Wiley Blackwell
International Finance
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2012, Volume 15, Issue 3
- 277-288 Liabilities of Globalization: Sovereign Debt, International Investors and Interstate Conflict with Other People's Money
by Scott Helfstein - 289-307 The Consequences of Banking Crises for Public Debt
by Davide Furceri & Aleksandra Zdzienicka - 309-325 The Architecture and Governance of Financial Supervision: Sources and Implications
by N. Nergiz Dincer & Barry Eichengreen - 327-345 Inflation and Inflation Volatility Revisited
by Dong-Hyeon Kim & Shu-Chin Lin - 347-366 Institutions and Business Cycles
by Sumru Altug & Bilin Neyapti & Mustafa Emin - 367-371 Noam Scheiber's Escape Artists: A Review Essay
by Phillip Swagel
2012, Volume 15, Issue 2
- 155-178 The Dollar Shortage in Global Banking and the International Policy Response
by Patrick McGuire & Goetz von Peter - 179-203 Communicating About Macro-prudential Supervision – A New Challenge for Central Banks
by Benjamin Born & Michael Ehrmann & Marcel Fratzscher - 205-224 Macroeconomic Stability, Financial Stability, and Monetary Policy Rules
by Pierre-Richard Agénor & Luiz A. Pereira da Silva - 225-250 Monetary Policy Announcements and Short-Term Interest Rate Futures Volatility: Evidence from the M exican Market
by Renata Herrerías & Pedro Gurrola - 251-266 Has Globalization Improved International Risk Sharing?
by Nikolaos Antonakakis & Johann Scharler - 267-274 Ron Suskind's Confidence Men: A Review Essay
by Kevin Hassett
2011, Volume 14, Issue 1
- 1-26 The End of Chimerica
by Niall Ferguson & Moritz Schularick - 27-66 Rebalancing Growth in Asia
by Eswar S. Prasad - 67-102 Why Do Foreign Banks Withdraw from Other Countries?
by Aneta Hryckiewicz & Oskar Kowalewski - 103-133 Business Cycles and the Role of Imperfect Competition in the Banking System
by Federico S. Mandelman - 135-164 Under‐/Over‐Valuation of the Stock Market and Cyclically Adjusted Earnings
by Marco Taboga - 165-182 Activism
by Alan Greenspan - 183-207 Meltzer's History of the Federal Reserve: A Review Essay
by Thomas F. Cargill
2010, Volume 13, Issue 3
- 343-375 Some Simple Tests of the Globalization and Inflation Hypothesis
by Jane Ihrig & Steven B. Kamin & Deborah Lindner & Jaime Marquez - 377-407 Asset Price Misalignments and the Role of Money and Credit
by Dieter Gerdesmeier & Hans‐Eggert Reimers & Barbara Roffia - 409-441 Should Monetary Policy Respond to Money Growth? New Results for the Euro Area
by Michael Scharnagl & Christina Gerberding & Franz Seitz - 443-459 Financial Market Liquidity and the Financial Crisis: An Assessment Using UK Data
by Christopher Martin & Costas Milas - 461-483 Identifying the Effect of the Bank of Japan's Liquidity Facilities: The Case of Commercial Paper Operations During the Financial Turmoil
by Yasuo Hirose & Shinsuke Ohyama - 485-493 Revisiting the Philosophy behind Central Bank Policy
by Masaaki Shirakawa - 495-506 China in Africa: The Washington Consensus versus the Beijing Consensus
by Ronald I. McKinnon
2010, Volume 13, Issue 2
- 165-194 Currency Crashes in Industrial Countries: What Determines Good and Bad Outcomes?
