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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ E: Macroeconomics and Monetary Economics
/ / E4: Money and Interest Rates
/ / / E42: Monetary Sytsems; Standards; Regimes; Government and the Monetary System
This JEL code is mentioned in the follow RePEc Biblio entries:
  1. > Macroeconomics > Monetary Theory

This topic is covered by the following reading lists:
  1. Mondialisation
  2. Quantitative Macroeconomics and Real Business Cycles (QM&RBC)
  3. Advanced Monetary Theory and Policy (ECON 447)

Most recent items first, undated at the end.
  • 2018 Criptomonedas, As A Business Opportunity For Microenterprise Of The Tourism Sector In The South East Zone Of The State Of Mexico, Criptomonedas, Como Oportunidad De Negocio De Microempresas Del Sector Turistico En La Zona Sur Oriente Del Estado De Mexico
    by Abraham Sanchez Gil & Omar Ernesto Teran Varela

  • 2017 Private central banks
    by S. Moiseev.

  • 2017 Exchange rate regime: Perspectives of transformation
    by I. Nesterov & S. Sutyrin.

  • 2017 Stability in the informal value transfer systems: Norms of trust or institutions of control?
    by A. Lyasko.

  • 2017 Reconsidering the Independence of the European Central Bank
    by Prof. Dr. Dr. h.c. Rudolf Richter

  • 2017 No Smoking Gun: Private Shareholders, Governance Rules and Central Bank Financial Behavior
    by Bartels, Bernd & Weder di Mauro, Beatrice & Eichengreen, Barry

  • 2017 Wirtschaftsethische Überlegungen zur Finanz- und Eurokrise
    by Dilger, Alexander

  • 2017 The Euro from a business perspective
    by Dilger, Alexander

  • 2017 Die Medienökonomik personalisierter Daten und der Facebook-Fall
    by Budzinski, Oliver & Grusevaja, Marina

  • 2017 Bargeld quo vadis?
    by Morscher, Christof & Schlothmann, Daniel & Horsch, Andreas

  • 2017 The exchange rate susceptibility of European core industries, 1995-2010
    by Leuwer, David & Süßmuth, Bernd

  • 2017 Ensuring accountability in modern trade policy
    by Matthes, Jürgen & Maselli, Ilaria

  • 2017 The G20 countries should engage with blockchain technologies to build an inclusive, transparent, and accountable digital economy for all
    by Maupin, Julie

  • 2017 Moving towards "Cashlessness" in an emerging economy: A case study of latest policy steps in India
    by Dasgupta, Manjira

  • 2017 Who put the holes in the Swiss cheese? Currency crisis under appreciation pressure
    by Berhold, Kerstin & Stadtmann, Georg

  • 2017 Funders-of-Last-Resort: Legal Issues Involved in Using Central Bank Balance Sheets to Bolster Economic Growth
    by Michael, Bryane & Dalko, Viktoria

  • 2017 On the distribution of links in financial networks: Structural heterogeneity and functional form
    by Lux, Thomas

  • 2017 Structural correlations in the Italian overnight money market: An analysis based on network configuration models
    by Luu, Duc Thi & Lux, Thomas & Yanovski, Boyan

  • 2017 Efikasnost monetarne politike u uvjetima financijske globaliziranosti
    by Josip Tica & Tomislav Globan & Vladimir Arčabić

  • 2017 Monetary Policy Shifts and Central Bank Independence
    by Qureshi, Irfan

  • 2017 Government Bond Yields at the Effective Lower Bound: International Evidence
    by Domenico Lombardi, Pierre Siklos, Samantha St.Amand

  • 2017 What Has Publishing Inflation Forecasts Accomplished? Central Banks And Their Competitors
    by Siklos, Pierre

  • 2017 Beyond the traditional monetary circuit: endogenous money, finance and the theory of long-period effective demand
    by Sergio Cesaratto

  • 2017 The nature of the eurocrisis. A reply to Febrero, Uxò and Bermejo
    by Sergio Cesaratto

  • 2017 Una nessuna centomila – Le molte verità di Target2
    by Sergio Cesaratto

  • 2017 Benefits of the retail payments card market: Evidence from Russian merchants
    by Egor Krivosheya & Andrew Korolev

  • 2017 Changes in the Liquidity Effect Over Time: Evidence from Four Monetary Policy Regimes
    by Dawid Johannes van Lill

  • 2017 How Australians Pay: Evidence from the 2016 Consumer Payments Survey
    by Mary-Alice Doyle & Chay Fisher & Ed Tellez & Anirudh Yadav

  • 2017 ESBies as a Basis for a TARGET2 Settlement Mechanism
    by Pasche, Markus

  • 2017 The K-Y Paradox: Problems in Creating a Centralised Sovereign Backed Cryptocurrency on a Decentralised Platform
    by Hegadekatti, Kartik

  • 2017 Towards Regional Monetary Unions through Blockchain Networks
    by Hegadekatti, Kartik

  • 2017 Interest on reserves and monetary policy of targeting both interest rate and money supply
    by Ngotran, Duong

  • 2017 To enable private banks to create and lend out money, households must first be driven into debt
    by Musgrave, Ralph S.

  • 2017 Time Varying VAR Analysis for Disaggregated Exchange Rate Pass-through in Tunisia
    by Dahem, Ahlem & Skander, Slim & Fatma, Siala Guermazi

  • 2017 Les canaux de transmission de la politique monetaire en Haiti: une approche narrative (1996-2016)
    by Simon, Carl Nally Regi

  • 2017 Looking Back On the Age of Checking in America, 1800-1960
    by Jaremski, Matthew & Mathy, Gabrial

  • 2017 A Segmented Markets Model to Teach Analysis of Monetary Policy Shocks in Developing Economies
    by Waknis, Parag

  • 2017 Demonetisation: Some Theoretical Perspectives
    by Waknis, Parag

  • 2017 Quantitative easing, changes in global liquidity and financial instability
    by Esteban Ramon Perez Caldentey

  • 2017 Changing Macroeconomic Dynamics at the Zero Lower Bound
    by Francesco Zanetti & Philip Liu & Haroon Mumtaz & Konstantinos Theodoridis

  • 2017 Are Negative Nominal Interest Rates Expansionary?
    by Gauti B. Eggertsson & Ragnar E. Juelsrud & Ella Getz Wold

  • 2017 The Gold Pool (1961-1968) and the Fall of the Bretton Woods System. Lessons for Central Bank Cooperation
    by Michael Bordo & Eric Monnet & Alain Naef

  • 2017 Central Banks: Evolution and Innovation in Historical Perspective
    by Michael D. Bordo & Pierre L. Siklos

  • 2017 Deposit Insurance and Depositor Monitoring: Quasi-Experimental Evidence from the Creation of the Federal Deposit Insurance Corporation
    by Haelim Park Anderson & Gary Richardson & Brian S. Yang

  • 2017 The Paper Money of Colonial North Carolina, 1712-1774
    by Cory Cutsail & Farley Grubb

  • 2017 Central Bank Digital Currency and the Future of Monetary Policy
    by Michael D. Bordo & Andrew T. Levin

  • 2017 The London Monetary and Economic Conference of 1933 and the End of The Great Depression: A “Change of Regime” Analysis
    by Sebastian Edwards

  • 2017 Circumventing the Zero Lower Bound with Monetary Policy Rules Based on Money
    by Michael T. Belongia & Peter N. Ireland

  • 2017 Macro-economic Management in an Electronic Credit/Financial System
    by Joseph E. Stiglitz

  • 2017 Central bank financial strength and inflation: an empirical reassessment considering the key role of the fiscal support
    by Julien Pinter

  • 2017 Network properties and evolutionof the Hungarian RTGSover the past decade
    by László Bodnár

  • 2017 Revolutionieren Kryptowährungen die Zahlungssysteme?
    by Walter blocher & Andreas Hanl & Jochen Michaelis

  • 2017 Kryptowährungen- Ein Problem für die Geldpolitik?
    by Andreas Hanl & Jochen Michaelis

  • 2017 On the Centrality of Redemption: Linking the State and Credit Theories of Money through a Financial Approach to Money
    by Eric Tymoigne

  • 2017 The Sovereign Money Initiative in Switzerland: An Economic Assessment
    by Philippe Bacchetta

  • 2017 Virtual Relationships: Short- and Long-run Evidence from BitCoin and Altcoin Markets
    by Pavel, Ciaian & d'Artis, Kancs & Miroslava, Rajcaniova

  • 2017 Bitcoin Reveals Exchange Rate Manipulation and Detects Capital Controls
    by Gina Christelle Pieters

  • 2017 Rural bank mergers/consolidations in the Philippines : a preliminary study
    by Kashiwabara, Chie

  • 2017 Monetary transmission in India: Working of price and quantum channels
    by Ashima Goyal & Deepak Kumar Agarwal

  • 2017 Exit Strategies, Capital Flight and Speculative Attacks: Europe's Version of the Trilemma
    by Andreas Steiner & Sven Steinkamp & Frank Westermann

  • 2017 Can the Adoption of the Euro in Croatia Reduce the Cost of Borrowing?
    by Davor Kunovac & Nina Pavić

  • 2017 Effects of Capital Flow on the Equity and Housing Markets in Hong Kong
    by Yin-Wong Cheung & Kenneth K. Chow & Matthew S. Yiu

  • 2017 Endogenous money: an heterodox synthesis (In French)
    by Léo MALHERBE

  • 2017 The political economy of exchange rate stability during the gold standard. The case of Spain, 1874-1914
    by Martínez-Ruiz, Elena & Nogues-Marco, Pilar

  • 2017 Le Portugal et l`Euro
    by João de Sousa Andrade

  • 2017 IT Countries: A Breed Apart? the case of Exchange Rate Pass-Through
    by Antonia López-Villavicencio & Marc Pourroy

  • 2017 Banking Panics and Output Dynamics
    by Sanches, Daniel R.

  • 2017 The Federal Reserve's Portfolio and its Effect on Interest Rates
    by Jeff W. Huther & Jane E. Ihrig & Elizabeth C. Klee

  • 2017 Faster Payments : Market Structure and Policy Considerations
    by Aaron Rosenbaum & Garth Baughman & Mark D. Manuszak & Kylie Stewart & Fumiko Hayashi & Joanna Stavins

  • 2017 Integrated household surveys: an assessment of U.S. methods and an innovation
    by Samphantharak, Krislert & Schuh, Scott & Townsend, Robert M.

  • 2017 U. S. consumer cash use, 2012 and 2015: an introduction to the Diary of Consumer Payment Choice
    by Greene, Claire & O'Brien, Shaun & Schuh, Scott

  • 2017 The 2015 Survey of Consumer Payment Choice: summary results
    by Greene, Claire & Schuh, Scott & Stavins, Joanna

  • 2017 Faster payments: market structure and policy considerations
    by Rosenbaum, Aaron & Baughman, Garth & Manuszak, Mark D. & Stewart, Kylie & Hayashi, Fumiko & Stavins, Joanna

  • 2017 Oil and macroeconomic (in)stability
    by Hilde C. Bjørnland & Vegard H. Larsen & Junior Maih

  • 2017 Virtual Relationships: Short- and Long-run Evidence from BitCoin and Altcoin Markets
    by Pavel Ciaian & Miroslava Rajcaniova & d'Artis Kancs

  • 2017 Hoarding international reserves and global liquidity expansion, what are the links and do they matter?
    by Nady Rapelanoro

  • 2017 Valuating the environmental impact of debit card payments
    by Erik Roos Lindgreen & Milan van Schendel & Nicole Jonker & Jorieke Kloek & Lonneke de Graaff & Marc Davidson

  • 2017 Cyclical patterns in risk indicators based on financial market infrastructure transaction data
    by Monique Timmermans & Ronald Heijmans & Hennie Daniels

  • 2017 Risk indicators for financial market infrastructure: from high frequency transaction data to a traffic light signal
    by Ron Berndsen & Ronald Heijmans

  • 2017 Fundamental uncertainty and unconventional monetary policy: an info-gap approach
    by Yakov Ben-Haim & Maria Demertzis & Jan Willem Van den End

  • 2017 The Paper Money of Colonial North Carolina, 1712-1774
    by Farley Grubb

  • 2017 The making of a national currency. Spatial transaction costs and money market integration in Spain (1825-1874)
    by Aslanidis, Nektarios & Herranz-Loncán, Alfonso & Nogues-Marco, Pilar

  • 2017 The Gold Pool (1961-1968) and the fall of the Bretton Woods system. Lessons for central bank cooperation
    by Bordo, Michael D & Monnet, Eric & Naef, Alain

  • 2017 International liquidity
    by Hartmann, Philipp

  • 2017 Doomed to Disappear? The Surprising Return of Cash Across Time and Across Countries
    by Jobst, Clemens & Stix, Helmut

  • 2017 Financial Development and Monetary Policy: Loan Applications, Rates, and Real Effects
    by Abuka, Charles & Alinda, Ronnie & Minoiu, Camelia & Peydró, José Luis & Presbitero, Andrea

  • 2017 Pulling up the Tarnished Anchor: The End of Silver as a Global Unit of Account
    by Fernholz, Ricardo & Mitchener, Kris James & Weidenmier, Marc

  • 2017 Privately Issued Money in the US
    by Jaremski, Matthew

  • 2017 Exit Strategies, Capital Flight and Speculative Attacks: Europe's Version of the Trilemma
    by Andreas Steiner & Sven Steinkamp & Frank Westermann

  • 2017 Stock Market Reactions to India's 2016 Demonetization: Implications for Tax Evasion, Corruption, and Financial Constraints
    by Dhammika Dharmapala & Vikramaditya Khanna

  • 2017 Pulling up the Tarnished Anchor: The End of Silver as a Global Unit of Account
    by Ricardo T. Fernholz & Kris James Mitchener & Marc Weidenmier

  • 2017 Social representations of money: Contrast between citizens and local complementary currency members
    by Ariane TICHIT

  • 2017 Les monnaies virtuelles décentralisées sont-elles des outils d’avenir ?
    by Ariane TICHIT & Pascal LAFOURCADE & Vincent MAZENOD

  • 2017 Crowding out in a Dual Currency Regime? Digital versus Fiat Currency
    by KiHoon Hong & Kyounghoon Park & Jongmin Yu

  • 2017 A new approach to governance and integration in EMU for an optimal use of economic policy framework - priority to financial union
    by Theodoros S. Papaspyrou

  • 2017 The impact of de-tiering in the United Kingdom’s large-value payment system
    by Benos, Evangelos & Ferrara, Gerardo & Gurrola-Perez, Pedro

  • 2017 Uncertain forward guidance
    by Haberis, Alex & Harrison, Richard & Waldron, Matthew

  • 2017 Money-Multiplier Shocks
    by Luca Benati & Peter N. Ireland

  • 2017 Informal one-sided target zone model and the Swiss franc
    by Yu-Fu Chen & Michael Funke & Richhild Moessner

  • 2017 Using the payment system data to forecast the Italian GDP
    by Valentina Aprigliano & Guerino Ardizzi & Libero Monteforte

  • 2017 Canadian Bank Notes and Dominion Notes: Lessons for Digital Currencies
    by Ben Fung & Scott Hendry & Warren E. Weber

  • 2017 Cash Versus Card: Payment Discontinuities and the Burden of Holding Coins
    by Heng Chen & Kim Huynh & Oz Shy

  • 2017 Monetary Policy Implementation in a Negative Rate Environment
    by Michael Boutros & Jonathan Witmer

  • 2017 The Costs of Point-of-Sale Payments in Canada
    by Anneke Kosse & Heng Chen & Marie-Hélène Felt & Valéry Dongmo Jiongo & Kerry Nield & Angelika Welte

  • 2017 Central Bank Digital Currency: Motivations and Implications
    by Walter Engert & Ben Fung

  • 2017 Fintech: Is This Time Different? A Framework for Assessing Risks and Opportunities for Central Banks
    by Meyer Aaron & Francisco Rivadeneyra & Samantha Sohal

  • 2017 Central Bank Digital Currencies: assessing implementation possibilities and impacts
    by Olga Gouveia & Enestor Dos Santos & Santiago Fernandez de Lis & Alejandro Neut & Javier Sebastian

  • 2017 Modelos para los flujos de nuevo credito en España
    by Jose Felix Izquierdo

  • 2017 The impact of European banking consolidation on credit prices
    by Jose Maria Alvarez & Cristina Deblas & Jose Felix Izquierdo & Ana Rubio & Jaime Zurita

  • 2017 Monedas digitales emitidas por los bancos centrales: adopcion y repercusiones
    by Olga Gouveia & Enestor Dos Santos & Santiago Fernandez de Lis & Alejandro Neut & Javier Sebastian

  • 2017 The Unemployment Effect of Central Bank Transparency
    by Christoph S. Weber

  • 2017 It is time to separate money banks from credit banks in Italy
    by Michele Fratianni

  • 2017 Líneas de crédito internacionales en Guatemala: caracterización y efecto macroeconómico
    by Óscar L. Herrera V. & Héctor A. Valle S.

  • 2017 Impact of International Monetary Policy in Uruguay: A favar Approach
    by Elizabeth Bucacos

  • 2017 "Completing Europe's eonomic and Monetary Union": Any support from the citizens?
    by Farina, Francesco & Tamborini, Roberto

  • 2017 Floating Exchange Rate as an Automatic Stabiliser on the Example of Polish Economy
    by Michal Pronobis

  • 2017 Actions of National Bank of Romania on Bank Liquidity
    by Drăgoi Violeta Elena & Preda Larisa Elena

  • 2017 A Margin Note On Medieval Thought About Money And The Interest Rate
    by Stefano Figuera

  • 2017 Kryptowährungen — ein Problem für die Geldpolitik?
    by Andreas Hanl & Jochen Michaelis

  • 2017 The national segmentation of euro area bank balance sheets during the financial crisis
    by A. Colangelo & D. Giannone & M. Lenza & H. Pill & L. Reichlin

  • 2017 The Desirable Pattern of Deposits in the Banking System of Iran
    by Mahmodian, Yaqob & Abolhasani Hastiani, Asghar & Hossein Pourkazemi, Mohammad & Nadri, Kamran

  • 2017 Dollarization in North Korea: Evidence from a Survey of North Korean Refugees
    by Mun , Sung Min & Jung , Seung Ho

  • 2017 Everything you always wanted to know about bitcoin modelling but were afraid to ask. Part 2
    by Fantazzini, Dean & Nigmatullin, Erik & Sukhanovskaya, Vera & Ivliev, Sergey

  • 2017 Excess Reserves and Monetary Policy Implementation
    by Roc Armenter & Benjamin Lester

  • 2017 Rebound Of The Romanian Card Market After The Crisis And Its Impact On The Banking Profitability
    by Magdalena RADULESCU & Tatiana ZAMFIROIU (PAUN)

  • 2017 Deflace, odklad spotřeby a hospodářské krize: rétorika centrálních bank vs. ekonomická literatura
    by Lukáš Kovanda & Martin Komrska

  • 2017 Monetary Integration in the 1960s
    by Miriam Jankalová & Radoslav Jankal

  • 2017 Prospects for the application of biometrics in the Polish banking sector
    by Anna Iwona Piotrowska & Michal Polasik & Dariusz Piotrowski

  • 2017 The Effects of Great Britain's Exit from the European Union
    by Amarița Adrian

  • 2017 Euro – Single Currency of the European Union
    by Amarița Adrian

  • 2017 Bond Market Exposures to Macroeconomic and Monetary Policy Risks
    by Dongho Song

  • 2017 Unpacking monetary complementarity and competition: a conceptual framework
    by Jérôme Blanc

  • 2017 Analysis of the hysteresis of unemployment in Mexico in the face of macroeconomic shocks
    by José Carlos Trejo García & Estefanía Carolina Rivera Hernández & Humberto Ríos Bolívar

  • 2017 Análisis de la histéresis del desempleo en México ante shocks macroeconómicos, 1999-2014
    by José Carlos Trejo García & Estefanía Carolina Rivera Hernández & Humberto Ríos Bolívar

  • 2017 A Western Diet with Chinese Spices – The Specificities of Payments in China
    by László Kajdi

  • 2017 The Road to a Market-Oriented Monetary Policy and the “New Normal” Monetary Policy Regime in China
    by Laura Komlóssy & Gyöngyi Körmendi & Sándor Ladányi

  • 2017 Endogenous Imbalances in a Single Currency Area
    by Eszter Boros

  • 2017 Developments in Government Interest Expenditure for Hungary, 2000–2015
    by Gergely Kicsák

  • 2017 Impulse on the Aggregate Demand in Bolivia through the Coordination of the Monetary and Fiscal Policy in Crisis Time
    by Joab Dan VALDIVIA CORIA & Daney David VALDIVIA CORIA

  • 2017 A jegybanki függetlenség és elszámoltathatóság a válság előtt és után
    by Bihari, Péter

  • 2017 Consumer Payment Preferences, Network Externalities, and Merchant Card Acceptance: An Empirical Investigation
    by David Bounie & Abel François & Leo Van Hove

  • 2017 New Austrian macro theory: A call for inquiry
    by Paul Lewis & Richard E. Wagner

  • 2017 The Use of Cheques in the European Union: A Cross-Country Analysis
    by Vânia G. Silva & Esmeralda A. Ramalho & Carlos R. Vieira

  • 2017 Did a Public Campaign Influence Debit Card Usage? Evidence from the Netherlands
    by Nicole Jonker & Mirjam Plooij & Johan Verburg

  • 2017 Re-examining the ECB’s two-pillar monetary policy strategy: Are there any deviations during and the pre-financial crisis periods?
    by Ahmad Hassan Ahmad & Stephen Brown

  • 2017 Monetary policy independence reconsidered: evidence from six non-euro members of the European Union
    by Hubert Gabrisch

  • 2017 Does Inflation Targeting Matter for Foreign Portfolio Investment: Evidence from Propensity Score Matching
    by Adel Boughrara and Ichrak Dridi

  • 2017 The Evolution of Refinancing Loans Sector within the Economic Growth
    by Eduard IONESCU & Octav NEGURITA

  • 2017 The Interest Rate Pass-Through: An Empirical Study Of Seven Asian Economies
    by Chris C. Hsu

  • 2017 Keynes and Gesell: Political and Social Philosophy, Epistemology and Monetary Reform
    by Sheila Dow

  • 2017 Symmetric Global Order with National Self-Determination and No Hegemon: Vision and Reality
    by Jörg Bibow

  • 2017 Why Does the World Need a Reserve Asset with a Hard Anchor?
    by Dongsheng Di & Warren Coats & Yuxuan Zhao

  • 2017 The Influence of Financial and Industrial Policy on Harmonization of European and Asian Integration Processes
    by V.V. Aksenov & A.V. Andreeva & G.A. Buryakov

  • 2017 Macroeconomic imbalances and the eurozone crisis: the impact of credit expansion on asset prices
    by Gökçer Özgür & Emel Memis¸

  • 2017 Fear of floating in Asia and the credibility of true floaters?
    by Rizvi, S.K.A. & Naqvi, Bushra & Mirza, Nawazish & Bordes, Christian

  • 2017 Bitcoin and the bailout
    by Luther, William J. & Salter, Alexander W.

  • 2017 Extended shareholder liability as a means to constrain moral hazard in insured banks
    by Salter, Alexander W. & Veetil, Vipin & White, Lawrence H.

  • 2017 Circumventing the zero lower bound with monetary policy rules based on money
    by Belongia, Michael T. & Ireland, Peter N.

  • 2017 On the socially optimal density of coin and banknote series: Do production costs really matter?
    by Bouhdaoui, Yassine & Van Hove, Leo

  • 2017 Pulling up the tarnished anchor: The end of silver as a global unit of account
    by Fernholz, Ricardo T. & Mitchener, Kris James & Weidenmier, Marc

  • 2017 Fines versus prison for the issuance of bad checks: Evidence from a policy shift in Turkey
    by Eksi, Ozan & Gurdal, Mehmet Y. & Orman, Cuneyt

  • 2017 Banning bitcoin
    by Hendrickson, Joshua R. & Luther, William J.

  • 2017 Reprint of: Central bank collateral frameworks
    by Nyborg, Kjell G.

  • 2017 Central bank collateral frameworks
    by Nyborg, Kjell G.

  • 2017 Silver points, silver flows, and the measure of Chinese financial integration
    by Jacks, David S. & Yan, Se & Zhao, Liuyan

  • 2017 On the transaction cost of Bitcoin
    by Kim, Thomas

  • 2017 Implicit rating: A potential new method to alert crisis on the interbank lending market
    by Berlinger, Edina

  • 2017 Money, unit of account, and nominal rigidity
    by Kim, Young Sik & Lee, Manjong

  • 2017 Managing external macroeconomic imbalances in the EU: the welfare cost of scoreboard-based constraints
    by Torój, Andrzej

  • 2017 Is central bank conservatism desirable under learning?
    by André, Marine Charlotte & Dai, Meixing

  • 2017 The impact of EMU on bond yield convergence: Evidence from a time-varying dynamic factor model
    by Bhatt, Vipul & Kishor, N Kundan & Ma, Jun

  • 2017 The tale of two great crises
    by Fratianni, Michele & Giri, Federico

  • 2017 Monetary and macroprudential policies in an estimated model with financial intermediation
    by Gelain, Paolo & Ilbas, Pelin

  • 2017 Limelight on dark markets: Theory and experimental evidence on liquidity and information
    by Berentsen, Aleksander & McBride, Michael & Rocheteau, Guillaume

  • 2017 Cyberspace Enhanced Payment Systems in the Zimbabwean Retail Sector: Opportunities and Threats
    by Ishmael Mugari

  • 2017 Construction of an Optimum Currency Area Index Anchored to the Gold Dinar: The Case of Selected Islamic Countries
    by Memet Agustiar & Fariastuti Djafar & Afrizal

  • 2017 Synchronization of Economic Activity between Dollarized Economies and the United States. The cases of Ecuador and El Salvador
    by María de Lourdes RODRÍGUEZ-ESPINOSA & Ramón A. CASTILLO-PONCE

  • 2017 Europe Needs More than a Capital Markets Union: Focus on the Integration of Euro Area Sovereign Debt Markets
    by Andreas Breitenfellner & Helene Schuberth

  • 2017 On Some Practices Regarding the Activity and Commercial contacts of the Bulgarian Rose-oil Trading Firms (1879 – the End of the 19th Century)
    by Krasimir Krastev & Momchil Marinov

  • 2017 Central Bank Independence - the Case of the National Bank of Republic of Macedonia
    by Anita Angelovska Bezhoska

  • 2017 Revival of Legacy of Tooke and Gibson: Further Evidence and Implications for Monetary Policy
    by Atiq-ur-Rehman

  • 2017 The Impact of Financial Dollarization on Inflation Targeting: Empirical Evidence from Serbia
    by Nikola Fabris & Nina Vujanović

  • 2017 « Nouvelle normale » ou « nouvelle orthodoxie » ?. Éléments d’un nouveau cadre d’action pour les banques centrales
    by Christian Pfister & Natacha Valla

  • 2017 « Nouvelle normale » ou « nouvelle orthodoxie » ?. Éléments d’un nouveau cadre d’action pour les banques centrales
    by Christian Pfister & Natacha Valla

  • 2017 The Digitization Of Money - Challenges And Opportunities For The Global Economy
    by Olga TIMOFEI

  • 2017 ECB Monetary Policy Actions and the Economic Conditions of a Non-Euro Member: The Case of Croatia
    by Berisha Edmond

  • 2017 Central bank cryptocurrencies
    by Morten Linnemann Bech & Rodney Garratt

  • 2017 Asymmetric Effects on Financial Cycles in a Monetary Union with Diverging Country Preferences for Variable- and Fixed-Rate Mortgages
    by Michael Richter

  • 2017 Dealing with Monetary Paralysis at the Zero Bound
    by Kenneth Rogoff

  • 2017 International Monetary Relations: Taking Finance Seriously
    by Maurice Obstfeld & Alan M. Taylor

  • 2017 The Safe Assets Shortage Conundrum
    by Ricardo J. Caballero & Emmanuel Farhi & Pierre-Olivier Gourinchas

  • 2017 Liquidity: A New Monetarist Perspective
    by Ricardo Lagos & Guillaume Rocheteau & Randall Wright

  • 2017 Nominal Exchange Rate Determinacy under the Threat of Currency Counterfeiting
    by Pedro Gomis-Porqueras & Timothy Kam & Christopher Waller

  • 2016 A Historical Perspective on the Different Origins of U.S. Financial Market Regulators
    by Phillips, Susan & Putnam, Bluford

  • 2016 Functioning of monetary and financial system and the depression of the Russian economy
    by V. Manevitch.

  • 2016 The Federal Reserve as lender of last resort during the subprime crisis: Successful stabilisation without structural changes
    by Herr, Hansjörg & Rüdiger, Sina & Pédussel Wu, Jennifer

  • 2016 "Completing Europe's Economic and Monetary Union": Any support from the citizens?
    by Farina, Francesco & Tamborini, Roberto

  • 2016 A double-edged sword: High interest rates in capital control regimes
    by Gudmundsson, Gudmundur S. & Zoega, Gylfi

  • 2016 Die gesetzliche Einschränkung von Bargeldzahlungen und die Abschaffung von Bargeld auf dem rechtlichen Prüfstand
    by Hirdina, Ralph

  • 2016 Monetary Policy Effectiveness, Net Foreign Currency Exposure and Financial Globalisation
    by Josip Tica & Tomislav Globan & Vladimir Arčabić

  • 2016 The Role of Money in Federal Reserve Policy
    by Qureshi, Irfan

  • 2016 Monetarism, Indeterminacy and the Great Inflation
    by Qureshi, Irfan

  • 2016 Should I stay or should I go? Bayesian inference in the threshold time varying parameter (TTVP) model
    by Florian Huber & Gregor Kastner & Martin Feldkircher

  • 2016 Unsecured and Secured Funding
    by Ranaldo, Angelo & Wrampelmeyer, Jan

  • 2016 Monetary Mechanisms
    by Chao Gu & Randall Wright

  • 2016 The Politics of Central Bank Independence
    by de Haan, J. & Eijffinger, Sylvester

  • 2016 A Comparison of Three Models to Predict Liquidity Flows between Banks Based on Daily Payments Transactions
    by Triepels, Ron & Daniels, Hennie

  • 2016 Networks and lending conditions: Empirical evidence from the Swiss franc money markets
    by Silvio Schumacher

  • 2016 VAT non-compliance in Poland under scrutiny (Problem nieœci¹galnoœci VAT w Polsce pod lup¹)
    by Grzegorz Poniatowski & dr. Jaros³aw Neneman & Tomasz Michalik

  • 2016 Sources of Dualism in Modern Rationalist Thought: Implications for Islamic Economics
    by Abdulkader Cassim Mahomedy

  • 2016 Inflation Dynamics in a Dollarised Economy: The Case of Zimbabwe
    by William Kavila and Pierre Le Roux

  • 2016 Identifying Interbank Loans from Payments Data
    by Anthony Brassil & Helen Hughson & Mark McManus

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  • 2016 Forward Guidance as a Monetary Policy Rule
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  • 2016 Liquidity Management and Central Bank Strength: Bank of England Operations Reloaded, 1889-1910
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  • 2016 Changes in Inflation Predictability in Major Latin American Countries
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  • 2016 Clearing and Settlement Systems from Around the World: A Qualitative Analysis
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  • 2016 Central Bank Transparency and Inflation (Volatility) – New Evidence
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  • 2016 Cash on Trial
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  • 2016 The Risk of Insolvency and its Impact on Romanian Banks
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  • 2016 A Time-Varying Parameter VAR Investigation of the Exchange Rate Pass-Through in Turkey
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  • 2016 Examining Monetary Policy Transmission in the People's Republic of China–Structural Change Models with a Monetary Policy Index
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  • 2016 Reserve Requirement Policy, Bond Market, and Transmission Effect
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  • 2016 La política monetaria óptima a propósito de los modelos BMW y Walsh
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  • 2016 Expectativas de inflación y la política monetaria: evidencia del anclaje en México (2000-2015)
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  • 2016 Everything you always wanted to know about bitcoin modelling but were afraid to ask. I
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  • 2016 Sufficient Conditions for Determinacy in a Class of Markov-Switching Rational Expectations Models
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  • 2016 On the Inherent Instability of Private Money
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  • 2016 The Monetary Regimes And The Inflation Developments In The Central And Eastern European Countries
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  • 2016 In the absence of fiscal union, the Eurozone needs a more flexible monetary policy: A reply
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  • 2016 In the absence of fiscal union, the Eurozone needs a more flexible monetary policy: A comment
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  • 2016 Investment In Precious Metals And Stocks
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  • 2016 Economic and Legal Aspects of Electronic Money
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  • 2016 The Effect of Interbank Liquidity Surplus on Corporate and Interbank Interest Rates
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  • 2016 The Transmission Mechanism Of Unconventional Monetary Policy
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  • 2016 The Price Stability-Important Lever within the Economy
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  • 2016 The Incompatibility Triangle
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  • 2016 Out-Of-Market Efficiencies, Two-Sided Platforms, And Consumer Welfare: A Legal And Economic Analysis
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  • 2016 REMEMBERING PAUL MacAVOY IN THE BOARDROOM AND THE CLASSROOM
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  • 2016 Cashless payments in Austria: the role of the central bank
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  • 2016 Florin, crown, schilling and euro: an overview of 200 years of cash in Austria
    by Clemens Jobst & Helmut Stix

  • 2016 The ECB’s Contemporary Unconventional Monetary Policy in the Context of the Financial Crisis
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  • 2016 The Efficiency in the Functioning of the BNB for the Period after 2010
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  • 2016 The Role of Exchange-Rate Regimes for Achieving Sustainable Growth in Central and Eastern Europe
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  • 2016 Monetary Velocity in a Systemic Perspective: An Approach Towards More Accurate Currency Thinking
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  • 2016 Macroeconomic effects of the increase of electronic retail payments – A general equilibrium approach using Hungarian data
    by Tamás Ilyés & Lóránt Varga

  • 2016 The Costs of Implementing a Unilateral One-Sided Exchange Rate Target Zone
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  • 2016 Identifying Interbank Loans, Rates, and Claims Networks from Transactional Data
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  • 2016 The Effect of Oil Prices and Regime Switches On Real Effective Exchange Rate in Pakistan: A Markov Regime Switching Approach
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  • 2016 The Federal Reserve as Lender of Last Resort During the Subprime Crisis – Successful Stabilisation Without Structural Changes
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  • 2016 Várakozások és a monetáris politika - különös tekintettel a magyarországi gyakorlatra
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  • 2016 Kinyílnak-e az őszirózsák?. Kitekintés a válság utáni monetáris politikára
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  • 2016 Economic Convergence Criteria – Factor Analysis
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  • 2016 Contagion across Eurozone’s sovereign spreads and the Core-Periphery divide
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  • 2016 Sequential payments and optimal pricing in payment systems
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  • 2016 The estimate of regional balances of payments in Croatia
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  • 2016 How to Measure the Unsecured Money Market: The Eurosystem’s Implementation and Validation Using TARGET2 Data
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  • 2016 Economic and Geopolitical Considerations regarding International Crude Oil Market Developments in the First Half of 2016. Short Term Outlook
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  • 2016 Unemployment As A Determinant Of Gold Prices: Empirical Evidence
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  • 2016 Data Breach Notification Laws
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  • 2016 A T-shirt model of savings, debt, and private spending: lessons for the euro area
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  • 2016 Currency crises in post-Soviet economies — a never ending story?
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  • 2016 Credit, banking, liquidity shortfall, and monetary policy
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  • 2016 Creative capital in production, inefficiency, and inequality: A theoretical analysis
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  • 2016 Co-movements of non-Euro EU currencies with the Euro
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  • 2016 Inflation, credit, and indexed unit of account
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  • 2016 Monetary policies of industrial countries, emerging market credit cycles and feedback effects
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  • 2016 Monetary policy and noise traders: A welfare analysis
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  • 2016 Government spending multipliers and the zero lower bound
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  • 2016 Who should bear the resource cost of electronic transaction?
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  • 2016 Quasi-monetary and quasi-fiscal policy rules at the zero-lower bound
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  • 2016 Determining global currency bloc equilibria: An empirical strategy based on estimates of anchor currency choice
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  • 2016 Monetary mechanisms
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  • 2016 An investigation into the credibility of currency board arrangements in Bosnia and Herzegovina and Bulgaria
    by Begović, Selena & Adnett, Nick & Pugh, Geoff

  • 2016 Does monetary policy matter for trade?
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  • 2016 Benchmarking macroprudential policies: An initial assessment
    by Lombardi, Domenico & Siklos, Pierre L.

  • 2016 Credit rating agency downgrades and the Eurozone sovereign debt crises
    by Baum, Christopher F. & Schäfer, Dorothea & Stephan, Andreas

  • 2016 How Japan remained on the Gold Standard despite unsustainable external debt
    by Pittaluga, Giovanni B. & Seghezza, Elena

  • 2016 Changes in the global oil market
    by Bataa, Erdenebat & Izzeldin, Marwan & Osborn, Denise R.

  • 2016 Deleveraging, deflation and depreciation in the euro area
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  • 2016 Monetary–fiscal policy interaction and fiscal inflation: A tale of three countries
    by Kliem, Martin & Kriwoluzky, Alexander & Sarferaz, Samad

  • 2016 Inflation targeting on output growth: A pulse dummy analysis of dynamic macroeconomic panel data
    by de Guimarães e Souza, Gustavo José & de Mendonça, Helder Ferreira & de Andrade, Joaquim Pinto

  • 2016 Monetary and fiscal policy switching with time-varying volatilities
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  • 2016 Default penalty as a selection mechanism among multiple equilibria
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  • 2016 Monetary analysis and the global financial cycle: An Asian central bank perspective
    by Filardo, Andrew & Genberg, Hans & Hofmann, Boris

  • 2016 Mechanisms of default risk transmission and economic policy coordination
    by Junior, Karlo Marques & Correia, Fernando Motta

  • 2016 Mecanismos de transmisión del riesgo de impago y coordinación de la política macroeconómica
    by Junior, Karlo Marques & Correia, Fernando Motta

  • 2016 Money, income, and capital: A reform of the system of national payments
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  • 2016 Quantum macroeconomics: A tribute to Bernard Schmitt
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  • 2016 Modern central banking from monetary perspective
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  • 2016 Payment innovations in Poland: the role of payment services in the strategies of commercial banksà
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  • 2016 Payment innovations in Poland: a new approach of the banking sector to introducing payment solutions
    by Michal Polasik & Dariusz Piotrowski

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  • 2016 Does monetary policy matter for trade?
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  • 2016 Austritt Großbritanniens aus der EU: Kann die Europäische Union einen Brexit überstehen?
    by Michael Wohlgemuth & Friederike Welter & Holger Schmieding & Franz Peter Lang & Bert van Roosebeke

  • 2016 UK Referendum and Potential Brexit?
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  • 2016 The European Monetary System: Deficits and Cures
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  • 2016 The distribution of exchange rates under a minimum exchange rate regime
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  • 2016 Toward the Next Renewal of the Inflation-Control Agreement: Questions Facing the Bank of Canada
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  • 2016 L’apport des monnaies sociales à la microfinance : le cas des banques communautaires de développement brésiliennes
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  • 2016 L’internationalisation du renminbi : enjeux et limites des réformes institutionnelles
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  • 2016 Les développements récents de la littérature sur les plates-formes
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  • 2016 A Review Of Theoretical Approaches About Seigniorage
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  • 2016 Merchant Acceptance of Payment Cards: “Must Take” or “Wanna Take”?
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  • 2016 Central Bank Losses and Monetary Policy Implementation (in Korean)
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  • 2016 The Role of Foreign Currency Deposits, and the Impacts of External Shocks on CDS Spreads for EMEs (in Korean)
    by Hosung Jung & Woo Joon Myung

  • 2016 Estimando fricciones nominales y reales para Bolivia
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  • 2016 The Exchange Activity And Quantic Economics
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  • 2016 Exchange Rate Regimes And External Financial Stability
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  • 2016 Veza Izmeðu Rezultata Primene Strategije Dinarizacije I Transmisionog Mehanizma Monetarne Politike U Srbiji (Relationship Between The Results Of Strategy Of Dinarisation And Transmission Mechanism Of Monetary Policy In Serbia)
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  • 2016 The Relationship between Credit Volume and Current Account Deficit: A Dynamic Analysis for Turkey
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  • 2016 Implications of Monetary Policy for Credit and Investment in Sub-Saharan African Countries
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  • 2016 Review of Making Money: Coin, Currency, and the Coming of Capitalism by Christine Desan
    by William Roberds

  • 2015 Property Rights Protection in 18th century Japan Revisited; the Case of Rice Backed Security Exchange Market
    by Yasuo Takatsuki

  • 2015 Does European History Repeat Itself ? : Lessons from the Latin Monetary Union for the European Monetary Union
    by Fendel, Ralf & Maurer, David

  • 2015 Monetary Policy of Bank of Russia: Strategy and Tactics
    by E. Goryunov & S. Drobyshevsky & P. Trunin.

