Content
2004
- 0404009 Assessing International Mergers And Acquisitions As A Mode Of Foreign Direct Investment
by Steven Globerman & Daniel Shapiro - 0404008 Governance Infrastructure and U.S. Foreign Direct Investment
by Steven Globerman & Daniel Shapiro - 0404007 Regional Economic Integration: The Canada-U.S. Experience
by Steven Globerman - 0404006 Luso-Spanish-Franco-English Relations Viewed From The Entrance Of Foreign Investment Funds
by jose r. p. manso - 0404005 Is There a Causal Link between Currency and Debt Crises?
by Axel Dreher & Bernhard Herz & Volker Karb - 0404004 IMF and Economic Growth: The Effects of Programs, Loans, and Compliance with Conditionality
by Axel Dreher - 0404003 La contagion financi`ere : une ´etude empirique sur les causalités lors de la crise asiatique
by MARAIS Elise - 0404002 Etude de la convergence des économies d’Amérique Latine : Une union monétaire est-elle envisageable ?
by GIMET Céline & GUESSOUM Yasmine - 0404001 Indices de vulnérabilité au créancier bancaire commun
by MARAIS Elise - 0403009 Financial Liberalization and Business Cycles: The Experience of Future EU Member States in the Baltics and Central Eastern Europe
by Lucio Vinhas de Souza - 0403008 Nominal versus Real Convergence with Respect to EMU Accession - EMU Entry Scenarios for the New Member States
by Gunther Schnabl & Paul De Grauwe - 0403007 Is a transactions tax an effective means to stabilize the foreign exchange market?
by Andrea Terzi - 0403006 Time-varying Correlations of Russian and U.S. Equity Returns
by Thadavillil Jithendranathan - 0403005 Balance Sheet Effects And The Country Risk Premium: An Empirical Investigation
by Alicia Garcia Herrero & Juan Carlos Berganza & Roberto Chang - 0403004 Restaurant Prices and the Mexican Peso
by Thomas M Fullerton Jr & Roberto Coronado - 0403003 La théorie des ZMO s'applique-t-elle aux pays en développement?
by Brahim Razgallah - 0403002 Contagion And Portfolio Shift In Emerging Countries´ Sovereign Bonds
by Alicia Garcia Herrero & Antonio Diez de los Rios - 0403001 Determinants And Impact Of Financial Sector Fdi To Emerging
by Alicia Garcia Herrero & Daniel Navia Simon - 0402004 Policy Assessment of the European Central Bank and the Stability and Growth Pact’s Echo of the Conventional Wisdom on Budget Management
by William E. Ginn - 0402003 Does the IMF cause moral hazard? A critical review of the evidence
by Axel Dreher - 0402002 Is the Feldstein-Horioka Puzzle Really a Puzzle?
by Daniel Levy - 0402001 Elections and Exchange Rate Policy Cycles
by Marco Bonomo & Cristina Terra - 0401005 How should emerging economies manage their foreign exchange reserves?
by Akash Gupta & Rahul Agarwal - 0401003 Financial Globalization and Regulation
by Philip Arestis & Santonu Basu - 0401002 Open Capital Account: Concrete Wealth or Paper Wealth
by Junning Cai & Byron Gangnes - 0401001 The Exchange Rate Exposure of UK Nonfinancial Companies: Industry-Level Analysis
by Ahmed A. El-Masry
2003
- 0312001 Exchange Rate – Relative Price Relationship: Nonlinear Evidence from Malaysia
by Venus Khim-Sen Liew & Kian-Ping Lim & Evan Lau & Chee-Keong Choong - 0311014 Exchange Rate – Relative Price Relationship: Nonlinear Evidence from Malaysia
by Venus Khim-Sen Liew & Kian-Ping Lim & Evan Lau & Chee-Keong Choong - 0311013 Sovereign Credit Ratings and Their Impact on Recent Financial Crises
by Roman Kraeussl - 0311012 Financial Integration and International Portfolio
by AROURI Mohamed El Hedi - 0311011 The Behavior of Money and Other Economic Variables: Two Natural Experiments
by James R. Lothian & Cornelia H. McCarthy - 0311010 The Economics of International Monies
by Gerald P. Dwyer Jr. & James R. Lothian - 0311009 Uncovered Interest Rate Parity Over the Past Two Centuries
by James R. Lothian & Liuren Wu - 0311008 Currency Union and Real Exchange Rate Behavior
by James R. Lothian & Cornelia H. McCarthy - 0311007 Equity Returns and Inflation: The Puzzlingly Long Lags
by James R. Lothian & Cornelia H. McCarthy - 0311006 Real Exchange Rate Behavior Under Floating and Fixed Regimes
by James R. Lothian & Cornelia H. McCarthy - 0311005 International Money and Common Currencies in Historical Perspective
by Gerald P. Dwyer Jr. & James R. Lothian - 0311004 Has International Financial Integration Increased?
