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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ N: Economic History
/ / N2: Financial Markets and Institutions
/ / / N24: Europe: 1913-
Most recent items first, undated at the end.
  • 2014 State dissolution, sovereign debt and default: Lessons from the UK and Ireland, 1920-1938
    by Foley-Fisher, Nathan & McLaughlin, Eoin
  • 2014 Predicting the past: Understanding the causes of bank distress in the Netherlands in the 1920s
    by Colvin, Christopher L. & de Jong, Abe & Fliers, Philip T.
  • 2014 Corporate Ownership and Control in Victorian Britain
    by Acheson, Graeme & Campbell, Gareth & Turner, John D. & Vanteeva, Nadia
  • 2014 Financial market regulation in Germany under the special focus of capital requirements of financial institutions
    by Detzer, Daniel
  • 2014 Corporate ownership and control in Victorian Britain
    by Acheson, Graeme G. & Campbell, Gareth & Turner, John D. & Vanteeva, Nadia
  • 2014 Irish land bonds: 1891-1938
    by Foley-Fisher, Nathan & McLaughlin, Eoin
  • 2014 ICT the Nordic Way and European Savings Banks
    by Maixe-Altes, J. Carles
  • 2014 Dodd-Frank and the Great Debate: Regulation vs. Growth
    by R. Christopher Whalen
  • 2014 Contractual Freedom and the Evolution of Corporate Control in Britain, 1862 to 1929
    by Timothy W. Guinnane & Ron Harris & Naomi R. Lamoreaux
  • 2014 Swedish stock and bond returns, 1856–2012
    by Waldenström, Daniel
  • 2014 Growth in public finances as tool for control: Norwegian development 1850-1950
    by Grytten, Ola
  • 2014 Swedish Stock and Bond Returns, 1856–2012
    by Waldenström, Daniel
  • 2014 Descriptive analysis of the Finnish stock market: Part II
    by Nyberg, Peter & Vaihekoski, Mika
  • 2014 State dissolution, sovereign debt and default:Lessons from the UK and Ireland, 1920-1938
    by Nathan Foley-Fisher & Eoin McLaughlin
  • 2014 How did the capital market evaluate Germany’s prospects for winning World War I? Evidence from the Amsterdam market for government bonds
    by Tobias A. Jopp
  • 2014 Les improvisations financière de la guerre de 1914-1918 en France. Les enjeux de la liquidité
    by Bertrand BLANCHETON
  • 2014 Financial Market Regulation in Germany - Capital Requirements of Financial Institutions
    by Daniel Detzer
  • 2014 Irish Land Bonds: 1891-1938
    by Nathan Foley-Fisher (Research and Statistics Division, Federal Reserve Board, Washington D.C.) and Eoin McLaughlin (History, Classics & Archaeology, University of Edinburgh)
  • 2014 Empleo y carreras laborales en el servicio de Correos de España, 1890-1935
    by Jordi Domènech Feliu
  • 2014 Feeling the blues. Moral hazard and debt dilution in Eurobonds before 1914
    by Esteves, Rui & Tuncer, Ali Coskun
  • 2014 Designing a Genuine EMU: Which “Unions” for EU and Eurozone?
    by Jacques Pelkmans
  • 2014 Deja vu? The Greek crisis experience, the 2010s versus the 1930s. Lessons from history
    by George Chouliarakis & Sophia Lazaretou
  • 2014 The Savings Banks crises in Spain: When and How?
    by Pablo Martín-Aceña
  • 2014 The EU’s Reformed Institutional Framework and the Way Forward
    by Christiane Kment & Isabella Lindner
  • 2014 Las crisis bancarias en España: Una perspectiva histórica/Banking Crisis in Spain: A Historical Perspective
    by SUDRIÀ, CARLES
  • 2014 Equity premium in Finland and long-term performance of the Finnish equity and money markets
    by Peter Nyberg & Mika Vaihekoski
  • 2013 Financial accounting and reporting in Germany: A case study on German accounting tradition and experiences with the IFRS adoption
    by Fülbier, Rolf Uwe & Klein, Malte
  • 2013 A Monthly Stock Exchange Index for Ireland, 1864‐1930
    by Richard S.Grossman & Ronan C. Lyons & Kevin Hjortshøj O’Rourke & Madalina A. Ursu
  • 2013 Quel pasticciaccio brutto dell’euro
    by Sergio Cesaratto
  • 2013 The implications of TARGET2 in the European balance of payment crisis and beyond
    by Sergio Cesaratto
  • 2013 The endless Eurozone crisis, where do we stand? A Classical-Kaleckian overview
    by Sergio Cesaratto
  • 2013 Conflict and Social and Political Preferences: Evidence from World War II and Civil Conflict in 35 European countries
    by Pauline Grosjean
  • 2013 Growth, De-Regulation and Rent-Seeking in Post-War British Economy
    by S.P. Chakravarty & D.D. Thomakos & K. Nikolopoulos
  • 2013 Financing Utilities: How the Role of the European Investment Bank shifted from regional development to making markets
    by Clifton, Judith & Diaz Fuentes, Daniel & Revuelta, Julio
  • 2013 Financing Utilities: How the Role of the European Investment Bank shifted from regional development to making markets
    by Clifton, Judith & Diaz Fuentes, Daniel & Revuelta, Julio
  • 2013 A monthly stock exchange index for Ireland, 1864-1930
    by Kevin Hjortshøj O'Rourke & Richard S. Grossman & Madalina A. Ursu
  • 2013 A Monthly Stock Exchange Index for Ireland, 1864-1930
    by Richard S. Grossman & Ronan C. Lyons & Kevin Hjortshoj O'Rourke & Madalina A. Ursu
  • 2013 Was Stalin Necessary for Russia's Economic Development?
