadable!]
2009 Pensions in Africa by Fiona Stewart & Juan Yermo [Downloadable!]
2009 Mortgage Default, Foreclosure, and Bankruptcy by Wenli Li & Michelle J. White [Downloadable!]
2009 Credit Default Swaps and the Credit Crisis by René M. Stulz [Downloadable!]
2009 Systemic Risk and the Refinancing Ratchet Effect by Amir E. Khandani & Andrew W. Lo & Robert C. Merton [Downloadable!]
2009 When Everyone Runs for the Exit by Lasse Heje Pedersen [Downloadable!]
2009 Why Did Some Banks Perform Better During the Credit Crisis? A Cross-Country Study of the Impact of Governance and Regulation by Andrea Beltratti & René M. Stulz [Downloadable!]
2009 Moral and Social Constraints to Strategic Default on Mortgages by Luigi Guiso & Paola Sapienza & Luigi Zingales [Downloadable!]
2009 When Does Libertarian Paternalism Work? by Bruce Ian Carlin & Simon Gervais & Gustavo Manso [Downloadable!]
2009 Amplification Mechanisms in Liquidity Crises by Arvind Krishnamurthy [Downloadable!]
2009 Land Policy: Founding Choices and Outcomes, 1781-1802 by Farley Grubb [Downloadable!]
2009 Watch What I Do, Not What I Say: The Unintended Consequences of the Homeland Investment Act by Dhammika Dharmapala & C. Fritz Foley & Kristin J. Forbes [Downloadable!]
2009 Legal Protection in Retail Financial Markets by Bruce I. Carlin & Simon Gervais [Downloadable!]
2009 How the Subprime Crisis Went Global: Evidence from Bank Credit Default Swap Spreads by Barry Eichengreen & Ashoka Mody & Milan Nedeljkovic & Lucio Sarno [Downloadable!]
2009 Wall Street's First Corporate Governance Crisis: The Panic of 1826 by Eric Hilt [Downloadable!]
2009 Do Regulations Based on Credit Ratings Affect a Firm's Cost of Capital? by Darren J. Kisgen & Philip E. Strahan [Downloadable!]
2009 A New Metric for Banking Integration in Europe by Reint Gropp & Anil Kashyap [Downloadable!]
2009 Leverage Bubbles by Fares Triki [Downloadable!]
2009 Financial Crisis And New Dimensions Of Liquidity Risk: Rethinking Prudential Regulation And Supervision by Elisabetta Gualandri & Andrea Landi & Valeria Venturelli [Downloadable!]
2009 De ce şi cum trebuie projetaţi investitorii în instrumente financiare (Why and how investors in financial instruments have to be protected) by Arnaldo MAURI & Claudia Gabriela BAICU [Downloadable!]
2009 Economic Loan Loss Provision and Expected Loss by Stefan Hlawatsch & Sebastian Ostrowski [Downloadable!]
2009 Die internationale Finanzkrise: Ursachen, Treiber, Veränderungsbedarf und Reformansätze by Rudolph, Bernd [Downloadable!]
2009 Transparency through Financial Claims with Fingerprints – A Free Market Mechanism for Preventing Mortgage Securitization Induced Financial Crises by Helmut Gründl & Thomas Post [Downloadable!]
2009 Impact of Financial Liberalisation on Stock Market Liquidity: Experience of China by Jess Lee & Alfred Wong [Downloadable!]
2009 The Propagation of Financial Extremes by Chollete, Lorán [Downloadable!]
2009 Origins and Resolution of Financial Crises; Lessons from the Current and Northern European Crises by Ostrup, Finn & Oxelheim, Lars & Wihlborg, Clas [Downloadable!]
2009 Get Shorty? - Market Impact of the 2008-09 U.K. Short Selling Ban by Hansson, Fredrik & Rüdow Fors, Erik [Downloadable!]
2009 Stock return seasonalities and investor structure: Evidence from China's B-share markets by Bohl, Martin T. & Schuppli, Michael & Siklos, Pierre L. [Downloadable!]
2009 Systemic Risk and the Refinancing Ratchet Effect by Amir E. Khandani & Andrew W. Lo & Robert C. Merton [Downloadable!]
2009 Is Oil A Financial Asset? An Empirical Investigation Spanning the Last Fifteen Years by Giulio Cifarelli & Giovanna Paladino [Downloadable!]
2009 Interbank Market Liquidity and Central Bank Intervention by Franklin Allen & Elena Carletti & Douglas Gale [Downloadable!]
2009 A Marketing Scheme for Making Money off Innocent People: A User's Manual by Basu, Kaushik [Downloadable!]
2009 Land Policy: Founding Choices and Outcomes, 1781-1802 by Farley Grubb [Downloadable!]
2009 Quantifying private benefits of control from a structural model of block trades by Albuquerque, Rui & Schroth, Enrique [Downloadable!]
2009 Moral and Social Constraints to Strategic Default on Mortgages by Guiso, Luigi & Sapienza, Paola & Zingales, Luigi [Downloadable!]
2009 Growing like China by Song, Zheng Michael & Storesletten, Kjetil & Zilibotti, Fabrizio [Downloadable!]
2009 The Future of Securities Regulation by Zingales, Luigi [Downloadable!]
2009 Do Economic Policymakers Practice what they Preach? The Case of Pension Decisions by Momi Dahan & Tehila Kogut & Moshe Shalem [Downloadable!]
2009 An Options Pricing Approach for CO2 Allowances in the EU ETS by Beat Hintermann [Downloadable!]
2009 To Trade or Not to Trade: The Strategic Trading of Insiders around News Announcements by Adriana Korczak & Piotr Korczak & Meziane Lasfer [Downloadable!]
2009 Fuzzy Capital Requirements, Risk-Shifting and the Risk Taking Channel of Monetary Policy by Dubecq, S. & Mojon, B. & Ragot, X. [Downloadable!]
2009 What determines the size of bank loans in industrialized countries? The role of government debt by Riccardo De Bonis & Massimiliano Stacchini [Downloadable!]
2009 An assessment of financial sector rescue programmes by Fabio Panetta & Thomas Faeh & Giuseppe Grande & Corrinne Ho & Michael King & Aviram Levy & Federico M. Signoretti & Marco Taboga & Andrea Zaghini [Downloadable!]
2009 Prudential Regulation and Supervision Instruments and Aims: A General Framework by Claire Giordano [Downloadable!]
2009 Short Changed? The Market's Reaction to the Short Sale Ban of 2008 by Louis Gagnon & Jonathan Witmer [Downloadable!]
2009 Marco Institucional de la Contabilidad y las Finanzas by Galindo Lucas, Alfonso [Downloadable!]
2009 The Failure of Northern Rock - A Multidimensional Case Study by Tim Congdon & Charles A.E. Goodhart & Robert A. Eisenbeis & George G. Kaufman & Paul Hamalainen & Rosa M. Lastra & David T. Llewellyn & David G. Mayes & Geoffrey Wood & Alastair Milne & Marco Onado & Michael Taylor [Downloadable!]
2009 Strategic directions focused on SMEs for the way out of crisis by NICOLESCU Ovidiu [Downloadable!]
2009 Credit Support To Investment In The Czech Republic by Karel Janda [Downloadable!]
2009 The German Sub-national Government Bond Market: Structure, Determinants of Yield Spreads and Berlin's Forgone Bail-out by Alexander Schulz & Guntram B. Wolff [Downloadable!]
2009 Küresel iktisadi kriz by Daron ACEMOĞLU
2009 Global economics crisis and IMF by Michael MUSSA
2009 Rentabilidad, concentración y eficiencia en el sistema bancario mexicano by Guerrero Mora, Rodolfo & Villalpando Benítez, Mario
2009 Los mercados de las rentas vitalicias en Chile. Competencia, regulación, ¿y miopía? by Walker, Eduardo
2009 Verbraucherpolitik und Finanzmarkt: neue Institutionen braucht das Land? by Rainer Metz [Downloadable!]
2009 Look Before You Leap: A Skeptical View of Proposals to Meld Macro- and Microprudential Regulation by Nick Le Pan [Downloadable!]
2009 The Default-Prone U.S. Toxic Asset Auction Plan by Charles Zhoucheng Zheng [Downloadable!]
2009 Central counterparties for over-the-counter derivatives by Stephen G Cecchetti & Jacob Gyntelberg & Marc Hollanders [Downloadable!]
2009 Global Financial Crisis Impact on Bulgarian Stock Exchange by Plamen D. Tchipev [Downloadable!]
2009 Increasing the efficiency of bond covenants: a proposal for the Italian market by Flavio Bazzana & Marco Palmieri [Downloadable!]
2009 New rules for a global financial system by Michele Bagella & Paolo Paesani [Downloadable!]
2009 Financial crisis and new dimensions of liquidity risk: rethinking prudential regulation and supervision by Elisabetta Gualandri & Andrea Landi & Valeria Venturelli [Downloadable!]
2009 Regulatory harmonisation and cooperation to overcome the crisis in Europe by Lamberto Cardia [Downloadable!]
2009 For a complete re-thinking of European surveillance structure: the ABI proposal by Giuseppe Zadra [Downloadable!]
2008 Empirische Analyse des Offenlegungszeitpunkts von Jahresabschlüssen nach dem EHUG by Henselmann, Klaus & Kaya, Devrimi [Downloadable!]
2008 Analyzing the interest rate risk of banks using time series of accounting-based data: evidence from Germany by Wilkens, Marco & Memmel, Christoph & Entrop, Oliver & Zeisler, Alexander [Downloadable!]
2008 The German sub-national government bond market: evolution, yields and liquidity by Schulz, Alexander & Wolff, Guntram B. [Downloadable!]
2008 Political Economy Origins of Financial Markets in Europe and Asia by Svetlana Andrianova & Panicaos Demetriades & Chenggang Xu [Downloadable!]
2008 Rol del Gobierno. ¿Qué opinan los uruguayos? by Zuleika Ferre & Natalia Melgar & Máximo Rossi [Downloadable!]
2008 Integrating with Their Feet: Cross-Border Lending at the German-Austrian Border by Jarko Fidrmuc & Christa Hainz [Downloadable!]
2008 Managing Financial Instability in Emerging Markets: A Keynesian Perspective by Yilmaz Akyuz [Downloadable!]
2008 Value at Risk (VaR) and the alpha-stable distribution by John C. Frain [Downloadable!]
2008 The financial storms in Vietnam’s transition economy: A reasoning on the 1991-2008 period by André Farber & Nguyen Huu Tu & Tran Tri Dung & Quan-Hoang Vuong [Downloadable!]