  • 2015 Towards Deeper Financial Integration in Europe: What the Banking Union Can Contribute
    by Claudia M. Buch & Tobias Körner & Benjamin Weigert

  • 2015 Emergence of networks and market institutions in a large virtual economy
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  • 2015 Welche Unternehmen profitieren vom Euro?
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  • 2015 Which currency is best for business in a small country?
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  • 2015 European monetary integration and aggregate relative deprivation: The dull side of the shiny euro
    by Stark, Oded & Wlodarczyk, Julia

  • 2015 Banking Union as a Shock Absorber
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  • 2015 Monetary Policy under the Microscope: Intra-bank Transmission of Asset Purchase Programs of the ECB
    by Cycon, Lisa & Koetter, Michael

  • 2015 Monetary-Fiscal Policy Interaction and Fiscal Inflation: A Tale of Three Countries
    by Kliem, Martin & Kriwoluzky, Alexander & Sarferaz, Samad

  • 2015 The tale of two great crises
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  • 2015 Monetary-fiscal policy interaction and fiscal inflation: A tale of three countries
    by Kliem, Martin & Kriwoluzky, Alexander & Sarferaz, Samad

  • 2015 Is Switzerland an interest rate island after all? Time series and non-linear switching regime evidence
    by Feld, Lars P. & Köhler, Ekkehard A.

  • 2015 Would a Free Banking System Target NGDP Growth?
    by Alexander William Salter & Andrew T. Young

  • 2015 Monetary Policy and Welfare in a Currency Union
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  • 2015 Payment Instruments and Collateral in the Interbank Payment System
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  • 2015 Does the demand regime matter over the medium run? Revisiting distributional issues in a portfolio framework under different exchange rate regimes
    by Razmi, Arslan &

  • 2015 Money and Credit Redux
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  • 2015 Central bank accountability under adaptive learning
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  • 2015 Identifying Interbank Loans, Rates, and Claims Networks from Transactional Data
    by Leon Rincon, C.E. & Cely, Jorge & Cadena, Carlos

  • 2015 Regional Inflation, Financial Integration and Dollarization (This is a revision of CentER DP 2013-073)
    by de Haas, R. & Brown, M. & Sokolov, V.

  • 2015 Preferential Regulatory Treatment and Banks' Demand for Government Bonds
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  • 2015 Comments on Paul Davidson’s “Full Employment, Open Economy Macroeconomics, and Keynes’ General Theory: Does the Swan Diagram Suffice?â€
    by Peter Temin & David Vines

  • 2015 Monetary Policy with Diverse Private Expectations
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  • 2015 Monetary Cooperation Perspective in Central Asian Countries
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  • 2015 Banking Union as a Shock Absorber
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  • 2015 Macroeconomic Imbalance Procedure in the EU: a Welfare Evaluation
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  • 2015 Optimal Fiscal Policy Rule for Achieving Fiscal Sustainability: A Japanese Case Study
    by Yoshino, Naoyuki & Mizoguchi, Tetsuro & Taghizadeh-Hesary, Farhad

  • 2015 El canal de costos de la política monetaria: Evidencia para la economía peruana
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  • 2015 The Life of Australian Banknotes
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  • 2015 The Social Costs of Currency Counterfeiting
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  • 2015 The Value of Payment Instruments: Estimating Willingness to Pay and Consumer Surplus
    by Tai Lam & Crystal Ossolinski

  • 2015 Central Counterparty Loss Allocation and Transmission of Financial Stress
    by Alexandra Heath & Gerard Kelly & Mark Manning

  • 2015 Monetary Policy Shifts and Central Bank Independence
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    by Adigozalov, Shaig & Huseynov, Salman

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    by Gharyeni, Abdellatif

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    by Hertrich, Markus

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    by Duwicquet, Vincent & Mazier, Jacques & Petit, Pascal & Saadaoui, Jamel

  • 2015 Monetary Development and Transmission in the Eurosystem
    by Anton, Roman

  • 2015 Monetary Policy, Fiscal Policy, and Secular Stagnation at the Zero Lower Bound. A View on the Eurozone
    by Kleczka, Mitja

  • 2015 On stock-flow consistent approaches and the like: the ‘rediscovery’ of model building
    by Cavalieri, Duccio

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    by Liu, Kai & Zhou, Xuan

  • 2015 Trade finance and international currency
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  • 2015 Graph representation of balance sheets: from exogenous to endogenous money
    by Pitrou, Cyril

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    by Chong, Terence Tai Leung & Wong, Kin Ming

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    by Chong, Terence Tai Leung & Wong, Kin Ming

  • 2015 Dissecting the brains of central bankers: the case of the ECB's Governing Council members on reforms
    by Bennani, Hamza

  • 2015 A New Money Exchange System: The World Calorie Currency (WCC)
    by Zhou, Xinyi Jimmy

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    by Jakub Janus

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    by Michal Jarmolovic

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    by Kei-Ichiro Inaba & Rory O’Farrell & Łukasz Rawdanowicz & Ane Kathrine Christensen

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    by Camelia Minoui & Charles Abuka & Ronnie K. Alinda & Jose-Luis Peydro & Andrea F. Presbitero

  • 2015 Monetary Policy Transmission in Nepal
    by Birendra Bahadur Budha

  • 2015 Monetary Policy Transmission in Nepal
    by Birendra Bahadur Budha

  • 2015 A national public bank to finance a euro zone government: Getting the funds for investment and recovery packages
    by Oliver Picek

  • 2015 A Cost of Production Model for Bitcoin
    by Adam Hayes

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  • 2015 Common Currency versus Currency Union: The U.S. Continental Dollar and Denominational Structure, 1775-1776
    by Farley Grubb

  • 2015 Time Consistency and the Duration of Government Debt: A Signalling Theory of Quantitative Easing
    by Saroj Bhattarai & Gauti B. Eggertsson & Bulat Gafarov

  • 2015 Different Types of Central Bank Insolvency and the Central Role of Seignorage
    by Ricardo Reis

  • 2015 Maintaining Central-Bank Financial Stability under New-Style Central Banking
    by Robert E. Hall & Ricardo Reis

  • 2015 Colonial New Jersey's Provincial Fiscal Structure, 1709-1775: Spending Obligations, Revenue Sources, and Tax Burdens in War and in Peace
    by Farley Grubb

  • 2015 Monnet's Error?
    by Luigi Guiso & Paola Sapienza & Luigi Zingales

  • 2015 Credit, Financial Stability, and the Macroeconomy
    by Alan M. Taylor

  • 2015 The Limits of Bimetallism
    by Christopher M. Meissner

  • 2015 Determinants of non-cash payments
    by Łukasz Goczek & Bartosz Witkowski

  • 2015 A General Equilibrium Approach of Retail Payments
    by Tamás Ilyés & Lóránt Varga

  • 2015 Money Creation under Full-reserve Banking: A Stock-flow Consistent Model
    by Patrizio Laina

  • 2015 Is Monetary Financing Inflationary? A Case Study of the Canadian Economy, 1935-75
    by Josh Ryan-Collins

  • 2015 The Euro's Savior? Assessing the ECB's Crisis Management Performance and Potential for Crisis Resolution
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  • 2015 Is a Very High Public Debt a Problem?
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  • 2015 Emerging Markets and the International Financial Architecture: A Blueprint for Reform
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  • 2015 The Rise of Money and Class Society: The Contributions of John F. Henry
    by Alla Semenova & L. Randall Wray

  • 2015 Changes in the global oil market
    by Erdenebat Bataa & Marwan Izzeldin & Denise Osborn

  • 2015 Fiscal policy, interest rate spreads,and the zero lower bound
    by Christian Bredemeier & Falko Juessen & Andreas Schabert

  • 2015 Changes in source of profits and business strategies? : some evidence from the Philippines' universal banks in the 2000s
    by Kashiwabara, Chie

  • 2015 Fiscal Policy, Interest Rate Spreads, and the Zero Lower Bound
    by Bredemeier, Christian & Juessen, Falko & Schabert, Andreas

  • 2015 The Digital Agenda of Virtual Currencies. Can BitCoin Become a Global Currency?
    by D'Artis Kancs & Pavel Ciaian & Rajcaniova Miroslava

  • 2015 Federal Reserve Tools for Managing Rates and Reserves
    by Antoine Martin & James McAndrews & Ali Palida & David Skeie

  • 2015 Can Foreign Exchange Intervention Stem Exchange Rate Pressures from Global Capital Flow Shocks?
    by Olivier Blanchard & Gustavo Adler & Irineu de Carvalho Filho

  • 2015 Maintaining Central-Bank Financial Stability under New-Style Central Banking
    by Robert E. Hall & Ricardo Reis

  • 2015 Monetary Policy Transmission in China: A DSGE Model with Parallel Shadow Banking and Interest Rate Control
    by Michael Funke & Petar Mihaylovski & Haibin Zhu

  • 2015 Regional Inflation and Financial Dollarization
    by Brown, Martin & Haas, Ralph De & Sokolov, Vladimir

  • 2015 Renovatio Monetae: Gesell Taxes in Practice
    by Svensson, Roger & Westermark, Andreas

  • 2015 Introduction of an Income Contingent Repayment Scheme for Non-Performing Mortgage Loans - Lessons from Hungary’s Case
    by Edina Berlinger & György Walter

  • 2015 Costly Credit and Sticky Prices
    by Lucy Qian Liu & Liang Wang & Randall Wright

  • 2015 Complementary Currency Systems: Employability and Welfare
    by Maëlle Della Peruta & Dominique Torre

  • 2015 The Dual Role of Mobile Payment in Developing Countries
    by Laetitia Chaix & Dominique Torre

  • 2015 The origin of inflation in a domestic bank-based payment system
    by Pesenti, Amos

  • 2015 Banking panics and protracted recessions
    by Sanches, Daniel R.

  • 2015 Excess reserves and monetary policy normalization
    by Armenter, Roc & Lester, Benjamin

  • 2015 On the welfare properties of fractional reserve banking
    by Sanches, Daniel R.

  • 2015 Private money and banking regulation
    by Monnet, Cyril & Sanches, Daniel R.

  • 2015 On the inherent instability of private money
    by Sanches, Daniel R.

  • 2015 Floor systems and the Friedman rule: the fiscal arithmetic of open market operations
    by Keister, Todd & Martin, Antoine & McAndrews, James J.

  • 2015 Nonlinear pricing with competition: the market for settling payments
    by Copeland, Adam & Garratt, Rod

  • 2015 Segregated balance accounts
    by Garratt, Rod & Martin, Antoine & McAndrews, James J. & Nosal, Ed

  • 2015 Driver of choice? the cost of financial products for unbanked consumers
    by Hayashi, Fumiko & Hanson, Josh & Maniff, Jesse Leigh

  • 2015 Macroeconomic Effects of Banking Sector Losses across Structural Models
    by Guerrieri, Luca & Iacoviello, Matteo & Covas, Francisco & Driscoll, John C. & Kiley, Michael T. & Jahan-Parvar, Mohammad & Queraltó, Albert & Sim, Jae W.

  • 2015 Inflation Expectations and Recovery from the Depression in 1933: Evidence from the Narrative Record
    by Jalil, Andrew & Rua, Gisela

  • 2015 Forecasts from Reduced-form Models under the Zero-Lower-Bound Constraint
    by Pasaogullari, Mehmet

  • 2015 The 2013 Survey of Consumer Payment Choice: summary results
    by Schuh, Scott & Stavins, Joanna

  • 2015 Government and private e-money-like systems: federal reserve notes and national bank notes
    by Weber, Warren E.

  • 2015 The efficiency of private e-money-like systems: the U.S. experience with national bank notes
    by Weber, Warren E.

  • 2015 The efficiency of private e-money-like systems: the U.S. experience with state bank notes
    by Weber, Warren E.

  • 2015 Policy alternatives for the relationship between ECB monetary and financial policies and new member states
    by Michal Jurek & Pawel Marszalek

  • 2015 Macroeconomic Imbalances and the Eurozone Crisis: The Impact of Credit Expansion on Asset Prices
    by Gökçer Özgür & Emel Memiş

  • 2015 Macroeconomic Imbalances and the Eurozone Crisis: The Impact of Credit Expansion on Asset Prices
    by Gökçer Özgür & Emel Memiş

  • 2015 Macroeconomic Imbalances and the Eurozone Crisis: The Impact of Credit Expansion on Asset Prices
    by Gökçer Özgür & Emel Memiş

  • 2015 The stabilising properties of a European Banking Union in case of financial shocks in the Euro Area
    by Fritz Breuss & Werner Roeger & Jan in ’t Veld

  • 2015 Political Economy of EMU. Rebuilding Systemic Trust in the Euro Area in Times of Crisis
    by Felix Roth

  • 2015 Comment on: “when does a central bank’s balance sheet require fiscal support?” by Marco Del Negro and Christopher A. Sims
    by Reis, Ricardo

  • 2015 Power politics and princely debts: why Germany’s common currency failed, 1549-1556
    by Volckart, Oliver

  • 2015 Namira Bez Uporabe Novca (Obračunska Namira, Obračunsko Plaćanje)
    by Ivan Idžojtić

  • 2015 Pranje Novaca U Domaćem I Stranom Zakonodavstvu
    by Davor Iljkić

  • 2015 Does a public campaign influence debit card usage? Evidence from the Netherlands
    by Nicole Jonker & Mirjam Plooij & Johan Verburg

  • 2015 Global liquidity regulation - Why did it take so long?
    by Clemens Bonner & Paul Hilbers

  • 2015 Common Currency versus Currency Union: The U.S. Continental Dollar and Denominational Structure, 1775-1779
    by Farley Grubb

  • 2015 Colonial New Jersey’s Provincial Fiscal Structure, 1709-1775: Spending Obligations, Revenue Sources, and Tax Burdens in War and in Peace
    by Farley Grubb

  • 2015 Is Paper Money Just Paper Money? Experimentation and Variation in the Paper Monies Issued by the American Colonies from 1690 to 1775
    by Farley Grubb

  • 2015 Monetary Policy with Diverse Private Expectations
    by Mordecai Kurz & Maurizio Motolese & Giulia Piccillo & Howei Wu

  • 2015 A Formal Analysis of the Beginnings of Coinage in Antiquity
    by Jacques Melitz

  • 2015 Money demand under free banking: Switzerland 1851-1906
    by Gerlach, Stefan & Kugler, Peter

  • 2015 Deleveraging, deflation and depreciation in the euro area
    by Kuvshinov, Dmitry & Müller, Gernot & Wolf, Martin

  • 2015 A formal analysis of the beginnings of coinage in antiquity
    by Melitz, Jacques

  • 2015 Maintaining Central-Bank Financial Stability under New-Style Central Banking
    by Hall, Robert E & Reis, Ricardo

  • 2015 Different types of central bank insolvency and the central role of seignorage
    by Reis, Ricardo

  • 2015 Central Bank Collateral Frameworks
    by Nyborg, Kjell G

  • 2015 Monnet's Error?
    by Guiso, Luigi & Sapienza, Paola & Zingales, Luigi

  • 2015 Credit, Financial Stability, and the Macroeconomy
    by Taylor, Alan M.

  • 2015 Antecedentes del Banco de la República, 1904 - 1922
    by Adolfo Meisel-Roca

  • 2015 Identifying Interbank Loans, Rates, and Claims Networks from Transactional Data
    by Carlos León & Jorge Cely & Carlos Cadena

  • 2015 Reaction Functions of the Participants in Colombia’s Large-value Payment System
    by Constanza Martínez & Freddy Cepeda

  • 2015 Aproximación a la estructura del mercado cambiario colombiano desde el análisis de redes
    by Jhonatan Pérez & Carlos León & Ricardo Mariño

  • 2015 The Challenges of the EU Banking Union - will it succeed in dealing with the next financial crisis?
    by Ida-Maria Weirsøe Fallesen

  • 2015 A holistic approach to ECB asset purchases, the Investment Plan and CMU
    by Natacha Valla & Jesper Berg & Laurent Clerc & Olivier Garnier & Erik Nielsen

  • 2015 From the Investment Plan to the Capital Markets Union: European Financial Structure and Cross Border Risk-sharing
    by Jesper Berg & Laurent Clerc & Olivier Garnier & Erik Nielsen & Natacha Valla

  • 2015 The Regime-switching volatility of Euro Area Business Cycles
    by Stéphane Lhuissier

  • 2015 Central Bank Collateral Frameworks
    by Kjell G. NYBORG

  • 2015 A Note on Partial Merchant Internalization and MIT Threshold
    by Vilen Lipatov

  • 2015 Is Switzerland an Interest Rate Island after all? Time Series and Non-Linear Switching Regime Evidence
    by Lars P. Feld & Ekkehard A. Köhler

  • 2015 Monetary Policy with Diverse Private Expectations
    by Mordecai Kurz & Maurizio Motolese & Giulia Piccillo & Howei Wu

  • 2015 BNDES e a balança comercial: estudo dos impactos do crédito sobre as exportações brasileiras
    by Anderson Cavalcante & João Pedro Figueira Amorim Parga

  • 2015 Classifying Non-banking Monetary Systems using Web Data
    by Ariane TICHIT & Clément MATHONNAT & Diego Sébastien LANDIVAR

  • 2015 Représentations sociales de la monnaie : contraste entre les citoyens et les porteurs de monnaies locales
    by Ariane TICHIT

  • 2015 On the Credibility of the Euro/Swiss Franc Floor: A Financial Market Perspective
    by Markus Hertrich & Heinz Zimmermann

  • 2015 Has Trend Inflation Shifted?: An Empirical Analysis with a Regime-Switching Model
    by Sohei Kaihatsu & Jouchi Nakajima

  • 2015 EMU 2.0 Drawing Lessons From the Crisis - a New Framework For Stability and Growth
    by Theodoros S. Papaspyrou

  • 2015 Innovation and competition in Internet and mobile banking: an industrial organization perspective
    by Mariotto, Carlotta & Verdier, Marianne

  • 2015 Monetary policy transmission in China: A DSGE model with parallel shadow banking and interest rate control
    by Funke, Michael & Mihaylovski, Petar & Zhu, Haibin

  • 2015 Impact of international monetary policy in Uruguay: a FAVAR approach
    by Elizabeth Bucacos

  • 2015 Monetary Union with A Single Currency and Imperfect Credit Market Integration
    by V. Bignon & R. Breton & M. Rojas Breu

  • 2015 Macroeconomic Dynamics of Belarus in 2014: Currency Stress in the Background of Stagnation
    by Dzmitry Kruk

  • 2015 Dollarization and De-dollarization: Formulation of Agenda
    by Dzmitry Kruk

  • 2015 The impact of the euro on euro area GDP per capita
    by Cristina Fernández & Pilar García Perea

  • 2015 On the Essentiality of E-Money
    by Jonathan Chiu & Tsz-Nga Wong

  • 2015 The Efficiency of Private E-Money-Like Systems: The U.S. Experience with National Bank Notes
    by Warren E. Weber

  • 2015 Government and Private E-Money-Like Systems: Federal Reserve Notes and National Bank Notes
    by Warren E. Weber

  • 2015 Public Policy Objectives and the Next Generation of CPA Systems: An Analytical Framework
    by James Chapman & Jonathan Chiu & Sajjad Jafri & Héctor Pérez Saiz

  • 2015 Determinantes del tipo de interes del credito a empresas en la Eurozona
    by Jose Felix Izquierdo & Santiago Fernandez de Lis & Ana Rubio

  • 2015 The Tale of Two Great Crises
    by Michele Fratianni & Federico Giri

  • 2015 Monetary Policy in a Developing Country: Loan Applications and Real Effects
    by Charles Abuka & Ronnie K. Alinda & Camelia Minoiu & Jose-Luis Peydro & Andrea Filippo Presbitero

  • 2015 In the absence of fiscal union, the Eurozone needs a more flexible monetary policy
    by Pietro Alessandrini & Michele Fratianni

  • 2015 È la fine dell’Europa?
    by Paolo Becchi

  • 2015 Understanding the central bank balance sheet
    by Garreth Rule

  • 2015 Quantitative analysis of financial market infrastructures: further perspectives on financial stability
    by Laine, Tatu (ed.)

  • 2015 The Coordination Problem in the Stockholm School
    by Correa Romar

  • 2015 Money Neutrality: Rethinking the Myth
    by Fakhri Issaoui & Talel Boufateh & Mourad Guesmi

  • 2015 The Potential for Development of Mobile Payments and mPOS Usage on the Polish Market: Empirical Results (Potencjal rozwoju platnosci mobilnych i zastosowania mPOS na rynku polskim. Wyniki badan empirycznych)
    by Michal Polasik

  • 2015 Innovations in Retail Payments as a Challenge for Central Banks (Innowacje w platnosciach detalicznych jako wyzwanie dla bankow centralnych)
    by Adam Tencza & Tomasz Jeruzalski

  • 2015 Innovations in Retail Payments as a Challenge for Central Banks (Innowacje w platnosciach detalicznych jako wyzwanie dla bankow centralnych)
    by Adam Tencza & Tomasz Jeruzalski

  • 2015 Regulating Cryptocurrencies in Poland and in the World as Exemplified by Bitcoin – the Legal Status and Economic (Regulowanie kryptowalut w Polsce i na swiecie na przykladzie Bitcoina – status prawny i interpretacja ekonomiczna )
    by Grzegorz Sobiecki

  • 2015 Determinants of Interest in Mobile Payments among Polish Consumers (Determinanty zainteresowania platnosciami mobilnymi ze strony polskich konsumentow)
    by Michal Polasik & Natalia Kumkowska

  • 2015 Card Payments in Poland: Determinants and Prospects
    by Łukasz Goczek & Bartosz Witkowski

  • 2015 Determinants of the number of card transactions
    by Łukasz Goczek & Bartosz Witkowski

  • 2015 Negative Interest Rate Policy as Conventional Monetary Policy
    by Miles S. Kimball

  • 2015 The Unintended Consequence of English Votes for English Laws
    by Angus Armstrong & Monique Ebell

  • 2015 Monnaie et illégalismes. Genèse des protestations monétaires en Iran (1979-2013)
    by Motamed-Nejad, Ramine

  • 2015 Les nouvelles monnaies numériques : au-delà de la dématérialisation de la monnaie et de la contestation des banques
    by Laurent, Alain & Monvoisin, Virginie

  • 2015 The Demise of the Dollar?
    by Cohen, Benjamin J.

  • 2015 L’alternative monétaire Bitcoin : une perspective institutionnaliste
    by Lakomski-Laguerre, Odile & Desmedt, Ludovic

  • 2015 Le WIR en Suisse : la révolte du puissant ?
    by Vallet, Guillaume

  • 2015 A Time Series Analysis of Macroeconomic Determinants of Corporate Births in Romania in the period 2008-2013
    by Marusa Beca & Ileana Nisulescu-Ashrafzadeh

  • 2015 TARGET2 balances and the adjustment of capital flows in the Euro area
    by Timmer , Yannick

  • 2015 In the absence of fiscal union, the Eurozone needs a more flexible monetary policy
    by Pietro Alessandrini, Michele Fratianni

  • 2015 Benefici, problemi e prospettive dell’integrazione monetaria in Europa (Benefits, issues and future of monetary integration in Europe)
    by Carlo Panico, Francesco Purificato, Elvira Sapienza

  • 2015 Francouzsko-Německé monetární vztahy - pnutí v základech eurozóny
    by Vladan Hodulák & Oldřich Krpec

  • 2015 Eurozone Crisis
    by Marek Loužek

  • 2015 Quarter of a Century of the Czech Republic’s Membership in the International Monetary Fund
    by Jana Marková

  • 2015 Long Term Trends in the CZK Development
    by Ota Melcher

  • 2015 Nature of TARGET2 Imbalances
    by Péter Szécsényi

  • 2015 The Political Economy Of Staying Outside The Eurozone: Poland And Sweden Compared
    by Slawomir Czech

  • 2015 Exiting the Unconventional Monetary Policies
    by Badescu Bogdan

  • 2015 The Impact Of The U.S. Debit-Card Interchange Fee Regulation On Consumer Welfare
    by David S. Evans & Howard Chang & Steven Joyce

  • 2015 On the Resource Curse and its Effect on Tactics and Strategy of Economic Development
    by Nekipelov, A.

  • 2015 Assessment of CIS Countries Readiness for Creation of Currency Union
    by Knobel, A. & Mironov, A.

  • 2015 The Analysis of Money Supply Endogeneity in Russia
    by Trunin, P. & Vashchelyuk, N.

  • 2015 Shielding money creation from severe banking crises: How useful are proposals offered by the alternative reform plans?
    by Andrzej Slawinski

  • 2015 A bolgár bankrendszer története a rendszerváltás óta elmúlt 20 évének története
    by Horváth Dániel & Pintér Cecília & Tóth Tamás

  • 2015 Level of interest rates in the light of the changing interest rate policy in Hungary between 1924 and 2015 – How did the central bank base rate get to its historic low levels?
    by Annamária Madarász & Zsuzsanna Novák

  • 2015 Timing characteristics of overnight unsecured interbank transactions in VIBER
    by László Bodnár & Miklós Luspay & Cecília Pintér

  • 2015 Difficulties in them management of the global financial crisis: academic and economic policy lessons
    by Orsolya Csortos & Zoltan Szalai

  • 2015 Savings cooperatives + integration = More efficient payment services?
    by László Bodnár & László Delikát & Bence Illés & Ádám Szepesi

  • 2015 Show me how you pay and I will tell you who you are – Socio-demographic determinants of payment habits
    by Tamás Ilyés & Lóránt Varga

  • 2015 An Empirical Study of the Fisher Effect and the Dynamic Relationship between Inflation and Interest Rate in Sri Lanka
    by Navoda Edirisinghe & Selliah Sivarajasingham & John Nigel

  • 2015 Analysis of Poverty Trends in Ghana
    by Victor OSEI

  • 2015 Alvaro Cencini & Sergio Rossi, Economic and Financial Crises: A New Macroeconomic Analysis
    by Jonathan MASSONNET

  • 2015 Odüsszeuszi utazás - az előretekintő iránymutatás tapasztalatai
    by Bihari, Péter

  • 2015 An Assessment of the Efficiency of Government Regulatory Agencies in Nigeria. Case of the National Agency for Food and Drugs Administration and Control
    by Aiwanehi Barbara Ofuani & Owolabi Lateef Kuye & Ogundeji Jolaosinmi Kayode Ogundele

  • 2015 Variables which Affect Default Rate of Chilean Loans
    by Francisco Ormazabal C.

  • 2015 Sovereign Risk, European Crisis-Resolution Policies, and Bond Spreads
    by Juha Kilponen & Helinä Laakkonen & Jouko Vilmunen

  • 2015 An X-ray of Bitcoin Cryptocurrency
    by George Cornel Dumitrescu

  • 2015 Perspectivas de los sistemas de pago
    by Daniel Heymann & Sebastián Katz

  • 2015 No Kenyan Left Behind: The Model Of Financial Inclusion Through Mobile Banking
    by Tony Mutsune

  • 2015 An empirical analysis of the GCF Repo® Service
    by Copeland, Adam & Davis, Isaac & Martin, Antoine

  • 2015 The financial plumbing of the GCF Repo® Service
    by Agueci, Paul & Alkan, Leyla & Copeland, Adam & Pingitore, Kate & Prugar, Caroline & Rivas, Tyisha

  • 2015 Introduction [to A Primer on the GCF Repo® Service]
    by Copeland, Adam

  • 2015 Change is Coming: What the EMV Migration May Mean for Payments Innovation
    by Bradford, Terri & Maniff, Jesse Leigh

  • 2015 The Puzzle of Payments Security: Fitting the Pieces Together to Protect the Retail Payments System
    by Bradford, Terri

  • 2015 Hot Money Flows, Cycles in Primary Commodity Prices, and Financial Control in Developing Countries
    by Ronald McKinnon

  • 2015 Debt deflation worries: a restatement
    by Lino Sau

  • 2015 Structural reforms in payment systems to avoid another systemic crisis
    by Sergio Rossi

  • 2015 NAMIRA BEZ UPORABE NOVCA (OBRAcUNSKA NAMIRA, OBRAcUNSKO PLAcANJE)
    by Idžojtic Ivan

  • 2015 Pranje Novca U Domaæem I Stranom Zakonodavstvu
    by Iljkic Davor

  • 2015 Has the Fed improved U.S. economic performance?
    by Hogan, Thomas L.

  • 2015 To intervene, or not to intervene: Monetary policy and the costs of currency crises
    by Erler, Alexander & Bauer, Christian & Herz, Bernhard

  • 2015 Empirical evidence on the currency carry trade, 1900–2012
    by Doskov, Nikolay & Swinkels, Laurens

  • 2015 Betting the house
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2015 The economics of Bitcoin and similar private digital currencies
    by Dwyer, Gerald P.

  • 2015 Liquidity provision during the crisis of 1914: Private and public sources
    by Jacobson, Margaret M. & Tallman, Ellis W.

  • 2015 Cost efficiency of the banking industry and unilateral euroisation: A stochastic frontier approach in Serbia and Montenegro
    by Sokic, Alexandre

  • 2015 Deforestation and seigniorage in developing countries: A tradeoff?
    by Combes, J.-L. & Combes Motel, P. & Minea, A. & Villieu, P.

  • 2015 On the stability of Calvo-style price-setting behavior
    by Lhuissier, Stéphane & Zabelina, Margarita

  • 2015 The zero lower bound, the dual mandate, and unconventional dynamics
    by Gavin, William T. & Keen, Benjamin D. & Richter, Alexander W. & Throckmorton, Nathaniel A.

  • 2015 Going through the labyrinth: the political economy of Argentina’s abandonment of the gold standard (1929-1933)
    by Gerchunoff, Pablo & Machinea, José Luis

  • 2015 Circulando en el laberinto: la economía política de la salida del patrón oro en la Argentina (1929-1933)
    by Gerchunoff, Pablo & Machinea, José Luis

  • 2015 Fiscal Deficits and Economic Growth in Nigeria: A Chow Test Approach
    by Greg Ekpung Edame & Okoiarikpo Benjamin Okoi

  • 2015 Analysis of Convergence Criteria in a Proposed Monetary Union: A Study of the Economic Community of West African States
    by Jimoh Olakunle SAKA & Ibiyemi Ajoke ONAFOWOKAN & Adekunle Ademayowa ADEBAYO

  • 2015 The Behavior of Conventional and Islamic Bank Deposit Returns in Malaysia and Turkey
    by Serhan Cevik & Joshua Charap

  • 2015 Infrastructural Support Of Electronic Payment Systems Markets In Russia
    by SMETANINA, Anastasia Igorevna & MOROZOVA, Irina Anatolievna

  • 2015 Über die Krise zur Einheit? 25 Jahre monetärer Integrationsprozess in Europa
    by Ferdinand Fichtner & Philipp König

  • 2015 Zwischen der DDR im Jahr 1990 und Griechenland heute gibt es viele interessante Parallelen: Vier Fragen an Marcel Fratzscher
    by Corporate author

  • 2015 Lehren aus der deutschen Währungsunion für Europa
    by Marcel Fratzscher

  • 2015 A Stronger Union through Crisis? 25 Years of Monetary Integration in Europe
    by Ferdinand Fichtner & Philipp König

  • 2015 There Are Many Analogies between the GDR in 1990 and Greece Today: Four Questions to Marcel Fratzscher
    by Corporate author

  • 2015 Lessons for Europe from German Monetary Union
    by Marcel Fratzscher

  • 2015 State and Potential Development of Payment Card Acceptance Network in Poland
    by Michal Polasik

  • 2015 Evolución del señoreaje en un periodo de profundas transformaciones económicas
    by Manuel Bernal Garzón

  • 2015 Restructuration des dettes souveraines : comment sortir de l’ornière ?
    by Christophe Destais

  • 2015 Capital inflows, exchange rate regimes and credit dynamics in emerging market economies
    by Robin Boudias

  • 2015 Dissecting the brains of central bankers: The case of the ECB’s Governing Council members on reforms
    by Hamza Bennani

  • 2015 Aufhebung der angeblich »unumkehrbaren« (»irreversiblen«) Europäischen Währungsunion und Substituierung durch ein neues europäisches Währungssystem
    by Martin Seidel

  • 2015 Money in Motion: Modernizing Canada’s Payment System
    by John Chant

  • 2015 Inflation Targeting in Serbia
    by Jelena Fabris

  • 2015 Revival of Legacy of Tooke and Gibson: Implications for Monetary Policy
    by Atiq-ur-Rehman

  • 2015 Quelle régulation pour les nouveaux entrants dans l’industrie des paiements ?
    by Olivier Guersent

  • 2015 Bitcoin pour remplacer les devises ?
    by François R. Velde

  • 2015 Les moyens de paiement, quelle innovation ?
    by Jean-Yves Forel

  • 2015 Innovation, concurrence et réglementation pour la fourniture de services bancaires en ligne
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  • 2015 Le double rôle du paiement mobile dans les pays en développement
    by Laetitia Chaix & Dominique Torre

  • 2015 The Influence Of Government Spending, Financial, Monetary And Fiscal Policies On The Gdp. Comparative Analysis Romania – Lithuania
    by Sebastian George, ENE & Danut, CHILAREZ

  • 2015 Inflation Targeting Challenges In Emerging Market Countries: The Case Of Serbia
    by Dejan Šoškić

  • 2015 Emerging Market Economies and the Reform of the International Financial Architecture: The “Exorbitant Privilege” of the Dollar Is Only the Symptom of a Structural Problem
    by Jan Kregel

  • 2015 Credit, Financial Stability, and the Macroeconomy
    by Alan M. Taylor

  • 2015 Bubble, weak and strong hyperinflation: Theory and empirical evidence
    by Fernando de Holanda Barbosa & Tito Nícias Teixeira da Silva Filho

  • 2015 Income Contingent Repayment Scheme for Non-Performing Mortgage Loans in Hungary
    by Edina Berlinger & György Walter

  • 2015 Adverse clearings in a monetary system with multiple note issuers: the case of Italy (1861-1893)
    by Giuseppina Gianfreda & Fabrizio Mattesini

  • 2015 Bitcoin: Economics, Technology, and Governance
    by Rainer Böhme & Nicolas Christin & Benjamin Edelman & Tyler Moore

  • 2014 Boom-Bust Cycles are Not in the Nature of Things (Review of \"Meltdown. A Free-Market Look at Why the Stock Market Collapsed, the Economy Tanked, and Government Bailouts Will Make Things Worse\", by Thomas E. Woods Jr.)
    by Stamate-Ştefan Andreas

  • 2014 Inflation and Bank Percent in Contemporary Russian Economy
    by A. Kolomiets.