    by Anton Cheremukhin & Mikhail Golosov & Sergei Guriev & Aleh Tsyvinski
  • 2013 Learning Capitalism the Hard Way—Evidence from Germany's Reunification
    by Thomas P. Triebs & Justin Tumlinson
  • 2013 Explaining Infrastructure Investment Decisions at the European Investment Bank 1958-2004
    by Judith CLIFTON & Daniel DÍAZ-FUENTES & JULIO REVUELTA
  • 2013 Patterns of Bank Credit Allocation and Economic Growth: The Case of Denmark, 1736-2012
    by Abou-Zeinab , Ali
  • 2013 En värdefull berättelse Wallenbergarnas historieprojekt
    by Olsson, Ulf
  • 2013 Predicting the Past: Understanding the Causes of Bank Distress in the Netherlands in the 1920s
    by Christopher L. Colvin & Abe de Jong & Philip T. Fliers
  • 2013 Report on the structure of ownership in the financial sector across the EU
    by Michal Jurek
  • 2013 The Italian Financial System
    by Costanza Consolandi & Giampaolo Gabbi & Massimo Matthias & Pietro Vozzella
  • 2013 Studies in Financial Systems No 8 Hungary
    by Szabolcs Szikszai & Tamás Badics & Csilla Raffai & Zsolt Stenger & András Tóthmihály
  • 2013 Studies in Financial Systems No 3 The German Financial System
    by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr
  • 2013 A Century of Firm – Bank Relationships: Did Banking Sector Deregulation Spur Firms to Add Banks and Borrow More?
    by Braggion, Fabio & Ongena, Steven
  • 2013 The Mother of All Sudden Stops: Capital Flows and Reversals in Europe, 1919-1932
    by Accominotti, Olivier & Eichengreen, Barry
  • 2013 Was Stalin Necessary for Russia’s Economic Development?
    by Cheremukhin, Anton & Golosov, Mikhail & Guriev, Sergei & Tsyvinski, Aleh
  • 2013 Is the Italian Public Debt Really Unsustainable? An Historical Comparison (1861-2010)
    by Silvana Bartoletto & Bruno Chiarini & Elisabetta Marzano
  • 2013 Growth, de-regulation and rent-seeking in post-war British Economy
    by Shanti Chakravarty & Dimitrios Thomakos & Konstantinos Nikolo
  • 2013 The development of financial markets and financial theory: 50 years of interaction
    by Morten Balling & Ernest Gnan
  • 2013 Consideration about Several Questions of Our Modern Economic Historiography and Notes to Two Similar Reviews of the Same Publication by A. Doležalová
    by Václav Průcha
  • 2013 La crisis financiera internacional: debates teóricos, políticas económicas y enseñanzas
    by Juan E. Santartángelo & Roberto Lampa
  • 2013 The Liquidity of the Financial System and the Sovereign Debt Crisis in Europe – Is There a Solution?
    by Nedelcu Monica Letitia
  • 2013 European Banking Integration in the Aftermath of the Global Crisis: the Case of the New EU Member Countries
    by Ilu? Bogdan
  • 2013 The French Great Depression: A business cycle accounting analysis
    by Bridji, Slim
  • 2013 Institutional framework of competition protection in Poland – history and present
    by Anna Moszynska
  • 2013 Ipo and Ceo turnover. A study on Italian companies listed
    by Donatella Depperu & Enrico Fabrizi & Daniele M. Ghezzi
  • 2013 Dzialalnosc Panstwowego Banku Rolnego w Generalnej Guberni/The Activity of the National Bank of Agriculture in the General Government
    by Miroslaw Klusek
  • 2012 Eastern Europe faced with the crisis of the system
    by Samary, Catherine
  • 2012 Happy 150th Birthday Italy? Institutions and Economic Performance Since 1861
    by Paolo Di Martino & Michelangelo Vasta
  • 2012 Stock Returns, Governments and Market Foresight in France, 1871-2008
    by David Le Bris
  • 2012 Dimensiunea Economică a Strategiei Europa 2020
    by Anton, Casian
  • 2012 How to Save Greece? A Menu for Rebuilding the Greek Economy through Industrial Policy
    by Benner, Maximilian
  • 2012 Las cajas de ahorro y el cambio tecnológico antes de Internet, 1945-1995
    by Maixe-Altes, J. Carles
  • 2012 Italy and the First Age of Globalization, 1861-1940
    by Kevin Hjortshøj O'Rourke & Harold James
  • 2012 Bank on Steel? Joint-Stock Banks and the Rationalisation of the British Interwar Steel Industry
    by Florian Ploeckl & Simon C. Holmes
  • 2012 Italy and the first age of Globalization, 1861-1940
    by Harold James & Kevin H. O’Rourke
  • 2012 Bank on Steel? Joint-stocks and the Rationalisation of the British Interwar Steel Industry
    by Simon C. Holmes & Florian Ploeckl
  • 2012 The public-private financing of the first Italian highways: a historical analysis
    by Enrico BERBENNI
  • 2012 The Rise Of The Swiss Tax Haven In The Interwar Period: An International Comparison
    by Christoph Farquet
  • 2012 Currency crisis and collapse in interwar Greece: Predicament or Policy Failure?