2008 Securitization, Transparency and Liquidity by Marco Pagano & Paolo Volpin [Downloadable!]
2008 Pharmaceutical industry, drug quality and regulation. Evidence from US and Italy by Vincenzo Atella & Jay Bhattacharya & Lorenzo Carbonari [Downloadable!]
2008 Effectivité de la coopération judiciaire dans la Lutte contre le blanchiment d’argent (Effectiveness of judicial cooperation in the struggle against money laundering) by Eric Vernier & Charlotte Gaudin [Downloadable!]
2008 Regulacion de la competencia inter-cpaitalista. El caso de los supermercados by Viego, Valentina [Downloadable!]
2008 Validation of the Regional Authority Index by SCHAKEL , ARJAN H. [Downloadable!]
2008 Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design by van den Hauwe, Ludwig [Downloadable!]
2008 SMEDA SME Policy paper 2007- A Critical Review (An analytical commentary upon SME policy proposed by SMEDA Pakistan) by Saleem, Shahid [Downloadable!]
2008 La exigencia de capitales mínimos por riesgo de tasa de interés - Nota técnica by Delfiner, Miguel & Del Canto, Angel [Downloadable!]
2008 What’s Went Wrong With Mesdaq Market? by Wan Mahmood, Wan Mansor & Syed Tazhili, Sharifah Nurhidayu [Downloadable!]
2008 Un método de Cálculo y Temporización de Previsiones Cíclicas para el Sistema Financiero Boliviano by Gonzales-Martínez, Rolando & Hurtado, Enrique & Valdivia, Pedro [Downloadable!]
2008 Agrarian Structure and Endogenous Financial System Development by Vollrath, Dietrich [Downloadable!]
2008 Cross-Cutting Literature Review on the Drivers of Local Council Accountability and Performance by Lankina, Tomila [Downloadable!]
2008 دور بورصة النيل فى تنمية المشروعات الصغيرة والمتوسطة فى مصر by Alasrag, Hussien [Downloadable!]
2008 Agrarian Structure and Endogenous Financial System Development by Vollrath, Dietrich [Downloadable!]
2008 What broke the bubble? by Barnett, William A. [Downloadable!]
2008 Evaluating the Impact of Risk Based Funding Requirements on Pension Funds by Jordy Peek & Andreas Reuss & Gerhard Scheuenstuhl [Downloadable!]
2008 Governance and Investment of Public Pension Reserve Funds in Selected OECD Countries by Juan Yermo [Downloadable!]
2008 Sovereign Wealth and Pension Fund Issues by A. Blundell-Wignall & Yu-Wei Hu & Juan Yermo [Downloadable!]
2008 An Empirical Model of Subprime Mortgage Default From 2000 to 2007 by Patrick Bajari & Chenghuan Sean Chu & Minjung Park [Downloadable!]
2008 Equity Depletion from Government-Guaranteed Debt by Robert E. Hall [Downloadable!]
2008 Will the U.S. Bank Recapitalization Succeed? Eight Lessons from Japan by Takeo Hoshi & Anil K Kashyap [Downloadable!]
2008 Competitive Lending with Partial Knowledge of Loan Repayment by William A. Brock & Charles F. Manski [Downloadable!]
2008 A Model of Capital and Crises by Zhiguo He & Arvind Krishnamurthy [Downloadable!]
2008 Short Sales and Trade Classification Algorithms by Paul Asquith & Rebecca Oman & Christopher Safaya [Downloadable!]
2008 Bank Governance, Regulation, and Risk Taking by Luc Laeven & Ross Levine [Downloadable!]
2008 Life-cycle Investing and Leverage: Buying Stock on Margin Can Reduce Retirement Risk by Ian Ayres & Barry J. Nalebuff [Downloadable!]
2008 Managing Public Investment Funds: Best Practices and New Challenges by Olivia S. Mitchell & John Piggott & Cagri Kumru [Downloadable!]
2008 Hedge Fund Contagion and Liquidity by Nicole M. Boyson & Christof W. Stahel & Rene M. Stulz [Downloadable!]
2008 Market Liquidity, Asset Prices and Welfare by Jennifer Huang & Jiang Wang [Downloadable!]
2008 The Underpricing of Initial Public Offerings in Imperial Germany, 1870-1896 by Carsten Burhop [Downloadable!]
2008 Der Internal Capital Adequacy Assessment Process als regulatorischer Treiber eines aktiven Kreditportfoliomanagements by Gann, Philipp [Downloadable!]
2008 The End of Financial Repression? A Cross-Country Analysis of Investment by Panicos O. Demetriades & Gregory A. James & Kevin Lee [Downloadable!]
2008 Political Economy Origins of Financial Markets in Europe and Asia by Svetlana Andrianova & Panicos Demetriades & Chenggang Xu [Downloadable!]
2008 Credit Crises, Risk Management Systems and Liquidity Modelling by Frank Milne [Downloadable!]
2008 Agrarian Structure and Endogenous Financial System Development by Dietz Vollrath [Downloadable!]
2008 Markets and Housing Finance by Veronica Cacdac Warnock & Francis E. Warnock [Downloadable!]
2008 Tick Size Change on the Stock Exchange of Thailand by Pavabutra, Pantisa & Prangwattananon, Sukanya [Downloadable!]
2008 Do Macroeconomic Variables Forecast Changes in Liquidity? An Out-of-sample Study on the Order-driven Stock Markets in Scandinavia by Söderberg, Jonas [Downloadable!]
2008 Governing the Governors: A Clinical Study of Central Banks by Frisell, Lars & Roszbach, Kasper & spagnolo, giancarlo [Downloadable!]
2008 Globalization, Transparency and Economic Growth: The Vulnerability of Chinese Firms to Macroeconomic Shocks by Oxelheim, Lars [Downloadable!]
2008 EU – China and the Non-transparent Race for Inward FDI by Oxelheim, Lars & Ghauri, Pervez [Downloadable!]
2008 Codes of Good Governance in Hungary by Zsolt Bedo & Eva Ozsvald [Downloadable!]
2008 Oil price Dynamics and Speculation. A Multivariate Financial Approach by Giulio Cifarelli & Giovanna Paladino [Downloadable!]
2008 Which Government Interventions Are Good in Alleviating Credit Market Failures? by Karel Janda [Downloadable!]
2008 The Benefits of a Financial Transactions Tax by Dean Baker [Downloadable!]
2008 Permanence and innovation in central banking policy for financial stability by Michel Aglietta & Laurence Scialom [Downloadable!]
2008 Spillover of Corporate Governance Standards in Cross-Border Mergers and Acquisitions by Martynova, M. & Renneboog, L.D.R. [Downloadable!]
2008 Securitization, Transparency and Liquidity by Pagano, Marco & Volpin, Paolo [Downloadable!]
2008 Free Flows, Limited Diversification: Explaining the Fall and Rise of Stock Market Correlations, 1890-2001 by Quinn, Dennis & Voth, Hans-Joachim [Downloadable!]
2008 Governing the Governors: A Clinical Study of Central Banks by Frisell, Lars & Roszbach, Kasper F. & Spagnolo, Giancarlo [Downloadable!]
2008 Determinants of the Block Premium and of Private Benefits of Control by Albuquerque, Rui & Schroth, Enrique [Downloadable!]
2008 Integrating with their Feet: Cross-Border Lending at the German-Austrian Border by Jarko Fidrmuc & Christa Hainz [Downloadable!]
2008 The Regulatory Response to the Financial Crisis by Charles A. E. Goodhart [Downloadable!]
2008 Private Information in Executives' Option Trades: Evidence from the UK by Kyriacou, Kyriacos & Luintel, Kul B & Mase, Bryan [Downloadable!]
2008 Financial Structure and Economic Growth by Luintel, Kul B & Khan, Mosahid & Arestis, Philip & Theodoridis, Konstantinos [Downloadable!]
2008 Institutions Matter: Financial Supervision Architecture, Central Bank and Path Dependence. General Trends and the South Eastern European Countries by Donato Masciandaro & Marc Quintyn [Downloadable!]
2008 The Regulation and Supervision of the Belgian Financial System (1830 - 2005) by Erik Buyst & Ivo Maes [Downloadable!]
2008 Empirical analysis of corporate credit lines by Gabriel Jiménez & José A. López & Jesús Saurina [Downloadable!]
2008 Indici di sviluppo finanziario e crescita: l'evidenza sull'Italia by Rosa Capolupo [Downloadable!]
2008 Qualità della negoziazione e tutela dell'investitore by Mario Anolli & Giovanni Petrella [Downloadable!]
2008 Why Is This Financial Crisis Occurring? How To Respond To It? by Daianu, Daniel & Lungu, Laurian [Downloadable!]
2008 Why A Switch From Payg To Funded Pension System Has No Link To Demographic Development? by Jan Kubíček [Downloadable!]
2008 Being Proactive Versus Reactive - The Sollution Of Self-Government by Costea Carmen & Popescu Constantin & Tasnadi Alexandru & Badea Liana & Badea Liana & Stanciu Miltiade [Downloadable!]
2008 Equilibrium Security Prices with Capital Income Taxes and an Exogenous Interest Rate by Marc Steffen Rapp & Bernhard Schwetzler [Downloadable!]
2008 An Illustration of the Impact of Economic and Political Risk Using the Country Credit Rating Model for Japan, Malaysia and Russia by Carl B.McGowan, Jr. [Downloadable!]
2008 Who Does a Currency Transaction Tax Harm More: Short-Term Speculators or Long-Term Investors? by Markus Demary [Downloadable!]
2008 The Use of Agent-Based Financial Market Models to Test the Effectiveness of Regulatory Policies by Frank H. Westerhoff [Downloadable!]
2008 Türkiye’de uluslararasılaşma sürecindeki sermayenin üretken ve para sermaye arasındaki zaman yönelimli stratejik tercihi by Derya Gültekin KARAKAŞ & Fuat ERCAN
2008 The Determinant of Commercial Bank Interest Margin and Profitability: Evidence from Tunisia by Samy Bennaceur, Mohamed Goaied [Downloadable!]
2008 Internationale Finanzkrise erhöht Reformdruck im Bankensektor by Mechthild Schrooten [Downloadable!]
2008 Bank Regulation in Japan by Nobusuke Tamaki [Downloadable!]
2008 Reducing foreign exchange settlement risk by Robert Lindley [Downloadable!]
2008 Managing international reserves: how does diversification affect financial costs? by Srichander Ramaswamy [Downloadable!]
