Advanced Search
MyIDEAS: Login to follow this JEL code

Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ N: Economic History
/ / N2: Financial Markets and Institutions
/ / / N20: General, International, or Comparative
Most recent items first, undated at the end.
  • 2014 Financial history and financial economics
    by Turner, John D.
  • 2014 In the name of god: Managing risk in Islamic finance
    by Cattelan, Valentino
  • 2014 Book Review – Rethinking Housing Bubbles
    by Bell, Peter Newton
  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordoñez & Christoph Trebesch
  • 2014 Changing Times, Changing Values: A Historical Analysis of Sectors within the US Stock Market 1872-2013
    by Oliver D. Bunn & Robert J. Shiller
  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordoñez & Christoph Trebesch
  • 2014 Mutual Assistance between Federal Reserve Banks, 1913-1960 as Prolegomena to the TARGET2 Debate
    by Barry Eichengreen & Arnaud J. Mehl & Livia Chițu & Gary Richardson
  • 2014 Recovery from Financial Crises: Evidence from 100 Episodes
    by Carmen M. Reinhart & Kenneth S. Rogoff
  • 2014 Order Placement in a Continuous Double Auction Agent Based Model
    by Alexandru Mandes
  • 2014 Political Booms, Financial Crises
    by Herrera, Helios & Ordoñez, Guillermo & Trebesch, Christoph
  • 2014 Le Mont-de-Piété à Bordeaux, les raisons d’un succès (1802-1913)
    by Bertrand BLANCHETON & Guillaume PASTUREAU
  • 2014 Keynes and the Interwar Commodity Option Markets
    by Maria Cristina Marcuzzo & Eleonora Sanfilippo
  • 2014 Central bank macroeconomic forecasting during the global financial crisis: the European Central Bank and Federal Reserve Bank of New York experiences
    by Alessi, Luci & Ghysels, Eric & Onorante, Luca & Peach, Richard & Potter, Simon M.
  • 2014 The process of financial integration of EU economies
    by Marco Veronese Passarella
  • 2014 Identifying and dating systemic banking crises using incidence and size of bank failures
    by Raymond Chaudron & Jakob de Haan
  • 2014 Out-of-Sample Evidence on the Returns to Currency Trading
    by Accominotti, Olivier & Chambers, David
  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordonez & Christoph Trebesch
  • 2014 Growth from Globalization? A View from the Very Long Run
    by Meissner, Christopher M.
  • 2014 Retrospection Of Insurance: Origin, Evolution, Topicality
    by Cristina UNGUR
  • 2014 Time scales and mechanisms of economic cycles: a review of theories of long waves
    by Lucas Bernard & Aleksandr V. Gevorkyan & Thomas I. Palley & Willi Semmler
  • 2014 Cross-national differences in access to finance: Influence of culture and institutional environments
    by Aggarwal, Raj & Goodell, John W.
  • 2014 The liquidity cost implications arising from the attraction of regional primary listings: Evidence from West Africa
    by Hearn, Bruce
  • 2014 History, gravity and international finance
    by Chiţu, Livia & Eichengreen, Barry & Mehl, Arnaud
  • 2014 The political institutional and firm governance determinants of liquidity: Evidence from North Africa and the Arab Spring
    by Hearn, Bruce
  • 2014 Niedriger Leitzins: eine Chance in der Euro-Schuldenkrise
    by Marius Kokert & Dorothea Schäfer & Andreas Stephan
  • 2014 Low Base Interest Rates: An Opportunity in the Euro Debt Crisis
    by Marius Kokert & Dorothea Schäfer & Andreas Stephan
  • 2014 Der lange Schatten der Geschichte: Mechanismen der Persistenz in der Wirtschaftsgeschichte
    by Davide Cantoni & Franziska Kugler & Ludger Wößmann
  • 2014 The Italian financial cycle: 1861-2011
    by Riccardo De Bonis & Andrea Silvestrini
  • 2014 Recovery from Financial Crises: Evidence from 100 Episodes
    by Carmen M. Reinhart & Kenneth S. Rogoff
  • 2013 Subprime and euro crisis: Should we blame the economists?
    by Spahn, Peter
  • 2013 Democratization and real exchange rates
    by Benjamin Furlan & Martin Gächter & Bob Krebs & Harald Oberhofer
  • 2013 The Capital Asset Pricing Model in Economic Perspective
    by Peter Dawson
  • 2013 Sovereigns versus Banks: Credit, Crises, and Consequences
    by Òscar Jordà & Moritz HP. Schularick & Alan M. Taylor
  • 2013 Empirical Research on Sovereign Debt and Default
    by Michael Tomz & Mark L. J. Wright
  • 2013 Capital Flows, Credit Booms, and Financial Crises in the Classical Gold Standard Era
    by Christopher M. Meissner
  • 2013 Gold Returns
    by Robert J. Barro & Sanjay P. Misra
  • 2013 The Golden Dilemma
    by Claude B. Erb & Campbell R. Harvey
  • 2013 History, Gravity and International Finance
    by Livia Chițu & Barry Eichengreen & Arnaud J. Mehl
  • 2013 Institutions and Venture Capital
    by Lerner, Josh & Tåg, Joacim
  • 2013 Du Mont-de-Piété à la Grameen Bank : la finance sociale à travers le temps et l’espace \r\nEssai sur une cohérence institutionnelle et une diversité des pratiques
    by Guillaume PASTUREAU
  • 2013 Sovereigns versus banks: credit, crises, and consequences
    by Jorda, Oscar & Schularick, Moritz & Taylor, Alan M.
  • 2013 Empirical Research on Sovereign Debt and Default
    by Michael Tomz & Mark L. J. Wright
  • 2013 Challengers from within Economic Institutions: A Second-Class Social Movement? A Response to Déjean, Giamporcaro, Gond, Leca and Penalva-Icher's Comment on French SRI
    by Arjaliès , Diane-Laure
  • 2013 Sovereigns versus Banks: Credit, Crises, and Consequences
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.