    by Nicos Christodoulakis
  • 2012 Estructura corporativa e interlocking directorates en las mayores empresas españolas, 1917-1970
    by Juan Antonio Rubio Mondéjar & Josean Garrués Irurzun
  • 2012 The Price of Media Capture and the Looting of Newspapers in Interwar France
    by Vincent Bignon & Marc Flandreau
  • 2012 Currency crisis and collapse in interwar Greece: predicament or policy failure?
    by Nicos Christodoulakis
  • 2012 Public borrowing in harsh times : the League of Nations Loans revisited
    by Yann Decorzant & Juan-Huitzi Flores
  • 2012 The German Transfer Problem, 1920-1933: A Sovereign Debt Perspective
    by Ritschl, Albrecht
  • 2012 The Price of Media Capture and the Looting of Newspapers in Interwar France
    by Bignon, Vincent & Flandreau, Marc
  • 2012 The German Transfer Problem, 1920-1933: A Sovereign Debt Perspective
    by Albrecht Ritschl
  • 2012 Crisis bancarias en la historia de España. Del Antiguo Régimen a los orígenes del capitalismo moderno
    by Pablo Martín-Aceña & Pilar Nogues-Marco
  • 2012 Repo and Reverse Repo Regulations in Turkey: Emergence of Regulations After 1982 Banking Crisis and Policy Suggestions in the Light of Financial Failure Lessons
    by Coskun, Yener
  • 2012 No, they can't! The potential and limitations of the EU (as a supranational state in the making) to reform finance and overcome the crisis
    by Peter Wahl
  • 2012 The endless eurozone crisis, where do we stand? a classical-kaleckian overview
    by Sergio Cesaratto
  • 2012 Universal Banking and Credit Risk: Evidence from Tunisia
    by HAKIMI Abdelaziz & Ahmet DKHILI Hichem & KHLAIFIA Wafa
  • 2012 Santander: de local a internacional: 150 años de historia
    by Pablo Martín Aceña
  • 2012 La volatilité des actions françaises sur le long terme
    by David Le Bris
  • 2012 The moving balance between banking industry and State in Italian history
    by Leandro Conte
  • 2012 From poverty to soundness: the long path of Italian banks
    by Marco Onado
  • 2012 Italy and the banks’ role from 1861 to 2011
    by Salvatore La Francesca
  • 2012 The Banks and Italy, a long term relationship
    by Giovanni Sabatini
  • 2011 A Market for Weather Risk ? Conflicting Metrics, Attempts at Compromise and Limits to Commensuration
    by Huault, Isabelle & Rainelli, Hélène
  • 2011 Economic growth in the post-socialist Russian Federation after 1991: The role of Institutions
    by Dobler, Constanze & Hagemann, Harald
  • 2011 Spinning welfare: The gains from process innovation in cotton and car production
    by Tim Leunig & Joachim Voth
  • 2011 Il sistema di imprese della cooperazione sociale. Origini e sviluppo dei consorzi di cooperative sociali
    by Carlo Borzaga & Alberto Ianes
  • 2011 Foreign investors’ influence towards small stock exchanges boom and bust: Macedonian stock exchange case
    by Lazarevski, Dimche
  • 2011 Governance in Spanish Savings Banks. A Historical Perspective
    by Maixe-Altes, J. Carles
  • 2011 Improving the system of internal control through regulation: cases of small-sized building societies, circa 1960
    by Batiz-Lazo, Bernardo & Noguchi, Masayoshi
  • 2011 When the Music Stopped: Transatlantic Contagion During the Financial Crisis of 1931
    by Gary Richardson & Patrick Van Horn
  • 2011 The Swedish Corporate Control Model: Convergence, Persistence or Decline?
    by Henrekson, Magnus & Jakobsson, Ulf
  • 2011 Descriptive analysis of Finnish equity, bond and money market returns
    by Nyberg, Peter & Vaihekoski, Mika
  • 2011 A Reflection of History: Fluctuations in Greek Sovereign Risk between 1914 and 1929
    by Olga Christodoulaki & Haeran Cho & Piotr Fryzlewicz
  • 2011 A reflection of history: fluctuations in Greek sovereign risk between 1914 and 1929
    by Olga Christodoulaki & Haeran Cho & Piotr Fryzlewicz
  • 2011 Without purpose and strategy?: a spatio-functional analysis of the regional allocation of public investment in Greece
    by Vassilis Monastiriotis & Yiannis Psycharis
  • 2011 How have Europeans Grown so Tall?
    by Hatton, Timothy J.
  • 2011 Spinning Welfare: the Gains from Process Innovation in Cotton and Car Production
    by Tim Leunig & Joachim Voth
  • 2011 In brief...Cotton and Cars: the Huge Gains from Process Innovation
    by Tim Leunig & Joachim Voth
  • 2011 Trade, money, and the grievances of the commonwealth : economic debates in the English public sphere during the commercial crisis of the early 1620’s
    by Carlos Eduardo Suprinyak
  • 2011 Italy and the first age of globalization, 1861-1940
    by Harold James & Kevin H. O'Rourke
  • 2011 The financial instruments used by international financial institutions (IFIs) regarding the Southeast European countries: a critical assessment of their underlying philosophy and orientation
    by Maria-Eleni VOUTSA
  • 2011 Derivatives and Bucketshops: A Forgotten History of Czech Financial Markets between the World Wars
    by Jan Vlachý
  • 2011 The Function of Local Currencies in Local Economic Development
    by István Balázs Tóth
  • 2011 Financial Liberalization and Banking Profitability: A Panel Data Analysis for Tunisian Banks
    by Hakimi Abdelaziz & Djelassi Mouldi & Hamdi Helmi
  • 2011 The role of Italian Banking Foundations and banks for stability and recovery
    by Giuseppe Guzzetti
  • 2011 Italian banks and the economy at stake
    by Giovanni Bazoli
  • 2011 The Banks and Italy. Economic growth and society. 1861-2011
    by Giuseppe Mussari
  • 2011 Two great crises, teachings from the Thirties
    by Francesco Cesarini
  • 2011, 1st quarter update Credit Crunch Chronology: April 2007–September 2009
    by The Statesman'syearbook team
  • 2010 A Market for Weather Risk ? Conflicting Metrics, Attempts at Compromise and Limits to Commensuration
    by Huault, Isabelle & Rainelli, Hélène
  • 2010 Azorean savings banks and the 1929 economic crisis
    by Lopes, F. & Sequeira Dias, F.