  • 2014 Monetary Instability, Lack of Integration and the Curse of a Commodity Money Standard. The German Lands, c.1400–1900 A. D
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  • 2014 Rating Sovereign Debt in a Monetary Union – Original Sin by Transnational Governance
    by Finn Marten Körner & Hans-Michael Trautwein

  • 2014 Das Scheitern historischer Währungsräume: Kann sich die Geschichte auch für die Eurozone wiederholen?
    by Berthold, Norbert & Braun, Stella & Coban, Mustafa

  • 2014 Does the foreign interest rate matter for monetary policy? Evidence from nonlinear Taylor rules
    by Belke, Ansgar & Beckmann, Joscha & Dreger, Christian

  • 2014 Smells Like Fiscal Policy? Assessing the Potential Effectiveness of the ECB s OMT Program
    by Wollmershäuser, Timo & Hristov, Nikolay & Hülsewig, Oliver & Siemsen, Thomas

  • 2014 Towards deeper financial integration in Europe: What the Banking Union can contribute
    by Buch, Claudia M. & Körner, Tobias & Weigert, Benjamin

  • 2014 Fairness and the disinflation puzzle
    by Lunardelli, Andre

  • 2014 Determinants of Internal and External Imbalances within the Euro Area
    by Georg Dettmann

  • 2014 Was the Gibson Paradox for Real? A Wicksellian study of the Relationship between Interest Rates and Prices
    by Jagjit S. Chadha & Morris Perlman

  • 2014 Da “sabedoria prática” dos Mercantilistas à Economia Monetária de Keynes: A Administração da Economia Doméstica frente à atual configuração do Sistema Monetário Internacional e após a Crise Financeira Internacional de 2008
    by Everton Sotto Tibiriçá Rosa & Thiago Custódio Alves de Oliveira

  • 2014 Effects of Institutional Environment and Technology Development on Payment Choice
    by Francisco J. Callado-Muñoz & Jana Hromcová & Natalia Utrero-González

  • 2014 An essay on horizontalism, structuralism and historical time
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  • 2014 The Price of Euro: Evidence from Sovereign Debt Markets
    by Erik Makela

  • 2014 Sustainable Governance Indicators
    by Andrew Sharpe & Anke Kessler & Martin Thunert

  • 2014 Price Level Stabilization: Hayek and New Keynesians
    by Pavel Potuzak

  • 2014 An Analysis of Bitcoin
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  • 2014 Wage Indexation And The Monetary Policy Regime
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  • 2014 Assessment of CIS Countries Readiness for Creation of Currency Union
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  • 2014 Expectations and Systemic Risk in EMU Government Bond Spreads
    by Canofari, Paolo & Marini, Giancarlo & Piersanti, Giovanni

  • 2014 Rethinking Monetary and Financial Policies in China
    by Lee, Il Houng & Syed, Murtaza H. & Yang, Da Young

  • 2014 Dynamic Analysis of Exchange Rate Regimes: Policy Implications for Emerging Countries in Asia
    by Yoshino, Naoyuki & Kaji, Sahoko & Asonuma, Tamon

  • 2014 Dynamic Transition of the Exchange Rate Regime in the People’s Republic of China
    by Yoshino, Naoyuki & Kaji, Sahoko & Tamon, Asonuma

  • 2014 The Changing Way We Pay: Trends in Consumer Payments
    by Crystal Ossolinski & Tai Lam & David Emery

  • 2014 Fiscal Considerations of Central Bank Recapitalization
    by Bagus, Philipp & Howden, David

  • 2014 A Tale of Two Regimes: Classifying and Revisiting the Monetary Policy Regimes
    by Wong, Kin Ming & Chong, Terence Tai Leung

  • 2014 Empirical Evidence on the Long-Run Money Demand Function in the GCC Countries
    by Hamdi, Helmi & Sbia, Rashid & said, ali

  • 2014 Rupee Depreciation: Its Causes and Cure
    by Raj, Madhusudan

  • 2014 The forms of world money
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  • 2014 Characteristics of Bitcoin Users: An Analysis of Google Search Data
    by Wilson, Matthew & Yelowitz, Aaron

  • 2014 Der Transaktionskassenbestand von Euro-Münzen in Deutschland
    by Altmann, Markus & Bartzsch, Nikolaus

  • 2014 The volume of euro coins held for transaction purposes in Germany
    by Altmann, Markus & Bartzsch, Nikolaus

  • 2014 Central Banks: Powerful, Political and Unaccountable?
    by Buiter, Willem

  • 2014 Invoice Currency in Brazil
    by Reiss, Daniel Gersten

  • 2014 Tax Power and Economics
    by Estrada, Fernando & González, Jorge Iván

  • 2014 Review over Empirical Evidence on Real Effects of Monetary Policy
    by Sun, Rongrong

  • 2014 Models of Competitiveness (I)
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  • 2014 Knowledge-Based Economy in the Competitiveness Equation. The Case of the Republic of Serbia
    by Tosic, Natasa & Iordan-Constantinescu, Nicolae

  • 2014 Euro and the three Cs - competition, competitiveness, convergence
    by Iordan-Constantinescu, Nicolae

  • 2014 The Solution is Full Reserve / 100% Reserve Banking
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  • 2014 An Investigation into the Impact of Federal Government Budget Deficits on the Ex Ante Real Interest Rate Yield on Treasury Notes in the U.S
    by Cebula, Richard

  • 2014 Modelo de ciclo de negocios real con dinero endógeno y pasivo
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  • 2014 Excess reserves, interbank markets and domestic money market intervention
    by Willmott, Bryony

  • 2014 The Economics of Private Digital Currency
    by Dwyer, Gerald P

  • 2014 An Empirical Investigation into the Impact of U.S. Federal Government Budget Deficits on the Real Interest Rate Yield on Intermediate-term Treasury Debt Issues, 1972-2012
    by Cebula, Richard

  • 2014 Grooming Classifications: Exchange Rate Regimes and Growth in Transition Economies
    by Petreski, Marjan

  • 2014 Modeling the Transition Towards Renminbi's Full Convertibility: Implications for China’s Growth
    by Bonatti, Luigi & Fracasso, Andrea

  • 2014 Exchange Rate Pass-Through Effect on Prices and Inflation Targeting: A Comparison of Emerging Market Economies
    by Alpaslan, Baris & Demirel, Baki

  • 2014 A Steindlian account of the distribution of corporate profits and leverage: A stock-flow consistent macroeconomic model with agent-based microfoundations
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  • 2014 East Asian Financial Cycles: Asian vs. Global Financial Crises
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  • 2014 Normalization of Banking
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  • 2014 Principles of Monetary System Transformation
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  • 2014 What Factors Give Cryptocurrencies Their Value: An Empirical Analysis
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  • 2014 Betting the House
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  • 2014 Monetary Policy and Debt Fragility
    by Antoine Camous & Russell Cooper

  • 2014 The Price of Stability: The balance sheet policy of the Banque de France and the Gold Standard (1880-1914)
    by Guillaume Bazot & Michael D. Bordo & Eric Monnet

  • 2014 Non-Legal-Tender Paper Money: The Structure and Performance of Maryland's Bills of Credit, 1767-1775
    by Jim Celia & Farley Grubb

  • 2014 The Federal Reserve's Abandonment of its 1923 Principles
    by Julio J. Rotemberg

  • 2014 The Flight from Maturity
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  • 2014 A New Approach to Solving the Colonial Monetary Puzzle: Evidence from New Jersey, 1709-1775
    by Farley Grubb

  • 2014 International Liquidity and Exchange Rate Dynamics
    by Xavier Gabaix & Matteo Maggiori

  • 2014 Credit rating agency downgrades and the Eurozone sovereign debt crises
    by Christopher F Baum & Margarita Karpava & Dorothea Schäfer & Andreas Stephen

  • 2014 Monetary and macroprudential policies in an estimated model with financial intermediation
    by Paolo Gelain & Pelin Ilbas

  • 2014 Contagion across Eurozone's sovereign spreads and the Core-Periphery divide
    by Elisabetta Croci Angelini & Francesco Farina & Enzo Valentini

  • 2014 Openness and Optimal Monetary Policy
    by Giovanni Lombardo & Federico Ravenna

  • 2014 Monetary Mechanics: A Financial View
    by Eric Tymoigne

  • 2014 Modern Money Theory and Interrelations between the Treasury and the Central Bank: The Case of the United States
    by Eric Tymoigne

  • 2014 Moderando Inflaciones Moderadas
    by Fernando Morra

  • 2014 Monetary Policy, Incomplete Asset Markets, and Welfare in a Small Open Economy
    by Shigeto Kitano & Kenya Takaku

  • 2014 The asset/liability structure of the Philippine banks and non-bank financial institutions in 2000s : a preliminary study for financial access analyses
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  • 2014 Monetary Policy and Tobin Taxes: A Welfare Analysis
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  • 2014 The Monetary Transmission Mechanism in the Euro Area: has it changed with the EMU? A VAR approach, with fiscal policy and financial stress considerations
    by António Afonso & António Jorge Silva

  • 2014 EMU: The Sustainability Issue
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  • 2014 International Financial Flows and the Irish Crisis
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  • 2014 The Federal Reserve Engages the World (1970-2000): An Insider's Narrative of the Transition to Managed Floating and Financial Turbulence
    by Edwin M. Truman

  • 2014 Inflation Targeting in Colombia, 2002-2012
    by Miguel Urrutia & Franz Hamann & Marc Hofstetter

  • 2014 On the Credibility of Inflation Targeting Regimes in Latin America
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  • 2014 Inflation Targeting in Colombia, 2002-2012
    by Miguel Urrutia & Marc Hofstetter & Franz Hamann

  • 2014 Betting the House
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  • 2014 Can We Stabilize the Price of a Cryptocurrency?: Understanding the Design of Bitcoin and Its Potential to Compete with Central Bank Money
    by Iwamura, Mitsuru & Kitamura, Yukinobu & Matsumoto, Tsutomu & Saito, Kenji

  • 2014 Is Bitcoin the Only Cryptocurrency in the Town? Economics of Cryptocurrency and Friedrich A.Hayek
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  • 2014 Do Consumers Pay More Using Debit Cards than Cash? An Experiment
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  • 2014 Re-Coinage in Medieval Sweden
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  • 2014 Virtual Social Currencies for Unemployed People: Social Networks and Job Market Access
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  • 2014 The economics of Bitcoin transaction fees
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  • 2014 Оценка Готовности Стран СНГ к Созданию Валютного Союза c Россией (Readiness Assessment of the CIS Member States to Create a Monetary Union with Russia)
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  • 2014 Banking panics and protracted recessions
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  • 2014 A primer on the GCF Repo® Service
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  • 2014 An Empirical Study of Trade Dynamics in the Fed Funds Market
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  • 2014 Recurrent overdrafts: a deliberate decision by some prepaid cardholders?
    by Hayashi, Fumiko & Cuddy, Emily

  • 2014 Liquidity Traps and Monetary Policy: Managing a Credit Crunch
    by Buera, Francisco J. & Nicolini, Juan Pablo

  • 2014 Betting the House
    by Jorda, Oscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 The Federal Reserve engages the world (1970-2000): an insider's narrative of the transition to managed floating and financial turbulence
    by Truman, Edwin M.

  • 2014 This is what's in your wallet... and here's how you use it
    by Briglevics, Tamas & Schuh, Scott

  • 2014 The 2011 and 2012 Surveys of Consumer Payment Choice
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  • 2014 Costs and benefits of building faster payment systems: the U.K. experience and implications for the United States
    by Greene, Claire & Rysman, Marc & Schuh, Scott & Shy, Oz

  • 2014 Bitcoin as money?
    by Lo, Stephanie & Wang, J. Christina

  • 2014 UNITED STATES MONETARY POLICY IN THE POST-BRETTON WOODS ERA Did it cause the Crash of 2008?
    by Yanis Varoufakis

  • 2014 Factors generating and transmitting the US financial crisis
    by Trevor Evans

  • 2014 Current Accounts in the Eurozone Countries: The Role of Euro, Fiscal Policies and Financial Developments
    by Jaromír Baxa & Tomáš Olesnanik

  • 2014 Deflation and Economic Growth in Long-Term Perspective
    by Pavel Ryska

  • 2014 Emergence and development of a financial cluster: the evolution of Andorra’s banking deposits in the long-term, 1931-2007
    by Marc Galabert Macià

  • 2014 Application of Minsky's Theory to State-Dominated Economies
    by Yulia Vymyatnina & Mikhail Pakhnin

  • 2014 Was the Gibson Paradox for real? a wicksellian study of the relationship between interest rates and prices
    by Chadha, Jagjit S. & Perlman, Morris

  • 2014 Transitory interest-rate pegs under imperfect credibility
    by Haberis, Alex & Harrison, Richard & Waldron, Matt

  • 2014 The Economics of BitCoin Price Formation
    by Pavel Ciaian & Miroslava Rajcaniova & d'Artis Kancs

  • 2014 Dynamic Analysis of Exchange Rate Regimes : Policy Implications for Emerging Countries in Asia
    by Naoyuki Yoshino & Sahoko Kaji & Tamon Asonuma

  • 2014 Dynamic Transition of the Exchange Rate Regime in the People’s Republic of China
    by Naoyuki Yoshino & Sahoko Kaji & Tamon Asonuma

  • 2014 Dynamic Analysis of Exchange Rate Regimes : Policy Implications for Emerging Countries in Asia
    by Naoyuki Yoshino & Sahoko Kaji & Tamon Asonuma

  • 2014 Revisiting the nexus between currency misalignments and growth in the CFA Zone
    by Carl Grekou

  • 2014 Preferential regulatory treatment and banks' demand for government bonds
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  • 2014 Non-Legal-Tender Paper Money: The Structure and Performance of Maryland’s Bills of Credit, 1767-1775
    by Jim Celia & Farley Grubb

  • 2014 A New Approach to Explaining the Value of Colonial Paper Money: Evidence from New Jersey, 1709-1775
    by FARLEY GRUBB

  • 2014 Simecs, Ithaca Hours, Berkshares, Bitcoins and Walmarts
    by Martin Shubik

  • 2014 International Liquidity and Exchange Rate Dynamics
    by Gabaix, Xavier & Maggiori, Matteo

  • 2014 Betting the House
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 Central Banks: Powerful, Political and Unaccountable?
    by Buiter, Willem H.

  • 2014 Loss Aversion and the Asymmetric Transmission of Monetary Policy
    by Gaffeo, Edoardo & Petrella, Ivan & Pfajfar, Damjan & Santoro, Emiliano

  • 2014 Bitcoin: something seems to be ‘fundamentally’ wrong
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  • 2014 Inflation Targeting in Colombia, 2002-2012
    by Franz Hamann & Marc Hofstetter & Miguel Urrutia

  • 2014 Inflation Targeting in Colombia, 2002-2012
    by Franz Hamann & Marc Hofstetter & Miguel Urrutia

  • 2014 A Monetary Union requires a Banking Union
    by Hans Geeroms & Pawel Karbownik

  • 2014 Crisis inmobiliaria, recesión y endeudamiento masivo, 2002-2011
    by Miguel Ángel Rivera Ríos

  • 2014 Capital Inflows, Exchange Rate Regimes and Credit Dynamics in Emerging Market Economies
    by Robin Boudias

  • 2014 Conflicting incentives for the public to support the EMU
    by Brigitte Granville & Dominik Nagly

  • 2014 Migration as a Strategy for Household Finance: A Research Agenda on Remittances, Payments, and Development- Working Paper 354
    by Michael Clemens and Timothy N. Ogden

  • 2014 Transitory interest-rate pegs under imperfect credibility
    by Alex Haberis & Richard Harrison & Matt Waldron

  • 2014 Betting the House
    by Òscar Jordà & Moritz Schularick & Alan M. Taylor

  • 2014 Wage Indexation and the Monetary Policy Regime
    by Selien De Schryder & Gert Peersman & Joris Wauters

  • 2014 Macroeconomic Policy Making, Exchange Rate Adjustment and Current Account Imbalances in Emerging Markets
    by Pablo Duarte & Gunther Schnabl

  • 2014 Monetary Policies of Large Industrialised Countries, Emerging Market Credit Cycles and Feedback Effects
    by Andreas Hoffmann & Gunther Schnabl

  • 2014 Smells Like Fiscal Policy? Assessing the Potential Effectiveness of the ECB's OMT Program
    by Nikolay Hristov & Oliver Hülsewig & Thomas Siemsen & Timo Wollmershäuser

  • 2014 A Speedier and More Efficient Payments System for Canada
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  • 2014 Dollar Hegemony and China's Economy
    by Kai Liu

  • 2014 The Role of Foreign Currency Deposits, and the Impacts of External Shocks on CDS Spreads for EMEs (in Korean)
    by Hosung Chung & Joon Myung Woo

  • 2014 Network Indicators for Monitoring Intraday Liquidity in BOK-Wire+
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  • 2014 Variations in liquidity provision in real-time payment systems
    by Denbee, Edward & Garratt, Rodney & Zimmerman, Peter

  • 2014 From Hierarchy to Market: the Changing Industrial Organization of Epistemic Communities During Hong Kongs Transition to a Cashless Society (1965-2005)
    by Bernardo Batiz & Andrew Smith

  • 2014 Implementing monetary policy in a fragmented monetary union
    by M. Vari

  • 2014 Coin Assaying and Commodity Money
    by V. Bignon & R. Dutu

  • 2014 Just round the corner? Pros, cons, and implementation issues of a fiscal union for the euro area
    by Fabrizio Balassone & Sandro Momigliano & Marzia Romanelli & Pietro Tommasino

  • 2014 How to measure the unsecured money market? The Eurosystem�s implementation and validation using TARGET2 data
    by Luca Arciero & Ronald Heijmans & Richard Heuver & Marco Massarenti & Cristina Picillo & Francesco Vacirca

  • 2014 Improving Overnight Loan Identification in Payments Systems
    by Mark Rempel

  • 2014 E-Money: Efficiency, Stability and Optimal Policy
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  • 2014 The Efficiency of Private E-Money-Like Systems: The U.S. Experience with State Bank Notes
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  • 2014 The Neutral Rate of Interest in Canada
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  • 2014 Electronic Money and Payments: Recent Developments and Issues
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  • 2014 La reforma del sector bancario espanol hasta la recuperacion de los flujos de credito
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  • 2014 Un external compact per rilanciare l'Europa
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  • 2014 Exchange-rate regimes and inflation: An empirical evaluation
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  • 2014 Exchange-rate regimes and economic growth: An empirical evaluation
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  • 2014 The Zero Lower Bound: Frequency, Duration, and Numerical Convergence
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  • 2014 Inflation Targeting in Advanced vs. Emerging Economies before and after the Crisis
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  • 2014 The European Central Bank and the US Federal Reserve as Lender of Last Resort
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  • 2014 Monetary Policy Regime Shifts and Inflation Persistence
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  • 2014 Including the monetary part in macro accounting: A modern approach to the macroeconomic accounting
    by Onur TUTULMAZ

  • 2014 La trampa de liquidez en una economía de precios flexibles
    by Lizarazu, Eddy & Ugarte, Eva & León , Josefina

  • 2014 Convergence in the Core Euro Zone under the Global Financial Crisis
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  • 2014 Do Exchange Rate Regimes Matter for Economic Growth? - I regimi dei tassi di cambio influenzano la crescita economica?
    by Ghosh, Amit

  • 2014 An Investigation on the Relationship Between Credit Volume and Current Account Deficit in Turkey
    by Atış, Aydanur Gacener & Saygılı, Fatih

  • 2014 Caracterización y comparación del mercado OTC de valores en Colombia
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  • 2014 Alternative Views On Money In The First Half Of The Xx Century And Today
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  • 2014 Legal and Economic Perspectives on Cash Payments made by Professionals
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  • 2014 The Economic Policy Coordination in Economic and Monetary Union
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  • 2014 Bitcoin – The Promise and Limits of Private Innovation in Monetary and Payment Systems
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  • 2014 Key Trends in the Development of the Bulgarian Banking System between the Two World Wars
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  • 2014 The Dilemma Of Demand Side Policies Versus Supply Side Policies For Relaunching Capitalist Economies
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  • 2014 Dollarization as a signaling device
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  • 2014 Inflation targeting in the light of lessons from the financial crisis
    by István Ábel & Orsolya Csortos & Kristóf Lehmann & Annamária Madarász & Zoltán Szalai

  • 2014 The effect on payments of the conversion of MNB bills into deposits
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  • 2014 The effects of the introduction of intraday clearing on turnover in Hungarian payment systems
    by Miklós Luspay & Annamária Madarász

  • 2014 Changes in the fees on payment services and the structure of payments following the introduction of the financial transaction tax
    by Tamás Ilyés & Kristóf Takács & Lóránt Varga

  • 2014 From Fear of Floating to Benign Neglect: The Exchange Rate Regime Roller Coaster in Pakistan
    by Syed Kumail Abbas Rizvi & Bushra Naqvi & Nawazish Mirza

  • 2014 Monetáris politika, infláció és gazdasági növekedés Kelet-Közép- és Délkelet-Európában
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  • 2014 The Healthy Currency – An Alternative To Stable Currency
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  • 2014 External Vulnerabilities And Economic Integration: Is The Union Of South American Nations A Promising Project?
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  • 2014 macroeconomic determinants of workers’ remittances and compensation of employees in sub-saharan Africa
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  • 2014 Inflation Targeting and an Optimal Taylor Rule for an Open Economy: Evidence for Colombia 1990-2011
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  • 2014 Variables which Affect Default Rate of Chilean Loans
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  • 2014 The Role of Counterparty Risk in CHAPS Following the Collapse of Lehman Brothers
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  • 2014 Monetary and Labor Interactions in a Monetary Union
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  • 2014 Establishing and Maintaining a Firm Nominal Anchor
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  • 2014 A 'modern' approach to the macroeconomic accounting: Potential advantages of including the monetary part in macro accounting
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  • 2014 Demystifying Bitcoin: Sleight of Hand or Major Global Currency Alternative?
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  • 2014 Interest Rate Chanel of Monetary Transmission Mechanism: Evidence from Nigeria
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  • 2014 Liquidity: meaning, measurement, management
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  • 2014 Mobile Payments Innovation
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  • 2014 President's Message
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  • 2014 Speed, Security, Efficiency: Improving the U.S. Payment System
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  • 2014 Fiscal Councils and Economic Volatility
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  • 2014 La política monetaria en la macroeconomía neokeynesiana
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  • 2014 Desdolarización financiera en Bolivia
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  • 2014 Why ‘state of the art’ monetary theory was unable to anticipate the global financial crisis: a child's guide
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  • 2014 Do Exchange Rates Affect Inflation? Evidence From Emerging Market Economies
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  • 2014 Currency Markets and Risk Premia
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  • 2014 The valuation of European call options on zero-coupon bonds in the run-up to a fixed exchange-rate regime
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  • 2014 Constrained or unconstrained price for debit card payment?
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  • 2014 How much Fiscal Discipline in a Monetary Union?
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  • 2014 Conflict inflation and delayed stabilization
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  • 2014 Defending against speculative attacks – It is risky, but it can pay off
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  • 2014 Information asymmetries and spillover risk in settlement systems
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  • 2014 Exchange rate regimes and foreign exchange exposure: The case of emerging market firms
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  • 2014 Effects of direct pricing of retail payment methods in Norway
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  • 2014 Macroeconomic equilibrium and welfare under simple monetary and switching fiscal policy rules
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  • 2014 The threat of counterfeiting in competitive search equilibrium
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  • 2014 Exchange Regime Choice with Multinomial Panel Data: Case of the North Africa Countries
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  • 2014 Effects of Currency Unions on Foreign Direct Investment Inflows: The European Economic and Monetary Union Case
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  • 2014 Addicted to Dollars
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  • 2014 Multiplicador monetario y dinero electrónico. Creación de dinero a partir de depósitos y efectivo electrónico
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  • 2014 The origins of inflation targeting regime: the science of central banking or the art of central bankers?
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  • 2014 De la moneda metálica al billete de banco en Medellín y Bogotá (1871-1885): complementariedad y sustitución de medios de pago en un régimen de banca libre
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  • 2014 Fuentes de fluctuaciones económicas en América Central
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  • 2014 Aproximación a la estructura del mercado cambiario colombiano desde el análisis de redes
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  • 2014 Inflation Targeting in Colombia, 2002–12
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  • 2014 Typical Banking Crises International Business Environment And Ways To Overcome Them
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  • 2014 Le système de l'écu privé : comment a-t-il fonctionné ? comment aurait-il pu évoluer ?
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  • 2014 Banques centrales : les défis de la sortie de crise
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  • 2014 Sortir des politiques monétaires non conventionnelles : quels défis ?
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  • 2014 Reforming The European Financial And Banking Architecture In The Crisis Context. The Banking Union Concept
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  • 2014 Financial Instability In Romania
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  • 2014 The Role Of The Economic And Institutional Framework In Ensuring Financial Stability In Romania, During 2012-2014
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  • 2014 Features Of The Romanian Financial Systemâ Regarding The Interest Rate Transmission
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  • 2014 Against the political expectations and theoretical models: how to implement austerity and not to lose political power
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  • 2014 The Reform of the Federal Reserve in 2008: Is the Money Supply Endogenous or Exogenous?
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  • 2014 „Good money” – alluring illusion, or antietatist diagnosis of the financial crisis?
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  • 2014 The Coordination Value of Monetary Exchange: Experimental Evidence
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  • 2014 Risk Sharing and Transactions Costs: Evidence from Kenya's Mobile Money Revolution
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  • 2013 The changing role of sovereign credit ratings
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  • 2013 A constitutional system of money and finance
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  • 2013 Narratives of the Great Financial Crisis (GFC): Why I am out of step
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  • 2013 Non-Public Monetary Systems in Information Economy
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  • 2013 In Defense of the Euro: Austrian School Approach (comment)
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  • 2013 Ein Drei-Punkte-Plan zur Reformierung der Geldpolitik
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  • 2013 Gefährdet der Ankauf von Staatsanleihen die Unabhängigkeit der EZB?
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  • 2013 Limelight on dark markets: theory and experimental evidence on liquidity and information
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  • 2013 On the low-frequency relationship between public deficits and inflation
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  • 2013 Liquidity Regulation, the Central Bank, and the Money Market
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  • 2013 Is the Eurozone not a monetary union, but an extraordinary exchange rate union?
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  • 2013 Weathering the Crisis and Beyond: Perspectives for the Euro Area
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  • 2013 The global move into the zero interest rate and high debt trap
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  • 2013 Towards Deeper Financial Integration in Europe: What the Banking Union Can Contribute
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  • 2013 On assortative and disassortative mixing in scale-free networks: The case of interbank credit networks
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  • 2013 Hubs and resilience: Towards more realistic models of the interbank markets
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  • 2013 On the distribution of links in the interbank network: Evidence from the e-mid overnight money market
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  • 2013 How stressed are banks in the interbank market?
    by Abbassi, Puriya & Fecht, Falko & Weber, Patrick

  • 2013 On the low-frequency relationship between public deficits and inflation
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  • 2013 What Remains of the Theory of Demand Management in a Globalising World?
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  • 2013 An Asymmetric Model on Seigniorage and the Dynamics of Net Foreign Assets
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  • 2013 The implications of TARGET2 in the European balance of payment crisis and beyond
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  • 2013 The endless Eurozone crisis, where do we stand? A Classical-Kaleckian overview
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  • 2013 Regional Inflation and Financial Dollarization
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  • 2013 Is Inflation Targeting Operative in an Open Economy Setting?
    by Esteban Pérez Caldentey & Matías Vernengo

  • 2013 Expansión monetaria y ciclo económico en España: 1998-2012
    by Cendejas Bueno, José Luis & Muñoz, Félix & Castañeda, Juan

  • 2013 Teoría de las Áreas Monetarias Óptimas: Una revisión de la literatura desde una perspectiva europea
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  • 2013 Regional Inflation and Financial Dollarization
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  • 2013 De la monnaie cosmopolitique
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  • 2013 Does SIC need a heart pacemaker?
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  • 2013 Money and Limited Enforcement in Multilateral Exchange
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  • 2013 Towards a Genuine Economic and Monetary Union – Comments on a Roadmap
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  • 2013 Expanding Beyond Borders: The Yen and the Yuan
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  • 2013 Creating an Association of Southeast Asian Nations Payment System: Policy and Regulatory Issues
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  • 2013 Regímenes Cambiarios y Desempeño Macroeconómico: Una Evaluación de la Literatura
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  • 2013 Central Counterparty Links and Clearing System Exposures
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  • 2013 Impact du taux de change sur la sécurité alimentaire des pays en développement
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  • 2013 The eurozone: piecemeal approach to an optimum currency area
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  • 2013 Нови Факти За Живота На Професор Симеон Демостенов (1886–1966)
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  • 2013 Macroeconomic Determinants of Workers’ Remittances and Compensation of Employees in Sub-Saharan Africa
    by Adenutsi, Deodat E.

  • 2013 Investigate the Long-Run Trade-Off between Inflation and Unemployment in Egypt
    by Touny, Mahmoud

  • 2013 The Impact of Interest Rate on Bank Deposits Evidence from the Nigerian Banking Sector
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  • 2013 Thinking ahead of the next big Crash
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  • 2013 TARGET2 imbalances and the need for a lender of last resort
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  • 2013 Chinese monetary expansion and the U.S. economy
    by Vespignani, Joaquin L. & Ratti, Ronald A

  • 2013 Not all international monetary shocks are alike for the Japanese economy
    by Vespignani, Joaquin L. & Ratti, Ronald A.

  • 2013 ¿Convergen los ciclos económicos de los estados de la zona euro?: evidencia empírica
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  • 2013 Card versus cash: empirical evidence of the impact of payment card interchange fees on end users’ choice of payment methods
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  • 2013 Chinese monetary expansion and the U.S. economy
    by Vespignani, Joaquin L. & Ratti, Ronald A

  • 2013 Euro Zone Debt Crisis: Implications for Indian Banking Sector
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  • 2013 Inflation targeting at the crossroads: Evidence from post-communist economies during the crisis
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  • 2013 International monetary transmission to the Euro area: Evidence from the U.S., Japan and China
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  • 2013 Monetary systems, sustainable growth and inclusive economic development
    by Omerčević, Edo

  • 2013 A 'Trojan Horse' in Daoguang China?: Explaining the flows of silver (and opium) in and out of China
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  • 2013 An Information-Based Theory of International Currency
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  • 2013 Regímenes cambiarios y desempeño macroeconómico: una evaluación de la literatura
    by Erick Lahura & Marco Vega

  • 2013 Inflation, its Volatility and the Inflation-Growth Tradeoff in India
    by Raghbendra Jha & Varsha S. Kulkarni

  • 2013 The long-run relationship between the Japanese credit and money multipliers
    by Mototsugu Fukushige

  • 2013 Central Bank Independence and the Signaling Effect of Intervention: A Preliminary Exploration
    by Shinji Takagi & Hiroki Okada

  • 2013 China's March to Prosperity: Reforms to Avoid the Middle-income Trap
    by Vincent Koen & Richard Herd & Sam Hill

  • 2013 Is Bitcoin a Real Currency? An economic appraisal
    by David Yermack

  • 2013 The Development of Opacity in U.S. Banking
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  • 2013 Why High Leverage is Optimal for Banks
    by Harry DeAngelo & René M. Stulz

  • 2013 Deposit Insurance and Orderly Liquidation without Commitment: Can we Sleep Well?
    by Russell Cooper & Hubert Kempf

  • 2013 Speculative Runs on Interest Rate Pegs
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  • 2013 The fragility of two monetary regimes: The European Monetary System and the Eurozone
    by Paul De Grauwe & Yuemei Ji

  • 2013 The Influence of the Taylor rule on US monetary policy
    by Pelin Ilbas & Øistein Røisland & Tommy Sveen

  • 2013 Lost at Sea: The Euro Needs a Euro Treasury
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  • 2013 Modern Money Theory 101: A Reply to Critics
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  • 2013 On the Franco-German Euro Contradiction and Ultimate Euro Battleground
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  • 2013 Do Exchange Rates Affect Inflation? Evidence from Emerging Market Economies
    by Baki Demirel & Baris Alpaslan & Emre Guneser Bozdag

  • 2013 Do You Mind if I Round?: Eliminating the Penny A Structural Analysis
    by Andrew Keinsley

  • 2013 The Central Bank and bank credits in the Philippines : a survey on effectiveness of monetary policy and its measures
    by Kashiwabara, Chie

  • 2013 The Central Bank and bank credits in the Philippines : a survey on effectiveness of monetary policy and its measures
    by Kashiwabara, Chie

  • 2013 Postawy wzglêdem euro i ich determinanty– przegl¹d badañ i literatury przedmiotu
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  • 2013 Rounding the Corners of the Policy Trilemma: Sources of Monetary Policy Autonomy
    by Michael W. Klein & Jay C. Shambaugh

  • 2013 International Capital Flows and Domestic Financial Conditions: Lessons for Emerging Asia
    by Philip Lane

  • 2013 Constrained or Unconstrained Price for Debit Card Payment?
    by Manjong Lee

  • 2013 Inflation, Credit, and Indexed Unit of Account
    by Hyung Sun Choi & Ohik Kwon & Manjong Lee

  • 2013 Mihail Manoilescu’s international trade theories in retrospect: how and when emerging economies must be protected?
    by Nikolay Nenovsky & Dominique Torre

  • 2013 The European Debt Crisis: How did we get into this mess? How can we get out of it?
    by Michael C. Burda & & &

  • 2013 Inflation targeting, flexible exchange rates, and macroeconomic performance since the Great Revolution
    by Andersen, Thomas Barnebeck & Malchow-Møller, Nikolaj & Nordvig, Jens

  • 2013 Credit Rating Agency Announcements and the Eurozone Sovereign Debt Crises
    by Baum, Christopher & Karpava, Margarita & Schäfer, Dorothea & Stephan, Andreas

  • 2013 The Bracteate as Economic Idea and Monetary Instrument
    by Svensson, Roger

  • 2013 Re-Coinage as a Monetary Tax: Conditions, Consequences and Comparisons with Debasement
    by Svensson, Roger

  • 2013 The MENA Region - an Optimal Currency Area? Evaluating its Stability by Taylor-Rule derived Stress Tests
    by Mouchera Karara

  • 2013 Prospects for the Russian Ruble to Become Regional Reserve Currency
    by Pavel Trunin & Sergey Narkevich

  • 2013 The Bank of Russia at the Crossroads: Does the Monetary Policy Needs Easing
    by Eugene Goryunov & Pavel Trunin

  • 2013 The Bank of Russia at the Crossroads: does the monetary policy needs easing
    by Evgeny Gorunov & Pavel Trunin

  • 2013 Optimal Monetary Policy and Capital Account Restrictions in a Small Open Economy
    by Liu, Zheng & Spiegel, Mark M.

  • 2013 U.S. consumer demand for cash in the era of low interest rates and electronic payments
    by Briglevics, Tamas & Schuh, Scott

  • 2013 The 2010 Survey of Consumer Payment Choice
    by Foster, Kevin & Schuh, Scott & Zhang, Hanbing

  • 2013 Studies in Financial Systems No 8 Hungary
    by Szabolcs Szikszai & Tamás Badics & Csilla Raffai & Zsolt Stenger & András Tóthmihály

  • 2013 De la monnaie cosmopolitique
    by Maxime Parodi

  • 2013 Monetary regimes and statistical regularity: the Classical Gold Standard (1880-1913) through the lenses of Markov models
    by Daniela Bragoli & Camilla Ferretti & Piero Ganugi & Giancarlo Ianulardo

  • 2013 Capital Flows in the Euro Area
    by Philip R. Lane

  • 2013 Why High Leverage Is Optimal for Banks
    by DeAngelo, Harry & Stulz, Rene M.

  • 2013 Expanding Beyond Borders : The Yen and the Yuan
    by Paola Subacchi

  • 2013 Creating an Association of Southeast Asian Nations Payment System : Policy and Regulatory Issues
    by Tanai Khiaonarong

  • 2013 Expanding Beyond Borders : The Yen and the Yuan
    by Paola Subacchi

  • 2013 Creating an Association of Southeast Asian Nations Payment System : Policy and Regulatory Issues
    by Tanai Khiaonarong

  • 2013 Migrants' Choice of Remittance Channel: Do General Payment Habits Play a Role?
    by Anneke Kosse & Robert Vermeulen

  • 2013 Determinants of the rate of the Dutch unsecured overnight money market
    by Ronald Heijmans & Lola Hernández & Richard Heuver

  • 2013 How to measure the unsecured money market? The Eurosystem's implementation and validation using TARGET2 data
    by Luca Arciero & Ronald Heijmans & Richard Heuver & Marco Massarenti & Cristina Picillo & Francesco Vacirca

  • 2013 Social costs of POS payments in the Netherlands 2002-2012: Efficiency gains from increased debit card usage
    by Nicole Jonker

  • 2013 Credit Rating Agency Announcements and the Eurozone Sovereign Debt Crisis
    by Christopher F. Baum & Margarita Karpava & Dorothea Schäfer & Andreas Stephan

  • 2013 Some Lessons from Six Years of Practical Inflation Targeting
    by Svensson, Lars E O

  • 2013 Capital Flows in the Euro Area
    by Lane, Philip R.

  • 2013 Weathering the crisis and beyond: Perspectives for the Euro Area
    by Schmidt, Christoph M & Weigert, Benjamin

  • 2013 Competing Bimetallic Ratios: Amsterdam, London and Bullion Arbitrage in the Mid-18th Century
    by Nogues-Marco, Pilar

  • 2013 Modular scale-free architecture of Colombian financial networks: Evidence and challenges with financial stability in view
    by Carlos León & Ron J. Berndsen

  • 2013 El mercado OTC de valores en Colombia: caracterización y comparación con base en el análisis de redes complejas
    by Carlos Eduardo León Rincón & Jhonatan Pérez Villalobos

  • 2013 Authority Centrality and Hub Centrality as metrics of systemic importance of financial market infrastructures
    by Carlos Eduardo León Rincón & Jhonatan Pérez Villalobos

  • 2013 De la Moneda Metálica al Billete de Banco en Medellín y Bogotá (1871-1885): complementariedad y sustitución de medios de pago en un régimen de banca l
    by Kelly Vanessa Acuña Mantilla & Andrés Álvarez

  • 2013 Choques de política monetaria en México: una aplicación del modelo SVAR, 1995–2012
    by Adelaido García–Andrés y Leonardo Torre Cepeda

  • 2013 Determinants of relative bargaining power in monetary unions
    by Brigitte Granville & Dominik Nagly

  • 2013 The Exchange Rate Susceptibility of Some European Core Industries and the Currency Union
    by David Leuwer & Bernd Süssmuth

  • 2013 The Macroeconomic Policy Challenges of Balance Sheet Recession: Lessons from Japan for the European Crisis
    by Gunther Schnabl

  • 2013 The Monetary Policy of the ECB: A Robin Hood Approach?
    by Marcus Drometer & Thomas Siemsen & Sebastian Watzka

  • 2013 Deforestation and Seigniorage in Developing Countries: A Tradeoff?
    by Jean-Louis COMBES & Pascale COMBES MOTEL & Alexandru MINEA & Patrick VILLIEU

  • 2013 Optimal State-dependent Monetary Policy Rules
    by Christian Baker & Richard W. Evans

  • 2013 Analysis of Risk Factors in the Korean Repo Market: Based on the US and European Repo Market Experiences
    by Sung-guan Yun & Ronald Heijmans

  • 2013 How much fiscal discipline in a monetary union
    by Paul de Grauwe & Yuemei Ji

  • 2013 Monetary policy regimes in CIS economies and their ability to provide price and financial stability
    by Dabrowski, Marek

  • 2013 Credit Rating Agency Downgrades and the Eurozone Sovereign Debt Crises
    by Christopher F. Baum & Dorothea Schäfer & Andreas Stephan

  • 2013 Inferring interbank loans and interest rates from interbank payments - an evaluation
    by Q. Farooq Akram & Casper Christophersen

  • 2013 Implicit intraday interest rate in the UK unsecured overnight money market
    by Marius Jurgilas & Filip Zikes

  • 2013 The influence of the Taylor rule on US monetary policy
    by Pelin Ilbas & Øistein Røisland & Tommy Sveen

  • 2013 Currency Union with and without Banking Union
    by Bignon, V. & Breton, R. & Rojas Breu, M.