  • 2013 Like Father like Sons? The Cost of Sovereign Defaults In Reduced Credit to the Private Sector
    by Esteves, Rui & Jalles, João Tovar
  • 2013 ¿Crisis después de la crisis?: el estado de la macroeconomía financiera después de la crisis global
    by Salazar Trujillo, Boris
  • 2013 Sovereigns versus Banks: Credit, Crises, and Consequences
    by Òscar Jordà & Moritz Schularick & Alan M. Taylor
  • 2013 The fading stock market response to announcements of bank bailouts
    by Michele Fratianni & Francesco Marchionne
  • 2013 Finance Capitalism: A Look at the European Financial Accounts
    by Massimo Cingolani
  • 2013 Impact of Development and Efficiency of Financial Sector on Economic Growth: Empirical Evidence from Developing Countries
    by Najia SAQIB
  • 2013 New Global Financial Regulatory Framework
    by Daniel DUMITRESCU & Diana Valentina SOARE
  • 2013 ¿Crisis después de la crisis? La macroeconomía financiera después de la crisis global
    by Boris Salazar
  • 2013 Challenges Of Financial Audit - The Impact Of Introducing Unique Regulation Of Financial Markets In Romania
    by Mitica Pepi & Traian Cristin Nicolae & &
  • 2013 Comparative Evolution of Romanian Capital Market and Other Central and East-European Markets
    by Sorin Claudiu Radu
  • 2013 Money for nothing: How firms have financed R&D-projects since the Industrial Revolution
    by Bakker, Gerben
  • 2013 Europe and the logic of hierarchy
    by Kapadia, Anush
  • 2013 Diverging derivatives: Law, governance and modern financial markets
    by Carruthers, Bruce G.
  • 2013 The wonder-clause
    by Gelpern, Anna & Gulati, Mitu
  • 2013 A legal theory of finance
    by Pistor, Katharina
  • 2013 The banking bailout of the subprime crisis: Was the bang worth the buck?
    by Fratianni, Michele & Marchionne, Francesco
  • 2013 Firm level governance and institutional determinants of liquidity: Evidence from Sub Saharan Africa
    by Hearn, Bruce & Piesse, Jenifer
  • 2013 Monetary theory and policy from a Chinese historical perspective
    by Xueyi, Zheng & Yaguang, Zhang & Whalley, John
  • 2013 The Value Relevance and Timeliness of Write-downs During the Financial Crisis of 2007–2009
    by Beltratti, Andrea & Spear, Nasser & Szabo, Mark Daniel
  • 2013 Perceptions of Accounting Professionals on IFRS Application at the Individual Financial Statements: Evidence from Romania
    by Marian SACARIN & Stefan BUNEA & Maria Madalina GIRBINA
  • 2012 Fixed-income portfolio management in crisis period: Expected tail loss (ETL) approach
    by Mili, Mehdi
  • 2012 Silent conversion to anti-statism: Historical origins of the belief in market superiority
    by Engartner, Tim
  • 2012 Democratization and real exchange rates
    by Furlan, Benjamin & Gächter, Martin & Krebs, Bob & Oberhofer, Harald
  • 2012 Determinants of Local Currency Bonds and Foreign Holdings: Implications for Bond Market Development in the People’s Republic of China
    by Bae, Kee-Hong
  • 2012 Causes of Financial Crises Past and Present: The Role of the This Time is Different Syndrome
    by Reinhart, Carmen & Rogoff, Kenneth
  • 2012 This Time is Different, Again? The United States Five Years after the Onset of Subprime
    by Reinhart, Carmen & Kenneth, Rogoff
  • 2012 Οι Πτωχεύσεις Του Ελληνικού Κράτους
    by Lefteris, Tsoulfidis
  • 2012 Evolution of the venture capital financing for growing small and medium enterprises in Central and Eastern Europe countries: the case of Macedonia
    by Lazarevski, Dimche & Mrsik, Jadranka & Smokvarski, Edi
  • 2012 Stock Market Integration and International Portfolio Diversification between U.S. and ASEAN Equity Markets
    by Ardliansyah, Rifqi
  • 2012 Criza economică – un fenomen previzibil
    by Asavoaei, Alexandru
  • 2012 When did the dollar overtake sterling as the leading international currency? Evidence from the bond markets
    by Livia Chitu & Barry Eichengreen & Arnaud J. Mehl
  • 2012 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
    by Carmen M. Reinhart
  • 2012 Short- and Long-Term Growth Effects of Exchange Rate Adjustment
    by Evžen Kocenda & Mathilde Maurel & Gunther Schnabl
  • 2012 Institutions and Venture Capital
    by Lerner, Josh & Tåg, Joacim
  • 2012 Property Rights and the Cost of Capital
    by Bjuggren, Per-Olof & Eklund, Johan
  • 2012 Entrerpreneurial Catch Up And New Industrial Competence Bloc Formation In The Baltic Sea Region
    by Eliasson, Gunnar & Braunerhjelm, Pontus
  • 2012 What determines bank stock price synchronicity? Global evidence
    by Francis , Bill & Hasan, Iftekhar & Song, Liang & Yeung , Bernard
  • 2012 Public borrowing in harsh times : the League of Nations Loans revisited
    by Yann Decorzant & Juan-Huitzi Flores
  • 2012 Towards a Legal Theory of Finance
    by Pistor, Katharina
  • 2012 Short-Term and Long-Term Growth Effects of Exchange Rate Adjustment
    by Evžen Kocenda & Mathilde Maurel & Gunther Schnabl
  • 2012 Banking Crises and Reversals in Financial Reforms
    by Petar Stankov
  • 2012 When Credit Bites Back: Leverage, Business Cycles and Crises
    by Oscar Jorda & Moritz Schularick & Alan Taylor
  • 2012 Norges Bank 1999-2010: Governance and structural reforms
    by Harald Bøhn
  • 2012 New Solutions to Old Debates: A New Transaction Tax Proposal
    by Esener, S. Cagri & Binis, Mine
  • 2012 The Great Depression – Retro Part 2 On the Great Depression in Light of New Research
    by László Ohnsorge-Szabó
  • 2012 Historical Perspective on International Financial Centers
    by Cosma Sorinel
  • 2012 A meta-analysis of the equity premium
    by van Ewijk, Casper & de Groot, Henri L.F. & Santing, A.J. (Coos)
  • 2012 Financial development and the evolution of property rights and legal institutions
    by Miletkov, Mihail & Wintoki, M. Babajide
  • 2012 Central Banks: Past, Present, Future
    by Angela Redish
  • 2012 A world between crises
    by Grzegorz W. Kolodko
  • 2012 A critical note on "This time is different"
    by Antoine Parent
  • 2012 Global Financial Stability and the Lessons of History: A Review of Carmen M. Reinhart and Kenneth S. Rogoff's This Time Is Different: Eight Centuries of Financial Folly
    by Alan M. Taylor
  • 2012(XXII) Foundations Of Banking Origin. Governance And Normative Profiles In The Italian Context
    by Adalberto RANGONE
  • 2011 Aiming high, falling short: the Least Developed Country (LDC) category at 40
    by Fialho, Djalita
  • 2011 Was the Emergence of the International Gold Standard Expected?Melodramatic Evidence from Indian Government Securities
    by Marc Flandreau & Kim Oosterlinck
  • 2011 Financial liberalization and macroeconomic performance, empirical evidence from selected Asian countries
    by Raza, Muhammad Wajid & Mohsin, Hasan M
  • 2011 The Political Economy of Global Financial Liberalisation in Historical Perspective
    by Rui Esteves
  • 2011 Financial Sector Reform in India: Time for a Second Wave?