by Lawrence G. Goldberg & James R. Lothian & John Okunev - 0311003 The Internationalization of Money and Finance and the Globalization of Financial Markets
by James R. Lothian - 0311002 External Debt Management-Case Study On India
by Supreena Narayanan - 0311001 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
by Florian Neagu - 0310004 Independent Actor or Agent? An Empirical Analysis of the impact of US interests on IMF Conditions
by Axel Dreher & Nathan Jensen - 0310003 International Capital Mobility: Evidence from Panel Data
by W. Jos Jansen - 0310002 Net Foreign Assets Management and Capital Account Liberalization. The Romanian Case
by Florian Neagu - 0310001 The Role of Information Disparity in the 1994/95 Mexican Peso
by Christina Bannier - 0309006 Private and Public Information in Self-Fulfilling Currency Crises
by Christina E. Bannier - 0309005 Value Investing in Emerging Markets: Risks and Benefits
by Vladislav Kargin - 0309004 The Causes and Consequences of IMF Conditionality
by Axel Dreher & Roland Vaubel - 0309003 Persistent misalignments of the European exchanges rates: some evidence from nonlinear cointegration
by Gilles DUFRENOT & Laurent MATHIEU & Val=E9rie MIGNON & Anne PEGUIN-FEISSOLE - 0309002 Modelling the misalignments of the Dollar-Sterling real exchange rate: a nonlinear cointegration perspective
by Slim CHAOUACHI & Gilles DUFRENOT & Val=E9rie MIGNON - 0309001 On Singaporean Dollar-U.S. Dollar and Purchasing Power Parity
by Venus Khim-Sen Liew & Ahmad Zubaidi Baharumshah & Kian-Ping Lim - 0308003 Buitenlandse banken in Midden- en Oost-Europa. Aanwinst of risicofactor?
by Ralph de Haas & Iman van Lelyveld - 0308002 Export-led Growth Hypothesis in Malaysia: An Application of Two- Stage Least Square Technique
by Choong Chee Keong & Zulkornain Yusop & Venus Khim-Sen Liew - 0308001 The Validity of PPP Revisited: An Application of Non-linear Unit Root Test
by Venus Khim-Sen Liew - 0307005 Exchange Rates Forecasting Model: An Alternative Estimation Procedure
by Ahmad Zubaidi Baharumshah & Liew Khim Sen & Lim Kian Ping - 0307004 The Predictability of ASEAN-5 Exchange Rates
by Ahmad Zubaidi Baharumshah & Liew Khim Sen - 0307002 Are Asian Real Exchange Rates Stationary?
by Venus Khim-sen Liew & Ahmad Zubaidi Baharumshah & Terence Tai-leung Chong - 0307001 The Balance Of Payments As A Monetary Phenomenon:An Econometric Case Study Of Nigeria
by Godwin Chukwudum Nwaobi - 0305001 Foreign Banks and Credit Stability in Central and Eastern Europe: friends or foes? A panel data analysis
by Ralph de Haas & Iman van Lelyveld - 0304002 A non-linear Macroeconometric Impact Model of External Debt Cancellation in Severely Indebted Low Income Country (SILIC) Economies
by P. Kalonga Stambuli PhD thesis - 0304001 The Signals Approach as an Early Warning System for Currency Crises. An Application to Transition Economies - with special emphasis on Poland
by Christoph Pasternak - 0303006 International Macroeconomics: Beyond the Mundell-Fleming Model
by Maurice Obstfeld - 0303005 Exchange Rate Regimes and Financial Dollarization: Does Flexibility Reduce Bank Currency Mismatches?