  • 2010 The history of the Swedish ATM - Sparfrämjandet and Metior
    by Thodenius, Björn & Batiz-Lazo, Bernardo & Karlsson, Tobias
  • 2010 Virgin Finance: Sir Richard Brandson’s pursuit of a significant presence in retail financial services
    by Batiz-Lazo, Bernardo & Kase, Kimio
  • 2010 Le istituzioni finanziarie della Romania nel periodo infrabellico (Financial institutions in interwar Romania)
    by Arnaldo MAURI & Claudia Gabriela BAICU
  • 2010 Banking in Savoy and embeddedness within local business communities (1860- (In French)
    by Hubert BONIN (GREThA UMR CNRS 5113 - Institut de Sciences Politique de Bordeaux)
  • 2010 French investment banks and the earthquake of post-war shocks (1944-1946)
    by Hubert BONIN (GREThA UMR CNRS 5113 - Institut de Sciences Politique de Bordeaux)
  • 2010 French savings communities exposed to Russian risks on assets in the 1900s-1920s. A few issues about the actual risks on financial pledges (In French)
    by Hubert BONIN (GREThA UMR CNRS 5113 - Institut de Sciences Politique de Bordeaux)
  • 2010 L’information boursière comme bien public. Enjeux et perspectives de la révision de la directive européenne « Marchés d’instruments financiers »
    by Hautcoeur, Pierre-Cyrille & Lagneau-Ymonet, Paul & Riva, Angelo
  • 2010 The origins of the Bilbao Stock Exchange, 1891-1936
    by Stefan Houpt & Juan Carlos Rojo Cagigal
  • 2010 Options Trading on Crisis Eve
    by Jan Vlachý
  • 2010 Competition in Banking Market in Slovakia
    by Zdenka Střelecká
  • 2010 El Sistema Financiero Vasco: evolución de las entidades de depósito en la Comunidad Autónoma de Euskadi 1980-2009
    by Pedro Martínez de Alegría & Iñaki Beristain Etxabe
  • 2010 Les krachs boursiers en France depuis 1854
    by David Le Bris
  • 2010 Paolo Baffi, an economist at the Bank of Italy
    by Alfredo Gigliobianco & Riccardo Massaro
  • 2010 The Impact of the European Financial Integration Process and Other International Tendencies on the Romanian Stock Market
    by Alina Camelia Sargu
  • 2009 L’euro et la question de l’identité européenne et des valeurs qui pourraient la fonder
    by Théret, Bruno
  • 2009 Geopolitics of Energy : The European and United States energy situations
    by Méritet, Sophie
  • 2009 Bad banks: The case of Germany
    by Ilgmann, Cordelius & van Suntum, Ulrich
  • 2009 Managing technological change by committee: Adoption of computers in Spanish and British savings banks (circa 1960-1988)
    by Batiz-Lazo, Bernardo & Maixe-Altes, J. Carles
  • 2009 Building Bankomat: The development of on-line, real-time systems in British and Swedish savings banks, c.1965-1985
    by Batiz-Lazo, Bernardo & Karlsson, Tobias & Thodenius, Björn
  • 2009 Comparative performance of UK mutual building societies and stock retail banks: further evidence: a comment
    by Batiz-Lazo, Bernardo & Billings, Mark
  • 2009 Accounting Regulation and Management Discretion in a British Building Society, Circa 1960
    by Batiz-Lazo, Bernardo & Billings, Mark
  • 2009 The diversity of organisational forms in banking: France, Italy and Spain 1900-2000
    by Maixe-Altes, J. Carles
  • 2009 Institutional Clash and Financial Fragility. An Evolutionary Model of Banking Crises
    by Knutsen, Sverre & Sjögren, Hans
  • 2009 The National Bank of Romania during the years of the Great Depression – 1929-1933
    by Elisabeta Blejan & Brîndusa Costache & Adriana Aloman
  • 2009 Finance and development in Southeast Europe in the interwar period
    by Kiril Kossev
  • 2009 Charles Rist and the French missions in Romania 1929-1933. Why the „money doctors“ failed?