2007 A Heterogenous Agents Model Usable for the Analysis of Currency Transaction Taxes by Demary, Markus [Downloadable!]
2007 Pensionsverpflichtungen: Ein unternehmerischer Risikofaktor? by Stefan Hubrich & Thusnelda Tivig & Hans-Dieter Stubben [Downloadable!]
2007 Model-Based Stress Tests: Linking Stress Tests to VaR for Market Risk by Carol Alexander & Elizabeth Sheedy [Downloadable!]
2007 Investors’ behaviour in the Chinese Stock Exchanges: Empirical Evidence in a Systemic Approach by Lucarelli, Caterina & Palomba, Giulio [Downloadable!]
2007 Why Bubble-Bursting Is Unpredictable: Welfare Effects Of Anti-Bubble Policy When Central Banks Make Mistakes by Kai, Guo & Conlon, John R. [Downloadable!]
2007 Short-Sale Constraints and the Idiosyncratic Volatility Puzzle: An Event Study Approach by Doran, James & Jiang, Danling & Peterson, David [Downloadable!]
2007 An actuarial approach to short-run monetary equilibrium by Mierzejewski, Fernando [Downloadable!]
2007 Corporate governance of banks: the current state of the debate by Polo, Andrea [Downloadable!]
2007 Reconsidérer la fonction de PDR : problème urgent au niveau de la zone euro by Albulescu, Claudiu Tiberiu [Downloadable!]
2007 The Role of Loan Guarantee Schemes in Alleviating Credit Rationing in the UK by Cowling, Marc [Downloadable!]
2007 ¿Puede el gobierno corporativo aprender del gobierno público? by Brugger Jakob, Samuel Immanuel [Downloadable!]
2007 Composite and decomposable indicators for evaluating RIA systems in practice: proposals for discussion and testing by de Panizza, Andrea [Downloadable!]
2007 The Romanian Financial Market and the Financial Markets from EU - A Integration Analysis by Dima, Bogdan & Pirtea, Marilen & Barna, Flavia & Murgea, Aurora [Downloadable!]
2007 Delivering Access to Safe Drinking Water and Adequate Sanitation in Pakistan by Faheem Jehangir Khan & Yaser Javed [Downloadable!]
2007 X-efficiency, Scale Economies, Technological Progress and Competition: A Case of Banking Sector in Pakistan by Abdul Qayyum & Sajawal Khan [Downloadable!]
2007 Policy evaluation of Public Financial Institutions from the view points of flow of funds by Manabe Masashi [Downloadable!]
2007 Enhancing the Benefits of Financial Liberalisation in Belgium by Stefan Ide & Jens Høj & Patrick Lenain [Downloadable!]
2007 Reforming the Valuation and Funding of Pension Promises: are Occupational pension Plans Safer? by Juan Yermo [Downloadable!]
2007 Pension Fund Investment in Hedge Funds by Fiona Stewart [Downloadable!]
2007 Implications of Behavioural Economics for Mandatory Individual Account Pension Systems by Waldo Tapia & Juan Yermo [Downloadable!]
2007 Inefficient Credit Booms by Guido Lorenzoni [Downloadable!]
2007 Financial Risk in the Biotechnology Industry by Joseph H. Golec & John A. Vernon [Downloadable!]
2007 Financiers vs. Engineers: Should the Financial Sector be Taxed or Subsidized? by Thomas Philippon [Downloadable!]
2007 Guaranteed Trouble: The Economic Effects of the Pension Benefit Guaranty Corporation by Jeffrey R. Brown [Downloadable!]
2007 Accounting for the Rise in Consumer Bankruptcies by Igor Livshits & James MacGee & Michèle Tertilt [Downloadable!]
2007 International Financial Integration and Entrepreneurial Firm Activity by Laura Alfaro & Andrew Charlton [Downloadable!]
2007 Markets and Housing Finance by Veronica Cacdac Warnock & Francis E. Warnock [Downloadable!]
2007 A Theory of Liquidity and Regulation of Financial Intermediation by Emmanuel Farhi & Mikhail Golosov & Aleh Tsyvinski [Downloadable!]
2007 The Crash of 1882, Counterparty Risk, and the Bailout of the Paris Bourse by Eugene N. White [Downloadable!]
2007 Monitoring pro-cyclicality under the capital requirements directive : preliminary concepts for developing a framework by Nancy Masschelein [Downloadable!]
2007 The Truth about Moral Hazard and Adverse Selection. Eighteenth Annual Herbert Lourie Memorial Lecture on Health Policy by Mark V. Pauly [Downloadable!]
2007 Liquidity Risk and Monetary Policy by Sauer, Stephan [Downloadable!]
2007 Kreditrisikotransfer – Abbau alter gegen den Aufbau neuer Risiken? by Rudolph, Bernd [Downloadable!]
2007 Industrial Policy in Asia by Kuchiki, Akifumi [Downloadable!]
2007 A Flowchart Approach to Malaysia's Automobile Industry Cluster Policy by Kuchiki, Akifumi [Downloadable!]
2007 Institutional Development of Capital Markets in Nine Asian Economies by Nakagawa, Rika [Downloadable!]
2007 The Flowchart Model of Cluster Policy: The Automobile Industry Cluster in China by Kuchiki, Akifumi [Downloadable!]
2007 Firms vs. insiders as traders of last resort by José M. Marín & Antoni Sureda-Gomila [Downloadable!]
2007 Voluntary Information Disclosure and Corporate Governance: The Empirical Evidence on Earnings Forecasts by Naohito Abe & Yessica C.Y. Chung [Downloadable!]
2007 “Spot, Bilateral and Futures Trading in Electricity Markets. Implications for Stability” by Valeria Termini & Laura Cavallo [Downloadable!]
2007 Instituce státní úvěrové podpory v České republice [available in Czech only] by Karel Janda [Downloadable!]
2007 Does Macroeconomic Transparency Help Governments Be Solvent? Evidence from Recent Data by Ramzi Mallat & Duc Khuong Nguyen [Downloadable!]
2007 The Resource Curse: A Corporate Transparency Channel by Durnev, Artyom & Guriev, Sergei [Downloadable!]
2007 International Financial Integration through Equity Markets: Which Firms from Which Countries Go Global? by Claessens, Stijn & Schmukler, Sergio [Downloadable!]
2007 Optimal taxation of entrepreneurial capital with private information by Stefania Albanesi [Downloadable!]
2007 Competition and Survival of Stock Exchanges: Lessons From Canada by Cécile Carpentier & Jean-François L'Her & Jean-Marc Suret [Downloadable!]
2007 The Resource Curse: A Corporate Transparency Channel by Art Durnev & Sergei Guriev [Downloadable!]
2007 Financial Stability and Monetary Policy – A Framework by Gerhard Illing [Downloadable!]
2007 Why the Bank of Canada Act Needs Updating: A Lesson from the Sub-Prime Crisis by John-Paul Koning [Downloadable!]
2007 Financial Market Liquidity and the Lender of Last Resort by Ewerhart, C. & Valla, N. [Downloadable!]
2007 An assessment of Basel II procyclicality in mortgage portfolios by Jesús Saurina & Carlos Trucharte [Downloadable!]
2007 Hedge Funds and Financial Stability: The State of the Debate by Michael R. King & Philipp Maier [Downloadable!]
2007 Investors' Behaviour in the Chinese Stock;Exchanges: Empirical Evidence in a Systemic;Approach by Caterina LUCARELLI & Giulio PALOMBA [Downloadable!]
2007 Governance of Financial Supervisors and its Effects - a Stocktaking Exercise by Marc Quintyn [Downloadable!]
2007 The SEC’S MD&A: Does it Meet the Informational Demands of Investors?– A Conceptual Evaluation – by Bernd Hüfner [Downloadable!]
2007 Energy Security: A Critical Issue in the European Energy Policy by Ana Bobirca & Paul-GAbriel Miclaus & Stefan Ungureanu [Downloadable!]
2007 Emerging Economies Crises: Lessons from the 1990’ by Sebastjan Strašek & Timotej Jagriè & Nataša Špes [Downloadable!]
2007 Asset-Based Reserve Requirements: A New Monetary Policy Instrument for Targeting Diverging Real Estate Prices in the Euro Area by Michael Holz [Downloadable!]
2007 The Effect of Price Limits on Unconditional Volatility: The Case of CASE by Medhat Hassanein, Eskandar A. Tooma [Downloadable!]
2007 Systemic Loss: A Measure of Financial Stability (in English) by Martin ČIHÁK [Downloadable!]
2007 Financial Stability: What It Is and Why It Matters by Charles Freedman & Clyde Goodlet [Downloadable!]
2007 Branching Out: The Urgent Need to Transform Canada’s Financial Landscape and How to Do It by Thorsten V. Koeppl & James MacGee [Downloadable!]
2007 Risk in carry trades: a look at target currencies in Asia and the Pacific by Jacob Gyntelberg & Eli M Remolona [Downloadable!]
2007 Securitisation in Latin America by Michela Scatigna & Camilo E Tovar [Downloadable!]
2007 The search for liquidity in the Brazilian domestic government bond market by André Amante & Márcio Araujo & Serge Jeanneau [Downloadable!]
2007 The Application Of Optimum Currency Area Criteria To Croatia by Tanja Broz [Downloadable!]
2007 Opportunity and accounts consolidation conditions by Eugenia Ramona Nandra [Downloadable!]
2007 The Crash of 1882 and the Bailout of the Paris Bourse by Eugene N. White [Downloadable!]
2006 Sector concentration in loan portfolios and economic capital by Masschelein, Nancy & Düllmann, Klaus [Downloadable!]
2006 Empirical risk analysis of pension insurance: the case of Germany by Schmieder, Christian & Reinschmidt, Timo & Mager, Ferdinand & Gerke, Wolfgang [Downloadable!]
2006 Supply shocks and currency crises : the policy dilemma reconsidered by García-Fronti, Javier & Miller, Marcus & Zhang, Lei [Downloadable!]
2006 The Economic Value of Regulated Disclosure: Evidence from the Banking Sector by Solomon Tadesse & & [Downloadable!]
2006 A generalized Dynamic Conditional Correlation Model for Portfolio Risk Evaluation by Monica Billio & Massimiliano Caporin [Downloadable!]
2006 Accounting for the Rise in Consumer Bankruptcies by Igor Livshits & James MacGee & Michele Tertilt [Downloadable!]
2006 An Ethical Analysis of Regulating Insider Trading by Peter-Jan Engelen & Luc Van Liedekerke [Downloadable!]
2006 Firms vs. Insiders as Traders of Last Resort by José M. Marín & Antoni Sureda-Gomila [Downloadable!]
2006 Free Flows, Limited Diversification: Explaining the Fall and Rise of Stock Market Correlations, 1890-2001 by Dennis Quinn & Joachim Voth [Downloadable!]