by Carlos Óscar Arteta - 0303004 Exchange Rates and Adjustment: Perspectives from the New Open Economy Macroeconomics
by Maurice Obstfeld - 0303003 Information as a Substitute for Bailouts in Sovereign Debt Markets
by Duane Rockerbie & Stephen Easton - 0303002 Revisiting the Interest Rate-Exchange Rate Nexus: A Markov Switching Approach
by Shiu-Sheng Chen - 0303001 A primer on new techniques used by the sophisticated financial fraudster, with special reference to commodity market instruments
by Lamon Rutten - 0302001 Deposit insurance and international bank deposits
by Huizinga Harry & Nicodeme Gaetan - 0301007 Introduction to Trade Finance
by Bernardo Batiz-Lazo & Douglas Wood - 0301006 How Did Malawi Accumulate External Debt
by P.Kalonga Stambuli - 0301004 The international diversification puzzle is not worse than you think
by Christian Julliard - 0301003 Paris Club Debt Relief, Traditional Frameworks and Implications for Poor Country Debt
by P.Kalonga Stambuli - 0301001 Pre-financing Migrant Remittance Flows in Support of Agricultural Development in Africa
by Lamon Rutten & Okey Oramah
2002
- 0212001 Sovereign Risk and Real Business Cycles in a Small Open Economy
by Franz Hamann - 0211006 Real and Pseudo Globalisation
by Jagannadha Pawan Tamvada - 0211005 Causes and consequences of the 1982 Third World Debt Crisis
by P. Kalonga Stambuli - 0211004 Currency Arrangements And Goods Market Integration: A Price Based Approach
by David Parsley Shang-Jin Wei - 0211003 Accounting for Real Exchange Rate Changes in East Asia
by David Parsley - 0211002 Pricing in International Markets: a 'Small-Country' Benchmark
by David Parsley - 0211001 Exchange Rate Pegs and Foreign Exchange Exposure in East Asia
by David Parsley Helen Popper - 0209006 Hedgefondsen: back to basics
by Ralph de Haas - 0209005 How Important Are Foreign Banks in European Transition Countries? A Comparative Analysis
by Hanneke Bol & Jakob de Haan & Bert Scholtens & Ralph de Haas - 0209004 Financial contagion, interest rates and the role of the exchange rate as shock absorber in Central and Eastern Europe
by Maurizio Michael Habib - 0209003 Substituting a Substitute Currency – The Case of Estonia
by Kari Heimonen - 0209002 Foreign Bank Penetration and Private Sector Credit in Central and Eastern Europe
by Ralph de Haas & Iman van Lelyveld - 0209001 Finance, law and growth during transition: a survey
by Ralph de Haas - 0207006 Power Risk Aversion Utility Functions
by Danyang Xie - 0207005 Budgetticks- A must for the Government
by Dr. George Benjamin - 0207004 Budgetticks, not Economics-The need of the Day
by Dr George Benjamin & . - 0207003 The Development and Implementation of IMF and World Bank Conditionality
by Axel Dreher - 0207002 Does the IMF cause moral hazard and political business cycles? Evidence from panel data
by Axel Dreher & Roland Vaubel - 0207001 The Contribution of the IMF and the World Bank to Economic Freedom
by Bernhard Boockmann & Axel Dreher - 0205003 Dollarization and Euroization in Transition Countries: Currency Substitution, Asset Substitution, Network Externalities and Irreversibility
by Edgar Feige & James Dean - 0205002 Unofficial Dollarization in Latin America: Currency Substitution, Network Externalities and Irreversibility
by Edgar L. Feige & Vedran Šošiæ & Michael Faulend & Velimir Šonje - 0202001 Three's Company:US Borders After September 11
by Tapen Sinha & Bradly Condon - 0201001 The Influence of Capital Controls on Long Run Growth: Where and How Much?
by Areendam Chanda
2001
- 0112001 Investor Panic, IMF Actions, and Emerging Stock Market Returns and Volatility
by Bernd Hayo & Ali Kutan - 0111003 Determinants of the euro real effective exchange rate: a BEER/PEER approach
by Francisco Maeso-Fernandez & Chiara Osbat & Bernd Schnatz - 0111001 Payments-Related Intraday Credit Differentials and the Emergence of a Vehicle Currency
by Sujit Chakravorti - 0108001 A Leading Indicators Approach to the Predictability of Currency
by Bengi Kibritcioglu & Bulent Kose & Gamze Ugur - 0107004 International Transmission under Floating Exchange Rates
by James R.Lothian & Cornelia H. McCarthy - 0107003 Equity Returns and Inflation: The Puzzlingly Long Lags
by James R. Lothian & Cornelia H.. McCarthy - 0107002 Real Exchange-Rate Behaviour under Fixed and Floating Exchange Rate Regimes
by James R. Lothian & Cornelia McCarthy - 0106001 Currency Substitution, Unoffical Dollarization and Estimates of Foreign Currency Held Abroad: The Case of Croatia
by Edgar L. Feige & Michael Faulend & Velimir Sonje & Vedran Sosic - 0103003 Dollarization: An Irreversible Decision
by Roger Craine - 0103002 Default Costs, Willingness to Pay and Sovereign Debt Buybacks
by Jonathan P. Thomas - 0012004 Disparities of Exchange Rates in CEE Countries
by Evzen Kocenda - 0012003 Would Collective Action Clauses Raise Borrowing Costs? An Update and Additional Results
by Barry Eichengreen & Ashoka Mody - 0012002 The Determinants of Cross-Border Equity Flows: The Geography of=20 Information
by Richard Portes & =20 H=E9l=E8ne Rey - 0012001 Financial Super-Markets: Size Matters for Asset Trade
by Philippe Martin & H=E9l=E8ne Rey=
2000
- 0004002 New Directions for Stochastic Open Economy Models
by Maurice Obstfeld & Kenneth Rogoff - 0004001 The Global Capital Market: Benefactor or Menace?