by Joseph E. Gagnon - 195-221 Interdependencies between Monetary Policy and Foreign Exchange Interventions under Inflation Targeting: The Case of Brazil and the Czech Republic
by Jean-Yves Gnabo & Luiz de Mello & Diego Moccero - 223-256 Testing for Balance Sheet Effects in Emerging Markets: A Non-Crisis Setting
by Uluc Aysun - 257-282 Financial Dollarization and European Union Membership
by Kyriakos C. Neanidis - 283-309 Monetary Integration in East Asia: A Hierarchical Clustering Approach
by Chee-Heong Quah & Patrick M. Crowley - 311-320 International Lessons for Regulatory Reform1
by Richard W. Fisher - 321-340 Central Banking after the Crisis
by Rosa M. Lastra
2010, Volume 13, Issue 1
- 1-23 Reforming the Global Reserve Regime: The Role of a Substitution Account
by Peter B. Kenen - 25-53 Practical Monetary Policies
by Alfred V. Guender & David R. Gillmore - 55-78 The Transmission of US Monetary Policy to the Euro Area
by Stefano Neri & Andrea Nobili - 79-108 Cross-Border Diversification in Bank Asset Portfolios
by Claudia M. Buch & John C. Driscoll & Charlotte Ostergaard - 109-139 Regulatory Reform: Integrating Paradigms
by Augusto de la Torre & Alain Ize - 141-156 Monetary Policy and Financial Stability: An Emerging Markets Perspective
by José De Gregorio - 157-163 The Return of Keynes
by Paul De Grauwe
2009, Volume 12, Issue 3
- 301-320 Globalization, Domestic Inflation and Global Output Gaps: Evidence from the Euro Area
by Alessandro Calza - 321-349 Home Bias in Leveraged Buyouts
by Peter Cornelius & Karlijn Juttmann & Broes Langelaar - 351-386 Sovereign Wealth Funds: Stylized Facts about their Determinants and Governance
by Joshua Aizenman & Reuven Glick - 387-410 Exchange Rate Policy: The Euro Area, the United States and Asia
by Leonor Coutinho - 411-430 Soft Budget Constraints in EU Transition Economy Enterprises
by Tomoe Moore - 431-444 Some Lessons from the Financial Market Crisis
by Otmar Issing - 445-462 Regulating Financial Systems in an Intellectual Vacuum
by Matthew Saal
2009, Volume 12, Issue 2
- 121-121 Forword
by Benn Steil - 123-150 Capital Asset Pricing Model and the Risk Appetite Index: Theoretical Differences, Empirical Similarities and Implementation Problems
by Marcello Pericoli & Massimo Sbracia - 151-170 Gradualism, Transparency and the Improved Operational Framework: A Look at Overnight Volatility Transmission
by Silvio Colarossi & Andrea Zaghini - 171-194 Making Monetary Policy by Committee
by Alan S. Blinder - 195-233 Inflation Targeting: What Have We Learned?
by Carl E. Walsh - 235-268 Trends in Monetary Policy Transparency
by Petra M. Geraats - 269-289 The Poisoned Pool
by Manuel Hinds - 291-299 The Elusive Quest for Energy Independence
by Prakash Loungani
2009, Volume 12, Issue 1
- 1-31 Does It Pay to Have the Euro? Italy's Troubled Politics and Financial Markets under the Lira and the Euro
by Marcel Fratzscher & Livio Stracca - 33-55 Does Global Liquidity Matter for Monetary Policy in the Euro Area?
by Helge Berger & Thomas Harjes - 57-73 Why Fiscal Stimulus is Likely to Work
by Antonio Fatás & Ilian Mihov - 75-91 Why Fiscal Stimulus is Unlikely to Work
by Kevin A. Hassett - 93-106 Conflicts of Interest and the Financial Crisis
by Lorenzo Bini Smaghi - 107-119 The New Theory of Foreign Direct Investment: Merging Trade and Capital Flows
by Katheryn N. Russ
2008, Volume 11, Issue 3
- 211-245 Global Roles of Currencies
by Christian Thimann - 247-268 The Retreat of Deposit Dollarization
by Patrick Honohan - 269-282 Why the United Kingdom Should Join the Eurozone
by Willem H. Buiter - 283-295 Why the United Kingdom Should Not Join the Eurozone
by Patrick Minford - 297-310 The Euro: Does a Currency Need a State?