2006 Applications of Kernel Methods in Financial Risk Management by Andreas Mitschele & Stephan Chalup & Frank Schlottmann & Detlef Seese
2006 Cross-Autocorrelation of Dual-Listed Stock Portfolio Returns: Evidence from the Chinese Stock Market by Daxue Wang [Downloadable!]
2006 Do Birds of a Feather Flock Together? Speculator Herding in the World Oil Market by Robert Weiner [Downloadable!]
2006 Individuals and Institutions: Evidence from International Migrants in the U.S by Anna Paulson & Una Okonkwo Osili [Downloadable!]
2006 The Dynamics of Chapter 13 Bankruptcy by Hulya Eraslan & Wenli Li & Pierre-Daniel Sarte
2006 Are Price Limits on Futures Markets That Cool? Evidence from the Brazilian Mercantile and Futures Exchange by Marcelo Fernandes & Marco Aurélio dos Santos Rocha [Downloadable!]
2006 Municipal Bonds : Is India ready for more? by Chandrasekaran, Pravin & Katayama, Roy [Downloadable!]
2006 Financial Developent and Economic Growth Nexus: Time Series Evidence from Middle Eastern and North African Countries by Abu-Bader, Suleiman & Abu-Qarn, Aamer [Downloadable!]
2006 Review of Huerta de Soto´s `Money, Bank Credit, and Economic Cycles´ by van den Hauwe, Ludwig [Downloadable!]
2006 Razvitost slovenskega trga dolžniškega kapitala in ocenitev krivulje donosnosti by Andraž, Grum [Downloadable!]
2006 Long Term Risk Assessment in a Defined Contribution Pension System by Castaneda, Pablo [Downloadable!]
2006 Appropriateness of Default Investment Options in Defined Contribution Plans: The Australian Evidence by Basu, Anup & Drew, Michael [Downloadable!]
2006 Financial markets trend: ageing and pension system reform by Panetta, Ida Claudia [Downloadable!]
2006 Towards a new Approach to Regulation and Supervision in the EU: Post-FSAP and Comitology by Gualandri, Elisabetta & Grasso, Alessandro Giovanni [Downloadable!]
2006 The Uneasy Case for Fractional-Reserve Free Banking by van den Hauwe, Ludwig [Downloadable!]
2006 Regulation of Financial Systems and Economic Growth by Alain de Serres & Shuji Kobayakawa & Torsten Sløk & Laura Vartia [Downloadable!]
2006 Funding Rules and Actuarial Methods by Colin Pugh [Downloadable!]
2006 Devaluation with Contract Redenomination in Argentina by Charles Calomiris [Downloadable!]
2006 Relationship Banking and the Pricing of Financial Services by Charles Calomiris & Thanavut Pornrojnangkool [Downloadable!]
2006 The Tradeoff Between Mortgage Prepayments and Tax-Deferred Retirement Savings by Gene Amromin & Jennifer Huang & Clemens Sialm [Downloadable!]
2006 Optimal Taxation of Entrepreneurial Capital with Private Information by Stefania Albanesi [Downloadable!]
2006 Capital Structure with Risky Foreign Investment by Mihir A. Desai & C. Fritz Foley & James R. Hines Jr. [Downloadable!]
2006 Managing Bank Liquidity Risk: How Deposit-Loan Synergies Vary with Market Conditions by Evan Gatev & Til Schuermann & Philip E. Strahan [Downloadable!]
2006 Is There Hedge Fund Contagion? by Nicole M. Boyson & Christof W. Stahel & Rene M. Stulz [Downloadable!]
2006 Sector Concentration in Loan Portfolios and Economic Capital by Klaus Düllmann & Nancy Masschelein [Downloadable!]
2006 Is there a difference between solicited and unsolicited bank ratings and if so, why ? by Patrick Van Roy [Downloadable!]
2006 Extreme Dependence In The Nasdaq And S&P Composite Indexes by John G. Galbraith & Serguei Zernov [Downloadable!]
2006 Energy Futures Market Trading Versus Physical Commodity Usage: A playground for manipulation or a miscalculation? by Ronald Ripple [Downloadable!]
2006 The Impact of Surplus Distribution on the Risk Exposure of With Profit Life Insurance Policies Including Interest Rate Guarantees by Kling, Alexander & Richter, Andreas & Ruß, Jochen [Downloadable!]
2006 Private participation in the provision of water in Antioquia (Colombia) by David Tobón Orozco [Downloadable!]
2006 Negative Bubbles and Unpredictability of Financial Markets: The Asian Currency Crisis in 1997 by Kuchiki, Akifumi [Downloadable!]
2006 Why Central Banks Should Not Burst Bubbles by Adam S. Posen [Downloadable!]
2006 Renminbi Revaluation, Euro Appreciation and Chinese Markets: What Can We Learn From Data? by Paul D. McNelis & Salih N. Neftci [Downloadable!]
2006 An Anatomy of the Magnet Effect: Evidence from the Korea Stock Exchange High-Frequency Data by Du, Yan & Liu, Qianqiu & Rhee, S. Ghon [Downloadable!]
2006 Why Does Sovereign Risk Differ for Domestic and Foreign Investors? Evidence from Scandinavia, 1938–1948 by Waldenström, Daniel [Downloadable!]
2006 The Swedish Conservative Party and the Welfare State. Institutional Change and Adapting Preferences by Lindbom, Anders [Downloadable!]
2006 The Price Impact of Stock Trades: Evidence from the Prague Stock Exchange by Vít Bubák & Filip Žikeš [Downloadable!]
2006 Default Estimation for Low-Default Portfolios by Kiefer, Nicholas M. [Downloadable!]
2006 House Prices and Affordability - A First and Second Look Across Countries by Dirk Brounen & Peter Neuteboom & Arjen van Dijkhuizen [Downloadable!]
2006 An Evaluation of Privatisations in Australian Banking and Insurance by Monica Keneley & Margaret McKenzie [Downloadable!]
2006 Euro-Area Sovereign Yield Dynamics: the role of order imbalance by Menkveld, Albert J. & Cheung, Yiu C. & Jong, Frank de [Downloadable!]
2006 Splitting orders in overlapping markets: a study of cross-listed stocks by Menkveld, Albert J. [Downloadable!]
2006 Supply Shocks and Currency Crises: The Policy Dilemma Reconsidered by García-Fronti, Javier & Miller, Marcus & Zhang, Lei [Downloadable!]
2006 Competition for Order Flow and Smart Order Routing Systems by Foucault, Thierry & Menkveld, Albert J. [Downloadable!]
2006 Optimal Fines in the Era of Whistleblowers by Buccirossi, Paolo & Spagnolo, Giancarlo [Downloadable!]
2006 Private Finance and Public Policy by Garry J. Schinasi [Downloadable!]
2006 The Determinants of Mutual Fund Performance: A Cross-Country Study by Miguel A. Ferreira & António F. Miguel & Sofia Ramos [Downloadable!]
2006 Hedge Fund Indices for Retail Investors: UCITS Eligible or not Eligible? by François-Serge Lhabitant [Downloadable!]
2006 Portfolio Optimization wehn Risk Factors are Conditionally Varying and Heavy Tailed by Toker Doganoglu & Christoph Hartz & Stefan Mittnik [Downloadable!]
2006 Noise vs. News in Equity Returns by Robert Chirinko & Hisham Foad [Downloadable!]
2006 International Financial Integration and Entrepreneurship by Laura Alfaro & Andrew Charlton [Downloadable!]
2006 Should Insider Trading be Prohibited when Share Repurchases are Allowed? by Andrea Buffa & Giovanna Nicodano [Downloadable!]
2006 The relationship between regulation and competition policy for network utilities by Newbery, D. [Downloadable!]
2006 On the political economy of financial reform by Yongfu Huang [Downloadable!]
2006 Modeling the Components of Market Discipline by Faidon Kalfaoglou & Alexandros Sarris [Downloadable!]
2006 Financial Developent and Economic Growth Nexus: Time Series Evidence from Middle Eastern and North African Countries by Suleiman Abu-Bader & Aamer Abu-Qarn [Downloadable!]
2006 Earnings and capital management in alternative loan loss provision regulatory regimes by Daniel Pérez & Vicente Salas-Fumás & Jesús Saurina [Downloadable!]
2006 The Czech Pension System And The Perspectives Of Its Reform by Michal Slavík [Downloadable!]
2006 Optimal Portfolios In Defined Contribution Pension Systems by EDUARDO WALKER [Downloadable!]
2006 Do EPA Defendants Prefer Republicans? Evidence from the 2000 Election by Paul Hughes [Downloadable!]
2006 Financing and Taxing New Firms under Asymmetric Information by Robin Boadway & Michael Keen [Downloadable!]
2006 The European Added Value Of Framework Programmes: Evidence From The Uk by Alessandro Muscio [Downloadable!]
2006 Credit Cycles, Credit Risk, and Prudential Regulation by Gabriel Jiménez & Jesús Saurina [Downloadable!]
2006 Trading Intensity and Intraday Volatility on the Prague Stock Exchange: Evidence from an Autoregressive Conditional Duration Model (in English) by Filip Žikeš & Vít Bubák [Downloadable!]
2006 Is One Watchdog Better than Three? International Experience with Integrated Financial-Sector Supervision (in English) by Martin Čihák & Richard Podpiera [Downloadable!]
2006 The role of government-supported housing finance agencies in Asia by Eric Chan & Michael Davies & Jacob Gyntelberg [Downloadable!]
2006 Forward currency markets in Asia: lessons from the Australian experience by Guy Debelle & Jacob Gyntelberg & Michael Plumb [Downloadable!]
2006 Securitisation in Asia and the Pacific: implications for liquidity and credit risks by Jacob Gyntelberg & Eli M Remolona [Downloadable!]
2006 Domestic bond markets in Latin America: achievements and challenges by Serge Jeanneau & Camilo E Tovar [Downloadable!]
2006 Prime or not so prime? An exploration of US housing finance in the new century by Allen Frankel [Downloadable!]
2005 A Push To George ( In ) Bush by DR.VSR.SUBRAMANIAM [Downloadable!]
2005 Debt-Deflation: Concepts, and a Stylised Model by Goetz von Peter [Downloadable!]
2005 Economic Impact of Capital Flight from Russia and its Institutional Context: Why Capital Controls cannot be a Part of a Pro- Growth Policy by Denis Kadochnikov [Downloadable!]