    by Dominique Torre & Elise Tosi
  • 2009 Banking crisis in Germany and the first step towards recovery
    by Martin J. Pontzen
  • 2009 Foreign financial capital as the catalyst of Serbian economic development before the Second World War
    by Vesna Aleksić
  • 2009 The Rise of A District Lead Firm: The Case of Wam (1968-2003)
    by Alberto Rinaldi
  • 2009 Were Universal Banks More Vulnerable to Banking Failures? Evidence From the 1931 German Banking Crisis
    by Muge Adalet
  • 2009 The Effect of Financial Structure on Crises: Universal Banking in Interwar Europe
    by Muge Adalet
  • 2009 Swedish monetary standards in historical perspective
    by Edvinsson, Rodney
  • 2009 A new value-weighted total return index for the Finnish stock market
    by Nyberg , Peter & Vaihekoski, Mika
  • 2009 Ефективност На Българската Банкова Система През Двайсетте Години На Xx Век: Приложение На Метода Dea
    by Nikolay Nenovsky & Martin Ivanov & Gergana Mihaylova
  • 2009 Observing bailout expectations during a total eclipse of the sun
    by Oscar Bernal Diaz & Kim Oosterlinck & Ariane Szafarz
  • 2009 The Eurodollar revolution in financial technology. Deregulation, innovation and structural change in Western banking in the 1960s-70s
    by Stefano Battilossi
  • 2009 Horse, Cow, Sheep, or 'Thing-In-Itself'? The Cognitive Origins of Corporate Governance in Switzerland, Germany, and the US, 1910s-1930s
    by M. Lüpold & Gerhard Schnyder
  • 2009 Intégration Européenne et Mondialisation: Défis, Débats, Options
    by Paul J.J. Welfens
  • 2009 Money supply and Greek history monetary statistics: definition, construction, sources and data
    by Sophia Lazaretou
  • 2009 A Challenge to Triumphant Optimists? A New Index for the Paris Stock-Exchange (1854-2007)
    by David Le Bris & Pierre-Cyrille Hautcoeur
  • 2009 Giorgio Ambrosoli, here and now
    by Andrea Resti
  • 2009 The essays in honour of Tancredi Bianchi: the relevance of the thought of a Master
    by Mario Masini
  • 2009 French economic cycles: a wavelet analysis of French retrospective GNP series
    by Patrice Baubeau & Bernard Cazelles
  • 2008 Qui gagne à la Bourse de Paris pendant la Seconde Guerre Mondiale ?
    by Le Bris, David & Riva, Angelo & Lagneau-Ymonet, Paul
  • 2008 Betting on Hitler: The value of political connections in Nazi Germany
    by Joachim Voth & Thomas Ferguson
  • 2008 Observing bailout expectations during a total eclipse of the sun
    by Oscar Bernal Diaz & Kim Oosterlinck & Ariane Szafarz
  • 2008 Multiple Potential Payers and Sovereign Bond Prices
    by Kim Oosterlinck & Loredana Ureche-Rangau
  • 2008 Is the future of the ATM past?
    by Batiz-Lazo, Bernardo & Reese, Claudia
  • 2008 Banque et finance islamique en France
    by Brack, Estelle
  • 2008 Did Economics Cause World War II?
    by Robert J. Gordon
  • 2008 Industrial Policy and Artisan Firms in Italy, 1945-1981
    by Giuseppe Maria Longoni & Alberto Rinaldi
  • 2008 The Italian Corporate Network, 1952-1983: New Evidence Using the Interlocking Directorates Technique
    by Alberto Rinaldi & Michelangelo Vasta
  • 2008 Shattered on the Rock? British financial stability from 1866 to 2007
    by Milne , Alistair & Wood, Geoffrey
  • 2008 L'épuration économique à la bourse de Paris
    by Lagneau-Ymonet, Paul & Riva, Angelo
  • 2008 A market for weather risk ? Worlds in conflict and compromising
    by Rainelli, Hélène & Huault, Isabelle
  • 2008 A market for weather risk ? Worlds in conflict and compromising
    by Rainelli, Hélène & Huault, Isabelle
  • 2008 Choosing a legal framework for Spanish stock markets, 1800-1936
    by Juan Carlos Rojo Cagigal
  • 2008 Banking and Finance in South - Eastern Europe: The Albanian Case
    by Kliti Ceca & Kelmend Rexha & Elsida Orhan
  • 2008 The Evolution of Bulgarian Banks' Efficiency During the Twenties: A Dea Approach
    by Nikolay Nenovsky & Martin Ivanov & Gergana Mihaylova
  • 2008 Banking Performance in South-Eastern Europe During the Interwar Period
    by Zarko Lazarevic
  • 2008 The Banking Sector and the Great Depression in Bulgaria, 1924 - 1938: Interlocking and Financial Sector Profitability
    by Kiril Danailov Kossev
  • 2008 Multiple Potential Payers and Sovereign Bond Prices
    by Kim Oosterlinck & Loredana Ureche-Rangau
  • 2008 Real Exchange Rates over a Century: The Case of the Drachma/Sterling Rate, 1833-1939
    by Dimitrios Sideris
  • 2008 The German crisis of 1931: evidence and tradition
    by Peter Temin
  • 2007 Investissement en capital immatériel et utilité de l’information comptable : étude des marchés financiers allemand, britannique, espagnol et français
    by Ramond, Olivier & Casta, Jean-François & Escaffre, Lionel
  • 2007 Are Banks Procyclical? Evidence from the Italian Case (1890-1973)
    by Carlo Brambilla & Giandomenico Piluso
  • 2007 Did Impending War in Europe Help Destroy the Gold Bloc in 1936? An Internal Inconsistency Hypothesis
    by Paul Hallwood & Ronald MacDonald & Ian Marsh
  • 2007 The Sustainable Debts of Philip II: A Reconstruction of Castile's Fiscal Position, 1566-1596
    by Drelichman, Mauricio & Voth, Hans-Joachim
  • 2007 What (Economic) Constitution Does the EU Need ?
