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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.