  • 2013 Why are payment habits so heterogeneous across and within countries? Evidence from European countries and Italian regions
    by Guerino Ardizzi & Eleonora Iachini

  • 2013 The Threat of Counterfeiting in Competitive Search Equilibrium
    by Enchuan Shao

  • 2013 Global Dynamics at the Zero Lower Bound
    by William T. Gavin & Benjamin D. Keen & Alexander W. Richter & Nathaniel A. Throckmorton

  • 2013 The Zero Lower Bound: Frequency, Duration, and Determinacy
    by Alexander W. Richter & Nathaniel A. Throckmorton

  • 2013 Time-Consistency Problem and the Behavior of US Inflation from 1970 to 2008
    by Nima Nonejad

  • 2013 Is Monetary Policy a Science? The Interaction of Theory and Practice over the Last 50 Years
    by William R. White

  • 2013 Essays in the Fundamental Theory of Monetary Economics and Macroeconomics
    by John Smithin

  • 2013 The Future of Sovereign Borrowing in Europe
    by Morten Balling & Ernest Gnan & Johannes Holler & Ulrich Bindseil & Nicolas Sauter & Hans J. Blommestein & Maria Cannata & Juha Kilponen & Alessandro Missale & Ewald Nowotny & Guido Sandleris & Mark L.J. Wright

  • 2013 Money creation and financial instability: An agent-based credit network approach
    by Lengnick, Matthias & Krug, Sebastian & Wohltmann, Hans-Werner

  • 2013 The Challenges of Implementing Gold Dinar in Kelantan: An Empirical Analysis
    by Muhammad-Bashir Owolabi Yusuf & Gairuzazmi Mat Ghani & Ahamed Kameel Mydin Meera

  • 2013 Ryzyko w systemie platniczym. (Risk in the payment system.)
    by Jakub Gorka

  • 2013 Taking Back Globalization
    by Marie Christine Duggan

  • 2013 Credit Dynamics and Financial Globalisation
    by Philip R. Lane

  • 2013 Aspects Regarding Alternative Currencies
    by Andreia ROTARU

  • 2013 The Operational Risk Management in Banking – Evolution of Concepts and Principles, Basel II Challenges
    by Mirela-Anca SCHWARTZ-GÂRLIªTE

  • 2013 Liquidity Characteristics, Implicit Information of Asset Prices and Monetary Policy in China
    by Xiao Weiguo & Zhao Yang & Yuan Wei

  • 2013 The Interchange Fees - A Comparison between Optimal Private and Social Levels
    by Dragoi, Ionut Mihai

  • 2013 High inflation and the sacrifice ratio
    by Mazumder, Sandeep

  • 2013 Information Disclosure and Exchange Media
    by David Andolfatto & Fernando Martin

  • 2013 Regímenes cambiarios y desempeño macroeconómico: Una evaluación de la literatura
    by Lahura, Erick & Vega, Marco

  • 2013 La autoridad macroprudencial: Poderes, alcance y rendición de cuentas
    by Goodhart, Charles

  • 2013 A Dynamic Panel, Empirical Investigation on the Link between Inflation and Fiscal Imbalances. Does Heterogeneity Matter?
    by Avgeris Nikolaos & Katrakilidis Constantinos

  • 2013 Is Euro Area an Optimal Currency Area and What Barriers Could Obstruct Its Future Development?
    by Irena Vrnáková & Hana Bartušková

  • 2013 Europe, Time to Wake Up! Change of monetary policy instruments — reduction of public debt (interest burdens), system of fiscal and monetary objectives — central bank independence
    by Tamás Bánfi & Attila Bánfi & Zoltán Bánfi

  • 2013 Euro Crisis And The Emu Institutional Reforms
    by Jaroslaw Kundera

  • 2013 Potential Instruments That The Ecb Could Take In Order To Face The Euro Zone Crisis
    by Myriam J. Maier

  • 2013 Trade integration of the Central and Eastern European economies with the Euro area
    by Marinaº Marius-Corneliu

  • 2013 The Obligations Of The Financial Service Providers In Their Relationship With The Consumer: Focus On The Romanian Regulation On The Payment Service Providers’ Obligations
    by Rodica Diana Apan

  • 2013 Control Of Cash Payment System Based On The Software As A Service
    by Mirko Cobovic & Andreja Katolik & Ninoslav Novak

  • 2013 Business cycle synchronisation in the European Union: The effect of the common currency
    by Periklis Gogas

  • 2013 Can cash payment be limited in a modern payment system?
    by Zita Véber & Judit Brosch

  • 2013 The effects of the introduction of the intraday credit transfer
    by Éva Divéki & István Helmeczi

  • 2013 Choice of Anchor Currencies and Dynamic Preferences for Exchange Rate Pegging in Asia
    by Syed Kumail Abbas Rizvi & Bushra Naqvi & Nawazish Mirza

  • 2013 Géniuszok párharca. Milton Friedman és J. M. Keynes vitája Tim Congdon és Robert Skidelsky előadásában
    by Szepesi, György

  • 2013 Integrated Household Survey (IHS) and Household Budget Survey (HBS) - Base for Indicators of the Living Standard and Quality of life
    by Claudia Gabriela Bentoiu & Cristina Athu & Gratiela Ghic

  • 2013 Kredi Hacmi Artisinin cari Acýga Etkisi: Coklu Yapisal Kirilmali Esbutunlesme Analizi
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  • 2013 The International Monetary System in the Context of the Actual Financial Crisis. Change Proposals
    by Andreea TRIMBITAS

  • 2013 Descifrando el lenguaje del Banco de México
    by López, Arnoldo

  • 2013 Is inflation targeting operative in an open economy setting?
    by Esteban Pérez Caldentey & Matías Vernengo

  • 2013 The nation-building purposes of early US central banks
    by Jane Knodell

  • 2013 Endogenous money: the evolutionary versus revolutionary views
    by Louis-Philippe Rochon & Sergio Rossi

  • 2013 Endogenous money, financial Keynesianism and beyond
    by Riccardo Bellofiore

  • 2013 The implications of TARGET2 in the European balance of payments crisis and beyond
    by Sergio Cesaratto

  • 2013 Economic theory and policy: a coherent post-Keynesian approach
    by Philip Arestis

  • 2013 Keynes y el retorno al patrón oro del Reino Unido en 1925. La dificultad de la devaluación interna
    by Antonio Torrero Mañas

  • 2013 Ideas económicas y unión monetaria: un análisis del Informe Emerson
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  • 2013 The European integration at the crossroad
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  • 2013 Euro Politics: An Interview with Roland Vaubel
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  • 2013 Exchange rate misalignment and inflation rate persistence: Evidence from Latin American countries
    by Giannellis, Nikolaos & Koukouritakis, Minoas

  • 2013 Currency movements within and outside a currency union: The case of Germany and the euro area
    by Bartzsch, Nikolaus & Rösl, Gerhard & Seitz, Franz

  • 2013 Policing the chain gang: Panel cointegration analysis of the stability of the Suffolk System, 1825–1858
    by Young, Andrew T. & Dove, John A.

  • 2013 Duration of fixed exchange rate regimes in emerging economies
    by Tamgac, Unay

  • 2013 Are capital controls in the foreign exchange market effective?
    by Straetmans, Stefan T.M. & Versteeg, Roald J. & Wolff, Christian C.P.

  • 2013 Exchange rate pass-through and the effects of tariffs on economic performance and welfare
    by Hwang, Yu-Ning & Turnovsky, Stephen J.

  • 2013 Post-Keynesian money endogeneity evidence in G-7 economies
    by Badarudin, Z.E. & Ariff, M. & Khalid, A.M.

  • 2013 Europe and the logic of hierarchy
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  • 2013 Bank capital, interbank contagion, and bailout policy
    by Tian, Suhua & Yang, Yunhong & Zhang, Gaiyan

  • 2013 A positive analysis of deposit insurance provision: Regulatory competition among European Union countries
    by Engineer, Merwan H. & Schure, Paul & Gillis, Mark

  • 2013 Central bank financial strength and inflation: Is there a robust link?
    by Perera, Anil & Ralston, Deborah & Wickramanayake, Jayasinghe

  • 2013 Monetary policy and fiscal limits with no-default
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  • 2013 The exchange rate pass-through in the new EU member states
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  • 2013 Large labour unions and terms-of-trade externality
    by Cuciniello, Vincenzo

  • 2013 Estimating the foreign circulation of banknotes
    by Bartzsch, Nikolaus & Rösl, Gerhard & Seitz, Franz

  • 2013 Nonlinearities in exchange rate determination in a small open economy: Some evidence for Canada
    by Kempa, Bernd & Riedel, Jana

  • 2013 Why don't banks lend to Egypt's private sector?
    by Herrera, Santiago & Hurlin, Christophe & Zaki, Chahir

  • 2013 Taylor Rule or optimal timeless policy? Reconsidering the Fed's behavior since 1982
    by Minford, Patrick & Ou, Zhirong

  • 2013 Modeling diverse expectations in an aggregated New Keynesian Model
    by Kurz, Mordecai & Piccillo, Giulia & Wu, Howei

  • 2013 The role of non-convex costs in firms' investment and financial dynamics
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  • 2013 Pushing the limit? Fiscal policy in the European Monetary Union
    by Daniel, Betty C. & Shiamptanis, Christos

  • 2013 The impact of monetary policy on stock market bubbles and trading behavior: Evidence from the lab
    by Fischbacher, Urs & Hens, Thorsten & Zeisberger, Stefan

  • 2013 The Gibson paradox: Evidence from China
    by Cheng, Hao & Kesselring, Randall G. & Brown, Christopher R.

  • 2013 Is There Life After ‘Death’ for the Greek Economy
    by Constantinos Alexiou & Joseph Nellis

  • 2013 Ordoliberale Geldreform als Antwort auf die Krise?: Bitcoin und Vollgeld im Vergleich
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  • 2013 Stabilität und institutionelles Design einer nichtoptimalen Währungsunion: spieltheoretische Bedingungen für eine Lösung der Euro-Krise
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  • 2013 Europäische Bankenunion
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  • 2013 A Transfer Mechanism as a Stabilization Tool in the EMU
    by Kerstin Bernoth & Philipp Engler

  • 2013 Strategies Adopted by Romanian Banks to Reduce the Payment Incidents
    by Oana BĂRBULESCU SEITAN & Cristina BALTEANU

  • 2013 Effects And Evolution Of Foreign Direct Investments On The Emergent Economies
    by Marinela TANASCOVICI & Alina HAGIU

  • 2013 Bitcoin – The New Kind Of Money
    by Mihaela SUDACEVSCHI

  • 2013 Does modern banking lead to money privatization?
    by Thomas Grjebine

  • 2013 The Key Characteristics of Financial Reporting in the European System of Central Banks
    by Valentina Ivanović

  • 2013 The Performance of Melanesian Central Banks
    by Michael Turner & Alistair Brown

  • 2013 Determinants of Currency Substitution/Dollarization – The Case of the Republic of Serbia
    by Ivan Milenković & Milivoje Davidović

  • 2013 Debt, assets and imbalances in the euro area. An aggregate view
    by Christophe Van Nieuwenhuyze

  • 2013 Le paiement mobile : modèles économiques et régulation financière
    by Laetitia Chaix

  • 2013 Vers une économie des paiements électroniques ?
    by David Bounie & Abel François

  • 2013 A Study on Merchant Membership Obligations in the Korean Credit Card Industry (in Korean)
    by Sun-Joong Yoon & Kyeong-Hoon Kang & Jeong Gyu Kim

  • 2013 Inercia inflacionaria en Bolivia: un análisis no estructural
    by Martín Palmero Pantoja and Pamela Rocabado Antelo

  • 2013 L’innovation au coeur du fiduciaire : le premier billet de la série Europe
    by MARCHAND, A. & PALAZZESCHI, E.

  • 2013 Euro Crises and Euro Scams: Trade not Debt and Deficits Tell the Tale
    by John Weeks

  • 2013 The Euro: Why it Went Wrong and How to Get On?
    by Jesper Jespersen

  • 2013 International fisher effect under exchange rate regime shifts: Evidence from 10 examples
    by Petr Koráb & Svatopluk Kapounek

  • 2013 The Euro Area Crisis Impact On Candidate Countries
    by Anca Tanasie

  • 2013 A theory of the availability and level of consumer protection in online and mobile payments for public economic services
    by Luminiţa Ionescu & George Lăzăroiu & Silviu Şerban

  • 2013 Cross of Euros
    by Kevin H. O'Rourke & Alan M. Taylor

  • 2013 The Home Economics of E-Money: Velocity, Cash Management, and Discount Rates of M-Pesa Users
    by Isaac Mbiti & David N. Weil

  • 2013 Transaction Networks: Evidence from Mobile Money in Kenya
    by William Jack & Adam Ray & Tavneet Suri

  • 2013-2014 Innovation at work: introducing the first banknote in the Europa series
    by A. Marchand. & E. Palazzeschi.

  • 2013,1st quarter update debt mutualisation in the ongoing Eurozone crisis – a tale of the ‘North’ and the ‘South’
    by Ansgar Belke

  • 2012 Should The South African Reserve Bank Respond To Exchange Rate Fluctuations? Evidence From The Cosine-Squared Cepstrum
    by Rangan Gupta

  • 2012 Stabilitatea financiară: provocări teoretice
    by Cerna Silviu

  • 2012 In Defense of the Euro: Austrian School Approach (Critics of ECB Errors and Brussel’s Interventionism)
    by J. Huerta de Soto.

  • 2012 Dual liquidity crises under alternative monetary frameworks
    by Winkler, Adalbert & Bindseil, Ulrich

  • 2012 Which economic model for mobile payments?
    by Chaix, Laetitia & Torre, Dominique

  • 2012 Euro area: Single currency - national money creation
    by Kooths, Stefan & van Roye, Björn

  • 2012 Network analysis of the e-MID overnight money market: The informational value of different aggregation levels for intrinsic dynamic processes
    by Finger, Karl & Fricke, Daniel & Lux, Thomas

  • 2012 Trading strategies in the overnight money market: Correlations and clustering on the e-MID trading platform
    by Fricke, Daniel

  • 2012 Core-periphery structure in the overnight money market: Evidence from the e-MID trading platform
    by Fricke, Daniel & Lux, Thomas

  • 2012 Money creation and financial instability: An agent-based credit network approach
    by Lengnick, Matthias & Krug, Sebastian & Wohltmann, Hans-Werner

  • 2012 Die Rolle monetärer Variablen für die Geldpolitik vor, während und nach der Krise: Nicht nur für die EWU geltende Überlegungen
    by Seitz, Franz

  • 2012 The Euro: A "MUST" for small European states?
    by Ohr, Renate & Özalbayrak, Mehmet

  • 2012 Money creation and financial instability: An agent-based credit network approach
    by Lengnick, Matthias & Krug, Sebastian & Wohltmann, Hans-Werner

  • 2012 Le principali istituzioni finanziarie a livello internazionale e la crisi sistemica in Europa: dalla Grecia all’Italia?
    by Aurelio Bruzzo & Fabio Mantovani

  • 2012 Openness and Technology Diffusion in Payment Systems: The Case of NAFTA
    by Francisco Callado & Jana Hromcová & Natalia Utrero

  • 2012 Money Matters: A Critique of the Postan Thesis on Medieval Population, Prices, and Wages
    by John H. MUNRO

  • 2012 The Technology and Economics of Coinage Debasements in Medieval and Early Modern Europe: with special reference to the Low Countries and England
    by John H. Munro

  • 2012 Design and Implementation of a Common Currency Area in the East African Community
    by Thomas Kigabo RUSUHUZWA & Paul Robert MASSON

  • 2012 The Impact of the LCR on the Interbank Money Market
    by Bonner, C. & Eijffinger, S.C.W.

  • 2012 Costs and benefits of Slovakia entering the euro area. A quantitative evaluation
    by Juraj Zeman

  • 2012 What Drives Target2 Balances? Evidence From a Panel Analysis
    by Raphael Anton Auer

  • 2012 Pushing the Limit? Fiscal Policy in the European Monetary Union
    by Betty Daniel & Christos Shiamptanis

  • 2012 Poland and Slovakia during the crisis: would the euro (non-)adoption matter?
    by Torój, Andrzej

  • 2012 EMU: the (post-)crisis perspective. Literature survey and implications for the euro-candidates
    by Torój, Andrzej & Bednarek, Elżbieta & Bęza-Bojanowska, Joanna & Osińska, Joanna & Waćko, Katarzyna & Witkowski, Dariusz

  • 2012 Excessive Imbalance Procedure in the EU: a Welfare Evaluation
    by Torój, Andrzej

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Collignon, Stefan

  • 2012 Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia
    by Volz, Ulrich

  • 2012 The Impact of Payment System Design on Tiering Incentives
    by Robert Arculus & Jennifer Hancock & Greg Moran

  • 2012 Payment System Design and Participant Operational Disruptions
    by Ashwin Clarke & Jennifer Hancock

  • 2012 Central Bank Independence and Credibility During and After a Crisis
    by Alan S. Blinder

  • 2012 Money evolution and control in the context of current financial crisis with Islamic inputs
    by Hasan, Zubair

  • 2012 Pengelolaan Apbn Dan Politik Anggaran Di Indonesia Dalam Perspektif Ekonomi Islam
    by Jaelani, Aan

  • 2012 Общностните валути като инструмент за противодействие срещу нежеланите аспекти от икономическата криза (Community currencies as a counter tool to unacceptable aspects of economic crisis)
    by Toncheva, Rossitsa

  • 2012 Monetary Policy Transmission in India: A Peep Inside the Black Box
    by Khundrakpam, Jeevan Kumar & Jain, Rajeev

  • 2012 Implications of Excess Liquidity in Fiji’s Banking System: An Empirical Study
    by Jayaraman, T.K. & Choong, Chee-Keong

  • 2012 Interest Based Financial Intermediation: Analysis and Solutions
    by Shaikh, Salman

  • 2012 Easing trade costs within Mercosul
    by Reiss, Daniel G

  • 2012 Money supply in top tax system
    by Varma, Vijaya Krushna Varma

  • 2012 Mobile payment systems in Turkey
    by Nurdilek, Dalziel & Can Ali, Avunduk

  • 2012 The Responsibility of Mobile Money Intellectuals?
    by Donovan, Kevin

  • 2012 The Impact of the Microchip on the Card Frauds
    by Ardizzi, Guerino

  • 2012 Anatomy of Cashless Banking in Nigeria: What Matters?
    by Atanda, Akinwande A. & Alimi, Olorunfemi Y.

  • 2012 The impact of money supply on stock prices and stock bubbles
    by Sirucek, Martin

  • 2012 Pre-1900 utopian visions of the ‘cashless society’
    by Hollow, Matthew

  • 2012 Renminbi Internationalisation: A Primer
    by He, Dong

  • 2012 The crisis of the EMU
    by Schmid, Peter Alfons

  • 2012 F.A. Hayek and his rational choice of monetary arrangements
    by Sahoo, Ganeswar

  • 2012 The government-taxpayer game
    by Carfì, David & Fici, Caterina

  • 2012 Cashless banking in Nigeria and its implications
    by Olajide, Victor C.

  • 2012 Monetary policy, bank size and bank lending: evidence from Australia(new version)
    by liu, luke

  • 2012 Ingham and Keynes on the nature of money
    by Mark Hayes

  • 2012 How do the poor handle money? What do the financial diaries of char dwellers tell us about financial inclusion?
    by Kuntala Lahiri–Dutt

  • 2012 Inflation Volatility and the Inflation-Growth Tradeoff in India
    by Raghbendra Jha & Varsha S. Kulkarni

  • 2012 Identifying the De Facto Exchange Rate Regime for Moldova: A State-Space Approach
    by Vitalie Ciubotaru

  • 2012 The Political Economy Of Foreign Exchange Market Intervention
    by Shinji Takagi & Kenichi Hirose & Issei Kozuru

  • 2012 Optimal Holdings of International Reserves: Self-Insurance against Sudden Stop
    by Guillermo A. Calvo & Alejandro Izquierdo & Rudy Loo-Kung

  • 2012 Chronic Specie Scarcity and Efficient Barter: The Problem of Maintaining an Outside Money Supply in British Colonial America
    by Farley Grubb

  • 2012 Is Paper Money Just Paper Money? Experimentation and Variation in the Paper Monies Issued by the American Colonies from 1690 to 1775
    by Farley Grubb

  • 2012 Practical Monetary Policy: Examples from Sweden and the United States
    by Lars E.O. Svensson

  • 2012 Short- and Long-Term Growth Effects of Exchange Rate Adjustment
    by Evžen Kocenda & Mathilde Maurel & Gunther Schnabl

  • 2012 Measuring complementarity in financial systems
    by Adeline Saillard & Thomas Url

  • 2012 The role of external and country specific factors in Hungarian inflation developments
    by Balázs Krusper

  • 2012 The Acceptability of Money with Multiple Notes Issuers:the Case of Italy (1861-1893)
    by Fabrizio Mattesini & Giuseppina Gianfreda

  • 2012 A Meme for Money
    by L. Randall Wray

  • 2012 The Euro Debt Crisis and Germany's Euro Trilemma
    by Jorg Bibow

  • 2012 Control of Finance as a Prerequisite for Successful Monetary Policy: A Reinterpretation of Henry Simons's Rules versus Authorities in Monetary Policy
    by Thorvald Grung Moe

  • 2012 The European Central Bank and Why Things Are the Way They Are: A Historic Monetary Policy Pivot Point and Moment of (Relative) Clarity
    by Robert Dubois

  • 2012 Imbalances? What Imbalances? A Dissenting View
    by L. Randall Wray

  • 2012 Loss Aversion and the Asymmetric Transmission of Monetary Policy
    by Edoardo Gaffeo & Ivan Petrella & Damjan Pfajfar & Emiliano Santoro

  • 2012 Optimal Monetary Policy in an Open Economy under Asset Market Segmentation
    by Singh, Rajesh & Lahiri, Amartya & Vegh, Carlos A

  • 2012 The Two-tier foreign exchange market and the conduct of monetary policy: The Belgian case during Bretton-Woods era
    by Alain Durré & Philippe Ledent

  • 2012 The Euro Experience: A Review of the Euro Crisis, Policy Issues, Issues Going Forward and Policy Implications for Latin America
    by Carlos Hurtado

  • 2012 The Restoration of the Gold Standard after the US Civil War: A Volatility Analysis
    by Max Meulemann & Martin Uebele & Bernd Wilfling

  • 2012 Die japanischen Lehren für die europäische Krise
    by Gunther Schnabl

  • 2012 International monetary policy spillovers in an asymmetric world monetary system - The United States and China
    by Kristina Spantig

  • 2012 Will TARGET2-Balances be Reduced again after an End of the Crisis?
    by Christian Fahrholz & Andreas Freytag

  • 2012 Mythos TARGET2 - ein Zahlungsverkehrssystem in der Kritik
    by Peter Burgold & Sebastian Voll

  • 2012 Das Zahlungsverkehrssystem TARGET2 aus zahlungsbilanztheoretischer Sicht
    by Christian Fahrholz

  • 2012 Monetary Policy Reform in a World of Central Banks
    by Gunther Schnabl

  • 2012 Public Support for the Single European Currency, the Euro, 1990 to 2011. Does the Financial Crisis Matter?
    by Roth, Felix & Jonung, Lars & Nowak-Lehmann D., Felicitas

  • 2012 Market and Non-Market Monetary Policy Tools in a Calibrated DSGE Model for Mainland China
    by Michael Funke & Michael Paetz & Qianying Chen,

  • 2012 The Euro – A “MUST” for Small European States?
    by Renate Ohr & Mehmet Özalbayrak

  • 2012 On optimality or non-optimality of the eurozone
    by Tomasz Brodzicki

  • 2012 An empirical study of trade dynamics in the interbank market
    by Afonso, Gara M. & Lagos, Ricardo

  • 2012 Money and monetary system in China in the 19th-20th century: an overview
    by Ma, Debin

  • 2012 Contesting the indigenous development of “Chinese double-entry bookkeeping” and its significance in China’s economic institutions and business organization before c.1850
    by Hoskin, Keith & Macve, Richard

  • 2012 The Euro sovereign debt crisis and the built-in instability of the Euro
    by Vranceanu, Radu

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon

  • 2012 Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia
    by Ulrich Volz

  • 2012 Taux de change et mésalignements du franc CFA avant et après l’introduction de l’euro
    by Blaise Gnimassoun

  • 2012 Who Gains and Who Loses from the Exchange Rate System in Vietnam?
    by Bui Thi Minh Tam

  • 2012 The Impact of the LCR on the Interbank Money Market
    by Clemens Bonner & Sylvester Eijffinger

  • 2012 Liquidity Regulation, Funding Costs and Corporate Lending
    by Clemens Bonner

  • 2012 The interaction between the central bank and government in tail risk scenarios
    by Jan Willem van den End & Marco Hoeberichts

  • 2012 Chronic Specie Scarcity and Efficient Barter: The Problem of Maintaining an Outside Money Supply in British Colonial America
    by Farley Grubb

  • 2012 Is Paper Money just Paper Money/ Experimentation and Local Variation in the Fiat Paper Monies Issued by the Colonial Government of British North America, 1690-1775: Part I
    by Farley Grubb

  • 2012 Target2 Redux: The simple accountancy and slightly more complex economics of Bundesbank loss exposure through the Eurosystem
    by Buiter, Willem H. & Rahbari, Ebrahim

  • 2012 The Impact of Liquidity Regulation on Bank Intermediation
    by Bonner, Clemens & Eijffinger, Sylvester C W

  • 2012 The ECB as Lender of Last Resort for Sovereigns in the Euro Area
    by Buiter, Willem H. & Rahbari, Ebrahim

  • 2012 Precautionary hoarding of liquidity and inter-bank markets: Evidence from the sub-prime crisis
    by Acharya, Viral V & Merrouche, Ouarda

  • 2012 Central-banking challenges for the Riksbank: Monetary policy, financial-stability policy and asset management
    by Svensson, Lars E O

  • 2012 Latin American Exchange Rate Dependencies: A Regular Vine Copula Approach
    by Rubén Albeiro Loaiza Maya & Luis Fernando Melo Velandia

  • 2012 La economía de los mercados de dos lados: aplicación al análisis de las tarjetas de pago en Colombia
    by David Bardey & Marcela Meléndez

  • 2012 Britain's money supply experiment, 1971-73
    by Duncan Needham

  • 2012 Short-Term and Long-Term Growth Effects of Exchange Rate Adjustment
    by Evžen Kocenda & Mathilde Maurel & Gunther Schnabl

  • 2012 Divergências estruturais, competitividade e restrição externa ao crescimento: uma análise da crise e das limitações da zona do euro
    by André Sander Diniz & Frederico G. Jayme Jr.

  • 2012 Money Still Talks - Is Anyone Listening?
    by David Laidler

  • 2012 Money Still Talks - Is Anyone Listening?
    by David Laidler

  • 2012 Revisiting the Great Moderation: policy or luck?
    by Minford, Patrick & Ou, Zhirong & Wickens, Michael

  • 2012 The 1980s financial liberalization in the Nordic countries
    by Honkapohja, Seppo

  • 2012 Financial system reforms and China's monetary policy framework : A DSGE-based assessment of initiatives and proposals
    by Funke, Michael & Paetz, Michael

  • 2012 Currency blocs in the 21st century
    by Fischer, Christoph

  • 2012 Bank behaviour and risks in CHAPS following the collapse of Lehman Brothers
    by Benos, Evangelos & Garratt, Rodney & zimmerman, Peter

  • 2012 Implicit intraday interest rate in the UK unsecured overnight money market
    by Jurgilas, Marius & Zikes, Filip

  • 2012 Determinants of TARGET2 imbalances
    by Martina Cecioni & Giuseppe Ferrero

  • 2012 Macroprudential Rules and Monetary Policy when Financial Frictions Matter
    by Jeannine Bailliu & Césaire Meh & Yahong Zhang

  • 2012 Did federal funds target rate changes affect the market value of insurance companies?
    by DE CEUSTER, Marc J.K. & LI, Jie & ZHANG, Hairui

  • 2012 Price Differentiation and Menu Costs in Credit Card Payments
    by Marcos Valli Jorge & Wilfredo Leiva Maldonado

  • 2012 Long-Term Challenges for the Advanced Economies: Reducing Government Debt
    by Joseph Gagnon & Marc Hinterschweiger

  • 2012 Challenges for Emerging Asia
    by Bokyeong Park & Jinill Kim

  • 2012 Emerging Markets in the Aftermath of the Global Financial Crisis
    by Eswar S. Prasad

  • 2012 The Group of 20: Trials of Global Governance in Times of Crisis
    by Ignazio Angeloni

  • 2012 The International Monetary System after the Financial Crisis
    by Barry Eichengreen

  • 2012 Did WTO Rules Restrain Protectionism During the Recent Systemic Crisis?
    by Simon J. Evenett

  • 2012 Financial Reform after the Crisis
    by Nicolas Véron

  • 2012 The World Economy after the Global Crisis:A New Economic Order for the 21st Century
    by

  • 2012 An Empirical Study of Exchange Rate Pass-Through in China
    by Xiaowen Jin

  • 2012 Theoretical And Practical Aspects Regarding The Exchange Rate And The Equilibrium Exchange Rate In Romania
    by Ailinca, Alina Georgeta & Milea, Camelia & Iordache, Floarea

  • 2012 Interest rate in an "econom-ethic" perspective
    by Giuseppe Garofalo

  • 2012 The costs of rebalancing the China-US co-dependency
    by Luigi Bonatti & Andrea Fracasso

  • 2012 A Century of Inflation Forecasts
    by Antonello D'Agostino & Paolo Surico

  • 2012 Regulating Check Use in Turkey
    by Semih Tumen

  • 2012 Did the Bundesbank Target Monetary Expansion or Inflation? Evidence from Monetary Base Growth
    by Galina Boeva & Roland Vaubel

  • 2012 Evaluating the impact of shock in the supply of overnight unsecured money market funds on the TARGET2-Banca d'Italia functioning: a simulation approach
    by Luca Arciero

  • 2012 The Theory of Endogenous Optimum Currency Areas: A Critical Note - La teoria delle aree monetarie ottimali endogene: una nota critica
    by Praussello, Franco

  • 2012 Crisis Resistance Versus Monetary Regime: A Polish–Slovak Counterfactual Exercise
    by Andrzej Torój & Karolina Konopczak

  • 2012 Evropská měnová integrace a postavení jejího bývalého hegemona
    by Mojmír Hampl

  • 2012 The Coordination of Fiscal and Monetary Policies in Pakistan: An Empirical Analysis
    by Zubaria Andlib & Azra Khan & Ihtsham Ul Haq

  • 2012 Aspects and Considerations Regarding the Corporate Governance in Romanian Banking System and Financial Reporting Standards
    by Dobre Elena & Miþac Mirela Claudia

  • 2012 An Economic Analysis Of The 2011 Settlement Between The Department Of Justice And Credit Card Networks
    by Scott Schuh & Oz Shy & Joanna Stavins & Robert Triest

  • 2012 The Influences Of Inflation On The Monetary Policy Interest
    by Popa Coralia Emilia

  • 2012 Regional Analysis Of Financial Resources Involved In Research Development And Innovation (Rdi) Sector In Romania In The Last Decade '"Study Done On Macroregions
    by NICOLOV MIRELA

  • 2012 A Regional Study Of Financial Resources Involved In Rdi Sector In Romania In The Last Decade
    by NICOLOV MIRELA

  • 2012 Cards Market - A Resistant Market To Crisis
    by Vechiu Camelia & Gherman Liliana - Victoria & Tudose Geanina - Gabriela

  • 2012 The Cross-Border Movement of Euro Banknotes and Austria’s TARGET 2 Liabilities
    by Martin Handig & Clemens Jobst & Doris Schneeberger

  • 2012 Metalistas x papelistas: origens teóricas e antecedentes do debate entre monetaristas e desenvolvimentistas [Metallists Vs. "Paper moneyists": theoretical origins and what preceded the debate between monetarists and developmentalists]
    by Pedro Cezar Dutra Fonseca & Maria de Lourdes Rollemberg Mollo

  • 2012 Using confidence indicators for the assessment of the cyclical position of the economy
    by Olivér Miklós Rácz

  • 2012 Monetary Policy Facing Fiscal Indiscipline under Generalized Timing of Actions
    by Jan Libich & Petr Stehlík

  • 2012 The Financial Crisis in Japan: Causes and Policy Reactions by the Bank of Japan
    by Uwe Vollmer & Ralf Bebenroth

  • 2012 Monetary analysis: The question of the nature and the role of money
    by Rémi Stellian

  • 2012 Egykulcsos jövedelemadó és gazdasági növekedés
    by Erdős, Tibor

  • 2012 A VAR Analysis on the Monetary Policy Transmission Mechanism in Romania
    by BIRMAN Andrei

  • 2012 Comparing South African Inflation Volatility Across Monetary Policy Regimes: An Application of Saphe Cracking
    by Rangan Gupta & Josine Uwilingiye

  • 2012 When Do Costa Rica National Banks Respond To Reserve Requirement Changes?
    by Terrance Jalbert & Jonathan Stewart & Mercedes Jalbert

  • 2012 Reserve Currencies: Factors of Evolution and their Role in the World Economy
    by Sergey Narkevich & Pavel Trunin

  • 2012 Il ruolo della BCE nella crisi economica in Europa
    by Vincenzo Maffeo

  • 2012 The endless eurozone crisis, where do we stand? a classical-kaleckian overview
    by Sergio Cesaratto

  • 2012 Recessions, Budget Deficits and Austerity: A Comment on the USA and European Economies
    by Alex J. Kondonassis

  • 2012 What are banks and bank regulation for? A consideration of the foundations for reform
    by Sheila C. Dow

  • 2012 Price-level targeting when there is price-level drift
    by Gerberding, Christina & Gerke, Rafael & Hammermann, Felix

  • 2012 The Federal Reserve (almost) 100
    by Meltzer, Allan H.

  • 2012 Has the Fed been a failure?
    by Selgin, George & Lastrapes, William D. & White, Lawrence H.

  • 2012 Flexible inflation targets, forex interventions and exchange rate volatility in emerging countries
    by Berganza, Juan Carlos & Broto, Carmen

  • 2012 Optimal clearing arrangements for financial trades
    by Koeppl, Thorsten & Monnet, Cyril & Temzelides, Ted

  • 2012 Current account imbalances and systemic risk within a monetary union
    by Angelini, Elisabetta Croci & Farina, Francesco

  • 2012 Credit creation and social optimality
    by Turner, Adair

  • 2012 Intermediary cost and coexistence puzzle
    by Kim, Young Sik & Lee, Manjong

  • 2012 Exchange rate regime preferences of the international sector. Firm-level evidence
    by Fernández-Albertos, José

  • 2012 Asset price boom–burst cycle as an elastic money response to technological shocks
    by Wong, Chin-Yoong & Eng, Yoke-Kee

  • 2012 Inflation contract, central bank transparency and model uncertainty
    by Dai, Meixing & Spyromitros, Eleftherios

  • 2012 Macroeconomic transitions and the transmission mechanism: Evidence from Turkey
    by Çatık, A. Nazif & Martin, Christopher

  • 2012 Regulation and the market for checks
    by Tumen, Semih

  • 2012 Imperfect interbank markets and the lender of last resort
    by Matsuoka, Tarishi

  • 2012 Do institutional changes affect business cycles? Evidence from Europe
    by Canova, Fabio & Ciccarelli, Matteo & Ortega, Eva

  • 2012 Is inflation targeting a good remedy to control inflation?
    by de Mendonça, Helder Ferreira & de Guimarães e Souza, Gustavo José

  • 2012 Output Volatility and Exchange Rate Considerations Under Inflation Targeting : A Review
    by Marjan Petreski

  • 2012 Is the ‘EURO’ a Defunct Currency?
    by Constantinos Alexiou & Joseph Nellis

  • 2012 Konjunkturelle Ausgleichszahlungen als Stabilisierungsinstrument in der Europäischen Währungsunion
    by Kerstin Bernoth & Philipp Engler

  • 2012 Mutations at the Level of the Measures Adopted by Monetary Authorities
    by Marius Constantin APOSTOAIE & Stefan MATEI

  • 2012 El análisis monetario: la cuestión de la naturaleza y el papel de la moneda
    by Stellian, Rémi

  • 2012 ¿Responde el Banco de la República a los movimientos en la tasa de cambio real?
    by Egberto Alexander Riveros Saavedra

  • 2012 Dinámica de la política monetaria e inflación objetivo en Colombia: una aproximación FAVAR
    by Andrés Felipe Londoño & Jorge Andrés Tamayo & Carlos Alberto Velásquez

  • 2012 Manuel de Pombo: precursor de la banca central independiente en época de la Independencia
    by Roberto Junguito

  • 2012 Colombia‘s Recent History of Monetary Policy from 1990 to 2010
    by Andrés Giraldo & Martha Misas & Edgar Villa

  • 2012 Internal vs external devaluation
    by Sophie Piton & Yves-Emmanuel Bara

  • 2012 Regime shifts and inflation uncertainty in Peru
    by Paúl Castillo & Alberto Humala & Vicente Tuesta

  • 2012 Debit, Credit and Cell: Making Canada a Leader in the Way We Pay
    by Philippe Bergevin & Todd Zywicki

  • 2012 Debit, Credit and Cell: Making Canada a Leader in the Way We Pay
    by Philippe Bergevin & Todd Zywicki

  • 2012 Transparency analysis in the function of central bank objective
    by Novak Kondić & Borivoje D. Krušković

  • 2012 Does the currency board regime provide an exit strategy: example of the transition economy in the process of EU/EMU accession
    by Jelena Galic

  • 2012 The Revolution Of Digital Technology
    by SERBU Razvan & DANCIU Aniela

  • 2012 Modern Technology In Rural Characteristics
    by SERBU Razvan

  • 2012 La fin des échanges des billets en francs
    by PALAZZESCHI, E. & RUIMY, M.

  • 2012 Dinámica de la política monetaria e inflación objetivo en Colombia: una aproximación FAVAR
    by Andrés Felipe Londoño & Jorge Andrés Tamayo & Carlos Alberto Velásquez

  • 2012 Colombia‘s Recent History of Monetary Policy from 1990 to 2010
    by Andrés Giraldo & Martha Misas & Edgar Villa

  • 2012 Ecb new policy and instruments in the years of the crisis
    by Alberto Banfi & Fiorenzo Di Pasquali

  • 2012 The Euro Area Crisis
    by Luiza Loredana Nastase

  • 2012 Currency Disintegration: Two Scenarios of Withdrawal
    by Dirk Meyer

  • 2011 The Monetary Instrument in a Unionised Economy: Flexible Inflation Targeting versus Fixed Money Growth
    by Marcelo Sánchez

  • 2011 Chinese Exchange Rates and Reserves from a Basic Monetary Approach Perspective
    by Putnam, Bluford & Silver, Stephen & Wilford, D Sykes

  • 2011 Regaining Financial Stability: Taming Financial Markets Is a Must – a Focus on NMSs
    by Dăianu Daniel

  • 2011 Türkiye’de enflasyon beklentilerinin çapalanması ve güvenilirlik
    by Serkan ÇİÇEK & Cüneyt AKAR & Eray YÜCEL

  • 2011 The coexistence of commodity money and fiat money
    by Olivier Ledoit & Sébastien Lotz

  • 2011 What Might Central Banks Lose or Gain in Case of Euro Adoption – A GARCH-Analysis of Money Market Rates for Sweden, Denmark and the UK
    by Buscher, Herbert S. & Gabrisch, Hubert

  • 2011 Currency movements within and outside a currency union: The case of Germany and the euro area
    by Seitz, Franz & Rösl, Gerhard & Bartzsch, Nikolaus

  • 2011 Foreign demand for euro banknotes issued in Germany: Estimation using indirect approaches
    by Bartzsch, Nikolaus & Rösl, Gerhard & Seitz, Franz

  • 2011 Der Auslandsumlauf deutscher Euro-Banknoten: Schätzung mit indirekten Ansätzen
    by Bartzsch, Nikolaus & Rösl, Gerhard & Seitz, Franz

  • 2011 Foreign demand for euro banknotes issued in Germany: Estimation using direct approaches
    by Bartzsch, Nikolaus & Rösl, Gerhard & Seitz, Franz

  • 2011 Der Auslandsumlauf deutscher Euro-Banknoten: Schätzung mit direkten Ansätzen
    by Bartzsch, Nikolaus & Rösl, Gerhard & Seitz, Franz

  • 2011 Currency blocs in the 21st century
    by Fischer, Christoph

  • 2011 How Flexible Can Inflation Targeting Be and Still Work?
    by Kenneth Kuttner & Adam Posen

  • 2011 Living with a Monetary System infected by Bubbles
    by Benjamin Eden

  • 2011 Intergenerational Intermediation and Altruistic Preferences
    by Benjamin Eden

  • 2011 The Optimality and Controllability of Discretionary Monetary Policy
    by Huiping Yuan & Stephen M. Miller

  • 2011 From Gutsherrschaft to Grundherrschaft: Demographic, Monetary, and Fiscal Factors in the Late-Medieval Decline of English Manorial Desmesne Agriculture
    by John H. Munro

  • 2011 Identifying the Weights in Exchange Market Pressure
    by Franc Klaassen

  • 2011 Relative Inflation in the EU Accession Countries of Central and Eastern Europe
    by Hiranya Nath & Kiril Tochkov

  • 2011 Talking to the inattentive Public: How the media translates the Reserve Bank’s communications
    by Monique Reid & Stan du Plessis

  • 2011 Interoperability between central counterparties
    by Jürg Mägerle & Thomas Nellen

  • 2011 Exploring an uncharted market: Evidence on the unsecured Swiss franc money market
    by Basil Guggenheim & Sébastien Philippe Kraenzlin & Silvio Schumacher

  • 2011 Talking to the inattentive public: How the media translates the Reserve Bank’s communications
    by Monique Reid & Stan Du Plessis

  • 2011 E-Government Adoption - An Objective Need Or Fashionable Tendency In Organizational Transformation
    by Cezar VASILESCU

  • 2011 Rethinking wage policy in the face of the Euro crisis: Implications of the wage-led demand regime
    by Onaran, Ozlem & Stockhammer, Engelbert

  • 2011 Monetary Policy and Stock Market Booms
    by Christiano, Lawrence & Ilut, Cosmin & Motto, Roberto & Rostagno, Massimo

  • 2011 Macroeconomic policy for employment creation: The case of Malawi
    by Deraniyagala, Sonali & Kaluwa, Ben

  • 2011 The development of a regional payment system in Central America: A step towards further integration and economic development
    by Heinrich, Gregor & García Dubón, Enrique

  • 2011 Money creation and control from Islamic perspective
    by Hasan, Zubair

  • 2011 Eurosystem debts, Greece, and the role of banknotes
    by Whittaker, John

  • 2011 Intra-eurosystem debts
    by Whittaker, John

  • 2011 Optimum currency area: an epistemological view
    by Puiu, Cristina

  • 2011 How the Future Shaped the Past: The Case of the Cashless Society
    by Batiz-Lazo, Bernardo & Haigh, Thomas & stearns, David L.