2005 Is there a difference in treatment between solicited and unsolicited bank ratings and, if so, why? by Patrick Van Roy [Downloadable!]
2005 Persistence Characteristics of the Chinese Stock Markets by Cornelis A. Los & Bing Yu [Downloadable!]
2005 The Degree of Stability of Price Diffusion by Cornelis A. Los [Downloadable!]
2005 The Impact of the Suspension of Opening and Closing Call by Silvio John Camilleri & Christopher J. Green [Downloadable!]
2005 Stock Markets Liquidity, Corporate Governance and Small Firms by Solomon Tadesse & & [Downloadable!]
2005 Do Insider Trading Laws Matter? Some Preliminary Comparative Evidence by Laura Nyantung Beny [Downloadable!]
2005 Butter Mountains, Milk Lakes and Optimal Price Limiters by Ned Corron & Xue-Zhong He & Frank Westerhoff [Downloadable!]
2005 The Speed of the Financial Revolution: Evidence from Hoare’s Bank by Peter Temin & Joachim Voth [Downloadable!]
2005 Margins and Transaction Taxes in an Artificial Speculative Futures Market by Leanne J. Ussher
2005 Bubbles, Can We Spot Them? Crashes, Can We Predict Them? by Gee Kwang Randolph Tan & Xiao Qin [Downloadable!]
2005 Does Stock Market Liberalisation Benefit The Economy? Evidence From Industry-Level Data by Lee Chee Tong [Downloadable!]
2005 O Mercado interbancário de câmbio no Brasil,Creation-Date: 2005-07 by Marcio Gomes Pinto Garcia & Fábio Urban [Downloadable!]
2005 Portfolio Choice and Benchmarking: The Case of the Unemployment Insurance Fund in Chile by Castaneda, Pablo [Downloadable!]
2005 Economic Impact of Capital Flight from Russia and its Institutional Context: Why Capital Controls cannot be a Part of a Pro-Growth Policy (updated version) by Kadochnikov, Denis [Downloadable!]
2005 The determinants of the Harare Stock Exchange (HSE) market capitalisation by Ilmolelian, Peter [Downloadable!]
2005 Financial Development and Economic Growth in the Middle East by Harb, Nasri & Al-Awad, Mouawiya [Downloadable!]
2005 Financial Development and Economic Growth: Time Series Evidence from Egypt by Abu-Bader, Suleiman & Abu-Qarn, Aamer [Downloadable!]
2005 The Informativeness of Quarterly Financial Reporting: The Portuguese Case by Carlos F. Alves & F. Teixeira dos Santos [Downloadable!]
2005 The Net Asset Position of the U.S. National Government, 1784-1802: Hamilton's Blessing or the Spoils of War? by Farley Grubb [Downloadable!]
2005 Market Arbitrage of Cash Dividends and Franking Credits by D. Beggs & C.L. Skeels [Downloadable!]
2005 La tutela del risparmio dopo i casi Argentina e Parmalat by Arnaldo MAURI [Downloadable!]
2005 Risk Management and Corporate Governance: the Importance of Independence and Financial Knowledge for the Board and the Audit Committee by Georges Dionne & Thouraya Triki [Downloadable!]
2005 When and why do Austrian companies issue shares? by Johann Burgstaller [Downloadable!]
2005 Redistributive Taxation and Personal Bankruptcy in US States by Charles Grant & Winfried Koeniger [Downloadable!]
2005 Foreign Financial Aid, Government Policies and Economic Growth: Does the Policy Setting in Developing Countries Matter? by M.Yusuf Tashrifov [Downloadable!]
2005 Equity Valuation in Mainland China and Hong Kong: The Chinese A-H Share Premium by Zhijun Zhao & Yue Ma & Yuhui Liu [Downloadable!]
2005 Tax-Induced Trading and the Identity of the Marginal Investor: Evidence from Sweden by Daunfeldt, Sven-Olov [Downloadable!]
2005 Does Sovereign Risk Differ for Domestic and Foreign Investors? Historical Evidence from Scandinavian Bond Markets by Waldenström, Daniel [Downloadable!]
2005 Risk Management of Daily Tourist Tax Revenues for the Maldives by Michael McAleer & Riaz Shareef & Bernardo da Veiga [Downloadable!]
2005 Trading Intensity and Intraday Volatility on the Prague Stock Exchange: Evidence from an Autoregressive Conditional Duration Model by Vít Bubák & Filip Žikeš
2005 Negotiating over Banking Secrecy: The Case of Switzerland and the European Union by Alexandre Ziegler & François-Xavier Delaloye & Michel Habib [Downloadable!]
2005 Towards European monetary integration - the evolution of currency risk premium as a measure for monetary convergence prior to the implementation of currency unions by Fernando González & Simo Launonen [Downloadable!]
2005 Hedge funds and their implications for financial stability by Tomas Garbaravicius & Frank Dierick [Downloadable!]
2005 The Nature and Role of the Civil Service in Japanese Government Decision-making by Kazumasa Okubo [Downloadable!]
2005 Neoliberalism in Japan’s Tuna Fisheries? Government Intervention and Reform in the Distant Water Longline Industry by Kate Barclay & Sun-Hui Koh [Downloadable!]
2005 An Empirical and Theoretical Study on the Wider Use of Local Currencies in the Asia-Pacific Region after the Asian Financial and Currency Crisis: An Analysis Focused on Thailand by Ichiro Inoue [Downloadable!]
2005 Structural Adjustment and Change in the Australian Life Insurance Industry Post Demutualisation by Monica KENELEY [Downloadable!]
2005 Advertising and Portfolio Choice by Henrik Cronqvist [Downloadable!]
2005 Betting on Hitler - The Value of Political Connections in Nazi Germany by Ferguson, Thomas & Voth, Hans-Joachim [Downloadable!]
2005 Credit Crunch and Keynesian Contraction: Argentina in Crisis by García-Fronti, Javier & Miller, Marcus & Zhang, Lei [Downloadable!]
2005 Effects of Macroeconomic Shocks to the Quality of the Aggregate Loan Portfolio by Ivan Baboucek & Martin Jancar [Downloadable!]
2005 Eligibility of External Credit Assessment Institutions by Helena Suvova & Eva Kozelkova & David Zeman & Jaroslava Bauerova [Downloadable!]
2005 Experience of Privatisation, Regulation and Competition: Lessons for Governments by Lesley Davies & Kathryn Wright & Catherine Waddams Price [Downloadable!]
2005 Federal Securities Regulations and Stock Market Returns by Tung Liu & Gary Santoni & Courtenay Cliff Stone [Downloadable!]
2005 Debt-deflation: concepts and a stylised model by Goetz von Peter [Downloadable!]
2005 Financial Development and Economic Growth: Time Series Evidence from Egypt by Suleiman Abu-Bader & Aamer Abu-Qarn [Downloadable!]
2005 Credit cycles, credit risk, and prudential regulation by Gabriel Jiménez & Jesús Saurina [Downloadable!]
2005 Banking integration in Europe by Daniel Pérez & Vicente Salas-Fumás & Jesús Saurina [Downloadable!]
2005 Interest rate dispersion in deposit and loan markets by Alfredo Martín-Oliver & Vicente Salas-Fumás & Jesús Saurina [Downloadable!]
2005 Pre-Bid Run-Ups Ahead of Canadian Takeovers: How Big Is the Problem? by Michael R. King & Maksym Padalko [Downloadable!]
2005 A Search Model of Venture Capital, Entrepreneurship, and Unemployment by Robin Boadway & Oana Secrieru & Marianne Vigneault [Downloadable!]
2005 Boom-Bust Cycles and Financial Liberalization by
2005 Eigenschaften von Verwaltungsräten und Unternehmensperformance by Manuel Ammann & Markus Leuenberger & Heinrich von Wyss [Downloadable!]
2005 Contribution To Discussion On Reform Of Pension System by Michal SLAVÍK & Radka RUTAROVÁ [Downloadable!]
2005 DEBT MANAGEMENT IN THE CZECH REPUBLIC (formation in the 1990s and the current state) by Ivan Matalík & Michal Slavík [Downloadable!]
2005 Pricing pension insurance: the proposed levy structure for the Pension Protection Fund by David McCarthy & Anthony Neuberger
2005 Alternative Effects of Antidumping Policy: Should Mexican Authorities be Worried? by Alfonso Mendieta [Downloadable!]
2005 Financial development and economic growth in developing economies: empirical evidence from the Caribbean by Sunday Osaretin Iyare & Troy Lorde & Brian Francis
2005 Les banques comme vecteurs et amplificateurs des chocs financiers : le canal du capital bancaire by Gregory Levieuge [Downloadable!]
2005 Reducing financial vulnerability: the development of the domestic government bond market in Mexico by Serge Jeanneau & Carlos Perez Verdia [Downloadable!]
2005 Corporate bond markets in Asia by Jacob Gyntelberg & Guonan Ma & Eli M Remolona [Downloadable!]
2005 Opening markets through a regional bond fund: lessons from ABF2 by Guonan Ma & Eli M Remolona [Downloadable!]
2005 The Regional Character of Financial Crises by Emil Panusheff [Downloadable!]
2005 Necessity and Prerequisites for the Debt Market Development in Bulgaria by Alipi Alipiev [Downloadable!]
2004 GPD-linked Bonds as a Financing Tool for Developing Countries and Emerging Markets by Schröder, Michael & Heinemann, Friedrich & Kruse, Susanne & Meitner, Matthias [Downloadable!]
2004 Stock Price Volatility in a Multiple Security Overlapping by N/A [Downloadable!]
2004 The Basel Process and Financial Stability by David S. Bieri [Downloadable!]
2004 System Identification in Noisy Data Environments: An Application to Six Asian Stock Markets by Cornelis A Los [Downloadable!]
2004 Disclosure to an Audience with Limited Attention by David Hirshleifer & SONYA SEONGYEON LIM & Siew Hong Teoh [Downloadable!]
2004 Why VAR Fails: Long Memory and Extreme Events in Financial Markets by Cornelis A. Los [Downloadable!]
2004 The Impact of the Suspension of Opening and Closing Call by Silvio John Camilleri & Christopher J. Green [Downloadable!]
2004 Experience of Asian Asset Management Companies (AMCs): Do they Increase Moral Hazard? - Evidence from Thailand by Akiko Terada-Hagiwara & Gloria Pasadilla [Downloadable!]