by Otmar Issing - 311-325 The Crisis in Perspective: The Cost of Being Quiet
by Tommaso Padoa-Schioppa - 327-333 On the Need to Renovate the Eurozone
by Paul De Grauwe
2008, Volume 11, Issue 2
- 117-130 European Stock Markets and the ECB's Monetary Policy Surprises
by Martin T. Bohl & Pierre L. Siklos & David Sondermann - 131-152 Capital Inflows, Resource Reallocation and the Real Exchange Rate
by Emmanuel K. K. Lartey - 153-165 Why a Dual Mandate is Right for Monetary Policy
by Benjamin M. Friedman - 167-183 Why a Dual Mandate is Wrong for Monetary Policy
by Anna J. Schwartz & Walker F. Todd - 185-192 Dealing with the Financial Turmoil: Contingent Risks, Policy Challenges and the Role of the IMF
by John Lipsky - 193-209 The Value of Financial Stability
by Jean-Marc Gollier
2008, Volume 11, Issue 1
- 1-18 Inflation Targeting in a Small Open Economy
by Nicolas A. Cuche-Curti & Harris Dellas & Jean-Marc Natal - 19-48 A Structural Investigation of Third-Currency Shocks to Bilateral Exchange Rates
by Martin Melecky - 49-73 Why the Euro Will Rival the Dollar
by Menzie Chinn & Jeffrey Frankel - 75-100 Why the Euro will Not Rival the Dollar
by Adam S. Posen - 101-107 Rethinking the Bright New World of Global Finance
by Paul A. Volcker - 109-115 The Risks of Being Chairman in the Age of Turbulence
by Paul De Grauwe
2007, Volume 10, Issue 3
- 215-239 'Chimerica' and the Global Asset Market Boom
by Niall Ferguson & Moritz Schularick - 241-280 Excess Money Growth and Inflation Dynamics
by Barbara Roffia & Andrea Zaghini - 281-300 Increased Diversity and Deepened Uncertainty: Policy Challenges in a Zero-Inflation Economy
by Kiyohiko G. Nishimura - 301-316 Trying to Make Sense of the Bank of Japan's Monetary Policy since the Exit from Quantitative Easing
by Kazuo Ueda - 317-334 Inflation Dynamics
by Frederic S. Mishkin - 335-343 A Review of Global Financial Warriors by John B. Taylor
by Peter M. Garber
2007, Volume 10, Issue 2
- 115-130 Japan's Deflation: A Time-Inconsistent Policy in Need of an Inflation Target
by Thomas F. Cargill & Federico Guerrero - 131-152 Total Factor Productivity and Monetary Policy: Evidence from Conditional Volatility
by Nicholas Apergis & Stephen M. Miller - 153-175 A Blueprint for IMF Reform: More than just a Lender
by Barry Eichengreen - 177-182 A Blueprint for IMF Reform: What is Worth Retaining?
by Allan H. Meltzer - 183-189 Liquidity Risk and the Global Economy
by Timothy F. Geithner - 191-214 Debt Relief by Private and Official Creditors: The Record Speaks
by Arturo C. Porzecanski
2007, Volume 10, Issue 1
- 1-20 Monetary Policy and Asset Prices: More Bad News for 'Benign Neglect'
by Wolfram Berger & Friedrich Ki�mer & Helmut Wagner - 21-41 A Speed Limit Monetary Policy Rule for the Euro Area
by Livio Stracca - 43-70 Why China Should Keep Its Dollar Peg
by Ronald McKinnon - 71-89 Why China Should Abandon Its Dollar Peg
by Nouriel Roubini - 91-99 An Action Plan for US Capital Markets
by R. Glenn Hubbard - 101-114 Sound Policies for Emerging Markets' Financial Stability
by Galina Hale
2006, Volume 9, Issue 3
- 295-315 Monetary Integration Initiatives in Eastern and Southern Africa (ESA): Sorting the Overlapping Membership
by Steven Buigut - 317-342 Exchange Rate Regimes and Reforms: A Panel Analysis for the World versus OECD Countries
by Ansgar Belke & Bernhard Herz & Lukas Vogel - 343-367 Monetary Policy and the Taylor Principle in Open Economies
by Ludger Linnemann & Andreas Schabert - 369-380 Fixing US Fiscal Policy
by Douglas Holtz-Eakin - 381-392 The New Global Regulatory Agenda in Financial Services: A Framework for the Twenty-First Century
by Charlie McCreevy - 393-412 The Role of Expectations in Monetary Policy
by Maria Demertzis
2006, Volume 9, Issue 2
- 145-168 Central Banking by Committee
by Anne Sibert - 169-195 A Fiscal Price Tag for International Reserves
by David Hauner - 197-221 Investor Protection and International Investment Positions: An Empirical Analysis
by Teresa L. Cyrus & Talan B. İşcan & Sheena Starky - 223-240 Why the US Current Account Deficit is Sustainable
by Ricardo Hausmann & Federico Sturzenegger - 241-260 Why the US Current Account Deficit is Not Sustainable
by Daniel Gros - 261-279 Powerless Europe: Why is the Euro Area Still a Political Dwarf?