    by Richard Herd & Vincent Koen & Ila Patnaik & Ajay Shah
  • 2011 Surveillance by International Institutions: Lessons from the Global Financial and Economic Crisis
    by Kumiharu Shigehara & Paul Atkinson
  • 2011 The Political Economy of Global Financial Liberalisation in Historical Perspective
    by Rui P. Esteves
  • 2011 Diffusion and use of financial telecommunication: An empirical analysis of SWIFT adoption
    by Markos Zachariadis
  • 2011 When Credit Bites Back: Leverage, Business Cycles, and Crises
    by Òscar Jordà & Moritz HP. Schularick & Alan M. Taylor
  • 2011 Why didn’t Canada have a banking crisis in 2008 (or in 1930, or 1907, or ...)?
    by Michael D. Bordo & Angela Redish & Hugh Rockoff
  • 2011 Hither Thou Shalt Come, But No Further: Reply to "The Colonial Origins of Comparative Development: An Empirical Investigation: Comment"
    by Daron Acemoglu & Simon Johnson & James A. Robinson
  • 2011 The Banking Bailout of the Subprime Crisis: Big Commitments and Small Effects?
    by Michele Fratianni & Francesco Marchionne
  • 2011 The Cost of Insecure Property Rights: R2 Revisited
    by Bjuggren, Per-Olof & Eklund, Johan E
  • 2011 Was the Emergence of the International Gold Standard Expected? Melodramatic Evidence from Indian Government Securities
    by Marc Flandreau & Kim Oosterlinck
  • 2011 Bondholders vs. bond-sellers? Investment banks and conditionality lending in the London market for foreign government debt, 1815-1913
    by Marc Flandreau & Juan Flores
  • 2011 The Changing Role of Global Financial Brands in the Underwriting of Foreign Government Debt (1815-2010)
    by Marc Flandreau, Juan Flores, Norbert Gaillard, Sebasti‡n Nieto-Parra
  • 2011 Was the Emergence of the International Gold Standard Expected? Melodramatic Evidence from Indian Government Securities
    by Marc Flandreau, Kim Oosterlinck
  • 2011 Amsterdam and London as financial centers in the eighteenth century
    by Ann M. Carlos & Larry Neal
  • 2011 Sharing the Future: Financial Innovation and Innovators in Solving the Political Economy Challenges of Development
    by Jha, Saumitra
  • 2011 Measuring Financial Market Integration over the Long Run: Is there a U-Shape?
    by Vadym Volosovych
  • 2011 When Credit Bites Back: Leverage, Business Cycles, and Crises
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.
  • 2011 China’s Dominance Hypothesis and the Emergence of a Tri-polar Global Currency System
    by Fratzscher, Marcel & Mehl, Arnaud
  • 2011 130 years of fiscal vulnerabilities and currency crashes in advanced economies
    by Fratzscher, Marcel & Mehl, Arnaud & Vansteenkiste, Isabel
  • 2011 Does Trade Cause Capital to Flow? Evidence from Historical Rainfalls
    by Kalemli-Ozcan, Sebnem & Nikolsko-Rzhevskyy, Alex
  • 2011 La Experiencia de Banca Libre en Bogotá (1871-1880): de la utopía económica al pragmatismo frente a las crisis
    by Andrés Álvarez & Jennifer A. Timoté
  • 2011 Anglo-Saxon Capitalism in Crisis? Models of Liberal Capitalism and the Preconditions for Financial Stability
    by Konzelmann, S. & Fovargue-Davies, M.
  • 2011 What do we really know about the long-term evolution of central banking? Evidence from the past, insights for the present
    by Stefano Ugolini
  • 2011 THE INTERNATIONAL FINANCIAL CRISIS:Have the Rules of Finance Changed?
    by
  • 2011 Banking Concentration in the European Union during the Last Fifteen Years
    by Roberto J. Santillán Salgado
  • 2011 Institutions Of The International Monetary System (Ims): The Role Of The International Monetary Fund (Imf) In The World Economy
    by Iordache, Floarea & Balasescu, Florin Razvan
  • 2011 Financial system stress and unemployment in industrial countries
    by Horst Feldmann
  • 2011 Banken: Leverage Ratio ist das bessere Risikomaß
    by Dorothea Schäfer
  • 2011 Banken werden immer größer
    by Sascha Binder & Dorothea Schäfer
  • 2011 Le financement de l'innovation : une approche historique
    by Jean Matouk
  • 2010 Federalismo y confianza en la moneda, una comparación entre los sistemas monetarios de las federaciones de América del Norte y del Sur
    by Théret, Bruno
  • 2010 The Deadliest of Games: The Institution of Dueling
    by Christopher G. Kingston & Robert E. Wright
  • 2010 Financial Development: A Broader Perspective
    by Reid, Richard
  • 2010 The Role of State Intervention in the Financial Sector: Crisis Prevention, Containment, and Resolution
    by Cho, Yoon Je
  • 2010 Από Την Οικονομική Άνθηση Στην Κρίση Του 1930
    by Tsoulfidis, Lefteris
  • 2010 Global financial crisis and its impact on the financial system of Kosovo
    by Ramosaj, Berim
  • 2010 Diverging Paths to a Network World: Computerizing Spanish and British Savings Banks, 1960-1990
    by Maixe-Altes, J. Carles
  • 2010 Mission Drift of large MFIs?
    by Schmidt, Oliver & Ramana, N. V.
  • 2010 Debt and Growth Revisited
    by Reinhart, Carmen & Rogoff, Kenneth
  • 2010 Back to the roots: On the origins of the Fed's independence
    by Farvaque, Etienne
  • 2010 The ineffectiveness of state as a controller and owner
    by Bojańczyk, Mirosław
  • 2010 Information transmission and the emergence of a peculiar trading facility in certain emerging markets
    by Siddiqi, Hammad
  • 2010 Simple Financial Economic Models of Fremont Maize Storage and an Assessment of External Threat
    by Barlow, Renee & Phillips, Kerk L.