2004 Galton's Error and the Under-Representation of Systematic Risk by CORNELIS A. LOS [Downloadable!]
2004 Optimal Lender of Last Resort Policy in Different Financial Systems by Falko Fecht & Marcel Tyrell [Downloadable!]
2004 Economic evaluation of bank exit regimes in US, EU and Japanese financial centres by Peik Granlund [Downloadable!]
2004 Does Financial Structure Matter? by Philip Arestis & Ambika D. Luintel & Kul B. Luintel [Downloadable!]
2004 Market microstructure and Nazi influence on the Paris stock exchange during WWII by Kim Oosterlinck [Downloadable!]
2004 Asset Return Correlation in Basel II: Implications for Credit Risk Management by Marie-Paule Laurent [Downloadable!]
2004 The effectiveness of Keynes-Tobin transaction taxes when heterogeneous agents can trade in different markets: A behavioral finance approach by Frank Westerhoff [Downloadable!]
2004 Asset Price Instability and Policy Responses: The Legacy of Liberalisation by Stephen Bell & John Quiggin [Downloadable!]
2004 La Bourse en Chine : éléments clés (Stock Markets in China: keys elements) by Peng Yang [Downloadable!]
2004 Financing New Investments under Asymmetric Information: A General Approach by Robin Boadway & Michael Keen [Downloadable!]
2004 Disclosure to a Credulous Audience: The Role of Limited Attention by Hirshleifer, David & Lim, Sonya S. & Teoh, Siew Hong [Downloadable!]
2004 Does Misclassification of Equity Funds Exist? Evidence from Malaysia by Lau, Wee Yeap & Chan, Tze-Haw [Downloadable!]
2004 The Market for Financial Derivatives: Removing Impediments to Growth by Bacha, Obiyathulla I. [Downloadable!]
2004 Self-Interest on Mutual Fund Management: Evidence from the Portuguese Market by Carlos Alves & Victor Mendes [Downloadable!]
2004 Is the Risk Profile of Australian Superannuation Funds Changing? by Darren Massey
2004 How do Banks Manage Liquidity Risk? Evidence from Equity and Deposit Markets in the Fall of 1998 by Philip E. Strahan & Evan Gatev & Til Schuermann [Downloadable!]
2004 Are Investors Naive About Incentives? by Ulrike Malmendier & Devin Shanthikumar [Downloadable!]
2004 Basel II and Operational Risk: Implications for risk measurement and management in the financial sector by Ariane Chapelle & Yves Crama & Georges Hubner & Jean-Philippe Peeters [Downloadable!]
2004 Financing New Investments under Asymmetric Information: a General Approach by Robin Boadway & Michael Keen [Downloadable!]
2004 The Political Economy of Financial Development by Sourafel Girma & Anja Shortland [Downloadable!]
2004 Might a Securities Transactions Tax Mitigate Excess Volatility?: Some Evidence From the Literature by Markus Haberer [Downloadable!]
2004 Europe's Entry into the Venture Capital Business: Efficiency and Policy by Michael Stolpe [Downloadable!]
2004 Non-Market Interaction in Primary Equity Markets: Evidence from France and Germany by Michael Stolpe [Downloadable!]
2004 When No Law is Better than a Good Law by Bhattacharya, Utpal & Daouk, Hazem [Downloadable!]
2004 On the Static Efficiency of Secondary Bond Markets by Oxelheim, Lars & Rafferty, Michael [Downloadable!]
2004 Does Regulatory Harmonization Increase Bilateral Asset Holdings? by Vlachos, Jonas [Downloadable!]
2004 Are Underwriter-Analysts More Informed? Scandinavian Evidence by Lidén, Erik R. [Downloadable!]
2004 The Black Box of Mutual Fund Fees by Javier Gil-Bazo & Miguel Angel Martinez [Downloadable!]
2004 The Growth of Global Equity Markets: A Closer Look by Kai Li [Downloadable!]
2004 Pareto Improving Taxation in Incomplete Markets by Sergio Turner [Downloadable!]
2004 Expiration Day Effect in Korean Stock Market: Wag the Dog? by Chang-Gyun Park & Kyung-Mook Lim
2004 Rational Panics, Absorbing Regime Switching And Stock Market by Yinggang ZHOU [Downloadable!]
2004 Rational Panics, Absorbing Regime Switching and Stock Market by Dengta CHEN & Yinggang ZHOU [Downloadable!]
2004 The Changing Malaysian Financial Environment and the Effects on Its Monetary Policy Transmission Mechanism by Mala Valliammai Raghavan
2004 Euro area sovereign yield dynamics - the role of order imbalance by Albert J. Menkveld & Yiu C. Cheung & Frank de Jong [Downloadable!]
2004 Measuring financial integration in the euro area by Lieven Baele & Annalisa Ferrando & Peter Hördahl & Elizaveta Krylova & Cyril Monnet [Downloadable!]
2004 Credit Rationing and Crowding-Out During the Industrial Revolution: Evidence from Hoare's Bank, 1702-1862 by Temin, Peter & Voth, Hans-Joachim [Downloadable!]
2004 Does Regulatory Harmonization Increase Bilateral Asset Holdings? by Vlachos, Jonas [Downloadable!]
2004 Strategic Financial Innovation in Segmented Markets by Rahi, Rohit & Zigrand, Jean-Pierre [Downloadable!]
2004 Profit Related Loans for Economically Disadvantaged Regions by Bruce Chapman & Ric Simes [Downloadable!]
2004 Market Discipline Across Countries and Industries by
2004 Supervisory Systems, Fiscal Soundness and International Capital Movement: More Challenges for new EU Members by Andreas Grünbichler & Patrick Darlap & Sinikka Salo & Leslie Lipschitz & Timothy Lane & Alex Mourmouras [Downloadable!]
2004 Testing the Expectations Hypothesis: Some New Evidence for Japan by Thornton, Daniel-L [Downloadable!]
2004 Transparencia y nuevas tecnologías en las Cooperativas de crédito by Mª José Vañó Vañó [Downloadable!]
2004 Basel II - towards a new common language by Ryozo Himino [Downloadable!]
2004 The markets for non-deliverable forwards in Asian currencies by Guonan Ma & Corrinne Ho & Robert N McCauley [Downloadable!]
2004 The Danish mortgage market by Allen Frankel & Jacob Gyntelberg & Kristian Kjeldsen & Mattias Persson [Downloadable!]
2003 Deposit insurance and international bank deposits by Huizinga Harry & Nicodeme Gaetan [Downloadable!]
2003 What is the Link Between Margin Loans and Stock Market Bubbles? by Markus Ricke [Downloadable!]
2003 Towards Transparency in Finance and Governance by Tara Vishwanath & Daniel Kaufmann [Downloadable!]
2003 Transparency, Liberalization and Financial Crises by Gil Mehrez & Daniel Kaufmann [Downloadable!]
2003 The Restructuring in the Post-Crisis Korean Economy by Jai S. Mah [Downloadable!]
2003 Taxing Financial Activity by Jack M. Mintz [Downloadable!]
2003 Banking Regulation, Institutional Framework and Capital Structure: International Evidence from Industry Data by Natalia Utrero González [Downloadable!]
2003 On the Aggregation of Market and Credit Risks by Carol Alexandra & Jacques Pezier [Downloadable!]
2003 Debt as a source of financial stress in Australian households by Andrew C. Worthington [Downloadable!]
2003 New approaches to crisis resolution: Weighing the options (A comment) by Reinhart, Carmen [Downloadable!]
2003 Financial Market Integration in the Euro Area by Carl Gjersem [Downloadable!]
2003 Unbundling Institutions by Daron Acemoglu & Simon Johnson [Downloadable!]
2003 What Works in Securities Law? by Rafael La Porta & Florencio Lopez-de-Silane & Andrei Shleifer [Downloadable!]
2003 Coping with the speculative attack against the forint's band by Gyula Barabás (ed.) & Csaba Balogh & Tamás Czeti & Szilárd Erhart & Zsolt Érsek & András Kármán & Gergely Kóczán & Róbert Rékási [Downloadable!]
2003 Banks' Capital, Securitization and Credit Risk: An Empirical for Canada by Dionne, Georges & Harchaoui, Tarek M. [Downloadable!]
2003 Learning and Signalling in the French and German Venture Capital Industries by Michael Stolpe [Downloadable!]
2003 It Takes More than a Bubble to Become Japan by Adam S. Posen [Downloadable!]
2003 Economic evaluation of bank exit regimes in US, EU and Japanese financial centres by Granlund , Peik [Downloadable!]
2003 On the Way to Recovery: A Nonparametric Bias Free Estimation of Recovery Rate Densities by Olivier RENAULT & Olivier SCAILLET [Downloadable!]
2003 Depositor and Investor Protection in the EU and the Netherlands: A Brief History by Gillian Garcia & Henriette Prast [Downloadable!]
2003 Testing expected shortfall models for derivative positions by Kerkhof, J. & Melenberg, B. & Schumacher, H. [Downloadable!]
2003 Strategic and tactical allocation to commodities for retirement savings schemes by Nijman, T. & Swinkels, L. [Downloadable!]
2003 Political Relationships, Global Financing and Corporate Transparency by Christian Leuz & Felix Oberholzer-Gee [Downloadable!]
2003 Government Bonds in Domestic and Foreign Currency: The Role of Macroeconomic and Institutional Factors by Claessens, Stijn & Klingebiel, Daniela & Schmukler, Sergio [Downloadable!]
2003 Deposit Insurance and International Bank Deposits by Huizinga, Harry & Nicodeme, Gaetan [Downloadable!]
2003 Fiscal Decentralization and the Challenge of Hard Budget Constraints by
2003 Economic Consequences Of Internet Financial Reporting by Alfred Wagenhofer [Downloadable!]
2003 Bank Of Slovenia Adjustment Policy To Surges In Capital Flows by Žan Oplotnik [Downloadable!]
2003 The Future of the European Growth and Stability Pact by Barry Eichengreen & Lucas D. Papademos [Downloadable!]
2003 Unifying government bond markets in East Asia by Robert N McCauley [Downloadable!]
2002 Financiële stabiliteit: de rol van DNB by Ralph de Haas & Marc de Vor [Downloadable!]
2002 Circular Variable Work In Process by Luis Vildosola [Downloadable!]
2002 Risk Measurement, Risk Management and Capital Adequacy in Financial Conglomerates by Andrew Kuritzkes & Til Schuermann & Scott M. Weiner [Downloadable!]
2002 The Future of Stock Exchanges in Emerging Economies: Evolution and Prosepcts by Stijn Claessens & Daniela Klingebiel & Sergio L. Schmukler [Downloadable!]