    by Eloi Laurent & Jacques Le Cacheux
  • 2007 Competitive Effects Of It Innovation On Bank Strategy, 1985-1995
    by batiz-lazo, bernardo
  • 2007 Reforming the Form of the Auditors’ Report: The Case of Building Societies, 1956-1960
    by Noguchi, Masayoshi & Batiz-Lazo, Bernardo
  • 2007 Emergence and Evolution of Proprietary ATM Networks in the UK, 1967-2000
    by Batiz-Lazo, Bernardo
  • 2007 Universal Banking Failure? An Analysis of the Contrasting Responses of the Amsterdamsche Bank and the Rotterdamsche Bankvereeniging to the Dutch Financial Crisis of the 1920s
    by Colvin, Chris
  • 2007 Gentlemanly Capitalism Revisited: A Case Study of the Underpricing of Initial Public Offerings on the London Stock Exchange 1946-86
    by David Chambers
  • 2007 Industrial Policy and Artisan Firms in Italy 1945-1971
    by Giuseppe Longoni & Alberto Rinaldi
  • 2007 Le Borse Merci in Italia: un mercato a dimensione d’uomo
    by Roberta BON
  • 2007 The Lisbon Agenda From 2000 To 2010
    by Johansson, Börje & Karlsson, Charlie & Backman, Mikaela & Juusola, Pia
  • 2007 Innovation Policy Instruments
    by Johansson, Börje & Karlsson, Charlie & Backman, Mikaela
  • 2007 Jacques Laffitte, an investment banker who did not create a model for investment banking (In French)
    by Hubert BONIN (GREThA)
  • 2007 French investment banking at Belle Époque: the legacy of the 19th century Haute Banque
    by Hubert BONIN (GREThA)
  • 2007 The Sustainable Debts of Philip II: A Reconstruction of Spain's Fiscal Position, 1560-1598
    by Drelichman, Mauricio & Voth, Hans-Joachim
  • 2007 Hacia una nueva etapa en la cooperación entre la Unión Europea y Centroamérica: la negociación de un acuerdo de asociación económica
    by Guillermo Vázquez Vicente
  • 2006 IFRS introduction and its effect on listed companies in Spain
    by Jordi Perramon & Oriol Amat
  • 2006 Interlocking directorates in Spanish banking in the twentieth century
    by Francisco J. Pueyo
  • 2006 Review of Huerta de Soto´s `Money, Bank Credit, and Economic Cycles´
    by van den Hauwe, Ludwig
  • 2006 Changes In The Depreciation Of Buildings In An English Building Society, Circa 1959: Financial And Governance Implications
    by Batiz-Lazo, Bernardo
  • 2006 The Influence of Information Costs on the Integration of Financial Markets: Northern Europe, 1350-1560
    by Oliver Volckart
  • 2006 Why Does Sovereign Risk Differ for Domestic and Foreign Investors? Evidence from Scandinavia, 1938­­–1948
    by Waldenström, Daniel
  • 2006 The Interplay between Money Market Development and Changes in Monetary Policy Operations in Small European Countries, 1980–2000
    by Forssbaeck, Jens & Oxelheim, Lars
  • 2006 Learning to manage external constraints : Belgian monetary policy during the Bretton Woods era (1944-1971)
    by Philippe, LEDENT & Isabelle, CASSIERS
  • 2006 Stock market fluctuations and money demand in Italy, 1913-2003
    by Massimo Caruso
  • 2006 Instituţiile de credit specializate şi creşterea competitivităţii economiei româneşti în contextul integrării europene
    by Stoica Ovidiu
  • 2006 Elite and Power in contemporary Turkey in the context of the EU Integration
    by Arslan, Ali
  • 2005 The Origins of the German Corporation – Finance, Ownership and Control
    by Franks, Julian & Mayer, Colin & Wagner, Hannes F.
  • 2005 Hope springs eternal: French bondholders and the Soviet repudiation (1915-1919)
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  • 2005 Hope springs eternal… French bondholders and the Soviet Repudiation (1915-1919)
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  • 2005 The Role of Liquidity and Implicit Guarantees in the German Twin Crisis of 1931
    by Isabel Schnabel
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    by Peter Nippel & Christian Pierdzioch & Andrea Schertler
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    by Christian Pierdzioch & Andrea Schertler
  • 2005 Does Inflation and High Taxes Increase Bank Leverage?
    by Hortlund, Per
  • 2005 The Long-Term Relationship between Capital and Earnings in Banking: Sweden 1870–2001
    by Hortlund, Per
  • 2005 Do Inflation and High Taxes Increase Bank Leverage?
    by Hortlund, Per
  • 2005 The Long-Term Relationship between Capital and Earnings in Banking
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  • 2005 Does Sovereign Risk Differ for Domestic and Foreign Investors? Historical Evidence from Scandinavian Bond Markets
    by Waldenström, Daniel
  • 2005 Betting on Hitler - The Value of Political Connections in Nazi Germany
    by Ferguson, Thomas & Voth, Hans-Joachim
  • 2005 Der Aktienrückkauf und die Bankenkrise von 1931
    by Eva Terberger & Stefanie Wettberg
  • 2005 La « contre-performance » de l'Europe continentale. Le lien entre institutions, dynamisme et prospérité économique
    by Edmund S. Phelps & Éloi Laurent
  • 2005 Proces otvárania sa Slovenska svetu a bankovníctvo
    by Vladimír Valach
  • 2005 Del diezmo al presupuesto: la financiación de la Universidad española (1800-1930)
    by Ricardo Robledo Hernández
  • 2004 The Decline and Fall of the Scandinavian Currency Union 1914 – 1924: Events in the Aftermath of World War I
    by Talia, Krim
  • 2004 The Integration and Efficiency of the Scandinavian Foreign Exchange Market 1873-1914: A Quantitative Analysis
    by Talia, Krim
  • 2004 Scandinavian Monetary Cooperation 1873-1914: A trade off between efficiency and vulnerability
    by Talia, Krim
  • 2004 Economic and Technological Aspects of the European Competitiveness: A Multicriteria Approach
    by Zopounidis, C. & Voulgaris, F.