  • 2010 The Global Financial Crisis of 2007-08: Is it Unprecedented?
    by Michael D. Bordo & John S. Landon-Lane
  • 2010 Financial Crises, Credit Booms, and External Imbalances: 140 Years of Lessons
    by Òscar Jordà & Moritz Schularick & Alan M. Taylor
  • 2010 Agency Problems and the Fate of Capitalism
    by Randall Morck & Bernard Yeung
  • 2010 Law and Finance c. 1900
    by Aldo Musacchio
  • 2010 Fetters of Gold and Paper
    by Barry Eichengreen & Peter Temin
  • 2010 Monetary Theory from a Chinese Historical Perspective
    by Zheng Xueyi & Yaguang Zhang & John Whalley
  • 2010 Does Trade Cause Capital to Flow? Evidence from Historical Rainfalls
    by Sebnem Kalemli-Ozcan & Alex Nikolsko-Rzhevskyy
  • 2010 Crisi finanziaria in corso e insegnamenti che si possono trarre
    by Arnaldo MAURI & Claudia Gabriela BAICU
  • 2010 Banks’ Great Bailout of 2008-2009
    by Michele Fratianni & Francesco Marchionne
  • 2010 The impact of the diffusion of a financial innovation on company performance: an analysis of SWIFT adoption
    by Susan V. Scott & Markos Zachariadis
  • 2010 Financial Development : A Broader Perspective
    by Richard Reid
  • 2010 Financial Development : A Broader Perspective
    by Richard Reid
  • 2010 Financial Development : A Broader Perspective
    by Richard Reid
  • 2010 The Role of State Intervention in the Financial Sector : Crisis Prevention, Containment, and Resolution
    by Yoon Je Cho
  • 2010 Financial Development : A Broader Perspective
    by Richard Reid
  • 2010 A Meta-Analysis of the Equity Premium
    by Casper van Ewijk & Henri L.F. de Groot & Coos Santing
  • 2010 Hamlet without the Prince of Denmark: Relationship banking and conditionality lending in the London market for government debt, 1815-1913
    by Flandreau, Marc & Flores Zendejas, Juan Huitzilihuitl
  • 2010 A meta-analysis of the equity premium
    by Casper van Ewijk & C. Santing
  • 2010 The Impact of the Diffusion of a Financial Innovation on Company Performance: An Analysis of SWIFT Adoption
    by Susan Scott & John Van Reenen & Markos Zachariadis
  • 2010 Varieties of Liberalism: Anglo-Saxon Capitalism in Crisis?
    by Konzelmann, S. & Fovargue-Davies, M. & Schnyder, G.
  • 2010 The international monetary system, 1844-1870: Arbitrage, efficiency, liquidity
    by Stefano Ugolini
  • 2010 VALUATION OF EQUITY SECURITIES:History, Theory and Application
    by Geoffrey Poitras
  • 2010 A return to fundamentals: Fausto Vicarelli's thought on finance vs. growth and efficiency vs. stability
    by Giuseppe GAROFALO & Claudio GNESUTTA
  • 2010 Development Agency or Bank? Vision and Strategy of the World Bank in the 50’s and 60’s
    by Michele Alacevich
  • 2010 Confronting the financial crisis: surveillance and regulation
    by Alessandro Roncaglia
  • 2010 The Banking Bailout of the Subprime Crisis: Size and Effects
    by Michele Fratianni & Francesco Marchionne
  • 2010 Economic policy dilemmas in front of the crisis
    by Alessandro Roncaglia
  • 2010 Il dollaro: ieri, oggi e domani
    by Charles P. Kindleberger
  • 2010 Conceptual Clarifications Regarding The Financial Control
    by BOTA MOISIN Anton - Florin
  • 2010 Some Conclusions Regarding The Historical Evolution Of Finance In The Present Teritory Of Romania
    by BOTA MOISIN Anton - Florin
  • 2010 “Show me the money” – or how the institutional aspects of monetary policy implementation render money supply endogenous
    by Juliusz Jabłecki
  • 2010 Factors behind high cash usage in Hungary
    by Anikó Bódi-Schubert
  • 2010 Comparative Law and Finance: Past, Present, and Future Research
    by Mathias Siems & Simon Deakin
  • 2010 Operational Risk Measurement
    by Gabriela ANGHELACHE & Ana-Cornelia OLTEANU (PUIU) & Alina-Nicoleta RADU
  • 2010 Global Financial Crisis and Turkey: Effects and Suggestions
    by Meltem Ince
  • 2010 Capital Flows and Macroeconomic Performance: Lessons from the Golden Era of International Finance
    by Lee E. Ohanian & Mark L. J. Wright
  • 2009 The Equity Risk Premium, Market Factors and the Maturing Economy Hypothesis
    by Michael Devaney
  • 2009 Microfinance and Mechanism Design: The Role of Joint Liability and Cross-Reporting
    by Abdul Karim, Zulkefly
  • 2009 Understanding Economic Growth in Indian States
    by NR, Bhanumurthy
  • 2009 Assessing the Impact of World War I on the City of London
    by Sarah Cochrane
  • 2009 Credit Booms Gone Bust: Monetary Policy, Leverage Cycles and Financial Crises, 1870–2008
    by Moritz Schularick & Alan M. Taylor
  • 2009 Are Hard Pegs Ever Credible in Emerging Markets? Evidence from the Classical Gold Standard
    by Kris James Mitchener & Marc D. Weidenmier
  • 2009 The Aftermath of Financial Crises
    by Carmen M. Reinhart & Kenneth S. Rogoff
  • 2009 Rescuing Banks from the Effects of the Financial Crisis
    by Michele Fratianni & Francesco Marchionne
  • 2009 The Role of Banks in the Subprime Financial Crisis
    by Michele Fratianni & Francesco Marchionne
  • 2009 Did the Structure of Trade and Foreign Debt Affect Reserve Currency Composition? Evidence form Interwar Japan
    by Mariko Hatase & Mari Ohnuki
  • 2009 Credit Booms Gone Bust: Monetary Policy, Leverage Cycles and Financial Crises, 1870-2008
    by Schularick, Moritz & Taylor, Alan M.
  • 2009 The Aftermath of Financial Crises
    by Reinhart, Carmen & Rogoff, Kenneth
  • 2009 Agency and Communication in IMF Conditional Lending: Theory and Empirical Evidence
    by Silvia Marchesi & Laura Sabani & Axel Dreher
  • 2009 The Evolution of Ownership Disclosure Rules across Countries
    by Mathias M. Siems & Michael C. Schouten
  • 2009 Governance, Regulation and Financial Market Instability: The Implciations for Policy
    by Sue Konzelmann & Frank Wilkinson & Marc Fovargue-Davies & Duncan Sankey
  • 2009 Shareholder, Creditor and Worker Protection: Time Series Evidence about the Differences between French, German, Idian, UK and US Law
    by Mathias Siems
  • 2009 The Revenge of the Market on the Rentiers: Why neo-liberal Reports of the end of history turned out to be premature (Updated 19 December 2011)
    by Palma, J.G.