by Lorenzo Bini Smaghi - 281-294 Lessons from the First Financial Crises of the 21st Century
by Menzie D. Chinn
2006, Volume 9, Issue 1
- 1-36 A (New) Country Insurance Facility
by Tito Cordella & Eduardo Levy Yeyati - 37-61 An Assessment of the Disorderly Adjustment Hypothesis for Industrial Economies
by Hilary Croke & Steven B. Kamin & Sylvain Leduc - 63-86 What Can Account for Fluctuations in the Terms of Trade?
by Marianne Baxter & Michael A. Kouparitsas - 87-107 Why Central Banks Should Burst Bubbles
by Nouriel Roubini - 109-124 Why Central Banks Should Not Burst Bubbles
by Adam S. Posen - 125-136 Reflections on Monetary Policy: Flexibility, Transparency and Inflation Guidelines
by Michael H. Moskow - 137-144 Flaws in the Design of the Eurosystem?
by Paul De Grauwe
2005, Volume 8, Issue 3
- 361-361 Editor's Foreword
by Fabio Ghironi - 363-397 Expansionary Fiscal Shocks and the US Trade Deficit
by Christopher J. Erceg & Luca Guerrieri & Christopher Gust - 399-434 The US Dollar and the Trade Deficit: What Accounts for the Late 1990s?
by Benjamin Hunt & Alessandro Rebucci - 435-470 Does Government Spending Crowd in Private Consumption? Theory and Empirical Evidence for the Euro Area
by Günter Coenen & Roland Straub - 471-508 Monetary Policy in a Liquidity Trap: What Have We Learned, and to What End?
by Ippei Fujiwara & Naoko Hara & Naohisa Hirakata & Shinichiro Watanabe & Kentaro Yoshimura - 509-544 Are Constant Interest Rate Forecasts Modest Policy Interventions? Evidence from a Dynamic Open-Economy Model
by Malin Adolfson & Stefan Laséen & Jesper Lindé & Mattias Villani - 545-575 Credibility and Inflation Targeting in an Emerging Market: Lessons from the Chilean Experience
by Luis F. Céspedes & Claudio Soto
2005, Volume 8, Issue 2
- 167-198 Political and Corporate Governance and Pro-Cyclicality in Capital Flows: Evidence from Emerging Market Countries
by Alberto Chong & Alejandro Izquierdo & Alejandro Micco & Ugo Panizza - 199-229 Popular Attitudes, Globalization and Risk
by Marcus Noland - 231-262 Sacrifice Ratios with Long-Lived Effects
by Lawrence Huiyan Zhang - 263-301 Does the Yield Spread Predict Recessions in the Euro Area?
by Fabio Moneta - 303-327 Macroeconomic Fundamentals and Net Portfolio Investment Between Developed Regions
by Nicole B. Simpson & Marc Tomljanovich & George S. Georgiev - 329-350 The Bank of Japan's Struggle with the Zero Lower Bound on Nominal Interest Rates: Exercises in Expectations Management
by Kazuo Ueda - 351-360 Robert Rubin: An Insider's Guide to the Man and His Message
by Eduardo Aninat
2005, Volume 8, Issue 1
- 1-27 Financial Supervision in an Integrating Europe: Measuring Cross-Border Externalities
by Dirk Schoenmaker & Sander Oosterloo - 29-55 Will Basel II Lead to a Specialization of Unsophisticated Banks on High-Risk Borrowers?