2002 A Constructive Review of Basel's Proposals on Operational Risk by Jacques Pezier [Downloadable!]
2002 Restructuring of Financial Sector in Pakistan by Khan, Muhammad Arshad [Downloadable!]
2002 دور سوق الأوراق المالية فى تنمية الادخار فى مصر by Alasrag, Hussien [Downloadable!]
2002 Inflation, Growth and Exchange Rate Regimes in Small Open Economies by Hernandez-Verme, Paula [Downloadable!]
2002 Challenges in the Mexican Financial Sector by Marcos Bonturi [Downloadable!]
2002 Federal Terrorism Risk Insurance by Jeffrey R. Brown & Randall S. Kroszner & Brian H. Jenn [Downloadable!]
2002 Charles Goodhart's Contributions to the History of Monetary Institutions by Michael D. Bordo & Anna J. Schwartz [Downloadable!]
2002 Regulation of electricity transmission sector in Colombia by David Tobón Orozco [Downloadable!]
2002 The Full Convertibility of Renminbi: Sequencing and Influence by Shucheng Liu & Zhijun Zhao & Yue Ma & Matthew S. Yiu & Yak-yeow Kueh & Shu-ki Tsang [Downloadable!]
2002 Do Main Banks Extract Rents from their Client Firms? Evidence from Korean Chaebol by Kim, Yitae & Park, Kwangwoo & Ratti, Ronald & Shin, Hyun-Han [Downloadable!]
2002 Financial Liberalization and the Changing Characteristics of Nordic Stock Returns by Nilsson, Birger [Downloadable!]
2002 Competition compliance: limits to competition policy harmonisation in EU enlargement by Lorentzen, Jochen & Møllgaard, Peter [Downloadable!]
2002 Must Trust Bust? by Møllgaard, Peter [Downloadable!]
2002 Foundation ownership and financial performance. Do companies need owners? by Thomsen, Steen & Rose, Caspar [Downloadable!]
2002 Model risk and regulatory capital by Kerkhof, J. & Melenberg, B. & Schumacher, H. [Downloadable!]
2002 Backtesting for risk-based regulatory capital by Kerkhof, J. & Melenberg, B. [Downloadable!]
2002 The rise and fall of the European new markets : on the short and long-run performance of high-tech initial public offerings by Goergen, M. & Khurshed, A. & McCahery, J.A. & Renneboog, L.D.R. [Downloadable!]
2002 Issues in the Regulation of Annuities Markets by E. Philip Davis [Downloadable!]
2002 Explaining the Migration of Stocks from Exchanges in Emerging Economies to International Centres by Claessens, Stijn & Klingebiel, Daniela & Schmukler, Sergio [Downloadable!]
2002 Why was Stock Market Volatility so High During the Great Depression? Evidence from 10 Countries During the Interwar Period by Voth, Hans-Joachim [Downloadable!]
2002 Circuit Breakers and the Tail Index of Equity Returns by John Galbraith & Serguei Zernov [Downloadable!]
2002 The Microstructure of Multiple-Dealer Equity and Government Securities Markets: How They Differ by Toni Gravelle [Downloadable!]
2002 Alternative Trading Systems: Does One Shoe Fit All? by Nicolas Audet & Toni Gravelle & Jing Yang [Downloadable!]
2002 Convex measures of risk and trading constraints by Hans Föllmer & Alexander Schied [Downloadable!]
2002 El racionamiento del crédito y las crisis financieras by José Eduardo Gómez & Nidia Ruth Reyes [Downloadable!]
2002 Sollte der Stabilitätspakt aufgegeben werden? by Georg Milbradt & Wolfgang Scherf & Peter Spahn & Hans-Hermann Francke [Downloadable!]
2002 Restructuring and Development of Economy by Assen Kovatchev [Downloadable!]
2001 Discounts On Illiquid Stocks: Evidence From China by Zhiwu Chen & Peng Xiong [Downloadable!]
2001 The Need for Competition in International Securities Regulation by Roberta Romano [Downloadable!]
2001 Why Not Allow the FASB and IASB Standards to Compete in the U.S.? by Shyam NMI Sunder & Ronald A. Dye [Downloadable!]
2001 Convertibility, Currency Controls and the Cost of Capital in Western Europe, 1950-1999 by Hans Joachim Voth [Downloadable!]
2001 The neglected effect of fiscal policy on stock and bond returns by Tavares, Jose & Valkanov, Rossen [Downloadable!]
2001 Finance for Growth: Policy Choices in a Volatile World by Caprio, Gerard & Honohan, Patrick [Downloadable!]
2001 Private inflows when crises are anticipated: a case study of Korea (A comment) by Reinhart, Carmen [Downloadable!]
2001 Non-performing loans of PSU banks: Some panel results by Rajaraman, Indira & Vasishtha, Garima [Downloadable!]
2001 Short Sales, Damages and Class Certification in 10b-5 Actions by Robert C. Apfel & John E. Parsons & G. William Schwert & Geoffrey S. Stewart [Downloadable!]
2001 Financial Restructuring in Banking and Corporate Sector Crises: What Policies to Pursue? by Stijn Claessens & Daniela Klingebiel & Luc Laeven [Downloadable!]
2001 Financial Liberalisation and the South Korean Financial Crisis: Some Qualitative Evidence by Kevin Amess & Panicos Demetriades [Downloadable!]
2001 'Unproductive' Credit and the South-Korean Crisis by Panicos Demetriades & Bassam Fattouh [Downloadable!]
2001 Liberalization and Regulation of International Capital Flows: Where the Opposites Meet by Peter Nunnenkamp [Downloadable!]
2001 Truth and Fairness in Accounting: A Case of Polish Transition Economy by Katarzyna Kosmala MacLullich [Downloadable!]
2001 Where to Go after the Lamfalussy Report? - An Economic Analysis of Securities Market Regulation and Supervision by Niemeyer, Jonas [Downloadable!]
2001 What Caused the Asian Currency and Financial Crisis? by Corsetti, G. & Pesenti, P. & Roubini, N.
2001 Currency substitution and financial sector developments in Cambodia by Kem Reat Viseth [Downloadable!]
2001 Empirical evidence on the role of trading suspensions in disseminating new information to the capital market by Engelen, P.J. & Kabir, R. [Downloadable!]
2001 Time-varying market integration and expected returns in emerging markets by Jong, F. de & Roon, F.A. de [Downloadable!]
2001 Time-Varying Market Integration and Expected Returns in Emerging Markets by de Jong, Frank & de Roon, Frans [Downloadable!]
2001 Equilibrium and Welfare in Markets with Financially Constrained Arbitrageurs by Gromb, Denis & Vayanos, Dimitri [Downloadable!]
2001 The European Contribution to International Financial Stability by Portes, Richard [Downloadable!]
2001 Energy Taxes and Natural Gas Demand in EU-Countries by Frank Asche & Petter Osmundsen & Ragnar Tveteras [Downloadable!]
2001 symposium articles : Contractual restrictions on insider trading: a welfare analysis by Antonio E. Bernardo [Downloadable!]
2001 Braucht der Neue Markt eine neue Regulierung? by Bernd Rudolph & Bernhard Duijm [Downloadable!]
2000 Day Trading International Mutual Funds: Evidence And Policy Solutions by K. Geert Rouwenhorst & William N. Goetzmann & Zoran Ivkovich [Downloadable!]
2000 Another Look at Option Listing Effects by Stewart Mayhew & Vassil Mihov [Downloadable!]
2000 Stock market consequences of macro economic fundamentals by Ayub, Mehar [Downloadable!]
2000 New Evidence of the Impact of Dividend Taxation and on the Identity of the Marginal Investor by Bell, L. & Jenkinson, T.
2000 New Evidence of the Impact of Dividend Taxation and on the Identity of the Marginal Investor by Tim Jenkinson & Leonie Bell [Downloadable!]
2000 The Great Reversals: The Politics of Financial Development in the 20th Century by Raghuram G. Rajan & Luigi Zingales [Downloadable!]
2000 Financial Restraints in the South Korean Miracle by Panicos O Demetriades & Kul B Luintel [Downloadable!]
2000 Routes to Equity Market Integration - The Interplay between Politicians, Investors and Managers by Oxelheim, Lars [Downloadable!]
2000 Taxing Emerging Stock Markets: A Beneficial Policy? Evidence from the Stockholm Stock Exchange, 1907-1939 by Waldenström, Daniel
2000 A Regulation of Bids for Dual Class Shares. Implication: Two Shares { One Price by Bechmann, Ken L. & Raaballe, Johannes [Downloadable!]
2000 Paper tigers? A model of the Asian crisis: Comment by Nikolaus A. Siegfried & Vera Zitzmann [Downloadable!]
2000 Governance Impact on Private Investment: Evidence from the International Patterns of Infrastructure Bond Risk Pricing by Bubnova, N.B.
2000 Econometric Analysis of Market Bid Functions in French Treasury Bill Auctions by Preget, R. & Waelbroeck, P.
2000 Capital Controls and Exchange Rate Instability in Developing Countries by Glick, R. & Hutchison, M.
2000 Routes to Equity Market Integration - the Interplay Between Politicians, Investors and Managers by Oxelheim, L.
2000 Bank Concentration: Chile and International Comparisons by Levine, R.
2000 Interest Rates and Domestic Borrowing Costs in the Medium-Term Perspective by Dvorkovich Arkady & Gurvich Evsey [Downloadable!]
2000 Selling company shares to reluctant employees : France Télécom's experience by DEGEORGE, François & JENTER, Dirk & MOEL, Alberto & TUFANO, Peter [Downloadable!]
2000 Japan's Local Governance at the Crossroads: The Third Wave of Reform by Purnendra Jain [Downloadable!]
2000 The Asian Financial Crisis: The Role of Derivative Securities Trading and Foreign Investors by Eric Ghysels & Junghoon Seon [Downloadable!]
2000 Disposal of Petroleum Installations - Major Policy Issues by Osmundsen, Petter & Tveteras, Ragnar [Downloadable!]
2000 original papers : Treasury auctions: Uniform or discriminatory? by Ken Binmore & Joe Swierzbinski [Downloadable!]