  • 2009 Financial market regulation in the wake of financial crises: the historical experience
    by Alfredo Gigliobianco (editor) & Gianni Toniolo (editor)
  • 2009 Regulators and Innovators Play Tag: The Italian Historical Experience
    by Alfredo Gigliobianco & Claire Giordano & Gianni Toniolo
  • 2009 Global Financial Crisis: Causes and Lessons - A Neo-Schumpeterian perspective
    by Horst Hanusch & Florian Wackermann
  • 2009 Rescuing Banks from the Effects of the Financial Crisis
    by Michele Fratianni & Francesco Marchionne
  • 2009 The Role of Banks in the Subprime Financial Crisis
    by Michele Fratianni & Francesco Marchionne
  • 2009 Marco Institucional de la Contabilidad y las Finanzas
    by Galindo Lucas, Alfonso
  • 2009 Is the 2007 U.S. Sub-Prime Financial Crisis So Different? An International Historical Comparison
    by Carmen M. Reinhart & Kenneth S. Rogoff
  • 2009 La crisis económica mundial de 2008 - 20...?
    by Leopoldo Solís Manjarrez
  • 2009 A Review of Michael Tomz's Reputation and International Cooperation: Sovereign Debt across Three Centuries
    by Mark Gersovitz
  • 2008 The Lucas Paradox and the quality of institutions: then and now
    by Schularick, Moritz & Steger, Thomas M.
  • 2008 Political Economy Origins of Financial Markets in Europe and Asia
    by Svetlana Andrianova & Panicaos Demetriades & Chenggang Xu
  • 2008 International Money and Finance
    by Paul Hallwood & Ronald MacDonald
  • 2008 Multiple Potential Payers and Sovereign Bond Prices
    by Kim Oosterlinck & Loredana Ureche-Rangau
  • 2008 Evidence from the Patent Record on the Development of Cash Dispensing Technology
    by Batiz-Lazo, Bernardo & Reid, Robert J. K.
  • 2008 Book Review on Islamic finance: law, economics and practice by Mahmoud A. El-Gamal
    by Islahi, Abdul Azim
  • 2008 Organisational change and the computerisation of British and Spanish savings banks, circa 1965-1985
    by Batiz-Lazo, Bernardo & Maixe-Altes, J. Carles
  • 2008 Reshaping the International Monetary Architecture and Addressing Global Imbalances: Lessons from the Keynes Plan
    by Piffaretti, Nadia F.
  • 2008 Financial structure, financial development and banking fragility: International evidence
    by Ruiz-Porras, Antonio
  • 2008 La récente crise financière internationale cause t-elle la crise des marchés des swaps sur défaut de crédit?
    by Naifar, Nader
  • 2008 An uncertain dollar: The Wall Street Journal, the New York Times and the monetary crisis of 1971 to 1973
    by Tiago Mata
  • 2008 The "Thin Film Of Gold": Monetary Rules and Policy Credibility In Developing Countries
    by Niall Ferguson & Moritz Schularick
  • 2008 A Long Term Perspective on the Euro
    by Michael D. Bordo & Harold James
  • 2008 Trade and Empire
    by Kris James Mitchener & Marc Weidenmier
  • 2008 Is the 2007 U.S. Sub-Prime Financial Crisis So Different? An International Historical Comparison
    by Carmen M. Reinhart & Kenneth S. Rogoff
  • 2008 Political Economy Origins of Financial Markets in Europe and Asia
    by Svetlana Andrianova & Panicos Demetriades & Chenggang Xu
  • 2008 Financial Crises, Safety Nets, and Regulation
    by Michele Fratianni
  • 2008 Free Flows, Limited Diversification: Explaining the Fall and Rise of Stock Market Correlations, 1890-2001
    by Quinn, Dennis & Voth, Hans-Joachim
  • 2008 Black Man’s Burden: Measured Philanthropy in the British Empire, 1880-1913
    by Accominotti, Olivier & Flandreau, Marc & Rezzik, Riad & Zumer, Frédéric
  • 2008 Do the English Legal Origin Countries have more dispersed Share Ownership and more developed financial Systems?
    by Prabirjit Sarkar
  • 2008 Growing up to Financial Stability
    by Michael D. Bordo
  • 2008 Multiple Potential Payers and Sovereign Bond Prices
    by Kim Oosterlinck & Loredana Ureche-Rangau
  • 2008 Persistent Gaps and Default Traps
    by Luis A. V. Catao & Ana Fostel & Sandeep Kapur
  • 2008 The Evolutionary Chain of International Financial Centers
    by Michele Fratianni
  • 2008 Financial Crises, Safety Nets and Regulation
    by Michele Fratianni
  • 2008 Asset Management in Volatile Markets
    by Peter R. Haiss & Bernhard Sammer & Martin Gartner & Otto Loistl & Stephan Zellner & Christine Zinner & Robert C. Merton & Krzysztof Rybinski & Urszula Sowa
  • 2008 Financial Crises, Safety Nets and Regulation
    by Michele FRATIANNI
  • 2008 Corporate Governance In Romania (Ii – Considerations On Romania’S Compliance On Oecd Principles On Corporate Governance)
    by Badulescu Alina
  • 2008 Understanding State Intervention In The Financial System: A Simple Framework
    by Inseok Shin
  • 2008 A Selective Bail-Out International Lending of Last Resort Model
    by Cecile Bastidon & Philippe Gilles & Nicolas Huchet
  • 2008 A Century of Global Equity Market Correlations
    by Dennis P. Quinn & Hans-Joachim Voth
  • 2008 Is the 2007 US Sub-prime Financial Crisis So Different? An International Historical Comparison
    by Carmen M. Reinhart & Kenneth S. Rogoff
  • 2007 Corporate Cash Holdings, National Culture, and Multinationality
    by Andres Ramirez & Solomon Tadesse &
  • 2007 Crisis-Robust Bond Portfolios
    by Marie Briere & Ariane Szafarz
  • 2007 Farmers and Capitalism
    by Carney, Richard
  • 2007 Partisanship at the Origins of Modern Capitalist Institutions
    by Carney, Richard
  • 2007 Deducing Varieties of Capitalism
    by Carney, Richard
  • 2007 Shareholder protection and stockmarket development: an empirical test of the legal origins hypothesis
    by Armour, John & Deakin, Simon & Sarkar, Prabirjit & Siems, Mathias & Singh, Ajit
  • 2007 Quis custodiet quem? Sovereign Debt and Bondholders` Protection Before 1914
    by Rui Pedro Esteves
  • 2007 The Economic Consequences of Legal Origins
    by Rafael La Porta & Florencio Lopez-de-Silanes & Andrei Shleifer
  • 2007 Foreign Capital and Economic Growth in the First Era of Globalization
    by Michael D. Bordo & Christopher M. Meissner
  • 2007 Institutional Development of Capital Markets in Nine Asian Economies
    by Nakagawa, Rika
  • 2007 The Evolutionary Chain of International Financial Centers
    by Michele Fratianni
  • 2007 Bank supervision Russian style: Evidence of conflicts between micro- and macroprudential concerns
    by Claeys, Sophie & Schoors, Koen
  • 2007 Shareholder Protection around the World ("Leximetric II")
    by Mathias Siems
  • 2007 Shareholder Protection and Stock Market Development: An Empirical Test of the Legal Origins Hypothesis
    by John Armour & Simon Deakin & Prabirjit Sarkar & Mathias Siems & Ajit Singh
  • 2007 The End of Comparative Law
    by Mathias M. Siems
  • 2007 The Eclipse of Private Equity
    by Brian Cheffins & John Armour
  • 2007 The Evolutionary Chain of International Financial Centers
    by Michele FRATIANNI
  • 2006 Why and when financial instruments are created: a learning story
    by Fernandes, Ana
  • 2006 Por qué importan las instituciones. La banca y el crecimiento económico en México
    by Haber, Stephen
  • 2006 The Role of Foreign Currency Debt in Financial Crises: 1880-1913 vs. 1972-1997
    by Christopher M Meissner & Michael D Bordo
  • 2006 Una fiera senza luogo. Was Bisenzone an offshore capital market in sixteenth-century Italy?