  • 2011 Mode of compensation to internally displaced persons (IDPs) from Thar coalfields areas of Sindh
    by Herani, Gobind M.

  • 2011 Monetarism
    by Juravle, Daniel

  • 2011 Get rid of banks and build up a modern financial world
    by Lenz, Rainer

  • 2011 How to end to the debt crisis in one month
    by Punabantu, Siize

  • 2011 Monetary-fiscal-trade policy and economic growth in Pakistan: time series empirical investigation
    by Syed tehseen, jawaid & Faisal sultan, qadri & Nasir, ali

  • 2011 Monetary-fiscal-trade policy and economic growth in Pakistan: Time series empirical investigation
    by Jawaid, Syed Tehseen & Faisal Sultan Qadri, Faisal & Ali, Nasir

  • 2011 Exchange rate arrangements and misalignments: contrasting words and deeds
    by Yougbaré, Lassana

  • 2011 TARGET2 Unlimited: Monetary Policy Implications of Asymmetric Liquidity Management within the Euro Area
    by Abad, José M & Loeffler, Axel & Zemanek, Holger

  • 2011 Integrarea pietei bursiere europene in contextul UEM
    by Avadanei, Andreea

  • 2011 European countries with a diagnosis of financial default: expectancy and fear of its announcement in Ukraine
    by Konchyn, Vadym

  • 2011 Analiza inițiativelor de promovare a integrării financiare la nivelul Uniunii Economice și Monetare
    by Avadanei, Andreea

  • 2011 Perspectives on Fulfilling the Nominal and Real Convergence Criteria by Romania for the Adoption of Euro Currency
    by Geza, Paula & Giurca Vasilescu, Laura

  • 2011 Bretton Woods Fixed Exchange Rate System versus Floating Exchange Rate System
    by Geza, Paula & Giurca Vasilescu, Laura

  • 2011 The Optimum Currency Area. Is the Euro Zone an Optimum Currency Area?
    by Geza, Paula & Giurca Vasilescu, Laura

  • 2011 Implicații ale politicii monetare unice în susținerea integrării financiare europene
    by Avadanei, Andreea

  • 2011 O abodare de ansamblu privind provocările adoptării euro: cazul României
    by Avadanei, Andreea

  • 2011 Money creation and control from Islamic perspective
    by Hasan, Zubair

  • 2011 Divergent competitiveness in the eurozone and the optimum currency area theory
    by João Rebelo Barbosa & Rui Henrique Alves

  • 2011 Está na hora de Portugal sair da Zona Euro
    by Pedro Cosme Costa Vieira

  • 2011 The Contemporaneous Correlation of Structural Shocks and Inflation— Output Variability in Pakistan
    by Muhammad Nasir & Wasim Shahid Malik

  • 2011 Global Macroeconomic and Financial Supervision: Where Next?
    by Charles Goodhart

  • 2011 In the Eye of a Storm: Manhattan's Money Center Banks During the International Financial Crisis of 1931
    by Gary Richardson & Patrick Van Horn

  • 2011 Dollar Illiquidity and Central Bank Swap Arrangements During the Global Financial Crisis
    by Andrew K. Rose & Mark M. Spiegel

  • 2011 The Continental Dollar: Initial Design, Ideal Performance, and the Credibility of Congressional Commitment
    by Farley Grubb

  • 2011 State Redemption of the Continental Dollar, 1779-1790
    by Farley Grubb

  • 2011 Government Policy, Credit Markets and Economic Activity
    by Lawrence Christiano & Daisuke Ikeda

  • 2011 Trade, Exchange Rate Regimes and Output Co-Movement: Evidence from the Great Depression
    by Gabriel P. Mathy & Christopher M. Meissner

  • 2011 Poland on the road to the euro: How serious is the risk of boom-bust cycles after the euro adoption? An empirical analysis
    by Agnieszka Stążka-Gawrysiak

  • 2011 The evolution of Alexandre Lamfalussy's thought on the international and European monetary system (1961-1993)
    by Ivo Maes

  • 2011 How flexible can inflation targeting be and still work?
    by Kuttner, Kenneth & Posen, Adam

  • 2011 What drives cash demand? Transactional and residual cash demand in selected countries
    by Sisak Balázs

  • 2011 Rent-Seeking Origins of Central Banks: The Case of the Federal Reserve System
    by Tomas Otahal

  • 2011 Inflation Perception and Anticipation Gaps in the Eurozone
    by Svatopluk Kapounek & Lubor Lacina

  • 2011 Central Banking in an Era of Quantitative Easing
    by Andrew Sheng

  • 2011 The Financial Crisis Viewed from the Perspective of the “Social Costs” Theory
    by L. Randall Wray

  • 2011 Keynes after 75 Years: Rethinking Money as a Public Monopoly
    by L. Randall Wray

  • 2011 Money in Finance
    by L. Randall Wray

  • 2011 Predetermined Exchange Rate, Monetary Targeting, and Inflation Targeting Regimes
    by Shigeto Kitano

  • 2011 External Monetary Shocks and Monetary Integration: Evidence from the Bulgarian Currency Board
    by Minea, Alexandru & Rault, Christophe

  • 2011 External Monetary Shocks and Monetary Integration: Evidence from the Bulgarian Currency Board
    by Minea, Alexandru & Rault, Christophe

  • 2011 Transformation of payment systems: The case of European Union enlargement
    by Francisco José Callado Muñoz & Jana Hromcová & Natalia Utrero González

  • 2011 History of monetary policy in India since independence
    by Ashima Goyal

  • 2011 How Flexible Can Inflation Targeting Be and Still Work?
    by Kenneth N. Kuttner & Adam S. Posen

  • 2011 Unit of Account, Medium of Exchange, and Prices
    by Young Sik Kim & Manjong Lee

  • 2011 Intermediary Cost and Coexistence Puzzle
    by Young Sik Kim & Manjong Lee

  • 2011 The Implementation of Monetary Policy in China: The Interbank Market and Bank Lending
    by Hongyi Chen & Qianying Chen & Stefan Gerlach

  • 2011 Belling the cat: Eli F. Heckscher on the gold standard as a discipline device
    by Fregert, Klas

  • 2011 Symmetry of External Shock responses within the Andean Community of Nations: A SVAR Approach
    by Andrea Gabriela Bonilla Bolaños

  • 2011 Russia's Monetary Policy in 2010
    by Pavel Trunin

  • 2011 Currency Union and Investment Flows: Estimating the Euro Effect on FDI
    by Marián Dinga & Vilma Dingová

  • 2011 How Are Inflation Targets Set?
    by Roman Horváth & Jakub Matějů

  • 2011 Estimating Central Bank preferences in a small open economy: Sweden 1995-2009
    by Gaetano D’Adamo

  • 2011 Count, trade, venture and desire: why money is at the core of decentralized economies
    by Fabrice Tricou

  • 2011 Right on Target: Exploring the Determinants of Inflation Targeting Adoption
    by Hanna Samaryna & Jakob de Haan

  • 2011 Is this bank ill? The diagnosis of doctor TARGET2
    by Ronald Heijmans & Richard Heuver

  • 2011 Monitoring the unsecured interbank money market using TARGET2 data
    by Ronald Heijmans & Richard Heuver & Daniëlle Walraven

  • 2011 The Continental Dollar: Initial Design, Ideal Performance, and the Credibility of Congressional Commitment
    by Farley Grubb

  • 2011 State Redemption of the Continental Dollar, 1779-1790
    by Farley Grubb

  • 2011 Floating against the tide : Spanish monetary policy, 1870-1931
    by Nogues-Marco, Pilar & Martínez Ruiz, Elena & Martín-Aceña, Pablo

  • 2011 Competing bimetallic ratios: Amsterdam, London and bullion arbitrage in the 18th century
    by Nogues-Marco, Pilar

  • 2011 Monetary Policy and TIPS Yields before the Crisis
    by Gerlach, Stefan & Moretti, Laura

  • 2011 Money, Financial Stability and Efficiency
    by Allen, Franklin & Carletti, Elena & Gale, Douglas M

  • 2011 A Century of Inflation Forecasts
    by D'Agostino, Antonello & Surico, Paolo

  • 2011 Cuantificación de la contribución de las fuentes de liquidez en el Sistema de Pagos de Alto Valor en Colombia: una aproximación preliminar
    by Joaquín Bernal R. & Freddy Cepeda L. & Fabio Ortega C

  • 2011 How are Inflation Targets Set?
    by Roman Horvath & Jakub Mateju

  • 2011 Rent Dissipation or Government Predation? The Notes Issuance Activity in Italy 1865-1882
    by Antoine Gentier & Giuseppina Gianfreda & Nathalie Janson

  • 2011 Was Bernanke Right? Targeting Asset Prices may not be a Good Idea after all
    by Tiziana Assenza & Michele Berardi & Domenico Delli Gatti

  • 2011 External Monetary Shocks and Monetary Integration: Evidence from the Bulgarian Currency Board
    by Alexandru Minea & Christophe Rault

  • 2011 Role of the U.S. Dollar in International Financial System
    by Mária Vojtková

  • 2011 Metas de Inflação, Crescimento e Estabilidade Macroeconômica Uma análise a partir de um modelo póskeynesianomacrodinâmico não-linear
    by Breno Santana Lobo & José Luis Oreiro

  • 2011 Flexible inflation targets, forex interventions and exchange rate volatility in emerging countries
    by Berganza, Juan Carlos & Broto, Carmen

  • 2011 Intraday two-part tariff in payment systems
    by Ota, Tomohiro

  • 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 Foreign exchange reserve management in the 19th century: The National Bank of Belgium in the 1850s
    by Stefano Ugolini

  • 2011 Where it all began: lending of last resort and the Bank of England during the Overend-Gurney panic of 1866
    by Marc Flandreau & Stefano Ugolini

  • 2011 The Exchange Rate Pass-Through in the New EU Member States
    by Jimborean, R.

  • 2011 Flexible inflation targets, forex interventions and exchange rate volatility in emerging countries
    by Juan Carlos Berganza & Carmen Broto

  • 2011 Counterfeit Quality and Verification in a Monetary Exchange
    by Ben Fung & Enchuan Shao

  • 2011 Analyzing Default Risk and Liquidity Demand during a Financial Crisis: The Case of Canada
    by Jason Allen & Ali Hortaçsu & Jakub Kastl

  • 2011 The End of Loser Liberalism: Making Markets Progressive
    by Dean Baker

  • 2011 Le Trueque argentin au prisme de la dette : une socioéconomie des pratiques monétaires et financières
    by Saiag, Hadrien

  • 2011 Issuing central bank securities
    by Garreth Rule

  • 2011 The Euro Area Ten Years after Its Creation: (Divergent) Competitiveness and the Optimum Currency Area Theory
    by João Rebelo Barbosa & Rui Henrique Alves

  • 2011 The Euro Crisis Or The Crisis Of The Euro Zone
    by Pop, Napoleon & Lupu, Iulia & Milea, Camelia & Criste, Adina & Iordache, Floarea & Alinca, Alina Georgeta

  • 2011 Possible Directions Of European Union Economic Governance During The Present Period
    by Ailinca, Alina Georgeta & Iordache, Floarea

  • 2011 Sovereign Wealth Funds. A complete guide to state-owned investment funds
    by Alberto Quadrio Curzio & Valeria Miceli

  • 2011 Monetary Policy and Natural Disasters in a DSGE Model
    by Benjamin D. Keen & Michael R. Pakko

  • 2011 Du keynésianisme au libertarianisme.La place de la monnaie dans les transformations du savoir économique autorisé
    by Théret, Bruno

  • 2011 Endettement des États et crise de l’euro
    by Billaudot, Bernard

  • 2011 Structural reforms proposed by the International Monetary Fund and their impact on Romanian economy during the last financial crisis
    by Lucretia Mariana Constantinescu & Leonardo Badea & Violeta Dragoi

  • 2011 The Interdependence between the Level of Domestic Prices and the Price Level in the Developed Countries
    by Angelica BACESCU-CARBUNARU & Monica CONDRUZ-BACESCU

  • 2011 Virtual currency trading: friend or foe?
    by BARBALAU, Adelina-Georgiana

  • 2011 Virtual currency trading: friend or foe?
    by BARBALAU, Adelina-Georgiana

  • 2011 The Role of Gold in the Monetary System
    by Zbyněk Revenda

  • 2011 The Contemporaneous Correlation of Structural Shocks and Inflation-Output Variability in Pakistan
    by Muhammad Nasir & Wasim Shahid Malik

  • 2011 The Function of Local Currencies in Local Economic Development
    by István Balázs Tóth

  • 2011 Central Banks’ Unconventional Policies within the Context of the Most Critical Global Financial Crisis of the 21st Century
    by Apostoaie Marius Constantin & Ciortescu Elena

  • 2011 Optimum Currency Areas Theory: Economic Foundation for Monetary Unification
    by Voinea Gheorghe & Avãdanei Andreea

  • 2011 Rose Effect: How Far Can it be Argued that the Euro Increased Trade?
    by Puiu Cristina

  • 2011 Comparative Analysis between the Economies of the Euro Area and the USA
    by Puiu Cristina

  • 2011 Security of the Accounting Information System Infrastructure
    by Mihalache D. Arsenie-Samoil

  • 2011 The Audit of Accounting Information System Infrastructure
    by Mihalache D. Arsenie-Samoil

  • 2011 Literature Review on the Economic Effects of the Euro on Austria
    by Christian Beer

  • 2011 A Markov Switch to Inflation Targeting in Emerging Market Peggers with a Focus on the Czech Republic, Poland and Hungary
    by Marjan Petreski

  • 2011 Hungarian Clearing Turnover in the Context of the Past Fifteen Years
    by Levente Kovács & Zsolt Pál

  • 2011 A hazai elszámolásforgalom az elmúlt másfél évtized tükrében
    by Levente Kovács & Zsolt Pál

  • 2011 An Optimal Fiscal Policy Rule for the Colombian Economy: A Dynamic Stochastic General Equilibrium Approach
    by Juan Galvis & Juan Bedoya & Ruben Loaiza

  • 2011 Labour Mobility As An Adjustment Mechanism In The Euro Area
    by Cristina Puiu

  • 2011 Causas e implicaciones de la crisis financiera internacional en la economía de Estados Unidos y China
    by Baltazar-Hernández, Juan carlos

  • 2011 The Argentine Economy after Two Centuries
    by Francisco Buera & Gaston Navarro & Juan Pablo Nicolini

  • 2011 Commentary: Remarks on Unconventional Monetary Policy
    by Lawrence Christiano

  • 2011 Did Confidence Kill The Triffin Plan?
    by Carol M Connell

  • 2011 Innovations in the sphere of payments and the money demand in Russia
    by Elena Sinelnikova-Muryleva

  • 2011 O “novo” consenso macroeconômico e alguns insights da crítica heterodoxa
    by Mutter Teixeira , Anderson & J. Missio , Fabricio

  • 2011 Dinámica macroeconómica con metas de inflación y déficit fiscal
    by Mendoza Bellido, Waldo

  • 2011 International capital movements, speculation, and the 'conservation of saving' principle. A 'Harcourtian' interpretation of global imbalances and the global crisis
    by Lilia Costabile

  • 2011 Politika deviznog kursa i stopa rasta u zemljama jugoisto?ne Evrope (na primerima Srbije i Hrvatske)
    by Ivan Milenkovi? & Milenko Popovi?

  • 2011 How much should inflation targeters care about the exchange rate?
    by Garcia, Carlos J. & Restrepo, Jorge E. & Roger, Scott

  • 2011 Do the ASEAN countries and Taiwan form a common currency area?
    by Binner, Jane & Chen, Shu-Heng & Lai, Ke-Hung & Mullineux, Andrew & Swofford, James L.

  • 2011 Optimal versus realized policy rules in a regime-switching framework
    by Pardo, S. & Rautureau, N. & Vallée, T.

  • 2011 The effects of the monetary policy regime shift to inflation targeting on the real interest rate in the United Kingdom
    by Reschreiter, Andreas

  • 2011 Price Effects of Monetary Policy: The Case of a Small Open Economy of New Zealand
    by Shahnawaz Karim & Minsoo Lee & Christopher Gan

  • 2011 Monetary-Fiscal-Trade Policy and Economic Growth in Pakistan: Time Series Empirical Investigation
    by Syed Tehseen Jawaid & Faisal Sultan Qadri & Nasir Ali

  • 2011 Die Zukunft des internationalen Währungssystems
    by Ansgar Belke & Kerstin Bernoth & Ferdinand Fichtner

  • 2011 The Future of the International Monetary System
    by Ansgar Belke & Kerstin Bernoth & Ferdinand Fichtner

  • 2011 Inflation Targeting in Latin America: Toward a Monetary Union?
    by Marc Hofstetter

  • 2011 Money: origin and essence
    by LEONIDAS ZELMANOVITZ

  • 2011 Una regla de política fiscal óptima para la economía colombiana: aproximación desde un modelo de equilibrio general dinámico y estocástico
    by Galvis Ciro, Juan Camilo & Bedoya Ospina, Juan Guillermo & Loaiza Maya, Rubén Albeiro

  • 2011 Estimación de la curva de Phillips neokeynesiana para Colombia: 1990-2006
    by Galvis Ciro, Juan Camilo

  • 2011 A note on the societal benefits of illiquid bonds
    by David Andolfatto

  • 2011 Exchange Rate Policy and Regional Integration in Asia
    by Michel Aglietta & Claire Labonne & Françoise Lemoine

  • 2011 Erinnerungen an die deutschen Währungsreformen
    by Stefan Homburg

  • 2011 La nouvelle régulation bancaire microprudentielle : principes, incidences et limites
    by Jean-Paul Pollin

  • 2011 Monetary Stimulus: Through Wall Street or Main Street?
    by Diego E. Vacaflores

  • 2011 Dinámica de ajuste de precios en Boliva: un análisis con micro-datos
    by Martín Palmero Pantoja & Nelson Chacón Rendón

  • 2011 French overseas territories and the euro
    by N. de Sèze. & R. Bardy. & A. Marchand.

  • 2011 L’outre-mer français et l’euro
    by de SÈZE, N. & BARDY, R. & MARCHAND, A.

  • 2011 The Influence of Interbank Money Market Stress Levels on Credit Markets During the Postcrisis Period in US And Euro Area
    by Đorđe Đukić & Mališa Đukić

  • 2011 The evolution of the retail payment system: impacts on banks
    by Paolo Agnese

  • 2011 Monetary Integration, From Theory To Practice
    by Laura-Cristina IVANESCU

  • 2011 Payment Systems
    by James McAndrews & Ed Nosal & Guillaume Rocheteau

  • 2011 How Monetary Policy Affects Poverty: Nexus and Consequences
    by Ayub Mehar

  • 2011 The Eurozone where to?
    by Marin OPRITESCU & Mircea PERPELEA & Mihaita DUTA

  • 2011 The Implications Of The Accession To The Economic And Monetary Union (Emu) For The Countries Outside The Eurozone
    by Assoc. Prof. Roxana Bdîrcea Ph. D*, Assoc. Prof. Radu Buziernescu Ph. D

  • 2011 Themonetary Policy Instruments In European Union
    by Assoc. Prof. Diana Viorica Lupu Ph. D, Assist. Irina Liliana Rotundu Ph. D Student

  • 2011 The Economic Crisis In Europe. Monetary Implications
    by Anca TANASIE

  • 2011 Assessing The Performance Of Monetary Policy Under Economic Reform And Structural Adjustment Program: The Case Of Egypt
    by Ibrahim L. AWAD

  • 2011 The Impact of Inflation Targeting on Inflation Volatility in South Africa
    by Irrshad Kaseeram & Eleftherios Contogiannis

  • 2011 Non-Keynesian Effects of Fiscal Expansion on Real Interest Rates
    by Yaron Zelekha

  • 2011 Whither the TARGET2 System? Taking a Glance at the Real Economic Facets of the Euro-Area Debt Crisis
    by Christian Fahrholz & Andreas Freytag

  • 2011-2012 EMU – “Optimum” or “Viable” Currency Area?
    by Iulia Andreea Bucur

  • 2011, 3rd quarter update European Monetary Union
    by Paul De Grauwe

  • 2011, 3rd quarter update European Union Budget
    by Mojmir Mrak

  • 2011, 2nd quarter update European monetary integration
    by David G. Mayes

  • 2010 Resurrecting Equilibria Through Cycles in an Overlapping Generations Model of Money
    by Barnett, Richard C. & Bhattacharya, Joydeep & Bunzel, Helle

  • 2010 Disinflation against the Environment? An application to the trade-off between seigniorage and deforestation
    by Jean-Louis COMBES & Pascale COMBES MOTEL & Alexandru MINEA & Patrick VILLIEU

  • 2010 Preventing the Next Great Meltdown
    by Levine, David

  • 2010 Collective Pegging to an External Currency: Lessons from a Three-Country Model
    by Bangaké, Chrysost & Desquilbet, Jean-Baptiste

  • 2010 Keynes's Lost Distinction Between Industrial and Financial Circulation of Money
    by Jespersen, Jesper

  • 2010 Banii, băncile centrale, politica monetară şi reglementarea sistemului bancar modern
    by Păun Cristian

  • 2010 De ce trebuie să ţinem cont când reformăm economia mondială
    by Croitoru Lucian

  • 2010 The Euro-project at risk
    by Hankel, Wilhelm & Hauskrecht, Andreas & Stuart, Bryan

  • 2010 Driven by the Markets? ECB Sovereign Bond Purchases and the Securities Markets Programme
    by Belke, Ansgar

  • 2010 How Much Fiscal Backing Must the ECB Have? – The Euro Area is not the Philippines
    by Belke, Ansgar

  • 2010 Credit money and macroeconomic instability in the agent-based model and simulator Eurace
    by Cincotti, Silvano & Raberto, Marco & Teglio, Andrea

  • 2010 The crisis and beyond: thinking outside the box
    by Hillinger, Claude

  • 2010 Price-level targeting when there is price-level drift
    by Gerberding, Christina & Gerke, Rafael & Hammermann, Felix

  • 2010 Policing the Chain Gang: Panel Cointegration Analysis of the Stability of the Sufforl System, 1825-1858
    by Andrew T. Young & John A. Dove

  • 2010 An Overhaul of a Doctrine: Has Inflation Targeting Opened a New Era in Developing-country Peggers?
    by Marjan Petreski

  • 2010 Financial stability, monetary autonomy and fiscal interference: Bulgaria in search of its way, 1879-1913
    by Kalina Dimitrova & Luca Fantacci

  • 2010 Is the New Keynesian Explanation of the Great Dis-Inflation Consistent with the Cross Country Data?
    by Matthew Doyle & Jean-Paul Lam

  • 2010 Nominal Price Shocks in Monopolistically Competitive Markets: An Experimental Analysis
    by Douglas D. Davis & Korenok Oleg

  • 2010 The Troubling Economics and Politics of Paying Interest on Bank Reserves: A Critique of the Federal Reserve’s Exit Strategy
    by Thomas I. Palley

  • 2010 The Financial Crisis: What have macroeconomists learnt?
    by Jagjit S. Chadha

  • 2010 Is low inflation really causing the decline in exchange rate pass-through?
    by Miguel A. León-Ledesma & Reginaldo P. Nogueira Júnior

  • 2010 Reconsidering the link between fiscal policy and interest rates in Australia
    by Yong Hong Yan & Shane Brittle

  • 2010 The Future of the Sino-American Co-Dependency
    by Luigi Bonatti & Andrea Fracasso

  • 2010 The China-US co-dependency and the elusive costs of growth rebalancing
    by Luigi Bonatti & Andrea Fracasso

  • 2010 The Coinages and Monetary Policies of Henry VIII (r. 1509-1547): Contrasts between Defensive and Aggressive Debasements
    by John H. Munro

  • 2010 The Macroeconomics of the Credit Crisis: In Search of Externalities for Macro-Prudential Supervision
    by Frank A.G. den Butter

  • 2010 Loud and clear? Can we hear when the SARB speaks?
    by Monique Reid & Stan du Plessis

  • 2010 Structural Interactions in Spatial Panels
    by Arnab Bhattacharjee & Sean Holly

  • 2010 Time Variation in U.S. Wage Dynamics
    by B. HOFMANN & G. PEERSMAN & R. STRAUB

  • 2010 The Eurozone in the Current Crisis
    by Wyplosz, Charles

  • 2010 Liberalization and Regulation of Capital Flows: Lessons for Emerging Market Economies
    by Mohan, Rakesh & Kapur, Muneesh

  • 2010 Inflation, Oil Price Volatility and Monetary Policy
    by Castillo, Paul & Montoro, Carlos & Tuesta, Vicente.

  • 2010 Renovation of the Global Reserve Regime: Concepts and Proposals
    by Peter B. Kenen

  • 2010 Will China Have Serious Inflation?
    by Gregory C. Chow

  • 2010 Commentary on Policy at the Zero Lower Bound
    by Christopher A. Sims

  • 2010 How Central Should the Central Bank Be?
    by Alan S. Blinder

  • 2010 El fortalecimiento institucional de los bancos centrales
    by Heinrich, Gregor

  • 2010 Deficit Financing and Inflation in Bangladesh: A Vector Autoregressive Analysis
    by Kreiter, Zebulun & Paul, Tapas Kumar

  • 2010 Adopción de metas de inflación y su impacto en las expectativas de inflación y volatilidad del crecimiento económico: evidencia empírica para Bolivia
    by Valdivia, Daney & Loayza, Lilian

  • 2010 La coordination en économie: un essai sur la monnaie
    by ULGEN, Faruk

  • 2010 Banii, băncile centrale, politica monetară şi reglementarea sistemului bancar modern
    by Paun, Cristian

  • 2010 An empirical estimation of Balassa – Samuelson Effect in case of Eastern European Countries
    by Paun, Cristian

  • 2010 Analiza efectelor Zonei Unice de Plati in Euro in contextul crizei financiare internationale
    by Avadanei, Andreea

  • 2010 Aprecierea optimalitatii zonei monetare Euro
    by Puiu, Cristina

  • 2010 Perspectives on Single Euro Payments Area adoption in the light of the financial crisis
    by Avadanei, Andreea

  • 2010 Endogenitatea criteriilor teoriei zonei monetare optime
    by Puiu, Cristina

  • 2010 The history of the Swedish ATM - Sparfrämjandet and Metior
    by Thodenius, Björn & Batiz-Lazo, Bernardo & Karlsson, Tobias

  • 2010 Functions of Central Bank of Kosovo and the need for their advancement
    by Lluka, Valon

  • 2010 The Euro-Project at Risk
    by Hauskrecht, Andreas & Stuart, Bryan & Hankel, Wilhelm

  • 2010 Islamic Finance:Structure-objective mismatch and its consequences
    by Hasan, Zubair

  • 2010 Islamic Finance:Sructure-objective mismatch and its consequences
    by Hasan, Zubair

  • 2010 Redundancy or Mismeasurement? A Reappraisal of Money
    by Hendrickson, Joshua

  • 2010 Government borrowing is pointless where a government issues its own currency
    by Musgrave, Ralph S.

  • 2010 Monetary Policy & Monetary Regime in an Interest Free Economy: An Alternate Approach In Monetary Economics amidst Great Recession
    by Shaikh, Salman

  • 2010 Preparing for Euro Adoption in Poland
    by Rafal Kierzenkowski

  • 2010 Monetary Policy Reaction Functions in the OECD
    by Douglas Sutherland

  • 2010 Monetary Policy Responses to the Crisis and Exit Strategies
    by Makoto Minegishi & Boris Cournède

  • 2010 Inflation Targeting
    by Lars E.O. Svensson

  • 2010 Monetary Policy and Stock Market Booms
    by Lawrence Christiano & Cosmin L. Ilut & Roberto Motto & Massimo Rostagno

  • 2010 Precautionary Hoarding of Liquidity and Inter-Bank Markets: Evidence from the Sub-prime Crisis
    by Viral V. Acharya & Ouarda Merrouche

  • 2010 Did France Cause the Great Depression?
    by Douglas A. Irwin

  • 2010 Monetization and Growth in Colonial New England, 1703-1749
    by Peter L. Rousseau & Caleb Stroup

  • 2010 The Performance of Alternative Monetary Regimes
    by Laurence M. Ball

  • 2010 Interpreting the Unconventional U.S. Monetary Policy of 2007-09
    by Ricardo Reis

  • 2010 The Fall of the Vanishing Interim Regime Hypothesis: Towards a New Paradigm of the Choice of the Exchange Rate Regimes
    by Michal Jurek

  • 2010 A century of macroeconomic and monetary thought at the National Bank of Belgium
    by Ivo Maes

  • 2010 The development of monetary policy in the 20th century – some reflections
    by Otmar Issing

  • 2010 Monetary developments and decolonization in Ethiopia
    by Arnaldo MAURI

  • 2010 The Impact of Inflation Targeting: Testing the Good Luck Hypothesis
    by Federico Ravenna

  • 2010 Quantitative Easing and Proposals for Reform of Monetary Policy Operations
    by Scott Fullwiler & L. Randall Wray

  • 2010 Bernanke’s Paradox: Can He Reconcile His Position on the Federal Budget with His Recent Charge to Prevent Deflation?
    by Pavlina R. Tcherneva

  • 2010 The "Keynesian Moment" in Policymaking, the Perils Ahead, and a Flow-of-funds Interpretation of Fiscal Policy
    by Andrea Terzi

  • 2010 Changes in Central Bank Procedures during the Subprime Crisis and Their Repercussions on Monetary Theory
    by Marc Lavoie

  • 2010 Imperfect Interbank Markets and the Lender of Last Resort
    by Tarishi Matsuoka

  • 2010 Liquidity, Interbank Market, and Capital Formation
    by Tarishi Matsuoka

  • 2010 Policy Reactions to the Financial Crisis in Japan: Lessons from the 1990s
    by Uwe Vollmer & Ralf Bebenroth

  • 2010 Direct pricing of retail payment methods: Norway vs. US
    by Francisco José Callado Muñoz & Jana Hromcová & Natalia Utrero González

  • 2010 The Euro-Project at Risk
    by Wilhem Hankel & Andreas Hauskrecht & Bryan Stuart

  • 2010 The Effects of Electronic Money on Money Demand: Time Series Analysis
    by Yukinobu Kitamura & Mahito Oomori & Kenta Nishida

  • 2010 A Target-Zone Model with Two Types of Assets
    by Yue Ma & Shu-ki Tsang & Matthew S. Yiu & Wai-Yip Alex Ho

  • 2010 An Analytical Framework for the Hong Kong Dollar Exchange Rate Dynamics under Strong Capital Inflows
    by Matthew S. Yiu & Wai-Yip Alex Ho & Yue Ma & Shu-Ki Tsang

  • 2010 Off-the-record target zones: Theory with an application to Hong Kong's currency board
    by Michael Funke & Yu-Fu Chen & Nicole Glanemann

  • 2010 Country size, Growth and Volatility
    by Olfa Alouini & Paul Hubert

  • 2010 Economic Volatility and Institutional Reforms in Macroeconomic Policymaking: The Case of Fiscal Policy
    by Adam Gersl & Jan Zápal

  • 2010 Latvia’s Recession: The Cost of Adjustment With An “Internal Devaluation”
    by Mark Weisbrot & Rebecca Ray

  • 2010 Inflation in the New EU Countries from Central and Eastern Europe : Theories and panel data estimations
    by Karsten Staehr

  • 2010 Asia confronts the impossible trinity
    by Ila Patnaik & Ajay Shah

  • 2010 Liberalization and Regulation of Capital Flows : Lessons for Emerging Market Economies
    by Rakesh Mohan & Muneesh Kapur

  • 2010 The Eurozone in the Current Crisis
    by Charles Wyplosz

  • 2010 Off-the-Record Target Zones: Theory with an Application to Hong Kong’s Currency Board
    by Yu-Fu Chen & Michael Funke & Nicole Glanemann

  • 2010 Monetary Policy and Stock Market Booms
    by Cosmin L. Ilut & Lawrence J. Christiano & Roberto Motto & Massimo Rostagno

  • 2010 Cooperation for Innovation in Payment Systems: The Case of Mobile Payments
    by Marc Bourreau & Marianne Verdier

  • 2010 Toward a Uniform Functional Model of Payment and Securities Settlement Systems
    by Ron Berndsen

  • 2010 How Much Fiscal Backing Must the ECB Have?: The Euro Area Is Not the Philippines
    by Ansgar Belke

  • 2010 Driven by the Markets?: ECB Sovereign Bond Purchases and the Securities Markets Programme
    by Ansgar Belke

  • 2010 A Double-edged Sword: High Interest Rates in Capital-control Regimes
    by Gylfi Zoega

  • 2010 Monetization and Growth in Colonial New England, 1703-1749
    by Caleb Stroup & Peter Rousseau

  • 2010 Sovereign Default Risk in a Monetary Union
    by Betty C. Daniel & Christos Shiamptanis

  • 2010 An exact pricing formula for European call options on zero-coupon bonds in the run-up to a currency union
    by Gerrit Reher & Bernd Wilfling

  • 2010 Paved with Good Intentions: Global Financial Integration, the Eurozone, and the Imaginary Road to the Fabled Gold Standard
    by Underhill, Geoffrey R D

  • 2010 US Post-war Monetary Policy: What Caused the Great Moderation?
    by Minford, Patrick & Ou, Zhirong

  • 2010 Interpreting the Unconventional U.S. Monetary Policy of 2007-09
    by Reis, Ricardo

  • 2010 Time Variation in U.S. Wage Dynamics
    by Boris Hofmann & Gert Peersman & Roland Straub

  • 2010 How Are Inflation Targets Set?
    by Roman Horvath & Jakub Mateju

  • 2010 Room for Manoeuvre – Monetary Policy Over the Next Eighteen Months, and the Allure of Price-Level Targeting
    by Philippe Bergevin & David Laidler

  • 2010 Room for Manoeuvre – Monetary Policy Over the Next Eighteen Months, and the Allure of Price-Level Targeting
    by Philippe Bergevin & David Laidler

  • 2010 US post-war monetary policy: what caused the Great Moderation?
    by Minford, Patrick & Ou, Zhirong

  • 2010 Structural Interactions in Spatial Panels
    by Bhattacharjee, A. & Holly, S.

  • 2010 Rational Partisan Theory, Uncertainty and Spatial Voting: Evidence for the Bank of England’s MPC
    by Bhattacharjee, A. & Holly, S.

  • 2010 A Post Keynesian Proposal for a Flexible Institutional Arrangement of Inflation Targeting Regime in Emerging Economies
    by José Luis Oreiro & Luiz Fernando de Paula & Gabriel Coelho Squeff

  • 2010 Off-the-record target zones : Theory with an application to Hong Kong's currency board
    by Chen, Yu-Fu & Funke, Michael & Glanemann, Nicole

  • 2010 The impact of payment splitting on liquidity requirements in RTGS
    by Denbee, Edward & Norman, Ben

  • 2010 Liquidity-saving mechanisms in collateral-based RTGS payment systems
    by Jurgilas, Marius & Martin, Antoine

  • 2010 Time-varying dynamics of the real exchange rate. A structural VAR analysis
    by Mumtaz, Haroon & Sunder-Plassmann, Laura

  • 2010 The international monetary system, 1844-1870: Arbitrage, efficiency, liquidity
    by Stefano Ugolini

  • 2010 Interbank overnight interest rates - gains from systemic importance
    by Q. Farooq Akram & Casper Christophersen

  • 2010 Insulation impossible: monetary policy and regional fiscal spillovers in a federation
    by Cooper, R. & Kempf, H. & Peled, D.