by Bertrand Rime - 57-86 Passive Creditors
by Koen Schoors & Konstantin Sonin - 87-117 Designing Macroeconomic Frameworks: A Positive Analysis of Monetary and Fiscal Delegation
by Francesca Castellani & Xavier Debrun - 119-137 Exchange Rate Fluctuations, Trade and Asymmetric Shocks in the Economic and Monetary Union
by Kh. Sekkat & J.Malek Mansour - 139-149 Playing Monopoly with the Devil
by Manuel Hinds - 151-166 On the Choice and Consequences of Exchange Rate Regimes
by Luis Felipe Céspedes
2004, Volume 7, Issue 3
- 349-390 Coping with Risks through Mismatches: Domestic and International Financial Contracts for Emerging Economies
by Augusto de la Torre & Sergio L. Schmukler - 391-420 International Financial Rescues and Debtor-Country Moral Hazard
by Prasanna Gai & Ashley Taylor - 421-450 Keeping Capital Flowing: The Role of the IMF
by Michael D. Bordo & Ashoka Mody & Nienke Oomes - 451-469 Incomes, Exchange Rates and the US Trade Deficit, Once Again
by Menzie D. Chinn - 471-493 The Cost of Political Intervention in Monetary Policy
by David Cobham & Athanasios Papadopoulos & George Zis - 495-504 Competition Policy in a Global Economy
by Mario Monti - 505-540 Is Trade Policy Macroeconomics, Microeconomics or Pure Politics?
by Matthew Saal
2004, Volume 7, Issue 2
- 169-201 The Return to Soft Dollar Pegging in East Asia: Mitigating Conflicted Virtue
by Ronald McKinnon & Gunther Schnabl - 203-234 The Determinants of Bank Credit in Industrialized Countries: Do Property Prices Matter?
by Boris Hofmann - 235-260 Why has the Stability and Growth Pact Failed?
by Jakob de Haan & Helge Berger & David-Jan Jansen - 261-286 On the Relationship Between Short- and Long-term Interest Rates-super-
by Teruyoshi Kobayashi - 287-309 Is Dollarization a Worthwhile Option for Developing Countries?
by Manuel Hinds - 311-323 East Asian Monetary Arrangements: A European Perspective
by Tommaso Padoa-Schioppa - 325-347 Thinking about Monetary Policy without Money
by Charles T. Carlstrom & Timothy S. Fuerst
2004, Volume 7, Issue 1
- 1-24 The Euribor Futures Market: Efficiency and the Impact of ECB Policy Announcements
by Kerstin Bernoth & Jürgen von Hagen - 25-59 Identifying the Role of Moral Hazard in International Financial Markets
by Steven B. Kamin - 61-84 An Empirical Analysis of Inflation in OECD Countries
by Jane Ihrig & Jaime Marquez - 85-116 Structural Traps, Politics and Monetary Policy
by Robert H. Dugger & Angel Ubide - 117-127 Why the Federal Reserve Should Adopt Inflation Targeting
by Frederic S. Mishkin - 129-136 Why the Federal Reserve Should Not Adopt Inflation Targeting
by Benjamin M. Friedman - 137-150 Argentina and the IMF During the Two Bush Administrations
by Domingo Cavallo - 151-168 Systemic Bank and Corporate Distress From Asia to Argentina: What Have We Learned?
by Anna Gelpern
2003, Volume 6, Issue 3
- 309-28 Monetary Policy Announcements and Money Markets: A Transatlantic Perspective
by Ehrmann, Michael & Fratzscher, Marcel - 329-47 Standing Facilities and Interbank Borrowing: Evidence from the Federal Reserve's New Discount Window
by Furfine, Craig - 349-80 Forecast-Based Monetary Policy: The Case of Sweden
by Jansson, Per & Vredin, Anders - 381-414 Does Exchange Rate Policy Matter for Growth?
by Bailliu, Jeannine & Lafrance, Robert & Perrault, Jean-Francois - 415-47 Do Collective Action Clauses Influence Bond Yields? New Evidence from Emerging Markets
by Richards, Anthony & Gugiatti, Mark - 449-54 Towards a Transatlantic Capital Market: Commentary
by Bolkestein, Frits
2003, Volume 6, Issue 2
- 157-78 What Is International Financial Contagion?