    by Luciano Pezzolo & Giuseppe Tattara
  • 2006 A century of global equity market correlations
    by Dennis Quinn & Joachim Voth
  • 2006 Organisational change and the computerisation of British and Spanish savings banks, 1965-1985
    by Batiz-Lazo, Bernardo & Maixe-Altes, J. Carles
  • 2006 Islam and Christianity: symbiosis of civilizations
    by Cizakca, Murat
  • 2006 Sovereign Risk in the Classical Gold Standard Era
    by Gavin Cameron & Kang Yong Tan
  • 2006 Losing our Marbles in the New Century? The Great Rebalancing in Historical Perspective
    by Christopher M. Meissner & Alan M. Taylor
  • 2006 International Trade and Finance under the Two Hegemons: Complementaries in the United Kingdom 1870-1913 and the United States 1920-30
    by Alan M. Taylor & Janine L. F. Wilson
  • 2006 Sudden Stops, Financial Crises, and Original Sin in Emerging Countries: Déjà vu?
    by Michael D. Bordo
  • 2006 One World Money, Then and Now
    by Michael Bordo & Harold James
  • 2006 Why Does Sovereign Risk Differ for Domestic and Foreign Investors? Evidence from Scandinavia, 1938­­–1948
    by Waldenström, Daniel
  • 2006 Does Financial Integration Spur Economic Growth? New Evidence from the First Era of Financial Globalization
    by Moritz Schularick & Thomas M. Steger
  • 2006 Signalling in Social Networks: An Empirical Study of Denominational Fractionalization in the USA
    by Mehmet Karacuka & Martin Leroch
  • 2006 Sovereign Risk In The Classical Gold Standard Era
    by Gavin Cameron & Prasanna Gai & Kang Yong Tan
  • 2006 Losing our Marbles in the New Century? The Great Rebalancing in Historical Perspective
    by Meissner, Christopher M & Taylor, Alan M
  • 2006 International Trade and Finance under the Two Hegemons: Complementarities in the United Kingdom (1870-1913) and the United States (1920-30)
    by Taylor, Alan M & Wilson, Janine
  • 2006 Bloodshed or Reforms? The Determinants of Sovereign Bond Spreads in 1870-1913 and Today
    by Mauro, Paolo & Sussman, Nathan & Yafeh, Yishay
  • 2006 Does Financial Integration Spur EconomicGrowth? New Evidence from the First Era of Financial Globalization
    by Moritz Schularick & Thomas Steger
  • 2006 Who writes the rules for hostile takeovers, and why? - The peculiar divergence of US and UK takeover regulations
    by John Armour & David A. Skeel, Jr.
  • 2006 Shareholder Protection: A Leximetric Approach
    by Mathias Siems & Priya Lele
  • 2006 Legal origins: reconciling law and finance and comparative law
    by Mathias M Siems
  • 2006 The future of central bank cooperation
    by Beth A Simmons
  • 2006 Architects of stability? International cooperation among financial supervisors
    by Ethan B Kapstein
  • 2006 One hundred and thirty years of central bank cooperation: a BIS perspective
    by Claudio E. V. Borio & Gianni Toniolo
  • 2006 A Note on Juglar, Bonnet and the Intuition of the Interest Parity Relation
    by Claude Diebolt & Antoine Parent
  • 2006 Corporate Governance and the Distribution of Wealth: A Political-Economy Perspective
    by Enrico C. Perotti & Ernst-Ludwig von Thadden
  • 2006 Modélisation et analyse des mécanismes du Club de Paris de rachat de créances par prépaiement
    by DANIEL, L. & MANAS, A.
  • 2006(XVI) Characteristics Of The Foreign Capital In Romania In Retrospet Back To 1954
    by Victor AXENCIUC
  • 2005 IMF Essays from a Time of Crisis: The International Financial System, Stabilization, and Development
    by Stanley Fischer
  • 2005 Bankacılık Sistemi, Sanayileşme Ve Alexander Gerschenkron
    by Serdar ŞAHİNKAYA
  • 2005 Financial Liberalization Era in Turkey: Critique on Decree No.32
    by Onur Koska
  • 2005 Crises & Crashes: Argentina 1885 – 2003
    by Osvaldo Meloni & Ana María Cerro
  • 2005 Towards a General Theory of Financial Regulation: Predicting, Measuring and Preventing Financial Crises
    by Carolyn Currie
  • 2005 Knowledge, Technology Adoption and Financial Innovation
    by Ana Fernandes
  • 2005 Globalization and Democracy, 1870-2000
    by Christopher M. Meissner & Jose Ernesto Lopez Cordova
  • 2005 Market Integration in the Golden Periphery - the Lisbon/London Exchange, 1854-1891
    by Rui Pedro Esteves & Jaime Reis & Fabiano Ferramosca
  • 2005 Supersanctions and Sovereign Debt Repayment
    by Kris James Mitchener & Marc D. Weidenmier
  • 2005 Wealth concentration in a developing economy : Paris and France, 1807-1994
    by Thomas Piketty & Gilles Postel-Vinay & Jean-Laurent Rosenthal
  • 2005 Does Sovereign Risk Differ for Domestic and Foreign Investors? Historical Evidence from Scandinavian Bond Markets
    by Waldenström, Daniel
  • 2005 Bank supervision Russian style: Rules versus enforcement and tacit objectives
    by Claeys, Sophie & Lanine, Gleb & Schoors, Koen
  • 2005 Financial Reform, Institutional Interdependency, and Supervisory Failure in the Post-Crisis Korea
    by Hong-Bum Kim & Chung Lee
  • 2005 Synchronisation Of Financial Crises
    by Mardi Dungey & Jan P.A.M. Jacobs & Lestano
  • 2005 The Need for Institutional Changes in the Global Financial System: An Analytical Framework
    by Claessens, Stijn & Underhill, Geoffrey R D
  • 2005 The 35 Most Tumultuous Years in Monetary History: Shocks, the Transfer Problem, and Financial Trauma
    by Robert Z. Aliber
  • 2005 Chinese Sojourn Labor and the American Transcontinental Railroad
    by Scott Alan Carson
  • 2005 Do Economists Reach a Conclusion on Free-Banking Episodes?