  • 2010 Equilibrium yield curves under regime switching
    by Santiago García Verdú

  • 2010 The euro as a reserve currency for global investors
    by Luis M. Viceira & Ricardo Gimeno

  • 2010 Monetary and Exchange Rate Policies
    by Levy Yeyati, Eduardo & Sturzenegger, Federico

  • 2010 The Quest for Stability: the view of financial institutions
    by Hans J. Blommestein & Lex H. Hoogduin & Jolanda J.W. Peeters & Wim W. Boonstra & Verónica Vallés & Christian Weistroffer & Stephan Schulmeister

  • 2010 The Quest for Stability: the macro view
    by Willem H. Buiter & Stefan Gerlach & Clemens J.M. Kool & José Viñals

  • 2010 Regime-Changes in a Stock-Flow-Consistent Model
    by Romar Correa

  • 2010 Credit money and macroeconomic instability in the agent-based model and simulator Eurace
    by Cincotti, Silvano & Raberto, Marco & Teglio, Andrea

  • 2010 The crisis and beyond: Thinking outside the box
    by Hillinger, Claude

  • 2010 East Asia and the Pacific Confronts the “New Normal”
    by Nehru, Vikram

  • 2010 Business Cycle Synchronization Between the Bulgarian Economy and the European Union
    by Atanas Damyanov & Galin Stefanov

  • 2010 How real are Macroeconomic Parameters of Romania during 1989-2009
    by Angelica BACESCU - CARBUNARU

  • 2010 Exchange Market Pressure and De Facto Exchange Rate Regime in the Euro-Candidates
    by Stavarek, Daniel

  • 2010 How Might Cell Phone Money Change the Financial System?
    by Turnbull, Shann

  • 2010 Persistencia Inflacionaria: El Caso Mexicano 2000-2008
    by José Carlos Trejo García & Francisco Venegas-Martínez

  • 2010 Monetární politika evropské centrální banky a její teoretická východiska pohledem postkeynesovské ekonomie
    by Milan Sojka

  • 2010 Why Has the Central Bank of Egypt Been Unable to Achieve The Goal of Price Stability Under the Economic Reform Program?
    by Ibrahim L. Awad

  • 2010 “Show me the money” – or how the institutional aspects of monetary policy implementation render money supply endogenous
    by Juliusz Jabłecki

  • 2010 Rebalancing global demand
    by P. Butzen & W. Melyn & W. Vandevyvere

  • 2010 Introducing optional reserve ratios in Hungary
    by Lóránt Varga

  • 2010 Channelling government securities redemption into VIBER and its effects on payment systems and its participants
    by Levente Habány & Anikó Turján

  • 2010 An Estimated New Keynesian Phillips Curve for Colombia, 1996-2006
    by Juan Camilo Galvis

  • 2010 Forintárfolyam, kamatszint és devizaalapú eladósodás. Az árfolyam szerepéről
    by Erdős, Tibor

  • 2010 The Future of Central Banking: A Lesson from United States History
    by Keynote Speech by Bennett T. McCallum

  • 2010 Procyclicality of Capital Requirements in a General Equilibrium Model of Liquidity Dependence
    by Francisco Covas & Shigeru Fujita

  • 2010 Bank of England Interest Rate Announcements and the Foreign Exchange Market
    by Michael Melvin & Christian Saborowski & Michael Sager & Mark P. Tayor

  • 2010 Estimation of Monetary Policy Preferences in a Forward-Looking Model: A Bayesian Approach
    by Pelin lbas

  • 2010 Designing Central Bank Loss Functions
    by Huiping Yuan & Stephen M. Miller

  • 2010 Cooperation for Innovation in Payment Systems: The Case of Mobile Payments
    by Marc BOURREAU & Marianne VERDIER

  • 2010 Classifying payment instruments: A matryoshka approach
    by Valérie-Anne BLEYEN & Leo VAN HOVE & Monika HARTMANN

  • 2010 Volatility Regimes in Central and Eastern European Countries’ Exchange Rates
    by Michael Frömmel

  • 2010 Alternative Routes to Monetary Integration in the British Economic and Political Debate (1989-91)
    by Fabio Masini

  • 2010 The Euro and the German Veto
    by Roland Vaubel

  • 2010 The Secret of the Euro's Success
    by George Selgin

  • 2010 Mundell Changed His Mind
    by Ronald I. McKinnon

  • 2010 There Was No Analytical Alternative to the Theory of Optimum Currency Areas
    by Peter B. Kenen

  • 2010 It Has Happened—And It Will Continue to Succeed
    by Otmar Issing

  • 2010 Reflections on Currency Reform and the Euro
    by Steve H. Hanke

  • 2010 Understanding the Euro Requires Political Economy, Not Just Economics
    by Charles Goodhart

  • 2010 A Political Scientist's Perspective
    by Jeffry Frieden

  • 2010 It Can't Happen, It's a Bad Idea, It Won't Last: U.S. Economists on the EMU and the Euro, 1989–2002
    by Lars Jonung & Eoin Drea

  • 2010 Die Internationalisierung des chinesischen Renminbi: eine Chance für China
    by Olaf Stier & Kerstin Bernoth & Alexander Fisher

  • 2010 La dolarización como política monetaria en Latinoamérica: una aproximación a partir de la técnica de diferencia en diferencias""
    by Silvia Consuelo Gómez-Soler

  • 2010 Crisis Financieras Y Efectividad De La Política De Prestamista De Última Instancia: Un Modelo De Equilibrio General Dinámico Para El Caso Colombiano
    by ALEJANDRO TORRES & REMBERTO RHENALS & WILMAN GÓMEZ

  • 2010 How much fiscal backing must the ECB have? The euro area is not (yet) the Philippines
    by Ansgar Belke & Thorsten Polleit

  • 2010 Instrumentación de la política monetaria por medio de un corredor de tasas de interés
    by Luis Fernando Cernadas Miranda & Lorena Rodrigo Vargas & Hugo Rodríguez Gonzales & Vladimir Fernández Quiroga & Vanesa Paz G. & René Aldazosa Inchauste

  • 2010 Imf Reform - An Open Agenda
    by Ramona ORASTEAN

  • 2010 Justification Of Criticism Of The International Financial Institutions
    by Dženan Đonlagić & Amra Kožarić

  • 2010 Seasonal Adjustment in Times of Strong Economic Changes
    by Jens Mehrhoff

  • 2010 The Monetary Targeting Regime in Egypt: Theoretical and Empirical Investigations
    by Ibrahim L. Awad

  • 2010 The review of European budget and its application
    by Loredana Strianese

  • 2010 Mobile Government: An Emerging Direction
    by Mircea Georgescu

  • 2009 Comparing South African Inflation Volatility Across Monetary Policy Regimes: An Application Of Saphe Cracking
    by Rangan Gupta & Josine Uwilingiye

  • 2009 Optimal Choice of Monetary Policy Instruments Under Velocity and Fiscal Shocks
    by Singh, Rajesh & Subramanian, Chetan

  • 2009 The Swedish System of Payment 995-1534
    by Edvinsson, Rodney & Franzén, Bo & Söderberg, Johan

  • 2009 Foreign exchange rates in Sweden 1658-1803
    by Edvinsson, Rodney

  • 2009 The multiple currencies of Sweden-Finland 1534-1803
    by Edvinsson, Rodney

  • 2009 Are East African Countries Ready for a Common Currency? A Structural Vector Autoregression Analysis
    by Matteo Falagiarda

  • 2009 Some New Insights into Monetary Transmission Mechanism in Bulgaria
    by Minea, Alexandru & Rault, Christophe

  • 2009 The Transition from the Leu to the Euro in the Context of the Global Financial Crisis
    by Dochia Aurelian

  • 2009 Extinderea zonei euro în pragul crizei financiare: perspective şi provocări
    by Szapáry György

  • 2009 Euro ca strategie politică
    by Glăvan Bogdan

  • 2009 Currency Competition in China Between 1850 and 1950 A Case Study on Hayek’s Denationalised Money?
    by David Denzer-Speck

  • 2009 Was riet der Rat? Eine kommentierte Zusammenstellung von Aussagen des Sachverständigenrats zur Regulierung der Finanzmärkte und zugleich eine Chronik der Entstehung der Krise
    by Wienert, Helmut

  • 2009 Analysis of exchange-rate regime effect on growth: theoretical channels and empirical evidence with panel data
    by Petreski, Marjan

  • 2009 Exchange-rate regime and economic growth: a review of the theoretical and empirical literature
    by Petreski, Marjan

  • 2009 Is there a need for a coded language in central banking?
    by Muchlinski, Elke

  • 2009 An Estimated DSGE Model of Austria, the Euro Area and the U.S.: Some Welfare Implications of EMU
    by Fritz Breuss & Jorge A. Fornero

  • 2009 Determinants of Exchange Rate Practices in the MENA Countries: Some Further Empirical Results
    by Sfia M. Daly & Mouley Sami

  • 2009 Monetary Policy and the Dollar
    by Peter L. Rousseau

  • 2009 The Role of Government in the Credit Market
    by Benjamin Eden

  • 2009 Liquidity Premium and International Seigniorage Payments
    by Benjamin Eden

  • 2009 Bubbles, External Imbalances & Demand for International Liquidity in the Bretton Woods II System
    by Andrea Ricci

  • 2009 Do institutional changes affect business cycles? Evidence from Europe
    by Fabio Canova & Matteo Ciccarelli & Eva Ortega

  • 2009 Accountability and Transparency about Central Bank Preferences for Model Robustness
    by Meixing Dai & Eleftherios Spyromitros

  • 2009 Understanding Central Bank Loss Functions: Implied and Delegated Targets
    by Huiping Yuan & Stephen M. Miller

  • 2009 Ecological Discounting
    by Gollier, Christian

  • 2009 The Dynamics of Financial Crises and the Risk to Defend the Exchange Rate
    by Christian Bauer & Bernhard Herz

  • 2009 The evolution of the Sino-American Co-dependency: modelling a regime switch in a growth setting
    by Luigi Bonatti & Andrea Fracasso

  • 2009 Coinage and Monetary Policies in Burgundian Flanders during the late-medieval 'Bullion Famines',. 1384 - 1482
    by John H. Munro

  • 2009 Warfare, Liquidity Crises, and Coinage Debasements in Burgundian Flanders, 1384 - 1482: Monetary or Fiscal Remedies?
    by John H. Munro

  • 2009 Payment Choice, Image Motivation and Contributions to Charity
    by Adriaan R. Soetevent

  • 2009 Effect of Official Dollarization on Macroeconomic Performance and Money-Price Relationship in Ecuador
    by Selahattin Togay & Bedri Kamil Onur Taþ

  • 2009 Macroeconomic and social policies in the EU 15: the last two decades
    by Jean-Paul Fitoussi & Eloi Laurent

  • 2009 Money and Capital as Competing Media of Exchange in a News Economy
    by Fernando Martin & David Andolfatto

  • 2009 Exchange Rate Regimes in the Asia-Pacific Region and the Global Financial Crisis
    by McKibbin, Warwick J. & Chanthapun, Waranya Pim

  • 2009 Payment System in Indonesia: Recent Developments and Policy Issues
    by Titiheruw, Ira S. & Atje, Raymond

  • 2009 Money, Infation and Interest Rate: Does the Link Change when the Policy Instrument Changes?
    by Castillo, Paul & Montoro, Carlos & Tuesta, Vicente

  • 2009 Competition Between Payment Systems: Results
    by George Gardner & Andrew Stone

  • 2009 Competition Between Payment Systems
    by George Gardner & Andrew Stone

  • 2009 Optimal Clearing Arrangements for Financial Trades
    by Thorsten Koeppl & Cyril Monnet & Ted Temzelides

  • 2009 The Monetary Transmission Mechanism for a Small Open Economy in a Monetary Union
    by Bernardino Adão

  • 2009 Analyse de la crise financière actuelle Où vont-ils chercher ces milliards qu’ils n’ont pas? Comment l’État assureur en dernier ressort permet d’accéder à la Banque centrale européenne, prêteur en dernier ressort
    by Vallageas, Bernard

  • 2009 Demande de réserves et aléa moral dans une Union Monétaire
    by Alia, Didier Yélognissè & Tchakoua, Herviste & Ngwesse, Roland & Kamga, Severin Yves

  • 2009 El dilema de la política monetaria: Una trilogía en V partes
    by Rodríguez González, Guillermo

  • 2009 The impact of the Single Euro Payments Area on European corporates
    by Avadanei, Andreea

  • 2009 Inflation expectations formation and financial stability in Indonesia
    by Ishak-Kasim, Syurkani & Ahmed, Abdullahi D.

  • 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 Role of Central Bank in Islamic Finance
    by Shaikh, Salman

  • 2009 The Pricing of Payments
    by Krueger, Malte

  • 2009 Testing the Weak Form Efficiency in Pakistan’s Equity, Badla and Money Markets
    by Rashid, Abdul & Husain, Fazal

  • 2009 Profit sharing ratios in mudaraba contract revisited
    by Hasan, Zubair

  • 2009 Loss avoidance in nominal frames and fairness in downward nominal wage rigidity and disinflation
    by Lunardelli, André

  • 2009 Money and Sustainability
    by Othman, Jamal

  • 2009 Suvremeni kovinski novac i njemu slični kovinski objekti
    by Matić, Branko

  • 2009 Monetary Policies and the Economic Growth
    by Scarlat, Valentin

  • 2009 China and the Reserve Currency Question
    by Ryan, John

  • 2009 Is the East African Community an Optimum Currency Area?
    by Kishor, N. Kundan & Ssozi, John

  • 2009 The quest for monetary integration – the Hungarian experience
    by Zoican, Marius Andrei

  • 2009 Are Mortgage Rates Bubbling Up Trouble for Canadas Metropolitan Housing Sector?
    by Louis, Rosmy J & Brown, Ryan & Balli, Faruk

  • 2009 Sovereign bond market integration: the euro, trading platforms and financial crises
    by Schulz, Alexander & Wolff, Guntram B.

  • 2009 Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy
    by Hernandez-Verme, Paula & Wang, Wen-Yao

  • 2009 Country Size and Labor Market Flexibility in the European Monetary Union: Why Small Countries Have more Flexible Labor Markets
    by Zemanek, Holger

  • 2009 Electronic Payment Instruments use, as perceived by consumers in Macedonia
    by Abdullai, Besim

  • 2009 Banks As Social Accountants: Credit and Crisis Through an Accounting Lens
    by Bezemer, Dirk J

  • 2009 Implementing inflation targeting in Brazil: an institutional analysis
    by Strachman, Eduardo

  • 2009 Two speed Europe and business cycle synchronization in the European Union: The effect of the common currency
    by Gogas, Periklis & Kothroulas, George

  • 2009 The role of compensation in money market and new money market instruments Open
    by Duduiala-Popescu, Lorena

  • 2009 Estonia and Euro Adoption: Small Country Challenges of Joining EMU
    by Zuzana Brixiova & Margaret Morgan & Andreas Wörgötter

  • 2009 Iceland: Challenging Times for Monetary and Fiscal Policies
    by Andrea de Michelis

  • 2009 Is there a Case for Price-level Targeting?
    by Boris Cournède & Diego Moccero

  • 2009 Financial stability, monetary autonomy and fiscal interference: Bulgaria in search of its way, 1879-1913
    by Kalina Dimitrova & Luca Fantacci

  • 2009 Implementing Optimal Monetary Policy: Objectives and Rules
    by Huiping Yuan & Stephen M. Miller

  • 2009 The Making of Optimal and Consistent Policy: An Implementation Theory Framework for Monetary Policy
    by Huiping Yuan & Stephen M. Miller

  • 2009 The Optimality and Controllability of Monetary Policy through Delegation with Consistent Targets
    by Huiping Yuan & Stephen M. Miller & Langnan Chen

  • 2009 Designing Central Bank Loss Functions
    by Stephen M. Miller & Huiping Yuan

  • 2009 Unbundling Zimbabwe’s journey to hyperinflation and official dollarization
    by Terrence Kairiza

  • 2009 Inflation targeting and private sector forecasts
    by Stephen G. Cecchetti & Craig Hakkio

  • 2009 Negative Nominal Interest Rates: Three ways to overcome the zero lower bound
    by Willem H. Buiter

  • 2009 Monetary Policy and the Dollar
    by Peter L. Rousseau

  • 2009 Euro Membership as a U.K. Monetary Policy Option: Results from a Structural Model
    by Riccardo DiCecio & Edward Nelson

  • 2009 Financial Instability, Reserves, and Central Bank Swap Lines in the Panic of 2008
    by Maurice Obstfeld & Jay C. Shambaugh & Alan M. Taylor

  • 2009 The long run-effects of the Poland’s accession to the eurozone. Simulation using POLDYN – a dynamic computable general equilibrium model
    by Tomasz Daras & Jan Hagemejer

  • 2009 Dollarization as a Signaling Device
    by Krzysztof Makarski

  • 2009 Detecting Regime Shifts in Corporate Credit Spreads
    by Georges Dionne & Pascal François & Olfa Maalaoui Chun

  • 2009 The Euro and Its Guardian of Stability--The Fiction and Reality of the 10th Anniversary Blast
    by Jorg Bibow

  • 2009 An Alternative View of Finance, Saving, Deficits, and Liquidity
    by L. Randall Wray

  • 2009 International Monies, Special Drawing Rights, and Supernational Money
    by Pietro Alessandrini & Michele Fratianni

  • 2009 China and the Global Roles of Currencies
    by John Ryan

  • 2009 Hybrid Inflation Targeting Regimes1
    by Carlos Garcia & Jorge Restrepo & Scott Roger

  • 2009 Ecological Discounting
    by Gollier, Christian

  • 2009 On Money as an Institution
    by Nikolay Nenovsky

  • 2009 The Credibility of the Link from the Perspective of Modern Financial Theory
    by Hans Genberg & Cho-hoi Hui

  • 2009 Swedish monetary standards in historical perspective
    by Edvinsson, Rodney

  • 2009 Evaluating German Business Cycle Forecasts Under an Asymmetric Loss Function
    by Joerg Doepke & Ulrich Fritsche & Boriss Siliverstovs

  • 2009 A soft target zone model: Theory and application to Hong Kong
    by Michael Funke & Yu-Fu Chen & Nicole Glanemann

  • 2009 Inflation, Growth and Exchange Rate Regimes in Small Open Economies
    by Paula Hernandez-Verme

  • 2009 International Reserves Crises, Monetary Integration and the Payments System during the International Gold Standard
    by Paula Hernandez-Verme

  • 2009 Small Open Economies with Frictions in Credit Markets: Target inflation or money growth when floating?
    by Paula Hernandez-Verme

  • 2009 Russia’s Monetary Policy in 2008
    by Pavel Trunin

  • 2009 Did the introduction of the euro impact on inflation uncertainty? - An empirical assessment
    by Matthias Hartmann & Helmut Herwartz

  • 2009 The euro: It can't happen, It's a bad idea, It won't last. US economists on the EMU, 1989-2002
    by Lars Jonung & Eoin Drea

  • 2009 Mill, Tooke, Mcculloch Et La Crise De 1825
    by Alain BERAUD

  • 2009 Exchange Rate Regimes in the Asia-Pacific Region and the Global Financial Crisis
    by Warwick McKibbin & Waranya Pim Chanthapun

  • 2009 Financial Instability Prevention
    by Andrew Hughes Hallett & Jan Libich & Petr Stehlik

  • 2009 Strategies for Asian Exchange Rate Policy Cooperation
    by Huang Yiping

  • 2009 A Soft Edge Target Zone Model: Theory And Application To Hong Kong
    by Yu-Fu Chen & Michael Funke & Nicole Glanemann

  • 2009 Fiscal Policy in the European Monetary Union
    by Betty C. Daniel & Christos Shiamptanis

  • 2009 Default Penalty as a Selection Mechanism among Multiple Equilibria
    by Juergen Huber & Martin Shubik & Shyam Sunder

  • 2009 Default Penalty as a Selection Mechanism among Multiple Equilibria
    by Juergen Huber & Martin Shubik & Shyam Sunder

  • 2009 Default Penalty as a Disciplinary and Selection Mechanism in Presence of Multiple Equilibria
    by Juergen Huber & Martin Shubik & Shyam Sunder

  • 2009 A model of stigma in the fed funds market
    by Weinberg, John A. & Ennis, Huberto M.

  • 2009 Time-Variation in Term Permia: International Survey-Based Evidence
    by Christian Wolff & Ron Jongen & Willem F.C. Verschoor

  • 2009 Testing the Monetary Policy Rule in the US: a Reconsideration of the Fed’s Behaviour
    by Minford, Patrick & Ou, Zhirong

  • 2009 Oil Price Shocks, Monetary Policy and Stagflation
    by Kilian, Lutz

  • 2009 Transparency under Flexible Inflation Targeting: Experiences and Challenges
    by Svensson, Lars E O

  • 2009 Inflation Targeting in Latin America: Toward a Monetary Union?
    by Marc Hofstetter

  • 2009 Monetary-Labor Interactions, International Monetary Regimes, and Central Bank Conservatism
    by Vincenzo Cuciniello

  • 2009 Bank of England Interest Rate Announcements and the Foreign Exchange Market
    by Michael Melvin & Christian Saborowski & Michael Sager & Mark P. Taylor

  • 2009 Trends in Monetary Policy Transparency
    by Petra Geraats

  • 2009 Taylor Rule or Optimal Timeless Policy? Reconsidering the Fed's behaviour since 1982
    by Minford, Patrick & Ou, Zhirong

  • 2009 Nicht zu früh bremsen! - Der Einfluss der Geldpolitik auf die langfristige Wirtschaftsentwicklung in Deutschland und den USA-
    by Ronald Schettkat & Rongrong Sun

  • 2009 A soft edge target zone model : Theory and application to Hong Kong
    by Chen, Yu-Fu & Funke, Michael & Glanemann, Nicole

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    by Philip Arestis & Carolina Troncoso Baltar & Anderson Cavalcante

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  • 2009 Usklacenost monetarne i fiskalne politike u RH
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  • 2009 The monetary policy of the Eurosystem
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  • 2008 Inflation Targeting Is a Success, So Far: 100 Years of Evidence from Swedish Wage Contracts
    by Fregert, Klas & Jonung, Lars

  • 2008 The Demand for Currency Substitution
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  • 2008 Do Markets Care About Central Bank Governor Changes? Evidence from Emerging Markets
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  • 2008 Monetary policy and bank distress: an integrated micro-macro approach
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  • 2008 Some New Insights into Currency Boards: Evidence from Bulgaria
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  • 2008 What is the Future Role of the Chinese Currency in Global Financial Markets?
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  • 2008 Monetary Policy Analysis: An Undergraduate Toolkit
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  • 2008 Quest for the best: How to measure central bank independence and show its relation with inflation?
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  • 2008 Estimating the effects of fiscal policy under the budget constraint
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  • 2008 On the (ir)relevance of direct supply-side effects of monetary policy
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  • 2008 The Optimum Quantity of Money with Gold Reserves
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  • 2008 Cambodia's Persistent Dollarization: Causes and Policy Options
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  • 2008 Efectos de la Globalizacion sobre la Inflacion y la politica Monetaria Domestica
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  • 2008 Free Banking, the Real-Balance Effect, and Walras´ Law
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  • 2008 Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design
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  • 2008 Money, Intermediation, and Banking
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  • 2008 Modelling The World Exchange Rates:Dynamics, Volatility And Forecasting
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  • 2008 Excess Liquidity and the Foreign Currency Constraint: The Case of Monetary Management in Guyana
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  • 2008 Investigating the effect of granted facilities by specialist banks to agriculture part on value added agriculture part of Iran
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  • 2008 How monetary policy affects poverty: nexus and consequences
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  • 2008 Money: A Market Microstructure Approach
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  • 2008 Free Banking, the Real-Balance Effect, and Walras´ Law
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  • 2008 The long run-effects of the Poland's accession to the eurozone. Simulation using POLDYN - a dynamic computable general equilibrium model
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  • 2008 Mending the Meltdown: Fending off the Interventions and Resurrecting the Market
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  • 2008 China's Renminbi Currency Logistics Network: A Brief Introduction
    by Smith, Reginald

  • 2008 Exchange Market Pressure in Central European Countries from the Eurozone Membership Perspective
    by Stavarek, Daniel

  • 2008 China's Renminbi Currency Logistics Network: A Brief Introduction
    by Smith, Reginald

  • 2008 The Challenges of Monetary Policy in Turkey
    by Olcay Çulha & Ali Çulha & Rauf Gönenç

  • 2008 Managing capital flows: The case of India
    by Shah, Ajay & Patnaik, Ila

  • 2008 Choice of Exchange Rate System and Macroeconomic Volatility of Three Emerging Asian Countries
    by Hui-Boon Tan & Lee-Lee Chong

  • 2008 Re-Evaluating Swedish Membership in EMU: Evidence from an Estimated Model
    by Ulf Söderström

  • 2008 How Central Bankers See It: The First Decade of ECB Policy and Beyond
    by Stephen G. Cecchetti & Kermit L. Schoenholtz

  • 2008 Intensified Regulatory Scrutiny and Bank Distress in New York City During the Great Depression
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  • 2008 Creating Maryland's Paper Money Economy, 1720-1739: The Role of Power, Print, and Markets
    by Farley Grubb

  • 2008 The Euro May Over the Next 15 Years Surpass the Dollar as Leading International Currency
    by Menzie D. Chinn & Jeffrey A. Frankel

  • 2008 Optimal Monetary Policy under Uncertainty in DSGE Models: A Markov Jump-Linear-Quadratic Approach
    by Lars E.O. Svensson & Noah Williams

  • 2008 Estimation of monetary policy preferences in a forward-looking model : a Bayesian approach
    by Pelin Ilbas

  • 2008 Regional debt in monetary unions : is it inflationary ?
    by Russell Cooper & Hubert Kempf & Dan Peled

  • 2008 Monetary policies and low-frequency manifestations of the quantity theory
    by Sargent, Thomas & Surico, Paolo

  • 2008 The re-establishment of the Ethiopia’s monetary and banking systems
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  • 2008 Monetary Systems in Developing Countries: An Unorthodox View
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  • 2008 Optimal Monetary Policy Rules Under Persistent Shocks
    by Bhattacharya, Joydeep & Singh, Rajesh

  • 2008 Business Cycles, Core and Periphery in Monetary Unions: Comparing Europe and North America
    by Alexandra Ferreira Lopes & Álvaro M. Pina

  • 2008 Business Cycles, Core and Periphery in Monetary Unions: Comparing Europe and North America
    by Alexandra Ferreira-Lopes & Álvaro M. Pina

  • 2008 The Introduction of the Euro in Central and Eastern European Countries - Is it Economically Justifiable?
    by Tanja Broz

  • 2008 Discounting with Fat-Tailed Economic Growth
    by Gollier, Christian

  • 2008 Why Do Politicians Implement Central Bank Independence Reforms?
    by Daunfeldt, Sven-Olov & Hellström, Jörgen & Landström, Mats

  • 2008 Re-Evaluating Swedish Membership in EMU: Evidence from an Estimated Model
    by Söderström, Ulf

  • 2008 Monetary Policy Regimes and the Volatility of Long-Term Interest Rates
    by Queijo von Heideken, Virginia

  • 2008 Why Do Politicians Implement Central Bank Independence Reforms?
    by Daunfeldt, Sven-Olov & Hellström, Jörgen & Landström, Mats

  • 2008 The Quiet Life Hypothesis in Banking - Evidence from German Savings Banks
    by Oliver Vins & Michael Koetter

  • 2008 Vehicle currency
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  • 2008 The Strategic Euro Laggards
    by Martin Gregor

  • 2008 Implications of EMU for Global Macroeconomic and Financial Stability
    by Björn Döhring & Heliodoro Temprano-Arroyo

  • 2008 Promoting prosperity and stability: the EMU anchor in candidate and potential candidate countries
    by DG ECFIN

  • 2008 Sovereign bond market integration: the euro, trading platforms and globalisation
    by Guntram B. Wolff & Alexander Schulz

  • 2008 The Impact of the Euro on International Stability and Volatility
    by Stefan Gerlach & Mathias Hoffmann

  • 2008 The Ohlin-Keynes Debate on the German Interwar Reparations Revisited
    by Ormazabal Sánchez, Kepa Mirena

  • 2008 The Determinants of Exchange Rate Regimes in Emerging Market Economies
    by Mehmet Guclu

  • 2008 Fiscal Rigidity In A Monetary Union: The Calvo Timing And Beyond
    by Jan Libich & Petr Stehlik

  • 2008 Sweden's Monetary Internationalization under the Silver and Gold Standards, 1834–1913
    by Anders Ögren

  • 2008 Creating Maryland’s Paper Money Economy, 1720-1739: The Role of Power, Print, and Markets
    by Farley Grubb

  • 2008 Are Capital Controls in the Foreign Exchange Market Effective?
    by Christian Wolff & Stefan T.M. Straetmans & Roald J. Versteeg

  • 2008 Re-Evaluating Swedish Membership in EMU: Evidence from an Estimated Model
    by Söderström, Ulf

  • 2008 Inflation Targeting as the New Golden Standard
    by Spivak, Avia & Sussman, Nathan

  • 2008 Are Capital Controls in the Foreign Exchange Market Effective?
    by Straetmans, Stefan & Versteeg, Roald & Wolff, Christian C

  • 2008 Scylla and Charybdis. Explaining Europe’s Exit from Gold, January 1928- December 1936
    by Wolf, Nikolaus

  • 2008 Economic, Political, and Institutional Prerequisites for Monetary Union Among the Members of the Gulf Cooperation Council
    by Buiter, Willem H.

  • 2008 Transmisión de tasas de interés bajo el esquema de metas de inflación: evidencia para Colombia
    by Oscar Becerra & Luis Fernando Melo

  • 2008 Regulación y supervisión: La otra cara de la política monetaria
    by Carlos Gustavo Cano

  • 2008 Expectativas, Tasa de Interés y Tasa de Cambio. Paridad Cubierta y no Cubierta en Colombia 2000-2007
    by Juan Jose Echavarría & Diego Vásquez & Mauricio Villamizar

  • 2008 Estimation of De Facto Exchange Rate Regimes: Synthesis of the Techniques for Inferring Flexibility and Basket Weights
    by Jeffrey Frankel & Shang-Jin Wei

  • 2008 Scylla and Charybdis. Explaining Europe’s Exit from Gold, January 1928 – December 1936
    by Nikolaus Wolf

  • 2008 The Regulatory Response to the Financial Crisis
    by Charles A. E. Goodhart

  • 2008 Monetary Policy and European Unemployment
    by Ronald Schettkat & Rongrong Sun

  • 2008 The National Bank of Romania and its Isuue of Banknotes between Necessity and Possibility, 1880 - 1914
    by George Virgil Stoenescu & Elisabeta Blejan & Brindusa Costache & Adriana Iarovici Aloman

  • 2008 The Benefits and Costs of Monetary Union in Southern Africa: A Critical Survey of the Literature
    by George S. Tavlas

  • 2008 Monetary policy under the gold standard - examining the case of Norway, 1893-1914
    by Lars Fredrik Øksendal

  • 2008 The Welfare Implications of Fiscal Dominance
    by Carlos De Resende & Nooman Rebei

  • 2008 Policy Coordination in an International Payment System
    by James T. E. Chapman

  • 2008 A Model of Tiered Settlement Networks
    by James Chapman & Jonathan Chiu & Miguel Molico

  • 2008 Recession, Depression, and Financial Crisis: Everything Economists Want to Know But Are Afraid to Ask
    by Graeme Donald Snooks

  • 2008 Resurrecting Keynes to Revamp the International Monetary System
    by Pietro ALESSANDRINI & Michele FRATIANNI

  • 2008 Resurrecting Keynes to Stabilize the International Monetary System
    by Pietro Alessandrini & Michele Fratianni

  • 2008 Money as Friction: Conceptual Dissonance in Woodford's Interest and Prices
    by Colin Rogers

  • 2008 Do Frictionless Models of Money and the Price Level Make Sense?
    by Colin Rogers

  • 2008 The Demand for Currency Substitution
    by Seater, John J.

  • 2008 Inflation Targeting Is a Success, So Far: 100 Years of Evidence from Swedish Wage Contracts
    by Jonung, Lars & Fregert, Klas

  • 2008 A Model of an Optimum Currency Area
    by Ricci, Luca Antonio

  • 2008 The Demand for Currency Substitution
    by John J. Seater

  • 2008 Why the Euro Will Rival the Dollar
    by Menzie Chinn & Jeffrey Frankel

  • 2008 Turkish Experience With Implicit Inflation Targeting
    by A. Hakan Kara

  • 2008 A Primer on Finance-Led Capitalism and Its Crisis
    by Guttmann, Robert

  • 2008 The Role of Banks in the (over-)Accumulation of Capital
    by Rossi, Sergio

  • 2008 Implementable Optimal Monetary Policy in a Small Open Economy
    by Jung, Yongseung

  • 2008 Európska menová únia, optimálna menová oblasť a možné dôsledky vstupu slovenska do eurozóny
    by Jan Iša & Ivan Okáli

  • 2008 Politická ekonomie kursové politiky ve střední a východní evropě - odvětvový přístup
    by Jaromír Šindel & Stanislav Šaroch

  • 2008 Impacts of the Euro on the Slovenian Tourism Industry
    by Helena Nemec Rudez & Stefan Bojnec

  • 2008 Payment Card Systems in Europe: Convergence or Disappearance?
    by Marianne VERDIER

  • 2008 A GDP dynamics model and monetary financial policy
    by LUO Tianyong

  • 2008 Measuring the Financial Markets’ Perception of EMU Enlargement: The Role of Ambiguity Aversion
    by Martin Cincibuch & Matrina Horníková

  • 2008 Considerations Regarding the Structure, Significance and Trend of Monetary Indicators in Romania and in the Eurosystem
    by Oana Gherghinescu & Gheorghe Gherghinescu

  • 2008 Efectos de los cambios de la política monetaria en las dinámicas del tipo de cambio, el dinero y los precios en México (1945-2000)
    by Garcés Díaz, Daniel Guillermo

  • 2008 Is the Caribbean Community an Optimum Currency Area?
    by Ghartey, E.E.

  • 2008 Ricardo's monetary policy and the currency principle
    by Sylvie DIATKINE

  • 2008 Ricardo's two monetary plans
    by Ghislain DELEPLACE

  • 2008 Análisis y perspectivas de la reforma monetaria en Venezuela (el bolívar fuerte): efectos en Colombia
    by Ramón Javier Mesa Callejas & Mónica Alexandra Gómez Ospina

  • 2008 Deuda pública interna, patrón metálico y guerras civiles: interconexiones institucionales, la Colombia del siglo XIX
    by Angela Milena Rojas

  • 2008 Expectativas, tasa de interés y tasa de cambio: paridad cubierta y no cubierta en Colombia, 2000-2007
    by Juan José Echavarría & Diego Vásquez

  • 2008 Aversión a la inflación y regla de Taylor en Colombia 1994-2005
    by Andrés Felipe Giraldo Palomino

  • 2008 La teoría del ciclo económico de Friedrich von Hayek: causas monetarias, efectos reales
    by Rebeca Gómez Betancourt

  • 2008 To Fix Or To Float From Perspective Of Output Volatility And Vulnerability To Crisis
    by Marjan Petreski

  • 2008 The optimal choice of monetary policy instruments in a small open economy
    by Rajesh Singh & Chetan Subramanian

  • 2008 Le prix de la vertu : 25 ans de currency board à Hong Kong
    by David Khoudour-Castéras

  • 2008 Unstable Foundations: Assets Markets, Inflation Targets, and Canada's 2011 Policy Choices
    by David Laidler & Robin Banerjee

  • 2008 Unstable Foundations: Assets Markets, Inflation Targets, and Canada's 2011 Policy Choices
    by David Laidler & Robin Banerjee

  • 2008 Les trois états de la monnaie. Approche interdisciplinaire du fait monétaire
    by Bruno Théret

  • 2008 Élargissement de la zone euro et mesure des asymétries. Un bilan empirique
    by Marilyne Huchet-Bourdon & Jean-Sébastien Pentecôte

  • 2008 L'analyse de la monnaie et de la finance par David Hume. Conventions, promesses, régulations
    by Ludovic Desmedt

  • 2008 La gouvernance des banques centrales dans les pays émergents et en développement : le cas de l’Afrique subsaharienne
    by KEMPF, H. & LANTERI, M.

  • 2008 L’Union monétaire, l’euro et l’opinion publique
    by LEMONNIER, C.

  • 2008 Identity Theft
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  • 2007 Structural econometric approach to bidding in the main refinancing operations of the Eurosystem
    by Cassola, Nuno & Ewerhart, Christian & Morana, Claudio

  • 2007 Financial stability in the Eurozone: where do we stand?
    by Arnold, Ivo J. M.

  • 2007 Was Argentina s financial collapse of 2001 Inevitable: What did we know and when did we know it?
    by Hughes Hallet, Andrew

  • 2007 Krizlerde IMF’nin Rolü ve Türkiye’nin Durumu: IMF Krizlerin Yaratıcısı mı yoksa Önleyicisi mi?
    by Mehmet GÜNAL & Ali ALP

  • 2007 Issues regarding euroisation in regions neighbouring the euro area
    by Desecures, M. & Pouvelle, C.

  • 2007 A Monetary Model with Strong Liquidity Effects
    by Marcus Hagedorn

  • 2007 Monetary policy committee size and inflation volatility
    by Erhart, Szilárd & Lehment, Harmen & Vasquez-Paz, Jose Luis

  • 2007 Inflation persistence and the Philips curve revisited
    by Karanassou, Marika & Snower, Dennis J.

  • 2007 Shifts in the inflation target and communication of central bank forecasts
    by Tesfaselassie, Mewael F.

  • 2007 A Model of an Optimum Currency Area
    by Ricci, Luca Antonio

  • 2007 Terms and conditions for the implementation of Inflation targeting in Croatia
    by Tomislav Ćorić

  • 2007 Dynamics of the Financial Wealth of the Institutional Sectors in Bulgaria: Empirical Studies of the Post-Communist Period
    by Nikolay Nenovsky & Gergana Mihaylova

  • 2007 The Friedman Rule in an Overlapping Generations Model: Social Security in Reverse
    by Benjamin Eden

  • 2007 Liquidity, Equity Premium and Participation
    by Benjamin Eden

  • 2007 Successes and Failures of Monetary Policy Since the 1950s
    by David Laidler

  • 2007 Walsh’s Contract and Transparency about Central Bank Preferences for Robust Control
    by Meixing DAI & Eleftherios SPYROMITROS

  • 2007 A General Schema for Optimal Monetary Policymaking: Objectives and Rules
    by Huiping Yuan & Stephen M. Miller

  • 2007 Estoniaís Way from Soviet Rouble to Own Kroon
    by Kalev Kukk

  • 2007 Rediscovering Fiscal Policy Through Minskyan Eyes
    by Philip Arestis & Elisabetta De Antoni

  • 2007 The Usury Doctrine and Urban Public Finances in Late-Medieval Flanders: Annuities, Excise Taxes, and Income Transfers from the Poor to the Rich
    by John H. Munro

  • 2007 The macroeconomics of social pacts
    by Acocella Nicola & Di Bartolomeo Giovanni & Tirelli Patrizio

  • 2007 The monetary transmission mechanism in Turkey : New developments
    by Erdem Basci & Ozgur Ozel & Cagri Sarikaya

  • 2007 The NOK/euro exhange rate after inflation targeting: The interest rate rules
    by Roger Bjørnstad & Eilev S. Jansen

  • 2007 The Swiss National Bank's monetary policy concept - an example of a 'principles-based' policy framework
    by Ernst Baltensperger & Philipp M. Hildebrand & Thomas J. Jordan

  • 2007 Volatility Regimes in Central and Eastern European Countries’ Exchange Rates
    by M. FRÖMMEL

  • 2007 Independencia Legal y Efectiva del Banco Central de Reserva del Perú
    by Tuesta Vicente

  • 2007 Monetary Policy, Regime Shifts, and Inflation Uncertainty in Peru (1949-2006)
    by Paul Castillo & Alberto Humala & Vicente Tuesta

  • 2007 Inflation Persistence and the Phillips Curve Revisited
    by Marika Karanassou & Dennis J. Snower

  • 2007 Professor Becker on Free Banking: A Comment
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  • 2007 Nova monetarna rješenja u segmentu prigodnoga kovinskog novca
    by Matić, Branko

  • 2007 Empirical analysis of monetary policy: croatia vs. Slovenia
    by Vidakovic, Neven

  • 2007 The Thai Currency Crisis: Fracture in a Fixed Exchange Rate Regime
    by Hartogh, Matthew

  • 2007 The Speed of Euro Adoption
    by Columba, Francesco

  • 2007 Central banking in a regional economic setting: Possible contributions to integration
    by Heinrich, Gregor

  • 2007 Implications of Web 2.0 for financial institutions: Be a driver, not a passenger
    by Heng, Stefan & Meyer, Thomas & Stobbe, Antje

  • 2007 Poland. The EMU entry strategy vs. the monetary issues
    by Kowalski, Tadeusz & Kowalski, Pawel & Wihlborg, Clas

  • 2007 Comparative analysis of the exchange market pressure in Central European countries with the Eurozone membership perspective
    by Stavarek, Daniel

  • 2007 Strategic monetary policy in a monetary union with non-atomistic wage setters
    by Cuciniello, Vincenzo

  • 2007 E-commerce settles for established payment systems: Limited market potential for innovative payment systems
    by Heng, Stefan

  • 2007 Exchange Rate Arrangements in Central and Eastern European Countries – Evolutions and Characteristics
    by Toma, Ramona

  • 2007 The Optimal Quantity of Money Consistent with Positive Nominal Interest Rates
    by Harashima, Taiji

  • 2007 Revealing the naked truth behind price determinacy, infinite-horizon rational expectations, and inflation targeting
    by Eagle, David

  • 2007 An overview of the new architecture for the international monetary system
    by Popa, Catalin C.