2000 The Rise and Fall of the Pyramid Schemes in Albania by Chris Jarvis [Downloadable!]
2000 The Rise and Fall of the Pyramid Schemes in Albania by Chris Jarvis [Downloadable!]
2000 Index Futures Activity and Stock Market Volatility: An Empirical Analysis of the Italian Stock Exchange by Pierluigi Bologna
2000 Financial Development and Economic Growth: Time Series Evidence for the case of UK by Dimitrios Asteriou & Simon Price
2000 La crise de l'assurance-vie by Cyrille Lacu [Downloadable!]
2000 Crise bancaire, gouvernance privee et supervision by Akiyoshi Horiuchi [Downloadable!]
1999 Going Public in Poland: Case-by-Case Privatizations, Mass Privatization and Private Sector Initial Public Offerings by Wolfgang Aussenegg [Downloadable!]
1999 Optimal Bail Out Policy, Conditionality and Constructive Ambiguity by Xavier Freixas [Downloadable!]
1999 Banking and Commerce: A Liquidity Approach by Haubrich, J.G. & Santos, J.A.C.
1999 Banking and Commerce: A Liquidity Approach by Haubrich, J.G. & Santos, J.A.C.
1999 Coase v. the Coasians by Johnson, S. & Shleifer, A.
1999 The Development of the State Bond Market by Ivanter Alexander & Peresetsky Anatoly [Downloadable!]
1999 State Debt Policy and Bonds Market Behaviour by Barinov Vitaly & Pervozvanskaya Tatyana & Pervozvansky Anatoly [Downloadable!]
1999 Restructuring and the Role of International Financial Institutions: A Korean View by Yunjong Wang [Downloadable!]
1999 Post-Socialist Financial Fragility: the Case of Albania by Dirk J. Bezemer [Downloadable!]
1999 Systemic Risk, Interbank Relations and Liquidity Provision by the Central Bank by Freixas, Xavier & Parigi, Bruno & Rochet, Jean Charles [Downloadable!]
1999 Financial Restraints and Liberalization in Postwar Europe by Wyplosz, Charles [Downloadable!]
1999 Optimal Bail-Out, Conditionality and Creative Ambiguity by Freixas, Xavier [Downloadable!]
1999 La Grande Retransformation ? Integration financiere internationale et controles de capitaux, 1880-1997 by Marc Flandreau & Marie-Chantale Riviere [Downloadable!]
1998 How Does Underwriter Price Support Affect IPOs? Empirical Evidence by Nagpurnanand R. Prabhala & Manju Puri [Downloadable!]
1998 Do Brokers Misallocate Customer Trades? Evidence From Futures Markets by Hun Y. Park & Asani Sarkar & Lifan Wu [Downloadable!]
1998 Systemic Risk, Interbank Relations and Liquidity Provision by the Central Bank by Xavier Freixas & Bruno Parigi & Jean Charles Rochet [Downloadable!]
1998 Reputation and Honesty in a Market for Information by Gary Charness & Nuno Garoupa [Downloadable!]
1998 Supervising mandatory funded pension systems: issues and challenges by Demarco, Gustavo & Rofman, Rafael & Whitehouse, Edward [Downloadable!]
1998 Impacts of the Basle Capital Standard on Japanese Banks' Behavior by Takatoshi Ito & Yuri Nagatake Sasaki [Downloadable!]
1998 Impacts of the Basle Capital Standard on Japanese Banks' Behavior by Takatoshi Ito & Yuri Nagataki Sasaki
1998 The Organization of Financial Exchange Markets: Theory and Evidence by Pirrong, S.C.
1998 Private External Overborrowing in Undistorted Economies by Fernandez-Aria, E. & Lombardo, D.
1998 Les reformes du secteur financier en Tunisie: Description et evaluation by Zamiti, M.
1998 Les reformes du secteur financier au Maroc: Description et evaluation by Zamiti, M.
1998 Globalization & Deregulation in MENA Countries by Esfahani, H.S.
1998 Developing the Interbank Payment System. Efficiency of Public Versus Private Investments by Kauko, K.
1998 Analysis of Factors Affecting the Development of an Emerging Caputal Market: The Case of Gjana Stock Market by Osei, K.A.
1998 The Treatment of Financial Services Under a Broad-Based Consumption Tax by Jack, W.
1998 The pricing of Greek Initial Public Offerings: 1985-1995 by George Papachristou
1997 Stock Price Volatility in a Multiple Security Overlapping by Matthew I. Spiegel [Downloadable!]
1997 The Regulation of Non-Bank Financial Institutions: The United States, the European Union, and Other Countries by Kumar, A. & Chuppe, T. & Perttunen, P.
1997 Tests of Structural Stability of Risk Premia and Returns Relationship by Tzavalis, E. & Karanikas, E.
1997 Setting Standards Is Just the First Step: Maintaining Them IS The Hard Part by Goodhart, C.A.E.
1997 Should Speculators be Taxed? by Dow, J. & Rahi, R.
1997 Informed Trading, Investment, and Welfare by Dow, J & Rahi, R
1997 The Asymmetric Relation Between Margin Requirements and Stock Market Volatility Across Bull and Bear Markets by Hardouvelis, Gikas A & Pericli, Andreas & Theodossiou, Panayiotis [Downloadable!]
1997 Long Term Debt and the Political Support of a Monetary Union by Uhlig, Harald [Downloadable!]
1997 Manipulation of Metals Futures: Lessons from Sumitomo by Gilbert, Christopher L [Downloadable!]
1996 Debt Relief by Hayri, A.
1996 Stock Price Volatility in a Multiple Security Overlapping Generations Model by Matthew Spiegel [Downloadable!]
1996 Repo Markets - Experiences and opportunities in Hungary by Dániel Szakály & Henrik Tóth [Downloadable!]
1996 Stock Price Fluctuations in Australia: The Influence of japanese and U.S. Markets by Lim & C.G. & McNelis & P.D.
1996 Wage and Price Control Policies in Socialist Transitional Economies by Fardmanesh, M
1996 The Short Term Price Performance of Initial Public Offerings of Common Stock: Australia 1991-1994 by Kearney, C. & Sadeghi, M.
1996 Volatility in the Nikkei Stock Market Index; Causes and International Transmission by Kearney, C. & Kelly, B.
1996 Weekends in Malaysia by Davidson, S. & Peker, A.
1996 An Empirical Investigation on the Relationships Among Real, Monetary and Financial Variables: Australian Evidence by Hewarathna, R. & Silvapulle, P.
1996 The Roots of Banking Crises: The Macroeconomic Context by Gavin, M. & Hausmann, R.
1996 Regulation and Deregulation in Colombia Much Ado About Nothing? by Hommes, R.
1996 Law and Finance by LaPorta, R. & Lopez-de-Silanes, F. & Shleifer, A. & Vishny, R.W.
1996 Second-Best Environmental Policy and Nonconvexities : The Asymmetry Between Taxes and Tradeable Permits by Baranzini, A
1996 Strategie d'allocation sectorielle interpretation et utilisation et utilisation du modele by Namur, D.
1996 Strategie d'allocation sectorielle analyse descriptive et methodologie by Namur, D. & Sassenou, N.
1996 Public Intervention on the Credit Market: French Case by Artus, P.
1996 Share Prices and Trading Volume: Indications of Stock Exchange Efficiency by Massa, M. & Majnoni, G.
1996 Arbitrage, Hedging and Financial Innovation by Davidson, Malcolm [Downloadable!]
1995 Asset Pricing Lessons for Modeling Business Cycles by Boldrin, M. & Christiano, L.J. & Fisher, J.D.M.
1995 A Cross-Market Comparison of Institutional Equity Trading Costs by Louis K. C. Chan & Josef Lakonishok [Downloadable!]
1995 The Determination of Stock Market Volatility and Its International Transmission by Kearney, C.
1995 Tax Reform, Consumption and Asset Structure by Agell, J. & Berg, L. & Edin, P.A.
1995 Macroeconomic Shocks and Sector Excess Returns: Evidence from the Australian Stock Market by Fraser, P. & Groenewold, N.
1995 Contracting in the Shadows of a Corrupt Court by Mui, V.L.
1995 Price Formation in Double Auctions by Gjerstad, S. & Dickhaut, J.
1995 Separation and Hedging Results with State-Contingent Production by Chambers, R.G. & Quiggin, J.
1995 Price Volatility and Futures Margins by Hardouvelis, Gikas A & Kim, Dongcheol [Downloadable!]
1994 Mark-up Pricing in Mergers and Acquisitions by Schwert, G.W.
1993 Financial Markets, Specialization, and Learning by Doing by Cooley, T-F & Smith, B-D
1993 Key Elements of the Reform of the Hungarian Banking System: Privatization and Portfolio Cleaning by Várhegyi, Eva [Downloadable!]
1989 Relative Performance Evaluation for Chief Executive Officers by Robert Gibbons & Kevin Murphy [Downloadable!]
1987 Public Regulation: New Perspectives on Institutions and Policies by
Political Relationships, Global Financing and Corporate Transparency by Christian Leuz & Felix Oberholzer-Gee [Downloadable!]
Exchange rate dynamics, central bank interventions and chaos control methods by Frank Westerhoff & Cristian Wieland [Downloadable!]
Spill-over dynamics of central bank interventions by Frank Westerhoff & Cristian Wieland [Downloadable!]
Inflation, Growth and Exchange Rate Regimes in Small Open Economies by Paula Hernandez-Verme [Downloadable!]
Small Open Economies with Frictions in Credit Markets: Target inflation or money growth when floating? by Paula Hernandez-Verme [Downloadable!]
Moral Hazard and Guarantee Arrangements: A Case Study of Lloyd’s by Andrew Bain [Downloadable!]
Explaining the Term Structure of Interest Rates. The GKO Market from 1996 to 1998 by Kryukovskaya Olga [Downloadable!]
House Prices and Bubbles in New Zealand by Patricia Fraser & Martin Hoesli & Lynn Mc Alevey [Downloadable!]
Capital Account Controls, Bank’s Efficiency, Growth and Macroeconomic Volatility in the FLAR’s Member Countries? by Humberto Mora & Hernán Rincón [Downloadable!]
Efectividad del Control a los Flujos de Capital: Un Reexamen Empírico de la Experiencia Reciente en Colombia by Hernán Rincón [Downloadable!]
The Macroeconomic Impact Of Bank Capital Requirements In Emerging Economies: Past Evidence To Assess The Future by Maria Concetta Chiuri & Giovanni Ferri & Giovanni Majnoni [Downloadable!]
Optimal Personal Bankruptcy Design under Moral Hazard by Borys Grochulski [Downloadable!]
This page was last updated on 2009-11-15.
This information is provided to you by IDEAS at the Department of Economics , College of Liberal Arts and Sciences , University of Connecticut using RePEc data on a server sponsored by the Society for Economic Dynamics .