    by Ignacio Briones & Hugh Rockoff
  • 2005 Antecedentes del microcrédito. Lecciones del pasado para las experiencias actuales
    by Begoña Gutiérrez Nieto
  • 2005 Distinguishing global dollar reserves from official holdings in the United States
    by Robert McCauley
  • 2005 Is It 1958 or 1968? Three Notes on the Longevity of the Revived Bretton Woods System
    by Michael Dooley & Peter Garber
  • 2004 Instability in Exchange Rates of the World Leading Currencies: Implications of a Spatial Competition Model among Central Banks (Currencies, Competition, and Clans)
    by Dirk Engelmann & Jan Hanousek & Evzen Kocenda
  • 2004 Financial Globalization and Regulation
    by Philip Arestis & Santonu Basu
  • 2004 Instability in Exchange Rates of the World Leading Currencies: Implications of a Spatial Competition Model among Central Banks
    by Dirk Engelmann & Jan Hanousek & Evžen Kocenda
  • 2004 IMF Quotas, Representation and Governance
    by Karen Taylor & Craig Tipping & Adam McKissack
  • 2004 Entre la peste et le choléra: le détenteur d'obligations peut préférer la répudiation au défaut
    by Kim Oosterlinck & Loredana Ureche-Rangau
  • 2004 What Does the Walrasian Auctioneer Know? Technology Adoption and Financial Innovation
    by Ana Fernandes
  • 2004 Economic Backwardness in Security Perspective
    by Carney, Richard
  • 2004 Good versus Bad Deflation: Lessons from the Gold Standard Era
    by Michael D. Bordo & John Landon Lane & Angela Redish
  • 2004 R2 Around the World: New Theory and New Tests
    by Li JIN & Stewart C. MYERS
  • 2004 Gold, Fiat and Credit. An Elementary Discussion of Commodity Money, Fiat Money and Credit, Part II
    by Thomas Quint & Martin Shubik
  • 2004 A Consumable Money. An Elementary Discussion of Commodity Money, Fiat Money and Credit: Part I
    by Thomas Quint & Martin Shubik
  • 2004 Constitutions and Commitment: Evidence on the Relation Between Institutions and the Cost of Capital
    by Sussman, Nathan & Yafeh, Yishay
  • 2004 International Lending of Last Resort and Moral Hazard: A Model of the IMF's Catalytic Finance
    by Corsetti, Giancarlo & Guimarães, Bernardo & Roubini, Nouriel
  • 2004 Do Rural Banks Matter? Evidence from the Indian Social Banking Experiment
    by Burgess, Robin & Pande, Rohini
  • 2004 Knowledge, Technology Adoption And Financial Innovation
    by Ana Fernandes
  • 2004 Antecedentes históricos de la deuda externa colombiana. De la Paz Británica a la Paz Americana
    by Mauricio Avella Gómez
  • 2004 The Neo-Liberal Platform of the Transition to Market Economy – Specifics and Consequences
    by Stefan F. Stefanov
  • 2003 Sovereign Risk, Credibility and the Gold Standard: 1870-1913 versus 1925-31
    by Maurice Obstfeld & Alan M. Taylor & )
  • 2003 The Internationalization of Money and Finance and the Globalization of Financial Markets
    by James R. Lothian
  • 2003 Savings Mobilization Role Of Nigerian Commercial Banks:An Analytical Policy Study
    by GODWIN CHUKWUDUM NWAOBI
  • 2003 Financial Sector Reforms in Developing Countries with Special reference to Egypt
    by Philip Arestis
  • 2003 Towards a General Theory of Financial Regulation: Predicting, Measuring and Preventing Financial Crises
    by Carolyn Currie
  • 2003 Crises and Punishment : Moral Hazard and the pre-1914 international financial architecture
    by Marc Flandreau
  • 2003 Debt intolerance
    by Reinhart, Carmen & Rogoff, Kenneth & Savastano, Miguel
  • 2003 How "Original Sin" was Overcome: The Evolution of External Debt Denominated in Domestic Currencies in the United States and the British Dominions
    by Michael D. Bordo & Christopher Meissner & Angela Redish
  • 2003 Exchange Rate Regime Choice in Historical Perspective
    by Michael D. Bordo
  • 2003 Law Enforcement under Incomplete Law: Theory and Evidence from Financial Market Regulation
    by Pistor, Katharina & Xu, Cheng-Gang
  • 2003 Crises and Punishment: Moral Hazard and the Pre-1914 International Financial Architecture
    by Flandreau, Marc
  • 2003 Sovereign Risk, Credibility and the Gold Standard: 1870-1913 versus 1925-31
    by Obstfeld, Maurice & Taylor, Alan M
  • 2003 Instituciones de inversión colectiva en españa desde una perspectiva histórica
    by Fernando Carnero Lorenzo
  • 2003 Antecedentes históricos de la deuda externa colombiana. La Paz Británica
    by Mauricio Avella Gómez
  • 2003 Why, and how, to Talk about the Mediterranean Today
    by Maurice Aymard
  • 2003 Czech banking in comparative perspective
    by Martin Myant
  • 2003 A history of prices in Canada, 1840-1871: a new wholesale price index
    by Donald G. Paterson & Ronald A. Shearer
  • 2003 The Reform of the Savings Bank System in France - A Model for Other Countries?