by Maurice Obstfeld - 0003006 Does Mercosur Need a Single Currency?
by Barry Eichengreen - 0003005 International Economic Policy in the Wake of the Asian Crisis
by Barry Eichengreen - 0003004 Sovereign Debt as Intertemporal Barter
by Kenneth M. Kletzer & Brian D. Wright
1999
- 9907002 The Real Interest Differential Model after Twenty Years
by Alan G. Isaac & Suresh de Mel - 9902002 Exchange Rate Regime Credibility, the Agency Cost of Capital and Devaluation
by Roger Craine
1998
- 9805004 Understanding Devaluations in Latin America: A "Bad Fundamentals" Approach
by Maria Soledad Martinez Peria - 9805003 Country Funds and Asymmetric Information
by Jeffrey A. Frankel & Sergio L. Schmukler - 9805001 Parameterizing Currency Risk in the EMS: The Irish Pound and Spanish Peseta against the German Mark
by Paul D. McNelis & G.C. Lim - 9804001 Financial Crisis and Credit Crunch as a Result of Inefficient Financial Intermediation—with Reference to the Asian Financial Crisis
by Jorge A. Chan-Lau & Zhaohui Chen - 9803001 EMU: What if the Shocks are in the Labor Markets?
by Gil Mehrez & Natacha Valla - 9802003 Commodity Price Volatility Across Exchange Rate Regimes
by John T. Cuddington & Hong Liang - 9801002 Is the Malaysian Foreign Exchange Market Efficient?
by Omar Marashdeh - 9801001 The Demand for Money in an Open Economy: the Case of Malaysia
by Omar Marashdeh
1997
- 9707004 How To Stabilize Financial Markets Before EMU ?
by A. Frachot - 9707003 Do Financial Markets Expect a Significant Delay before EMU ?
by A. Frachot - 9707001 Real Exchange Rate Misalignments and Growth
by Ofair Razin & Susan M. Collins - 9706001 Analysing the Sustainability of Fiscal Deficits in Developing Countries
by John T. Cuddington
1996
- 9610001 Maastricht: A Bridge Too Far
by Howard M. Wachtel - 9602003 Switching Between Chartists and Fundamentalists: A Markov Regime-Switching Approach
by Robert Vigfusson - 9602002 Uncertainty, Trade, and Capital Flows in Sub-Saharan Africa
by John T. Cuddington & Hong Liang & Shihua Lu - 9602001 Stochastic Monetary Interdependence: The Case for Flexible Exchange Rates Revisited
by John E. Floyd
1995
- 9509001 Exchange Rates and Oil Prices
by Robert A. Amano & Simon van Norden - 9508006 National, regional and international capital markets: Measurement and implications for domestic financial fragility
by Menzie Chinn & Michael Dooley - 9508005 Financial and capital account liberalization in the Pacific Basin: Korea and Taiwan during the 1980's
by Menzie Chinn & William Maloney - 9508004 The relative influence of US and Japan on real interest rates around the Pacific Rim
by Menzie Chinn & Jeffery Frankel - 9508003 More survey data on exchange rate expectations: More currencies, more horizons, more tests
by Menzie Chinn & Jeffery Frankel - 9508002 Integration, cointegration and the forecast consistency of structural exchange rate models
by Yin-Wong Cheung & Menzie Chinn - 9508001 Whither the Yen? Implications of an intertemporal model of the Yen/Dollar rate
by Menzie Chinn - 9502003 Accounting for U.S. Current Account Deficits: An Empirical Investigation
by Selahattin Dibooglu - 9502002 Real Disturbances, Relative Prices, and Purchasing Power Parity
by Selahattin Dibooglu - 9502001 Oil Prices and the Rise and Fall of the U.S. Real Exchange Rate
by Robert A. Amano & Simon van Norden
1994
- 9411002 Technical Trading Rule Profitability and Foreign Exchange Intervention
by Blake LeBaron - 9411001 A New Meaure of the Korean Current Account
by Eric O'N. Fisher & YoungSoo Woo - 9410002 Is US Real GNP Chaotic? On Using the BDS test to Decide Whether an ARMA Model forthe US GNP Genreates I.I.D. Residuals
by Domenico Mignacca & Mauro Gallegati - 9410001 Is Money Neutral? Some Evidence for Italy
by Gianluca Cubadda & Domenico Mignacca - 9406001 Optimum Currency Areas and Shock Asymmetry A Comparison of Europe and the United States
by Nick Chamie & Alain DeSerres & Rene Lalonde