  • 2004 Why Do Investors Still Hope? The Soviet Repudiation Puzzle (1918- 1919)
    by Oosterlinck Kim
  • 2004 Market microstructure and Nazi influence on the Paris stock exchange during WWII
    by Kim Oosterlinck
  • 2004 One asset, two prices: the case of the Tsarist repudiated bonds
    by Kim Oosterlinck & Ariane Szafarz
  • 2004 Entre la peste et le choléra: le détenteur d'obligations peut préférer la répudiation au défaut
    by Kim Oosterlinck & Loredana Ureche-Rangau
  • 2004 Explaining Individual Job Separations in a Segregated Labor Market
    by Anders Frederiksen
  • 2004 Elites bancarie durante il fascismo tra economia regolata ed autonomia
    by Giuseppe Conti & Alessandro Polsi
  • 2004 Feedback Trading and Predictability of Stock Returns in Germany, 1880-1913
    by Christian Pierdzioch
  • 2004 French Exchange Rate Management in the mid-1920\'s lessons drawn from new evidence
    by Bertrand BLANCHETON (CMHE, IFReDE-GRES)
  • 2004 Financial Vergangenheitsbewältigung: The 1953 London Debt Agreement
    by Timothy W. Guinnane
  • 2004 New Architectures in the Regulation and Supervision of Financial Markets and Institutions: The Netherlands
    by Henri�tte Prast & Iman van Lelyveld
  • 2004 ‘Running in the Family’ The Evolution of Ownership,Control and Performance in German Familyowned Firms, 1903-2003
    by Olaf Ehrhardt & Eric NOWAK & Felix-Michael WEBER
  • 2004 A European-type wage equation from an American-style labor market: Evidence from a panel of Norwegian manufacturing industries in the 1930s
    by Gunnar Bårdsen & Jurgen Doornik & Jan Tore Klovland
  • 2004 A European-type wage equation from an American-style labor market: Evidence from a panel of Norwegian manufacturing industries in the 1930s
    by Gunnar Bårdsen & Jurgen Doornik & Jan Tore Klovland
  • 2004 European Monetary and Financial Integration: Evolution and Prospects
    by Jean-Paul Abraham & Alexandre Lamfalussy & Jean-Claude Trichet & Robert Raymond & Franco Bruni
  • 2004 A Brief History of the Czech Bond Market
    by Anna Dvoøáková
  • 2003 Why do investors still hope? The Soviet repudiation puzzle (1918-1919)
    by Kim Oosterlinck
  • 2003 Institutions locales et banques dans la formation et le d_veloppement des districts industriels en Italie
    by Giuseppe Conti
  • 2003 The structure of Italian capitalism, 1952-1972: New evidence using the interlocking directorates technique
    by Alberto Rinaldi & Michelangelo Vasta
  • 2003 The Swedish Model of Corporate Ownership and Control in Transition
    by Henrekson, Magnus & Jakobsson, Ulf
  • 2003 The Swedish Model of Corporate Ownership and Control in Transition
    by Henrekson, Magnus & Jakobsson, Ulf
  • 2003 Depositor and Investor Protection in the EU and the Netherlands: A Brief History
    by Gillian Garcia & Henriette Prast
  • 2003 Are Good Managers Required for a Separation of Ownership and Control?
    by Brian R Cheffins
  • 2003 Instituciones de inversión colectiva en españa desde una perspectiva histórica
    by Fernando Carnero Lorenzo
  • 2003 Monetary and Financial Thinking in Europe - Evidence from Four Decades of SUERF
    by Jean-Paul Abraham
  • 2003 Los orígenes del cooperativismo de crédito agrario en España, 1890-1934
    by Ángel Pascual Martínez Soto
  • 2002 Data Appendix to The Great Depression in Italy: Trade Restrictions and Real Wage Rigidities
    by Fabrizio Perri & Vincenzo Quadrini
  • 2002 The Emilian Model Revisited: Twenty Years After
    by Alberto Rinaldi
  • 2002 How Government Bond Prices Reflect Wartime Events. The Case of the Stockholm Market
    by Waldenström, Daniel & Frey, Bruno S.
  • 2002 With a Bang, Not a Whimper: Pricking Germany's 'Stock Market Bubble' in 1927 and the Slide into Depression
    by Voth, Hans-Joachim
  • 2002 Why was Stock Market Volatility so High During the Great Depression? Evidence from 10 Countries During the Interwar Period
    by Voth, Hans-Joachim
  • 2002 Los flujos financieros regionales en la España del siglo XX: una perspectiva desde la historia bancaria
    by José Luis García Ruiz
  • 2002 The Great Depression in Italy: Trade Restrictions and Real Wage Rigidities
    by Fabrizio Perri & Vincenzo Quadrini
  • 2002 Perspectiva histórica del cooperativismo de crédito agrícola en Canarias
    by Fernando Carnero Lorenzo & Juan S. Nuez Yánez
  • 2001 Inflation, political instability and stockmarket volatility in interwar Germany
    by Hans Joachim Voth
  • 2001 Productividad, competencia e innovación en la banca privada española (1900-1914)
    by Xavier Cuadras & Ángel S. Fernández Castro & Joan R. Rosés
  • 2001 The Transformation of Ownership Policy and Structure in Sweden: Convergence towards the Anglo-Saxon Model?