    by Jochen Klein
  • 2003 The neoliberal platform of the transition to market economy - specifics and consequences
    by Stefan Stefanov
  • 2002 Competitive collaboration & market contestability: Cases in Mexican & UK banking (1945-1975)
    by Bernardo Batiz-Lazo & Gustavo Del Angel
  • 2002 Two Hundred Years of Contagion
    by Reinhart, Carmen & Kaminsky, Graciela & Vegh, Carlos
  • 2002 Crises in the Global Economy from Tulips to Today: Contagion and Consequences
    by Larry Neal & Marc Weidenmier
  • 2002 Boom-Busts in Asset Prices, Economic Instability, and Monetary Policy
    by Michael D. Bordo & Olivier Jeanne
  • 2002 Crises Now and Then: What Lessons from the Last Era of Financial Globalization
    by Barry Eichengreen & Michael D. Bordo
  • 2002 The trading of unlimited liability bank shares: the Bagehot Hypothesis
    by Charles Hickson & John Turner
  • 2001 Famous First Bubbles: The Fundamentals of Early Manias
    by Peter M. Garber
  • 2001 Bad Policies Under an Autocrat's Production
    by Byeongju Jeong
  • 2001 Monetary Union, Trade Integration, and Business Cycles in 19th Century Europe: Just Do It
    by Mathilde Maurel & Marc Flandreau
  • 2001 Household Net Wealth: An International Comparison
    by Iris Claus & Grant Scobie
  • 2001 The Evolution of Suffrage Institutions in the New World
    by Stanley L. Engerman & Kenneth L. Sokoloff
  • 2001 Monetary Union, Trade Integration, and Business Cycles in 19th Century Europe: Just Do It
    by Flandreau, Marc & Maurel, Mathilde
  • 2001 The Emergence and Persistence of the Anglo-Saxon and German Financial Systems
    by Sandeep Baliga & Ben Polak
  • 2001 Northwest of Suez: The 1956 Crisis and the IMF
    by James Boughton
  • 2000 British Public Policy and Inward Direct Investment during the "Dollar Gap" Era
    by Rooth, T. & Scott, P.
  • 2000 The Great Reversals: The Politics of Financial Development in the 20th Century
    by Raghuram G. Rajan & Luigi Zingales
  • 2000 Where did British Foreign Capital Go? Fundamentals, Failures and the Lucas Paradox: 1870-1913
    by Michael A. Clemens & Jeffrey G. Williamson
  • 2000 Are Financial Crises Becoming Increasingly More Contagious? What is the Historical Evidence on Contagion?
    by Michael D. Bordo & Antu P. Murshid
  • 2000 Bad Policies Under an Autocrat's Production
    by Byeongju Jeong
  • 1999 The Information Content of Stock Markets: Why do Emerging Markets Have Synchronous Stock Price Movements?
    by Morck, R. & Yeung, b. & Yu, W.
  • 1999 Two Depressions, One Banking Collapse
    by Chay Fisher & Christopher Kent
  • 1999 The Future of EMU: What Does the History of Monetary Unions Tell Us?
    by Michael D. Bordo & Lars Jonung
  • 1999 Specialization as a Specific Investment Into the Market: A Transaction Cost Approach to the Rise of Markets and Towns in Medieval Germany
    by Ulrich Bindseil & Christian Pfeil
  • 1999 Magyarország integrálódása a nemzetközi készpénz nélküli fizetési forgalom rendszerébe a 19. századtól a két világháború közötti időszakig. A nemzetközi készpénz nélküli fizetési forgalom integrációjának fogalmáról
    by Denzel, Markus A.
  • 1999 Vu du pont : l’Etalon-or de l’entre-deux-guerres etait-il un ‘regime’ ?
    by Kenneth Moure
  • 1999 Institutions economiques et integration des marches internationaux de capitaux : le cas du Japon pendant l’ere Meiji
    by Nathan Sussman & Yishay Yafeh
  • 1998 Developments in Risk and Insurance Economics: the Past 25 Years
    by Louberge, H.
  • 1998 Developments in Risk and Insurance Economics: the Past 25 Years
    by Louberge, H.
  • 1998 Caveat Emptor: Coping With Sovereign Risk Without the Multilaterals
    by Flandreau, Marc
  • 1998 Language and Contract
    by Oren Sussman
  • 1997 Vertical Integration in the Long Run: The Provision of Physical Assets to the London and New York Stock Exchanges
    by Ulrich Bindseil
  • 1997 The Great Depression as a Watershed: International Capital Mobility over the Long Run
    by Maurice Obstfeld & Alan M. Taylor
  • 1997 Offshore Hedge Funds: Survival and Performance 1989-1995
    by Stephen J. Brown & William N. Goetzmann & Roger G. Ibbotson
  • 1996 British Industrialization and the Profit Constraint Hypothesis: The Case of a Manchester Cotton Enterprise, 1798-1827
    by Harvey S. James Jr.
  • 1996 International Capital Mobility in History: The Saving-Investment Relationship
    by Alan M. Taylor
  • 1996 International Capital Mobility in History: Purchasing-Power Parity in the Long Run
    by Alan M. Taylor
  • 1995 Banks versus Bonds: A Simple Theory of Comparative Financial Institutions
    by Sandeep Baliga & Ben Polak
  • 1994 L'entreprise sous influence institutionnelle. Autour des travaux de Neil Fligstein
    by Batsch, Laurent
  • 1993 Property Rights on Biodiversity and the Pharmaceutical Industry
    by Chichilnisky, Graciela
  • 1993 D'une série de « National Labour Standards » à un « European Monetary Standard » ?
    by Robert BOYER
  • 1991 Information Sharing in Credit Markets
    by Jappelli, Tullio & Pagano, Marco
  • 1991 Historical Research on International Lending and Debt
    by Barry Eichengreen
  • 1984 Efficient Contracts are on the Labour Demand Curve: Theory and Facts
    by Andrew Oswald
  • 1983 The Industrial Finance Systems; Europe, U.S. and Japan
    by Rybczynski, Tad
  • Changing Times, Changing Values: A Historical Analysis of Sectors within the US Stock Market 1872-2013
    by Oliver D. Bunn & Robert J. Shiller
  • The Option Value of Confederate Currency and Inflation Control, 1861-1865
    by Richard C.K. Burdekin & Marc D. Weidenmier
  • Inflation is Always and Everywhere a Monetary Phenomenon: Richmond vs. Houston in 1864
    by Richard C.K. Burdekin & Marc D. Weidenmier
  • Turning Points during the U.S. Civil War: Views from the Grayback Market
    by Marc D. Weidenmier
  • German Debt Traded in London During World War II: A British Perspective on Hitler
    by William O. Brown, Jr. & Richard C.K. Burdekin