  • 2007 Gary Becker on Free Banking
    by van den Hauwe, Ludwig

  • 2007 The usury doctrine and urban public finances in late-medieval Flanders (1220 - 1550): rentes (annuities), excise taxes, and income transfers from the poor to the rich
    by Munro, John H.

  • 2007 Measures of Monetary Policy Stance: The Case of Pakistan
    by Sajawal Khan & Abdul Qayyum

  • 2007 The Relative Importance of Symmetric and Asymmetric Shocks: the Case of United Kingdom and Euro Area
    by Gert Peersman

  • 2007 Exchange Rate Pass-Through in ASEAN: Implications for the Prospects of Monetary Integration in the Region
    by Carlos Cortinhas

  • 2007 Japan’s Monetary Policy Transition, 1955-2005
    by James R. Rhodes & Naoyuki Yoshino

  • 2007 Bayesian and Adaptive Optimal Policy under Model Uncertainty
    by Lars E.O. Svensson & Noah M. Williams

  • 2007 On the Optimal Choice of a Monetary Policy Instrument
    by Andrew Atkeson & V. V. Chari & Patrick J. Kehoe

  • 2007 Three Great American Disinflations
    by Michael D. Bordo & Christopher Erceg & Andrew Levin

  • 2007 Backing, the Quantity Theory, and the Transition to the U.S. Dollar, 1723-1850
    by Peter L. Rousseau

  • 2007 Evaluating the Taylor Principle Over the Distribution of the Interest Rate: Evidence from the US, UK and Japan
    by Paul Mizen & Tae-Hwan Kim & Alan Thanaset

  • 2007 Inflation Targeting and Fear of Floating
    by Reginaldo Pinto Nogueira Junior

  • 2007 The foundations of money, payments and central banking: A review essay
    by Stephen Millard

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  • 2006 An Experimental Test of Taylor-Type Rules with Inexperienced Central Bankers
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  • 2006 Learning Stability for Monetary Policy Rules in a Two-Country Model
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  • 2006 Why Do Countries Peg the Way They Peg? The Determinants of Anchor Currency Choice
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  • 2005 A Test of the Strategic Effect of Basel II Operational Risk Requirements on Banks
    by Carolyn Currie

  • 2005 Inflation Targeting in Western Europe
    by Antonio Moreno Ibáñez & Luis Rey

  • 2005 Coordination des négociations salariales en UEM : un rôle majeur pour la BCE
    by Blandine ZIMMER

  • 2005 Consistent Targets and Optimal Monetary Policy: Conservative Central Banker Redux
    by Stephen M. Miller & Huiping Yuan

  • 2005 Estoniaís Accession to the EMU
    by Mart Sırg

  • 2005 Capital Controls, Two-tiered Exchange Rate Systems and the Exchange Rate Policy : The South African Experience
    by Schaling, E.

  • 2005 Dolarizasyon Endeksleri : Turkiye’deki Dolarizasyon Surecine Iliskin Gostergeler
    by Ozge Akinci & Yasemin Barlas Ozer & Bulent Usta

  • 2005 An Interpretation of Fluctuating Macro Policies
    by Eric Leeper & Troy Davig

  • 2005 Income Inequality, Monetary Policy, and the Business Cycle
    by Stuart J. Fowler

  • 2005 Inflation Targeting, Committee Decision Making and Uncertainty: The Case of the Bank of England’s MPC
    by Arnab Bhattacharjee & Sean Holly

  • 2005 The relative importance of symmetric and asymmetric shocks and the determination of the exchange rate
    by G. PEERSMAN

  • 2005 Is the exchange rate a shock absorber or a source of shocks? New empirical evidence
    by K. FARRANT & G. PEERSMAN

  • 2005 Monetary Policy in an Equilibrium Portfolio Balance Model
    by Stijn van Nieuwerburgh & Michael Kumhof

  • 2005 Tax Riots
    by Christopher Phelan & Marco Bassetto

  • 2005 The Big Problem of Large Bills: The Bank of Amsterdam and the Origins of Central Banking
    by William Roberds & Stephen Quinn

  • 2005 Monetary Policy, Taxes, and the Business Cycle
    by Michael R. Pakko & William T. Gavin & Finn E. Kydland

  • 2005 African Monetary Unions - Dominated by the North? On the Relevance of Rational Economic Reasoning Under African Conditions
    by Kohnert, Dirk

  • 2005 The Impact of E-banking on Customer Satisfaction in Nigeria
    by Ahmad Bello, Dogarawa

  • 2005 The Czech Republic On The Road To The Euro-zone - Nominal Covergence Criteria
    by Tuleja, Pavel

  • 2005 Indonesia's New Deposit Guarantee Law
    by Ross H. McLeod

  • 2005 Financial Differences and Business Cycle Co-Movements in A Currency Area
    by Ester Faia

  • 2005 Intra-Industry Trade and Business Cycles in ASEAN
    by Carlos Cortinhas

  • 2005 Two Theories of Money Reconciled: The Colonial Puzzle Revisited with New Evidence
    by Farley Grubb

  • 2005 Monetary Policy with Model Uncertainty: Distribution Forecast Targeting
    by Lars Svensson & Noah Williams

  • 2005 Monetary Policy with Judgment: Forecast Targeting
    by Lars E.O. Svensson

  • 2005 Exchange-Rate Systems and Interest-Rate Behaviour: The Experience of Hong Kong and Singapore
    by Y. K. Tse & S. L. Yip

  • 2005 Income Inequality, Monetary Policy, and the Business Cycle
    by Stuart J. Fowler

  • 2005 Inflation Dynamics And Nominal Adjustment In The Baltic States
    by Jaan Masso & Karsten Staehr

  • 2005 Evolution des institutions financières et transition entre régimes d'accumulation : le cas de l'Argentine contemporaine
    by Célia Firmin

  • 2005 Currency Board et ajustements macroéconomiques : les leçons de l’expérience argentine
    by Emilie Laffiteau & Jean-Marc Montaud

  • 2005 Attila Csajbók - András Rezessy : Hungary's euro zone entry date: what do the markets think and what if they change their minds?
    by Attila Csajbók & András Rezessy

  • 2005 Driving factors behind O/N interbank interest rates – the Hungarian experiences
    by Szilárd Erhart

  • 2005 Central Banking at the Periphery of the British Empire: Colonial Burma, 1886-1937
    by Sean Turnell

  • 2005 Optimal Choice of Monetary Instruments in an Economy with Real and Liquidity Shocks
    by Bhattacharya, Joydeep & Singh, Rajesh

  • 2005 Monetary Policy Model of Tajikstan: A Structural Vector Autoregression Approach
    by M.Yusuf Tashrifov

  • 2005 Currency Mismatches, Balance-Sheet Effects and Hedging in Chilean Non-Financial Corporations
    by Kevin Cowan & Erwin Hansen & Luis Oscar Herrera

  • 2005 Overcoming the Zero Bound on Nominal Interest Rates: Gesell's Currency Carry Tax vs. Eisler's arallel Virtual Currency
    by Wilem H. Buiter

  • 2005 Clearing vs. Leakage: Does Note Monopoly Increase Money and Credit Cycles?
    by Hortlund, Per

  • 2005 Is the Law of Reflux Valid? Evidence from Sweden 1878–1913
    by Hortlund, Per

  • 2005 Transaction Costs, Money and Units of Account
    by Bengtsson, Ingemar

  • 2005 A framework for understanding inflation - with or without money
    by Bengtsson, Ingemar

  • 2005 On the Link between Exchange-Rate Regimes and Monetary-Policy Autonomy: The European Experience
    by Forssbaeck, Jens & Oxelheim, Lars

  • 2005 Clearing vs. Leakage: Does Note monopoly Increase Money and Credit Cycles?
    by Hortlund, Per

  • 2005 Is the Law of Reflux Valid?
    by Hortlund, Per

  • 2005 Fiscal Policy and Welfare under Different Exchange Rate Regimes
    by Østrup, Finn

  • 2005 Is the Price Elasticity of Money Demand Always Unity?
    by Paul Evans & Xiaojun Wang

  • 2005 A Tale of Two Effects
    by Paul Evans & Xiaojun Wang

  • 2005 Official dollarization : a last resort solution to financial instability in Latin America ?
    by Alexandre MINDA (LEREPS-GRES)

  • 2005 Rizika a výzvy měnové strategie k převzetí eura / Risks and Challenges of Monetary Strategy for Euro Adoption [available in Czech only]
    by Oldřich Dědek

  • 2005 Uneven geographies of organizational practice: explaining the cross-national transfer and diffusion of ISO 9000
    by Neumayer, Eric & Perkins, Richard

  • 2005 Adjustment to the Asymmetric Shocks and Currency Unions: the Case of Belarus and Russia
    by Chernookiy Valery

  • 2005 Inflation Targeting In India: Issues And Prospects
    by Raghbendra Jha

  • 2005 Ramsey Fiscal And Monetary Policy Under Sticky Prices And Liquid Bonds
    by Yifan Hu & Timothy Kam

  • 2005 Financial Deepening and Bank Runs
    by Hoerova, Marie

  • 2005 Managing New-Style Currency Crises : The Swan Diagram Approach Revisited
    by Ramkishen S. Rajan

  • 2005 ASEAN Monetary Cooperation : Issues and Prospects
    by Arief Ramayandi

  • 2005 Ireland in EMU: More Shocks, Less Insulation?
    by Honohan, Patrick & Leddin, Anthony J

  • 2005 Monetary Policy with Judgement: Forecast Targeting
    by Svensson, Lars E O

  • 2005 Time Variation in Term Premia: International Evidence
    by Jongen, Ron & Verschoor, Willem F C & Wolff, Christian C

  • 2005 Central Bank Forecasts and Disclosure Policy: Why it Pays to be Optimistic
    by Eijffinger, Sylvester C W & Tesfaselassie, Mewael F.

  • 2005 La gestion de la transition vers la monnaie unique et l'établissement de la crédibilité de l'euro
    by Jean-Claude Trichet

  • 2005 Pourquoi le problème monétaire de Menger reste-t-il non résolu?
    by Gilbert Bougi

  • 2005 The Effect of Monetary Unification on Public Debt and its Real Return
    by Roel Beetsma & Koen Vermeylen

  • 2005 Pilgrims to the Eurozone: How Far, How Fast?
    by Evzen Kocenda & Ali M. Kutan & Taner M. Yigit

  • 2005 Lessons from Italian Monetary Unification
    by Foreman-Peck, James

  • 2005 Would price-level targeting destabilise the economy?
    by Minford, Patrick & Nowell, Eric & Webb, Bruce

  • 2005 Inflation Targeting, Committee Decision Making and Uncertainty: The case of the Bank of England’s MPC
    by Bhattacharjee, A. & Holly, S.

  • 2005 A Note on exchange rate pass-through in CIS countries
    by Korhonen, Iikka & Wachtel, Paul

  • 2005 Inflation targeting, asset prices and financial imbalances: conceptualizing the debate
    by Piti Disyatat

  • 2005 Reflections on fiscalist divergent price-paths
    by Óscar J. Arce

  • 2005 The fiscal theory of the price level: a narrow theory for non-fiat money
    by Óscar J. Arce

  • 2005 Systemwandel und monetäre Transformation: Eine ordnungsökonomische Perspektive
    by Dong Pham-Phuong

  • 2005 Endogeneities of Optimum Currency Areas: What brings Countries Sharing a Single Currency Closer together?
    by Paul de Grauwe & Francesco Paolo Mongelli

  • 2005 Inflation Target Zones As A Commitment Mechanism
    by Felipe F. Schwartzman

  • 2005 Inflation Targeting and its Effects on Macroeconomic Performance
    by Thorarinn G. Petursson

  • 2005 Modelling Markets Versus Market Economies: Success and Failure
    by Zsolt Gilanyi

  • 2005 Teoria macroeconomica e politica monetaria:i contributi di Franco Modigliani e il dibattito in corso
    by Lucas Papademos

  • 2005 Nezávislost versus odpovědnost Evropské centrální banky - existuje řešení?
    by Martin Kvizda

  • 2005 Nekonzistence cílování inflace a maastrichtských kritérií: Impossible trinity
    by Dana Viktorová

  • 2005 Spontaneous Euroization in the Czech Republic (is it a problem and why not?)
    by Martina Horníková & Jaromír Hurník & Viktor Kotlán

  • 2005 Exchange Rate Regimes: Does What Countries Say Matter?
    by Hans Genberg & Alexander K. Swoboda

  • 2005 Central Bank Financial Strength, Transparency, and Policy Credibility
    by Peter Stella

  • 2005 Production Inflexibilities and the Cost Channel of Monetary Policy
    by Pedro P. Alvarez-Lois

  • 2005 The stability and growth pact : an eventful history
    by Geert Langenus

  • 2005 Nueva Evidencia Empírica sobre las Turbulencias Cambiarias de la Peseta Española. 1989-1998/New Evidence about Turbulences on the Spanish Peseta. 1989-1998s
    by RODRÍGUEZ, Mª ARACELI

  • 2005 National Money of Account, with a Second National Money or Local Monies as Means of Payment: A Way of Finessing the Zero Interest Rate Bound
    by Stephen J. DAVIES

  • 2005 Inflation Targeting and Inflation Behavior: A Successful Story?
    by Marco Vega & Diego Winkelried

  • 2005 One Market, One Money, One Price?
    by Nigel F.B. Allington & Paul A. Kattuman & Florian A. Waldmann

  • 2005 Monetary Policy with Judgment: Forecast Targeting
    by Lars E O Svensson

  • 2005 La reforma de los bancos centrales latinoamericanos. Avances y desafíos
    by Carstens, Agustín & Jácome H., Luis I.

  • 2005 The Federal Reserve System's Influence on Research in Monetary Economics
    by Lawrence H. White

  • 2005 Do Economists Reach a Conclusion on Free-Banking Episodes?
    by Ignacio Briones & Hugh Rockoff

  • 2005 Consideraciones sobre la acumulacio?n de reservas internacionales en Colombia entre 1970 y 2004
    by Humberto Mora

  • 2005 Cambio en los instrumentos de poli?tica monetaria
    by Miguel Urrutia

  • 2005 L'Afrique apporte son eco
    by Agnès Bénassy-Quéré

  • 2005 Argentina's Debt and the Decline of the IMF
    by Jérôme Sgard

  • 2005 Capital óptimo de Bancos Centrales y criterios de distribución de utilidades
    by Luis Fernando Escobar Patiño & Dennise Martin Alarcón

  • 2004 Monetary Policy, Taxes, and the Business Cycle
    by Michael R. Pakko & William T. Gavin & Finn E. Kydland

  • 2004 Exchange Rate Pass-Through and the Inflation Environment in Industrialized Countries: An Empirical Investigation
    by Eiji Fuji & Jeannine Bailliu

  • 2004 Fiat Money and Public Goods Provision
    by Akihiko Matsui & Yiting Li

  • 2004 EMU Enlargement: Which Concept of Convergence to Apply?
    by Andreas Freytag

  • 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 Six smart moves when playing the smart card game
    by Van Hove, Leo

  • 2004 European payment systems and monetary union
    by Callado Muñoz, Francisco José & Utrero González, Natalia

  • 2004 Money Financed Deficits, Central Bank Reform and Inflation Persistence:Evidence from Selected European Countries
    by Athanasios P. Papadopoulos & Moise G. Sidiropoulos

  • 2004 Exchange rate risk and convergence to the Euro
    by Orlowski, Lucjan T.

  • 2004 Money rules for the eurozone candidate countries
    by Orlowski, Lucjan T.

  • 2004 Estonian Monetary System: Reconstruction, Performance, and Future Prospects
    by Sõrg, Mart

  • 2004 Foreign exchange interventions under inflation targeting: the Czech Experience
    by Holub, Tomáš

  • 2004 On the Credibility of Currency Boards
    by Feuerstein, Switgard & Grimm, Oliver

  • 2004 Inflation and core money growth in the euro area
    by Neumann, Manfred J. M. & Greiber, Claus

  • 2004 Doing Without Money: A critical assessment of Woodford's analysis
    by Colin Rogers

  • 2004 The Fed’s Consistent Monetary Policy: A Long Term Perspective
    by Cornelis A. Los

  • 2004 A Cost-Benefit Analysis of a Monetary Union for MERCOSUR with Particular Emphasis on the Optimum Currency Area Theory?
    by Ralf Kronberger

  • 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 Micro Takes Over Macro
    by M Gani

  • 2004 Optimum currency area theory: A selective review
    by Julius Horvath

  • 2004 E-payments: modern complement to traditional payment systems
    by Stefan Heng

  • 2004 Measuring the Institutional Change of the Monetary Regime in a Political Economy Perspective (Groups of interest and monetary variables during the Currency Board introduction in Bulgaria)
    by Nikolay Nenovsky & Yorgos Rizopoulos

  • 2004 Credibility and adjustment: gold standards versus currency boards
    by Jean Baptiste Desquilbet & Nikolay Nenovsky

  • 2004 Instability in Exchange Rates of the World Leading Currencies: Implications of a Spatial Competition Model among Central Banks
    by Dirk Engelmann & Jan Hanousek & Ev??en Kocenda

  • 2004 Exchange Rate Policy and Inflation in Acceding Countries: The Role of Pass-through
    by Fabrizio Coricelli & Bo??tjan Jazbec & Igor Masten

  • 2004 The Geographic Distribution of the Size and Timing of Monetary Policy Actions
    by Yongil Jeon & Stephen M. Miller

  • 2004 Dynamics of an Extended Kaldor Model with Rational Expectation of Capital Efficiency and Adaptive Expectation of Inflation
    by Kodera & J.

  • 2004 Habit Formation and Interest Rate Smoothing
    by Luisa Corrado & Sean Holly

  • 2004 Money and Modern Bank Runs
    by David R. Skeie

  • 2004 Bank Portfolio Restrictions and Equilibrium Bank Runs
    by Karl Shell & James Peck

  • 2004 Bank Runs and Investment Decisions Revisited
    by Todd Keister & Huberto M. Ennis

  • 2004 Inflation Persistence Revisited
    by Marika Karanassou & Dennis J. Snower

  • 2004 Islamic Finance: An Equitable and Efficient Option
    by Al-Jarhi, Mabid

  • 2004 Floating Exchange Rate Regime
    by Quader, Syed Manzur

  • 2004 State Bank of Pakistan: Evolution, Functions and Organization
    by Arby, Muhammad Farooq

  • 2004 Resolving the Puzzle of the Underissuance of National Bank Notes
    by Charles W. Calomiris & Joseph R. Mason

  • 2004 Two Decades of Japanese Monetary Policy and the Deflation Problem
    by Takatoshi Ito & Frederic S. Mishkin

  • 2004 Monetary Policy and the Currency Denomination of Debt: A Tale of Two Equilibria
    by Andres Velasco & Roberto Chang

  • 2004 Inflation Targeting and Japan: Why has the Bank of Japan not Adopted Inflation Targeting?
    by Takatoshi Ito

  • 2004 Targeting Rules vs. Instrument Rules for Monetary Policy: What is Wrong with McCallum and Nelson?
    by Lars E.O. Svensson

  • 2004 The Yield Curve, Recessions and the Credibility of the Monetary Regime: Long Run Evidence 1875-1997
    by Michael D. Bordo & Joseph G. Haubrich

  • 2004 Politique monétaire sous contrainte : le cas de la crise turque de 2000/2001
    by Ayse Ertugrul & Jérôme Héricourt & Julien Reynaud

  • 2004 Monetary policy in a world with different financial systems
    by Ester Faia

  • 2004 Exchange rate regime classification and real performances: new empirical evidence
    by Olivier Darne & Laetitia Ripoll-Bresson

  • 2004 Impact of the Euro Adoption on the Economy of Latvia
    by Martins Bitans & Egils Kauzens

  • 2004 The Role of Money in Two Alternative Models: When is the Friedman Rule Optimal, and Why?
    by Bhattacharya, Joydeep & Haslag, Joseph & Russell, Steven

  • 2004 Exchange Rate Regimes, Specialization and Trave Volume
    by Michael B. Devereux & Graham M. Voss

  • 2004 On the Credibility of Currency Boards
    by Switgard Feuerstein & Oliver Grimm

  • 2004 How the Gold Standard Functioned in Portugal: An Analysis of Some Macroeconomic Aspects
    by António Portugal Duarte & João Sousa Andrade

  • 2004 Exchange Rate Pass-Through in Acceding Countries: The Role of Exchange Rate Regimes
    by Fabrizio CORICELLI & Bostjan JAZBEC & Igor MASTEN

  • 2004 Could Japan Target the Price Level or Inflation - What Happens to Monetary Policy Effectiveness during Disinflation?
    by Aaron MEHROTRA

  • 2004 Publicity of debate and the incentive to dissent: evidence from the US federal reserve
    by Meade, Ellen E. & Stasavage, David

  • 2004 Can Financial Frictions Help Explain the Performance of the US Fed?
    by Beatriz de-Blas-Pérez

  • 2004 The Yield Curve, Recession and the Credibility of the Monetary Regime: long run evidence 1875-1997
    by Michael Bordo & Joseph Haubrich

  • 2004 Fear of Sudden Stops: lessons from Australia and Chile
    by Jonathan Kearns & Ricardo J. Caballero & Kevin Cowan

  • 2004 FINANCIAL DOLLARIZATION: Evaluating the consequences
    by Eduardo Levy-Yeyati

  • 2004 Dedollarization, Indexation and Nominalization: the Chilean experience
    by R. Valdes & L.O. Herrera

  • 2004 Currency attack/defense with two-sided private information
    by Yuk-shing CHENG & Chi-shing CHAN & Chor-yiu SIN

  • 2004 Aiming for the Bull's Eye: Inflation Targeting under Uncertainty
    by M. Demertzis & N. Viegi

  • 2004 Exchange Rate Volatility and Labour Markets in the CEE Countries
    by Belke, Ansgar & Kaas, Leo & Setzer, Ralph

  • 2004 Bank Lending and Property Prices in Hong Kong
    by Gerlach, Stefan & Peng, Wensheng

  • 2004 Exchange Rates and Inflation Under EMU: An Update
    by Honohan, Patrick & Lane, Philip R.

  • 2004 Is Deposit Insurance A Good Thing, And If So, Who Should Pay for It?
    by Morrison, Alan & White, Lucy

  • 2004 To Purgatory and Beyond: When and How Should the Accession Countries from Central and Eastern Europe Become Full Members of EMU?
    by Buiter, Willem H.

  • 2004 Implementing Optimal Policy Through Inflation-Forecast Targeting
    by Svensson, Lars E O & Woodford, Michael

  • 2004 Impactos monetarios e institucionales de la deuda pública en Colombia 1840-1890
    by Angela Milena Rojas R

  • 2004 Foreign Exchange Interventions Under Inflation Targeting: The Czech Experience
    by Tomas Holub

  • 2004 Does Exchange Rate Regime Explain Differences in Economic Results for Asian Countries?
    by Virginie Coudert & Marc Dubert

  • 2004 Monetary Policy and the Currency Denomination of Debt: A Tale of Two Equilibria
    by Roberto Chang & Andres Velasco

  • 2004 Credibility and Adjustment : Gold Standards versus Currency Boards
    by Jean-Baptiste Desquilbet & Nikolay Nenovsky

  • 2004 Publicity of Debate and the Incentive to Dissent: Evidence from the US Federal Reserve
    by Ellen E. Meade & David Stasavage

  • 2004 Transparency and Reputation: The Publication of Central Bank Forecasts
    by Geraats, P.M.

  • 2004 EMU Strategies: Lessons from Past Experience in View of EU Enlargement
    by Theodoros S. Papaspyrou

  • 2004 Labour market reform and the sustainability of exchange rate pegs
    by Castrén, Olli & Takalo, Tuomas & Wood, Geoffrey

  • 2004 Real Return Bonds, Inflation Expectations, and the Break-Even Inflation Rate
    by Christensen, Ian & Frédéric Dion & Christopher Reid

  • 2004 Exchange Rate Pass-Through and the Inflation Environment in Industrialized Countries: An Empirical Investigation
    by Jeannine Bailliu & Eiji Fujii

  • 2004 Metas Inflacionárias, Preços Livres E Administrados No Brasil: Uma Análise Econométrica
    by Cleomar Gomes & Otávio Aidar

  • 2004 A Economia Política Da Conversibilidade Do Real: Uma Crítica A Arida
    by Fernando Ferrari-Filho & Frederico G. Jayme Jr. & Gilberto Tadeu Lima & José Luís Oreiro & Luiz Fernando de Paula

  • 2004 Doing Without Money: A Critical Assessment of Woodford's Analysis
    by Colin Rogers

  • 2004 European Monetary and Financial Integration: Evolution and Prospects
    by Jean-Paul Abraham & Alexandre Lamfalussy & Jean-Claude Trichet & Robert Raymond & Franco Bruni

  • 2004 A VAR Analysis of Monetary Transmission Mechanism in the European Union
    by Ivan Lovrinovic & Manuel Benazic

  • 2004 Eastern Enlargement, EMU and Monetary Policy under Fixed Exchange Rates: Lessons from the Experience of West Germany in the Bretton Woods Era
    by Björn Alecke

  • 2004 Electronic Money Free Banking and Some Implications for Central Banking
    by Yuksel Gormez & Christopher Houghton Budd

  • 2004 Bringing Broadband Banking to Iraq
    by Tyson-Quah, Kathleen

  • 2004 Monetary Policy Rules, Asset Prices, and Exchange Rates
    by Jagjit S. Chadha & Lucio Sarno & Giorgio Valente

  • 2004 Reconciling Stability and Growth: Smart Pacts and Structural Reforms
    by Roel M. W. J. Beetsma & Xavier Debrun

  • 2004 On the Relationship Between Exchange Rates and Interest Rates: Evidence from the Southern Cone
    by Ansgar Belke & Kai Geisslreither & Daniel Gros

  • 2004 Una nota sobre política monetaria óptima
    by Esther Fernández

  • 2004 Is Dollarization the Right Option? Financial Fragility, Original Sin and Fear of Floating
    by Roman Horváth

  • 2004 The Impact of the Regime-Shift Premium on Forward Interest Rates and Inflation Expectations in the Czech Republic (in Czech)
    by Tomáš Holinka & Vladimír Stiller

  • 2004 The New ECB Governing Council Voting-Modalities Scheme: An Outside View
    by Petr Procházka

  • 2004 New Product Introductions and Price Markups
    by Kostas Axarloglou & Demetrios Tsapralis

  • 2004 Speculating on the Yuan
    by Bronka Rzepkowski

  • 2004 Foreign Currency Demand since 2002 - Evidence from Five Central and Eastern European Countries
    by Helmut Stix

  • 2004 Coordination des politiques budgétaires et monétaires dans l'uem en présence de chocs et d'informations asymétriques
    by Sylvie Duchassaing & Frédéric Koessler

  • 2004 Seigniorage and the Proposed East Africa Community (EAC) Monetary Union
    by Steven Buigut

  • 2004 The Demand for Money in Tanzania: A Dynamic Test of Mckinnon's Complementarity Hypothesis
    by Nicholas M. Odhiambo

  • 2003 Time Consistency and Shocks to the Natural Rate of Output
    by Richard W. Douglas, Jr.

  • 2003 Monetary policy under currency board arrangements: An necessary flexibility for transition countries?
    by Berensmann, Kathrin

  • 2003 Lending of first versus lending of last resort: The Bulgarian financial crisis of 1996/1997
    by Berlemann, Michael & Nenovsky, Nikolay

  • 2003 Comparing Monetary Policy Strategies: Towards a Generalized Reaction Function
    by Hammermann, Felix

  • 2003 On the micro-foundations of money : the Capitol Hill Baby-Sitting Co-op
    by Hens, Thorsten & Schenk-Hoppe, Klaus Reiner & Vogt, Bodo

  • 2003 How has the European Monetary Integration Process Contributed to Regional Financial Market Integration?
    by Reszat, Beate

  • 2003 OCA theory and EMU Eastern enlargement: An empirical application
    by Weimann, Marco

  • 2003 OPTIMUM CURRENCY AREA INDICES : EVIDENCE FROM THE 1990s
    by Horváth, Roman & Komárek, Luboš

  • 2003 The Dynamics of Currency Substitution, Asset Substitution and De facto Dollarization and Euroization in Transition Countrieses
    by Edgar L. Feige

  • 2003 Global Implications of Self-Oriented National Monetary Rules
    by Maurice Obstfeld & Kenneth Rogoff

  • 2003 The Economics of International Monies
    by Gerald P. Dwyer Jr. & James R. Lothian

  • 2003 International Money and Common Currencies in Historical Perspective
    by Gerald P. Dwyer Jr. & James R. Lothian

  • 2003 Economic / Environmental System Interaction
    by Luis Vildosola

  • 2003 Credit Market Disequilibrium in Poland: Can We Find What We Expect? Non-Stationarity and the ???Min???Condition
    by Christophe Hurlin & Rafal Kierzenkowski &

  • 2003 Measuring the Economic Impact of Monetary Union: The Case of Okinawa
    by Shinji Takagi & Mototsugu Shintani & Tetsuro Okamoto

  • 2003 Energy, Money and Pollution
    by Antonio Roma

  • 2003 Hyperinflation and the Reconstruction of a National Money: Argentina and Brazil, 1990-2002
    by Jérôme Sgard

  • 2003 Hyperinflation and the Reconstruction of a National Money: Argentina and Brazil, 1990-2002
    by Jérôme Sgard

  • 2003 E-Barter vs. Fiat Money: Will Central Banks Survive?
    by Dimitrios P. Tsomocos & F.H. Capie & Geoffrey E. Wood

  • 2003 International Money and Common Currencies in Historical Perspective
    by Gerald P. Dwyer & James R. Lothian

  • 2003 The Italian Overnight Market: Microstructure Effects, the Martingale Hypothesis and the Payment System
    by Emilio Barucci & Claudio Impenna & Roberto Reno

  • 2003 Grundzuege der Neuen Keynesianischen Makrooekonomik
    by Reither, Franco

  • 2003 Government Borrowing and Money Supply
    by Das, Ritupana

  • 2003 CPSS Core Principles for Payment Systems
    by Heinrich, Gregor

  • 2003 The three faces of the coin : a socio-economic approach to the institution of money
    by Burns, Tom & DeVille, Philippe & Gauci, Bernard & Baumgartner, Tom

  • 2003 Implementing Optimal Policy through Inflation-Forecast Targeting
    by Lars E. O. Svensson & Michael Woodford

  • 2003 Monetary Policy and Real Stabilization
    by Lars E. O. Svensson

  • 2003 Gaucho Banking Redux
    by Gerardo della Paolera & Alan M. Taylor

  • 2003 What is Wrong with Taylor Rules? Using Judgment in Monetary Policy through Targeting Rules
    by Lars E. O. Svensson

  • 2003 Gold, Fiat Money, and Price Stability
    by Michael D. Bordo & Robert D. Dittmar & William T. Gavin

  • 2003 The Backing of Government Debt and the Price Level
    by CASTRO, Rui & De RESENDE, Carlos & RUGE-MURCIA, Francisco

  • 2003 The Backing of Government Debt and the Price Level
    by CASTRO, Rui & RESENDE, Carlos & RUGE-MURCIA, Francisco J.

  • 2003 Eritrea's early stages in monetary and banking development
    by Arnaldo MAURI

  • 2003 On the Micro-foundations of Money: The Capitol Hill Baby-Sitting Co-op
    by Thorsten Hens & Klaus Reiner Schenk-Hoppé & Bodo Vogt

  • 2003 The Difficulty of Discerning What's Too Tight: Taylor Rules and Japanese Monetary Policy
    by Kenneth N. Kuttner & Adam S. Posen

  • 2003 Bank Lending and Property Prices in Hong Kong
    by Stefan Gerlach & Wensheng Peng

  • 2003 Booms and Busts in EMU
    by Gottfries, Nils

  • 2003 Deflation and Japan Revisited
    by Johnsson, Richard C.B.

  • 2003 A Panel Data Test of the Bank Lending Channel in Sweden
    by Westerlund, Joakim

  • 2003 Expansion of the Money Supply with a Fixed Exchange Rate: “Free Banking” in Sweden under the Silver and Gold Standards, 1834 – 1913
    by Ögren, Anders

  • 2003 Lender of Last Resort in a Peripheral Economy with a Fixed Exchange Rate: Financial Crises and Monetary Policy in Sweden under the Silver and Gold Standards, 1834 – 1913
    by Ögren, Anders

  • 2003 Régimes Monétaires et Théorie Quantitative du Produit Nominal au Portugal (1854-1998)
    by João Sousa Andrade

  • 2003 Inflation divergence and public deficits in a monetary union
    by Jerome Creel & Jacques Le Cacheux

  • 2003 Fiscal Policy in the New Open Economy. Macroeconomics and Prospects for Fiscal Policy Coordination
    by Leonor Coutinho

  • 2003 Modeling Small Change: A Review Article
    by Wallace, Neil

  • 2003 Decision making in the ECB's Governing Council - Should minutes and forecasts be published?
    by Waisman, Gisela

  • 2003 The (A)Symmetry of shocks in the EMU
    by Bastiaan A. Verhoef

  • 2003 Two Theories of Money Reconciled: The Colonial Puzzle Revisited with New Evidence
    by Farley Grubb

  • 2003 Addicted to Dollars
    by Carmen M. Reinhart & Kenneth S. Rogoff & Miguel A. Savastano

  • 2003 Two Naked Emperors? Concerns about the Stability and Growth Pact and Second Thoughts About Central Bank Independence
    by Buiter, Willem H.

  • 2003 Reconciling Stability and Growth: Smart Pacts and Structural Reforms
    by Beetsma, Roel & Debrun, Xavier

  • 2003 Exchange Rate Pass-Through in Candidate Countries
    by Coricelli, Fabrizio & Jazbec, Bostjan & Masten, Igor

  • 2003 The ECB's Two Pillars
    by Gerlach, Stefan

  • 2003 Hyperinflation and the Reconstruction of a National Money: Argentina and Brazil, 1990-2002
    by Jérôme Sgard

  • 2003 Competitive Bank Monies: Reconsidering Hayek and Klein from a Transactions Perspective
    by J. Stephen Ferris

  • 2003 Optimum currency area theory : A selective review
    by Horvath, Julius

  • 2003 The Italian overnight market: microstructure effects, the martingale hypothesis and the payment system
    by Emilio Barucci & Claudio Impenna & Roberto Reno

  • 2003 Capacity utilization and Monetary Policy
    by Pedro Pablo Álvarez Lois

  • 2003 The dynamics of currency substitution, asset substitution and de facto dollarization and euroization in transition countries
    by Feige,E.L.

  • 2003 Doing Without Money: A Critical Assessment of Woodford's Analysis of Monetary Policy in a Post-monetary World
    by Colin Rogers

  • 2003 Monetary and Financial Thinking in Europe - Evidence from Four Decades of SUERF
    by Jean-Paul Abraham

  • 2003 The three faces of the coin: a socio-economic approach to the institution of money
    by Burns, Tom R. & Deville, Philippe

  • 2003 Cambios institucionales en la economía rusa: de las reformas de mercado a la consolidación monetaria
    by Isabel Pla Julián

  • 2003 Az euró bevezetésének feltételei Magyarországon
    by Neményi, Judit

  • 2003 Japan's Deflation and the Feasibility of Negative Interest Rates
    by Stephen J. Davies

  • 2003 The Past and Present of "Local Currencies"; with Especial Reference to England and Japan
    by Stephen J. DAVIES

  • 2003 Análisis coyuntural
    by Fedesarrollo

  • 2003 ¿Qué es erróneo en el consenso de Washington y qué debemos hacer?
    by Paul Davidson

  • 2003 ¿Qué es erróneo en el concenso de Washington y qué debemos hacer?
    by Paul Davidson

  • 2003 Should the Yuan be Revalued?
    by Agnès Bénassy-Quéré & Amina Lahrèche-Revil & Françoise Lemoine

  • 2003 Heureux dollar
    by Agnès Bénassy-Quéré & Lionel Fontagné & Michel Fouquin

  • 2003 Crise de la dette souveraine : l'action multilatérale après le rejet de la proposition Krueger
    by Jérôme Sgard

  • 2003 Soll die Europäische Zentralbank auf Preisänderungen von Vermögenswerten reagieren?
    by Jan-Egbert Sturm & Wolfgang Nierhaus

  • 2003 Monetary Sovereignty and Economic Development
    by Assen Radev

  • 2003 Regra de Taylor e política monetária em condições de endividamento público no Brasil
    by Cleomar Gomes & Márcio Holland

  • 2003 Em busca de uma teoria da localização das agências bancárias: algumas evidências do caso brasileiro
    by João Sicsú & Marco Crocco

  • 2002 Inflation Persistence and Flexible Prices
    by Robert Dittmar & William Gavin & Finn Kydland

  • 2002 Effects Of Cap Adoption Upon Agricultural Demand, Supply And Trade
    by Alexandri, Cecilia

  • 2002 Monetary Conditions Index: The Monetary Policy Indicator In Romania
    by Croitoru, Lucian & Doltu, Claudiu & Tarhoaca, Cornel

  • 2002 Costs and Benefits of Dollarization: Evidence from North, Central, and South America
    by Karras, Georgios

  • 2002 The Impact of Financial Deregulation in Greece on Consumption Patterns
    by Apergis, Nicholas & Velentzas, Costas

  • 2002 The euro system and the federal reserve system compared: Facts and challenges
    by Ruckriegel, Karlheinz & Seitz, Franz

  • 2002 OCA theory and EMU eastern enlargement: An empirical application
    by Weimann, Marco

  • 2002 The History and Sustainability of the CBA in Estonia
    by Urmas Sepp & Raoul Lättemäe & Martti Randveer

  • 2002 Monetary Transmission Mechanism in Estonia - Some Theoretical Considerations and Stylized Aspects
    by Raoul Lättemäe

  • 2002 The Institutional Character of Electronic Money Schemes: Redeemability and the Unit of Account
    by Stefan W. Schmitz

  • 2002 Dual Inflation Under the Currency Board: The Challenges of Bulgarian EU Accession
    by Nikolay Nenovsky & Kalina Dimitrova

  • 2002 Lending of Last Resort, Moral Hazard and Twin Crises: Lessons from the Bulgarian Financial Crisis 1996/1997
    by Michael Berlemann & Kalin Hristov & Nikolay Nenovsky

  • 2002 Inflation Targets Versus International Monetary Integration: A Canadian Perspective
    by David Laidler

  • 2002 Central Banker Contracts, Incomplete Information, and Monetary Policy Surprises: In Search of a Selfish Central Banker?
    by Georgios E. Chortareas & Stephen M. Miller

  • 2002 An "Art", not a "Science"? Central Bank Management in Portugal under the Gold Standard, 1854-1891
    by Jaime Reis

  • 2002 What Is Wrong with Taylor Rules? Using Judgment in Monetary Policy through Targeting Rules
    by Lars E.O. Svensson

  • 2002 Monetary Policy and Real Stabilization
    by Lars E.O. Svensson

  • 2002 Is a G-3 Target Zone on Target for Emerging Markets?
    by Reinhart, Carmen & Reinhart, Vincent

  • 2002 A benefit of uniform currency
    by Ravikumar, B & Wallace, Neil

  • 2002 Inflation, Growth and Exchange Rate Regimes in Small Open Economies
    by Hernandez-Verme, Paula

  • 2002 Fear of floating
    by Reinhart, Carmen & Calvo, Guillermo

  • 2002 Una banda cambiaria en el G–3 ¿Es lo mejor para los mercados emergentes?
    by Reinhart, Carmen & Reinhart, Vincent

  • 2002 Ratings, rating agencies and the global financial system: Summary and policy implications
    by Reinhart, Carmen & Levich, Richard & Majoni, Giovanni

  • 2002 Gold, guilds, and government: the impact of monetary and labour policies on the Flemish cloth industry, 1390-1435
    by Munro, John H.