by Moser, Thomas - 179-99 Does International Financial Contagion Really Exist?
by Karolyi, G Andrew - 201-25 Contagion Phenomena in Financial Crises: Evidence from the Portuguese and Spanish Exchange Rate Crises in the Early 1990s
by Abreu, Margarida - 227-47 Tobin Tax Effects Seen from the Foreign Exchange Market's Microstructure
by Mende, Alexander & Menkhoff, Lukas - 249-71 Effective Foreign Exchange Intervention: Matching Strategies with Objectives
by King, Michael R - 273-95 Japan's Financial Administration under My Watch
by Yanagisawa, Hakuo - 297-308 The Future of the Stability and Growth Pact. [Review Article]
by Bishop, Graham
2003, Volume 6, Issue 1
- 1-26 Is Business Cycle Volatility Costly? Evidence from Surveys of Subjective Well-Being
by Wolfers, Justin - 27-59 Financial Centres and the Geography of Capital Flows
by Warnock, Francis E & Cleaver, Chad - 61-88 A Proposed Monetary Regime for Small Commodity Exporters: Peg the Export Price ('PEP')
by Frankel, Jeffrey - 89-108 Business Cycles and Macroeconomic Policy in Emerging Market Economies
by Lane, Philip R - 109-27 Intervention and Exchange Rate Stabilization Policy in Developing Countries
by Hutchison, Michael M - 129-44 Trajectories towards the Euro and the Role of ERM II
by Padoa-Schioppa, Tommaso - 145-55 Sovereign Debt Restructurings--The Market Knows Best: Review Article
by Galvis, Sergio J
2002, Volume 5, Issue 3
- 311-33 Path Dependence, Corporate Governance and Complementarity
by Schmidt, Reinhard H & Spindler, Gerald - 335-57 Financial Globalization: Unequal Blessings
by de la Torre, Augusto & Levy Yeyati, Eduardo & Schmukler, Sergio L - 359-99 Lessons from the Russian Meltdown: The Economics of Soft Legal Constraints
by Perotti, Enrico - 401-36 Pure Contagion and Investors' Shifting Risk Appetite: Analytical Issues and Empirical Evidence
by Kumar, Manmohan S & Persaud, Avinash - 437-61 Volatility in US and European Equity Markets: An Assessment of Market Quality
by Ozenbas, Deniz & Schwartz, Robert A & Wood, Robert A - 463-69 Macro Policy Coordination: Domestic and International
by Meyer, Laurence H - 471-84 Making the Case for Free Trade
by Winters, L Alan
2002, Volume 5, Issue 2
- 139-64 Monetary Policy and Asset Prices: Does 'Benign Neglect' Make Sense?
by Bordo, Michael D & Jeanne, Olivier - 165-91 Monetary Policy in the New Neoclassical Synthesis: A Primer
by Goodfriend, Marvin - 193-211 Monetary Policy, Price Stability and Output Gap Stabilization
by Gaspar, Vitor & Smets, Frank - 213-27 The Role of Output Stabilization in the Conduct of Monetary Policy
by Mishkin, Frederic S - 229-49 Fiscal Policy and Uncertainty
by Auerbach, Alan J & Hassett, Kevin A - 251-84 A New Design for Automatic Fiscal Policy
by Seidman, Laurence S & Lewis, Kenneth A - 285-309 Macroeconomic Vulnerabilities in the Twenty-First Century Economy: A Preliminary Taxonomy
by DeLong, J Bradford
2002, Volume 5, Issue 1
- 1-22 Stock Market Wealth Effects and the New Economy: A Cross-Country Study
by Edison, Hali & Slok, Torsten - 23-45 The International Financial Architecture: Old Issues and New Initiatives
by Kenen, Peter B - 47-71 The Opportunistic Approach to Disinflation
by Orphanides, Athanasios & Wilcox, David W - 73-96 Central Bank Accountability and Transparency: Theory and Some Evidence
by Eijffinger, Sylvester C W & Hoeberichts, Marco - 97-114 Are Banks Different? Evidence from International Data
by Buch, Claudia M