    by Henrekson, Magnus & Jakobsson, Ulf
  • 2001 The Transformation of Ownership Policy and Structure in Sweden: Convergence towards the Anglo-Saxon Model?
    by Henrekson, Magnus & Jakobsson, Ulf
  • 2001 Exchange Rates and Casualties During the First World War
    by George J. Hall
  • 2000 Taxing Emerging Stock Markets: A Beneficial Policy? Evidence from the Stockholm Stock Exchange, 1907-1939
    by Waldenström, Daniel
  • 2000 Wage Behaviour During the Interwar Years: Are there any Puzzles left? Evidence from a Panel of Norwegian Manufacturing Industries
    by Bardsen, G. & Doornik, J. & Klovland, J.T.
  • 2000 With a bang, not a whimper: Pricking Germany's "stock market bubble" in 1927 and the slide into depression
    by Hans Joachim Voth
  • 2000 The 'New Institutional Economics' and the Changing Fortunes of Fairs in Medieval and Early Modern Europe: the Textile Trades, Warfare, and Transaction Costs
    by Munro, John H.
  • 2000 A Wage Curve for the Interwar Labour Market: Evidence from a Panel of Norwegian Manufacturing Industries
    by Gunnar Bårdsen & Jurgen Doornik & Jan Tore Klovland
  • 2000 Anticipating changes: de Nederlandsche Bank at Leyden 1865-1969
    by M.M.G. Fase & J. Mooij
  • 2000 Does Law Matter?: The Separation Of Ownership And Control In The United Kingdom
    by Brian Cheffins
  • 2000 Central banks in European emerging market economies in the 1990s
    by Eduard Hochreiter & Tadeusz Kowalski
  • 2000 Central banks in European emerging market economies in the 1990s
    by Eduard Hochreiter & Tadeusz Kowalski
  • 1999 Suez and Sterling, 1956
    by Adam Klug & Gregor W. Smith
  • 1999 Is there an Equity Premium Puzzle in Italy? A Look at Asset Returns, Consumption and Financial Structure Data over the Last Century
    by Fabio Panetta & Roberto Violi
  • 1999 Kriege aus Sicht des Kapitalmarktes: Deutschland im Zweiten Weltkrieg
    by Marcel Kucher & Bruno S. Frey
  • 1999 Vu du pont : l’Etalon-or de l’entre-deux-guerres etait-il un ‘regime’ ?
    by Kenneth Moure
  • 1998 Italian International Banking 1900-1950
    by Di Quirico, R.
  • 1998 Inflationary expectations during Germany's great slump
    by Hans Joachim Voth
  • 1998 Window-dressing in German interwar balance sheets
    by Mark Spoerer
  • 1998 Threat of a Capital Levy, Expected Devaluation and Interest Rates in Inter-War France
    by Sicsic, Pierre
  • 1998 Threat of a Capital Levy, Expected Devaluation and Interest Rates in France during the Interwar Period
    by Hautcoeur, P-C. & Sicsic, P.
  • 1998 A Marshall-tervtől az új egyensúlyi helyzetek felé
    by Báger, Gusztáv & Szabó-Pelsőczi, Miklós
  • 1997 Political Economy of Financial Integration in Europe: The Battle of the Systems
    by Jonathan Story & Ingo Walter
  • 1997 From Financial Liberalization to Banking Failure: Starting on the Wrong Foot?
    by Klaus P. Fischer & Houcem Smaoui
  • 1997 Financial Liberalization Causes Banking System Fragility
    by Klaus P. Fischer & Martin Chenard
  • 1997 The International Expansion of the Norwegian Banks
    by Siv Fagerland Jacobsen & Adrian E. Tschoegl
  • 1997 Diaspora entrepreneurial networks in the Black Sea and Greece, 1870-1917
    by Louri, Helen & Pepelasis Minoglou, Ioanna
  • 1996 British Public Policy and Foreign-Based Enterprises in Britain Prior to 1939
    by Scott, P & Rooth, T
  • 1996 The Location of Early Multinationals in Britain, 1900-1939 : Patterns and Determinants
    by Scott, P
  • 1995 J. K. Galbraith: A Journey Through Economic Time (A Firsthand View). Houghton Mifflin Company, Boston-New York, 1994. 255 o
    by Sattler, Tamás
  • 1994 Off Gold and Back again. Finnish and Swedish Monetary Policies 1914-25
    by Haavisto, Tarmo & Jonung, Lars
  • 1994 Characteristics of Economic Growth in the Netherlands During the Post-war Period
    by de Haan, Jakob & de Jong, Herman & Van Ark, Bart
  • 1992 The Causes of Real Exchange Rate Variability: A Heretic View from the Interwar Period
    by Anne-Marie Gulde & Holger C. Wolf
  • 1976 L'industria manifatturiera: cicli, politiche e mutamenti di struttura (1921-1937)
    by Tattara, Giuseppe & Toniolo, Giovanni
  • How Government Bond Prices Reflect Wartime Events - The Case of the Stockholm Market
    by Daniel Waldenström & Bruno S. Frey
  • History as Reflected in Capital Markets: The Case of World War II
    by Bruno S. Frey & Marcel Kucher
  • Bad Banks: The Case of Germany
    by Cordelius Ilgmann & Ulrich van Suntum
  • Role and impact of different types of financial institutions on economic performance and stability of the real sector in selected EU member states
    by Michal Jurek