  • 2002 Wage-stickiness, monetary changes, and real incomes in late-medieval England and the Low Countries, 1300 - 1500: did money matter?
    by Munro, John H.

  • 2002 Monetary Integration in the Southern Cone: Mercosur is not like the EU?
    by Ansgar Belke & Daniel Gros

  • 2002 Monetary Union: European Lessons, Latin American Prospects
    by Eduard Hochreiter & Klaus Schmidt-Hebbel & Georg Winckler

  • 2002 Price Dynamics in Central and Eastern European EU Accession
    by Peter Backé & Jarko Fidrmuc & Thomas Reininger & Franz Schardax

  • 2002 Policy Pre-Commitment and Institutional Design: A Synthetic Indicator Applied to Currency Boards
    by Marie-Thérèse Camilleri Gilson

  • 2002 Inflation Targeting: Should It Be Modeled as an Instrument Rule or a Targeting Rule?
    by Lars E.O. Svensson

  • 2002 Dollarization: Analytical Issues
    by Roberto Chang & Andres Velasco

  • 2002 New Perspectives on Monetary Policy, Inflation, and the Business Cycle
    by Jordi Gali

  • 2002 The Need for International Policy Coordination: What's Old, What's New, What's Yet to Come?
    by Matthew B. Canzoneri & Robert E. Cumby & Behzad T. Diba

  • 2002 Credit transmission mechanism in Turkey: An empirical investigation
    by Tarkan Çavusoglu

  • 2002 La dollerisation des économies émergentes
    by PONSOT, Jean-François

  • 2002 Credibility and Flexibility with Monetary Policy Committees
    by Ilian Mihov & Anne Sibert

  • 2002 Europe’s Lack of Structural Transformation and Necessary Policy Changes of EMU
    by Norén, Ronny

  • 2002 Är inflationspolitiken på väg tillbaka?
    by Hortlund, Per

  • 2002 Real Risk, Inflation Risk, and the Term Structure
    by Martin Evans

  • 2002 Exchange rate arrangements in the run-up to the EMU: some experience in currency board countries
    by Julda Kielyte

  • 2002 The EMU after Three Years: Lessons and Challenges
    by Peter Bofinger

  • 2002 On the (A)symmetry of Shocks in EMU: Is it that Shocking?
    by B.A. Verhoef

  • 2002 Joining the Euro - the Macro Effects on the UK Economy
    by Meenagh, David & Minford, Patrick & Webb, Bruce

  • 2002 Patching up the Pact: some Suggestions for Enhancing Fiscal Sustainability and Macroeconomic Stability in an Enlarged European Union
    by Buiter, Willem H. & Grafe, Clemens

  • 2002 The Effect of Monetary Unification on Public Debt and its Real Return
    by Beetsma, Roel & Vermeylen, Koen

  • 2002 Money and Inflation in the Euro-Area: A Case for Monetary Indicators?
    by Gerlach, Stefan & Svensson, Lars E O

  • 2002 Electonic Money and the Optimal Size of Monetary Unions
    by Costa Storti, Cláudia & De Grauwe, Paul

  • 2002 The Inflation Forecast and the Loss Function
    by Svensson, Lars E O

  • 2002 Credibility and Flexibility with Monetary Policy Committees
    by Mihov, Ilian & Sibert, Anne

  • 2002 New Perspectives on Monetary Policy, Inflation and the Business Cycle
    by Galí, Jordi

  • 2002 Anchor, Float or Abandon Ship: Exchange Rate Regimes for Accession Countries
    by Buiter, Willem H. & Grafe, Clemens

  • 2002 Exchange Rate Regimes and Sustainable Parities for CEECs in the Run-up to EMU Membership
    by Virginie Coudert & Cécile Couharde

  • 2002 Liquidité et passage de la valeur
    by Pierre Villa

  • 2002 The Survival of Intermediate Exchange Rate Regimes
    by Agnès Bénassy-Quéré & Benoit Coeuré

  • 2002 Inflation Targets Versus International Monetary Integration - A Canadian Perspective
    by David Laidler

  • 2002 Determinants of international bank lending to emerging market countries
    by Serge Jeanneau & Marian Micu

  • 2002 A survey of the institutional and operational aspects of modern-day currency boards
    by Corrinne Ho

  • 2002 Auctions for Government Securities: A Laboratory Comparison of Uniform, Discriminatory and Spanish Designs
    by Klaus Abbink & Jordi Brandts & Paul Pezanis-Christou

  • 2002 Against the Tide? Liberalization of the Singapore Financial Sector 1997–2000
    by Guan Hua Lim

  • 2002 Recent Developments in Corporate Governance in Singapore
    by Pang Yang Hoong & Leong Kwong Sin

  • 2002 Exchange Rate Policy in Singapore: Current Issues and Empirical Evidence
    by Yoonbai Kim & Hwee Kwan Chow

  • 2002 Monetary Policy and the Exchange Rate in the Philippines
    by Dante B. Canlas

  • 2002 Recent Developments in Financial and Corporate Governance in the Philippines
    by Mario B. Lamberte

  • 2002 Malaysian Financial Liberalization and Crisis: Reflections on National Responses
    by Goh Soo Khoon & Mohammad Haji Alias

  • 2002 Inflation Targeting: New Directions for Monetary Policy in Postcrisis Korea
    by Donghyun Park & Junggun Oh

  • 2002 Can Monetary Policy/Shocks Stabilize Indonesian Macroeconomic Fluctuations?
    by Hermanto Siregar & Bert D. Ward

  • 2002 Curbing the Boom–Bust Cycle: How Can the Industrial Countries Help?
    by John Williamson

  • 2002 Intermediate Exchange Rate Regimes for East Asia
    by John Williamson

  • 2002 On the Periphery of the International Dollar Standard: Canada Versus Latin America Versus East Asia
    by Ronald I. McKinnon

  • 2002 After the Crisis, the East Asian Dollar Standard Resurrected: An Interpretation of High-Frequency Exchange Rate Pegging
    by Ronald I. McKinnon

  • 2002 Asia's Recovery: A Comparative Analysis
    by Obiyathulla Ismath Bacha

  • 2002 Accession to the European Union: Real Exchange Rate Dynamics for Candidate Countries
    by Fabrizio Coricelli & Bostjan Jazbec

  • 2002 Payments and Output
    by Scott Freeman

  • 2002 LÕeuro, una moneta completa
    by Giacomo Vaciago

  • 2002 Central banking and financial innovation. A survey of the modern literature
    by Jan Marc Berk

  • 2002 Central banking and financial innovation. A survey of the modern literature
    by Jan Marc Berk

  • 2002 The Financial Development, Macroeconomic Stability, and Exchange Rate Volatility
    by Sang-Yong Joo & Han-Gwang Choo & Do-Sun Hong

  • 2002 Exchange Rate Regimes in the Americas: Is Dollarization the Solution?
    by Corbo, Vittorio

  • 2002 Do Currency Regimes Matter in the 21st Century? An Overview
    by Fujiki, Hiroshi & Otani, Akira

  • 2002 Economic Developments and Monetary Policy Responses in Interwar Japan: Evaluation Based on the Taylor Rule
    by Shizume, Masato

  • 2002 Credit Cards and Debit Cards in the United States and Japan
    by Mann, Ronald-J

  • 2002 Teorie optimálních mìnových zón: rámec k diskuzím o monetární integraci
    by Roman Horváth & Luboš Komárek

  • 2002 Transmisní mechanizmus mìnové politiky na poèátku 3. tisíciletí
    by Kateøina Šmídková

  • 2002 Senhoriagem ou soberania?
    by Wray, L. Randall

  • 2002 Significance of the EMS and the Evaluation of Euro in the European Integration Process
    by Siret HURSOY

  • 2002 Fiscal Deficits in Monetary Unions: A Comparison of EMU and United States
    by Philip Arestis & Mosahid Khan & Kul B. Luintel

  • 2002 Explaining the EURO's Initial Decline
    by Philip Arestis & Iris Biefang-Frisancho Mariscal & Andrew Brown & Malcolm Sawyer

  • 2002 The Euro and Monetary Policy Transparency
    by Guglielmo Maria Caporale & Andrea Cipollini

  • 2002 The Markets versus the ECB, and the EURO's Plunge
    by Jorg Bibow

  • 2002 The EURO: A Success against the Odds?
    by Iain Begg

  • 2002 EMU and the EURO: Current and Future Prospects--Introduction
    by Philip Arestis

  • 2002 The EURO: Expectations and Performance
    by Dominick Salvatore

  • 2002 The EURO as a Stabilizing and Harmonizing Force in the International Monetary System: Analytical Foundations and Future Prospects
    by Jean-Pierre Allegret & Rene Sandretto

  • 2002 La moneda en la teoría francesa de la regulación
    by Helmith Arias Gómez

  • 2002 Evolution of the Colombia peso, within the currency bands, nonlinearity analysis and stochastic modelling
    by Alejandro Revéis

  • 2002 Banking Productivity and Economic Fluctuations: Colombia 1998-2000
    by Arias Andrés

  • 2002 Argentina One Year On: From a Monetary Crisis to a Financial Crisis
    by Jérôme Sgard

  • 2002 Enlarging European Monetary Union
    by Amina Lahrèche-Revil

  • 2002 A European Voice at the IMF
    by Agnès Bénassy-Quéré & Carlos Bowles

  • 2002 Can the Argentine Peso Resist Competition from the Dollar?
    by Jérôme Sgard

  • 2002 Couts et avantages de l'UEM pour le Royaume-Uni, le "cinquieme test"
    by Patrick Minford

  • 2002 Verbraucherpreisentwicklung nach der Euro-Bargeldeinführung
    by Wolfgang Nierhaus

  • 2002 Monnaie de compte et système de paiements chez James Steuart. Quel rôle pour la stabilité bancaire ?
    by Michel Piteau

  • 2002 La política monetaria del Banco Central de Bolivia
    by Jorge Requena Blanco & Raúl Mendoza Patiño & Oscar Lora Rocha & Luis Fernando Escobar Patiño

  • 2002/2003 Ambiguity and Partisan Business Cycles
    by Anna Maffioletti & Michele Santoni

  • 2001 Heterogeneous Expectations, Currency Options and the euro/dollar exchange rate
    by Rzepkowski Bronka

  • 2001 Assessemt Criteria for Output Gap Estimates
    by Camba-Mendez, G.C. & Palenzuela-Rodriguez, D.

  • 2001 The Spanish Auction for Government Securities: A Laboratory Analysis
    by KLAUS ABBINK & JORDI BRANDTS & PAUL PEZANIS-CHRISTOU

  • 2001 On the need for an international lender of last resort: Lessons from domestic financial markets
    by Winkler, Adalbert

  • 2001 Assessing the advantages of EMU-enlargement for the EU and the accession countries: a comparative indicator approach
    by Schweickert, Rainer

  • 2001 Precommitment, Transparency and Monetary Policy
    by Geraats, Petra Maria

  • 2001 Optimal degrees of transparency in monetary policymaking
    by Jensen, Henrik

  • 2001 Optimal Pricing Under Stochastic Inflation: State:Dependent (s,S) Policies
    by Christian R. Ahlin

  • 2001 Liquidity Effects in the Bond Market
    by Boyan Jovanovic & Peter L. Rousseau

  • 2001 Regional characteristics, monetary union and regional income volatility
    by Frank Barry

  • 2001 U.S. and U.K. Interest Rates 1890 - 1934: New Evidence on Structural Breaks
    by P. Newbold & S. J. Leybourne & R. Sollis & M. E. Wohar

  • 2001 Perú: Una economía estrangulada por el descalce entre la dolarización de los pasivos financieros y la solarización del poder adquisitivo de sus agentes económicos
    by Jiménez Sotelo, Renzo

  • 2001 De bancos centrales, juntas monetarias y dolarización
    by Ferro, Gustavo

  • 2001 Currency Board: From Stabilization to Full Dollarization? The Argentine Experience
    by Ferro, Gustavo

  • 2001 An institutional analysis of some monetary issues in developing economies
    by Strachman, Eduardo & Vasconcelos, Marcos Roberto

  • 2001 Tracking the Euro
    by Vincent Koen & Laurence Boone & Alain de Serres & Nicola Fuchs

  • 2001 Bond Market Inflation Expectations in Industrial Countries: Historical Comparisons
    by Michael D. Bordo & William G. Dewald

  • 2001 Fiscal Requirements for Price Stability
    by Michael Woodford

  • 2001 Inflation Targeting in Emerging Market and Transition Economies: Lessons after a Decade
    by Jeffery D. Amato & Stefan Gerlach

  • 2001 Forecast-based Monetary Policy in Sweden 1992-1998: A View from Within
    by Jansson, Per & Vredin, Anders

  • 2001 Equilibrium Bank Runs
    by Peck, James & Shell, Karl

  • 2001 Aiming for the Bull's Eye: Inflation Targeting under Uncertainty
    by M. Demertzis & N. Viegi

  • 2001 The Zero Lower Bound on Nominal Interest Rates and Monetary Policy Effectiveness: a Survey
    by C.A. Ullersma

  • 2001 Inflation Targeting in Emerging Market and Transition Economies: Lessons After a Decade
    by Amato, Jeffery D. & Gerlach, Stefan

  • 2001 Monetary Policy Issues in a Low Inflation Environment
    by Viñals, José

  • 2001 The Liquidity Trap in an Open Economy
    by Buiter, Willem H.

  • 2001 Global Implications of Self-Orientated National Monetary Rules
    by Obstfeld, Maurice & Rogoff, Kenneth

  • 2001 EMU in the Early Years: Differences and Credibility
    by Buti, Marco & Sapir, André

  • 2001 The EMS Crisis in Retrospect
    by Eichengreen, Barry

  • 2001 Optimal Degrees of Transparency in Monetary Policymaking
    by Jensen, Henrik

  • 2001 Regional Risksharing and Redistribution in the German Federation
    by Hepp, Ralf & von Hagen, Jürgen

  • 2001 Sector Sensitivity to Exchange Rate Fluctuations
    by Michel Fouquin & Nanno Mulder & Laurence Nayman & Khalid Sekkat & Joffrey Malek Mansour

  • 2001 Exit Options for Argentina with a Special Focus on Their Impact on External Trade
    by Sophie Chauvin

  • 2001 Heterogeneous Expectations, Currency Options and the Euro / Dollar Exchange Rate
    by Bronka Rzepkowski

  • 2001 Money and inflation in the Euro Area: A case for monetary indicators?
    by Lars E.O. Svensson & Stefan Gerlach

  • 2001 Public Sector Pricing Behavior And Inflation Risk Premium In Turkey
    by Hakan Berument

  • 2001 Banking Productivity and Economic Fluctuations: Colombia 1998-2000
    by Andrés F. Arias

  • 2001 Indirect Convertibility and Quasi-futures Contracts: Two Non-operational Schemes for Automatic Stabilisation of the Price Level
    by Colin Rogers & Thomas K. Rymes

  • 2001 Do Emu Countries Constitute an Optimum Currency Area? An Empirical Test of the Generalised Purchasing Power Parity Hypothesis
    by Konstantinos Mouratidis

  • 2001 A Question of Fit for EMU:Process and Policy in the Fiscal Domain
    by Brian Ardy

  • 2001 Sulle ragioni di una moneta palestinese
    by Stefano Schiavo

  • 2001 Budget Deficits and Money: Further Evidence from Greece
    by George A. Vamvoukas

  • 2001 Le banche di emissione in Italia tra il 1861 e il 1893: un caso di concorrenza?
    by Giuseppina Gianfreda & Nathalie Janson

  • 2001 Maria Theresa's Thaler: A Case of International Money
    by Adrian E. Tschoegl

  • 2001 Eliminating the Penny from the U.S. Coinage System: An Economic Analysis
    by Raymond E. Lombra

  • 2001 Friedman and Lucas on the Phillips Curve: From a Disequilibrium to an Equilibrium Approach
    by Michel De Vroey

  • 2001 Full Dollarization: TheCase of Panama
    by Ilan Goldfajn & Gino Olivares

  • 2001 Trade Integration and Monetary Integration
    by Jean-Louis Guerin & Amina Lahrèche-Revil

  • 2001 L'insoutenable legerete de l'euro
    by Vincent Koen & Laurence Boone & Alain de Serres & Nicola Fuchs-Schundeln

  • 2001 Kann die Einführung des Euro-Bargelds die europäische Währung stabilisieren?
    by Peter Bofinger & Renate Ohr & Michael Hüther & Wolfgang Filc & Franco Reither

  • 2001 Survey Results about Foreign Currency Holdings in Five Central and Eastern European Countries
    by Helmut Stix

  • 2001 La crédibilité du currency boardde Hong Kong
    by Bronka Rzepkowski

  • 2001 Algunas consideraciones sobre el Sistema de Pagos en Bolivia
    by Walter Orellana Rocha & Gonzalo Forgues Puccio

  • 2000 Will EMU Increase Eurosclerosis?
    by Saint-Paul, G. & Bentolila, S.

  • 2000 The Dynamics of a Small Open Economy under Alternative Exchange Rate Regimes Patterns in Neighboring Areas
    by George Economides

  • 2000 Options for the exchange rate policies in the EU accession countries (and other emerging market economies)
    by Bofinger, Peter & Wollmershäuser, Timo

  • 2000 Heterogeneous policy responses and the risk of monetary disintegration in Europe
    by Cornelius, Peter K. & Trimbur, Thomas

  • 2000 Internal Versus External Convertibility and Developing-Country Financial
    by Gerardo della Paolera & Alan M. Taylor

  • 2000 Will EMU increase eurosclerosis?
    by Gilles Saint Paul & Samuel Bentolila

  • 2000 Optimal Central Banker Contracts and Common Agency
    by Georgios E. Chortareas & Stephen M. Miller

  • 2000 La longue crise de l'économie japonaise
    by Jérôme Sgard

  • 2000 Numismatic and Monetary Aspects of Introducing the Uniform European Union Currency
    by Matić, Branko

  • 2000 Monetare und Fiskale Behorden in der Republik Kroatien die Herausporderungen der Globalisierung
    by Srb, Vladimir & Matić, Branko & Marković, Branimir

  • 2000 What the Yield Curves say About Inflation: Does it Change Over Time?
    by Sebastian Schich

  • 2000 Money and Inflation in the Euro Area: A Case for Monetary Indicators?
    by Stefan Gerlach & Lars E.O. Svensson

  • 2000 The Credit Crunch in East Asia: What can Bank Excess Liquid Assets Tell us?
    by P.R. Agenor & J. Aizenman & A. Hoffmaister

  • 2000 The Present and Future of Monetary Policy Rules
    by Bennett T. McCallum

  • 2000 Do We Really Need a New International Monetary Compact?
    by Maurice Obstfeld & Kenneth Rogoff

  • 2000 Monetary Policy in a World Without Money
    by Michael Woodford

  • 2000 Alternative Monetary Policy Rules: A Comparison with Historical Settings for the United States, the United Kingdom, and Japan
    by Bennett T. McCallum

  • 2000 The First Year of the Eurosystem: Inflation Targeting or Not?
    by Lars E.O. Svensson

  • 2000 How Should Monetary Policy be Conducted in an Era of Price Stability?
    by Lars E.O. Svensson

  • 2000 Does the P* Model Provide Any Rationale for Monetary Targeting?
    by Lars E.O. Svensson

  • 2000 Le Currency Board : les contraintes de financement et d'ajustement de la convertibilité intégrale
    by PONSOT, Jean-François

  • 2000 The first Year of the Eurosystem: Inflation Targeting or Not?
    by Svensson, Lars

  • 2000 Currency Conversion in the Anti-dumping Agreement
    by Jong Bum Kim

  • 2000 The Theory of Money
    by Martin Shubik

  • 2000 Beyond The Design Of Monetary Policy Alone: Fiscal Commitment, Macro Coordination, And Structural Adjustment
    by Begg, David

  • 2000 Monetary Union and Fiscal Federalism
    by Kletzer, Kenneth & von Hagen, Jürgen

  • 2000 The Exchange Rate - A Shock-Absorber or Source of Shocks? A Study of Four Open Economies
    by Artis, Michael J & Ehrmann, Michael

  • 2000 Eurosystem Monetary Targeting: Lessons from US Data
    by Rudebusch, Glenn D & Svensson, Lars E O

  • 2000 Will EMU Increase Eurosclerosis?
    by Bentolila, Samuel & Saint-Paul, Gilles

  • 2000 Should Argentina Adopt The US Dollar?
    by Hughes Hallett, Andrew & Myrvin, Anthony

  • 2000 The First Year Of The Eurosystem: Inflation Targeting Or Not?
    by Svensson, Lars E O

  • 2000 Options For The Exchange Rate Policies Of The EU Accession Countries (And Other Emerging Market Economies)
    by Bofinger, Peter & Wollmershaeuser, Timo

  • 2000 Ten Years of Transformation: Macroeconomic Lessons
    by Wyplosz, Charles

  • 2000 Optimal Commodity Price Stabilization over the Business Cycle
    by Rodrigo Suescún

  • 2000 Big and Small Currencies: The Regional Connection
    by Agnès Bénassy-Quéré & Benoit Coeuré

  • 2000 Structural Changes in Asia and Growth Prospects After the Crisis
    by Jean-Claude Berthelémy & Sophie Chauvin

  • 2000 The International Monetary Fund and the International Financial Architecture
    by Michel Aglietta

  • 2000 The Expectations of Hong Kong Dollar Devaluation and Their Determinants
    by Bronka Rzepkowski

  • 2000 Cuba: from "Dollarization" to "Euro-ization" or "Peso Re-Consolidation"?
    by Archibald R.M. Ritter & Nicholas Rowe

  • 2000 Fiscal Discipline and Exchange Rate Regimes: a Case for Currency Boards?
    by Enrique Alberola & Luis Molina

  • 2000 Endogenous capacity utilization and the asymmetric effects of monetary policy
    by PEDRO PABLO ALVAREZ LOIS

  • 2000 Steps Toward Financial Modernization in the United States
    by Hazel J. Johnson

  • 2000 Forging Banking Alliances in China, Hong Kong, and Korea
    by Hazel J. Johnson

  • 2000 Formal and Informal Ties in Japan
    by Hazel J. Johnson

  • 2000 Dedicated Capital in Germany
    by Hazel J. Johnson

  • 2000 International Leadership in the United Kingdom
    by Hazel J. Johnson

  • 2000 Origins of Banking Alliances
    by Hazel J. Johnson

  • 2000 Destabilizing effects of a successful stabilization: a forward-looking explanation of the second Hungarian hyperinflation
    by Beatrix Paal

  • 2000 Is EMU a Blueprint for Mercosur?
    by Eduardo Levy & Federico Sturzenegger

  • 2000 Chile Después del Peso: Viviendo con el Dólar
    by Edgardo Barandiarán

  • 2000 Chile's Peso: Better than (Just) Living with the Dollar?
    by Felipe Morandé & Klaus Schmidt-Hebbel

  • 2000 Central Bank Independence and inflation: the case of Colombia. 1924 - 1998
    by José Manuel Restrepo

  • 2000 Life Insurance: The Other Dimension to Japan's Financial Crisis
    by Cyrille Lacu

  • 2000 The IMF and the Challenge of Global Governance
    by Michel Aglietta & Sandra Moatti

  • 2000 Exchange Rate Regimes: With or Without the Sucre?
    by Agnès Bénassy-Quéré

  • 2000 The Ecuadorian Crisis and the International Financial Architecture
    by Jérôme Sgard

  • 2000 The Hong Kong Currency Board and Speculative Attacks
    by Stéphane Dées & Bronka Rzepkowski

  • 2000 Erratum: A Reconsideration of the Twentieth Century
    by R. A. Mundell

  • 2000 A Reconsideration of the Twentieth Century
    by Robert A. Mundell

  • 1999 Minsky's Financial Fragility Hypothesis: a Missing Macroeconomic Link?
    by Lavoie, M. & Seccareccia, M.

  • 1999 Testing for Common Cycles in Money, Nominal Income and Prices
    by Hall, S. & Sheperd, D.

  • 1999 Interest Rate Smoothing and Game-Varying Premium: Another Look at Debt Management in Japan
    by Takeya, Y.

  • 1999 Price Stability as a Target for Monetary Policy: Defining and Maintaining Price Stability
    by Sevensson, L.E.O.

  • 1999 Eurosystem Monetary Targeting: Lessons from U.S. Data
    by Rudebusch, G. & Svensson, L.E.O.

  • 1999 Does the P* Model Provide any Rationale for Monetary Targeting
    by Svensson, L.E.O.

  • 1999 Monetary Policy Issues for the Eurosystem
    by Svensson, L.E.O.

  • 1999 Money and Interest Rate Shocks: Some International Evidence
    by Monadjemi, M.S. & Huh, H.-S.

  • 1999 Money and Credit, Competitiveness, and Currency Crises in Asia and Latin America
    by Glick, R. & Moreno, R.

  • 1999 The Structure of EU-CEE Intra-Industry Trade
    by Thom, R.

  • 1999 The Effect of Capital Controls on Interest Rate Differentials
    by Herrera, L.O. & Valdes, R.

  • 1999 Any Sense in a Canadian Dollar?
    by Crow, J.

  • 1999 Speculateurs, investisseurs et attaques speculatives alors que les changes fixes pouvaient etre conserves
    by Artus, P.

  • 1999 What Is the Optimal Institutional Arrangement for a Monetary Union?
    by Gambacorta, L.

  • 1999 What Is the Optimal Institutional Arrangement for a Monetary Union?
    by Gambacorta, L.

  • 1999 Is there an Equity Premium Puzzle in Italy? A Look at Asset Returns, Consumption and Financial Structure Data Over the Last Century
    by Panetta, F. & Violi, R.

  • 1999 Is there an Equity Premium Puzzle in Italy? A Look at Asset Returns, Consumption and Financial Structure Data Over the Last Century
    by Panetta, F. & Violi, R.

  • 1999 Interest Rate Smoothing and Time-Varying Premium: Another Look at Debt Management in Japan
    by Yosuke Takeda

  • 1999 Is Europe an Optimum Currency Area? Business Cyc1es in the EU
    by Maria Caporale, Guglielmo & Pittis, Nikitas

  • 1999 Is There an Optimal Size for the Financial Sector
    by Anthony M. Santomero & John J. Seater

  • 1999 Internal Versus External Convertibility and Developing-Country FinancialCrises: Lessons from the Argentine Bank Bailout of the 1930's
    by Gerardo della Paolera & Alan M. Taylor

  • 1999 The Future of EMU: What Does the History of Monetary Unions Tell Us?
    by Michael D. Bordo & Lars Jonung

  • 1999 Price Stability as a Target for Monetary Policy: Defining and Maintaining Price Stability
    by Lars E.O. Svensson

  • 1999 Eurosystem Monetary Targeting: Lessons from U.S. Data
    by Glenn D. Rudebusch & Lars E.O. Svensson

  • 1999 Monetary Policy Issues for the Eurosystem
    by Lars E.O. Svensson

  • 1999 Designing Indexed Units of Account
    by Robert J. Shiller

  • 1999 Controlling the Price Level
    by Robert E. Hall

  • 1999 The Interbank Money Market in Hungary
    by Áron Gereben

  • 1999 Eurosystem Monetary Targeting: Lessons from U.S. Data
    by Rudebusch, Glenn D. & Svensson, Lars E. O.

  • 1999 Price Stability as a Target for Monetary Policy: Defining and Maintaining Price Stability
    by Svensson, Lars E. O.

  • 1999 How Should Monetary Policy Be Conducted in an Era of Price Stability
    by Svensson, Lars

  • 1999 Price Stability as a Target for Monetary Policy: Defining and Maintaining Price Stability
    by Svensson, Lars

  • 1999 Eurosystem Monetary Targeting: Lessons from U.S. Data
    by Rudebusch, Glenn & Svensson, Lars

  • 1999 Does the P* Model provide Any Rationale for Monetary Targeting?
    by Svensson, Lars

  • 1999 Monetary Policy Issues for the Eurosystem
    by Svensson, Lars

  • 1999 How Should Monetary Policy Be Conducted In An Era Of Price Stability?
    by Svensson, Lars E O

  • 1999 Targeting Nominal Income Growth or Inflation?
    by Jensen, Henrik

  • 1999 Towards A More Perfect EMU
    by Wyplosz, Charles

  • 1999 Does the P* Model Provide Any Rationale for Monetary Targeting?
    by Svensson, Lars E O

  • 1999 Monetary Policy Issues for the Eurosystem
    by Svensson, Lars E O

  • 1999 Price Stability as a Target for Monetary Policy: Defining and Maintaining Price Stability
    by Svensson, Lars E O

  • 1999 The EMU and the NAMU: What is the Case for North American Monetary Union?
    by Buiter, Willem H.

  • 1999 Risk Sharing and Moral Hazard with a Stability Pact
    by Beetsma, Roel & Jensen, Henrik

  • 1999 Inflation Targeting, Transparency and Interest Rate Volatility: Ditching 'Monetary Mystique' in the UK
    by Nolan, C. & Chadha, J.S.

  • 1999 Monetary Policy Loss Functions: Two Cheers for the Quadratic
    by Schellekens, P. & Chadha, J.S.

  • 1999 Fiscal Policy in the Transition to Monetary Union: a Structural VAR Model
    by Bruneau, C. & De Bandt, O.

  • 1999 Optimal Currency Areas: A Review of the Recent Literature
    by Lafrance, Robert & St-Amant, Pierre

  • 1999 The Euro and Its Benefits: Trade in Hard and in Soft Currencies
    by Pan A. Yotopoulos & Donato Romano

  • 1999 Endogenous Money Supply and the Business Cycle
    by William T. Gavin & Finn E. Kydland

  • 1999 A Model of Commodity Money, with Applications to Gresham's Law and the Debasement Puzzle
    by François R. Velde & Warren E. Weber & Randall Wright

  • 1999 A model of private bank-note issue
    by Ricardo de O. Cavalcanti & Neil Wallace

  • 1999 Jegybankfüggetlenség Magyarországon (19901999)
    by Karádi, Péter

  • 1999 Monetary Policy in Latin America: Underpinnings and Procedures
    by Andrés Elberg & Vittorio Corbo & José Tessada

  • 1999 The Expected Failure of the European Economic and Monetary Union: A False Money against the Real Economy
    by Alain Parguez

  • 1999 Análisis Coyuntural. Perspectivas para 1999
    by Fedesarrollo

  • 1999 Hacia la devaluación real, adiós bandas cambiarias
    by Juan José Echavarría

  • 1999 Vu du pont : l’Etalon-or de l’entre-deux-guerres etait-il un ‘regime’ ?
    by Kenneth Moure

  • 1998 Uncovering Financial Markets Beliefs About Inflation Targets
    by Ruge-Murcia, F.J.

  • 1998 Monetary Regimes And Endogenous Wage Contracts: Sweden 1908-1995
    by Fregert, Klas & Jonung, Lars

  • 1998 Inflation Contracts And Inflation Targets Under Uncertainty: Why We Might Need Conservative Bankers
    by Anton Muscatelli

  • 1998 Implications of the Asian Currency Crisis and the Debt Crisis of the 1980s
    by Krueger, A.

  • 1998 Tradeoffs Between Inflation and Output-Gap Variances in an Optimizing-Agent Model
    by Erceg, C.J. & Henderson, D.W. & Levin, A.T.

  • 1998 International Experiences with Different Monetary Policy Regimes
    by Mishkin, F.S.

  • 1998 Inflation Targeting as a Monetary Policy Rule
    by Svensson, L.E.O.

  • 1998 Nominal Income Targeting in an Open-Economy Optimizing Model
    by McCallum, B.T. & Nelson, E.

  • 1998 Money Growth Targeting
    by von Hagen, J.

  • 1998 Pioneering Price Level Targeting: The Swedish Experience 1931-1937
    by Berg, C. & Jonung, L.

  • 1998 Inflation Targeting in New Zealand: Experience and Practice
    by Brash, D.

  • 1998 Macroeconomic Policy During the Transition of Monetary Union
    by Crowley, P.

  • 1998 Determinants of Currency Risk Premiums
    by Carlson, J.A: Osler, C.L.

  • 1998 Currency Prices, the Nominal Exchange Rate, and Security Prices in a Two-Country Dynamic Monetary Equilibrium
    by Basak, S. & Gallmeyer, M.

  • 1998 Money and Economic Activity: Some International Evidence
    by Monadjemi, M.S. & Huh, H.

  • 1998 Social Security Money's Worth
    by Geanakoplos, J. & Mitchell, O.S. & Zeldes, S.P.

  • 1998 Establishing a Monetary Union
    by Cooper, R. & Kempf, H.

  • 1998 Financial Sector Reforms and Interest Rate Liberalization: The Kenya Experience
    by Ngugi, R.W. & Kabubo, J.W.

  • 1998 Eurodynamics in the Netherlands: results of the seventh DNB euro survey
    by K.F. Roszbach & A.C.J. Stokman

  • 1998 G. Goisis - Tassi di cambio e tassi di interesse: circuiti virtuosi e viziosi
    by Goisis, Gianandrea

  • 1998 International Capital Markets and Central Bank Sovereignty
    by Jason L. Saving & Thomas R. Saving

  • 1998 Inflation targeting as a monetary policy rule
    by Svensson, Lars E. O.

  • 1998 The Nonlinear Phillips Curve and Inflation Forecast Targeting - Symmetric Versus Asymmetric Monetary Policy Rules
    by Schaling, E.

  • 1998 Incentive Contracts for Central Bankers under Uncertainty : Walsh-Svensson Non-Equivalence Revisited
    by Schaling, E. & Hoeberichts, M.M. & Eijffinger, S.C.W.

  • 1998 Der Euro, ein Segen für Afrika? Folgen der Anbindung der afrikanischen Franc-Zone an den Euro
    by Kohnert, Dirk

  • 1998 Electronic Commerce and Electronic Money - Co-operative efforts undertaken at the Bank for International Settlements (BIS)
    by Heinrich, Gregor

  • 1998 Inflation Targeting as a Monetary Policy Rule
    by Lars E.O. Svensson

  • 1998 Performance of Operational Policy Rules in an Estimated Semi-Classical Structural Model
    by Bennett T. McCallum & Edward Nelson

  • 1998 Is the Price Level Determined by the Needs of Fiscal Solvency?
    by Matthew B. Canzoneri & Robert E. Cumby & Behzad T. Diba

  • 1998 The Young Person's Guide to Neutrality, Price Level Indeterminacy, Interest Rate Pegs, and Fiscal Theories of the Price Level
    by Willem H. Buiter

  • 1998 Indexed Units of Account: Theory and Assessment of Historical Experience
    by Robert J. Shiller

  • 1998 Uncovering Financial Markets Beliefs About Inflation Targets
    by RUGE-MURCIA, Francisco J.

  • 1998 Fluctuations, Bilateral Trade and the Exchange Rate Regime
    by Jean IMBS

  • 1998 Tradeoffs Between Inflation and Output-Gap Variances in an Optimizing-Agent Model
    by Erceg, Christopher J. & Henderson, Dale W. & Levin, Andrew T.

  • 1998 The Robustness and Efficiency of Monetary Policy Rules as Guidelines for Interest Rate Setting by the European Central Bank
    by Taylor, John B.

  • 1998 International Experiences With Different Monetary Policy Regimes
    by Mishkin, Frederic S.

  • 1998 Inflation Targeting as a Monetary Policy Rule
    by Svensson, Lars E.O.

  • 1998 Inflation Targeting as a Monetary Policy Rule
    by Svensson, Lars E O

  • 1998 Workers' Versus Bankers' Europe (II): Policy Externalities and Credibility in EMU
    by Bottazzi, Laura & Manasse, Paolo

  • 1998 Bankers' Versus Workers' Europe (I): Adverse Selection in EMU
    by Bottazzi, Laura & Manasse, Paolo

  • 1998 Monetary Policy and Inflation: From Theory to Practice
    by Viñals, José

  • 1998 The Young Person's Guide to Neutrality, Price Level Indeterminacy, Interest Rate Pegs and Fiscal Theories of the Price Level
    by Buiter, Willem H.

  • 1998 Is the Price Level Determined by the Needs of Fiscal Solvency?
    by Canzoneri, Matthew B & Cumby, Robert & Diba, Behzad

  • 1998 Resultados de la implementación del régimen subsidiado
    by Ana Beatriz Barona C. & Beatriz Plaza D.

  • 1998 Indirect Convertibility and Quasi-Futures Contracts: Two Non-Operational Schemes for Automatic Stabilisation of the Price Level?
    by Colin Rogers & Thomas K. Rymes

  • 1998 Non-neutral responses to money supply shocks when consumption and leisure are Pareto substitutes
    by Kenneth J. Matheny

  • 1998 Unstable and stable steady-states in the Kiyotaki-Wright model
    by Juan-Manuel Renero

  • 1998 Doing Without Money: Controlling Inflation in a Post-Monetary World
    by Michael Woodford

  • 1998 A Marshall-tervtől az új egyensúlyi helyzetek felé
    by Báger, Gusztáv & Szabó-Pelsőczi, Miklós

  • 1998 La "Gran Depresión Asiática" y sus efectos sobre las economías latinoamericanas, con énfasis en Colombia
    by Israel Fainboim & Julio César Alonso

  • 1997 Left - and Right- Endogenous Money. A Table of Two Books
    by Fladers, M.J.

  • 1997 Inflation Targeting : Some Extensions
    by Svensson, L-E-O

  • 1997 Fiscal Operations, Money Supply and Inflation in Tanzania
    by Kilindo, A.A.L.

  • 1997 Eurosclerosis, Eurochicken and the Outlook for EMU
    by Miller, M.

  • 1997 Crisi di cambio e problemi di politica monetaria nell'talia di fine ottocento. Appunti su alcune evidenze empiriche
    by Elio Cerrito

  • 1997 Monetary Policy Regimes and Economic Performance: The Historical Record
    by Michael D. Bordo & Anna J. Schwartz

  • 1997 Was the Great Depression a Watershed for American Monetary Policy?
    by Charles W. Calomiris & David C. Wheelock

  • 1997 Inflation Targeting: Some Extensions
    by Lars E. O. Svensson

  • 1997 Doing Without Money: Controlling Inflation in a Post-Monetary World
    by Woodford, Michael

  • 1997 Inflation Targeting: Some Extensions
    by Svensson, Lars E.O.

  • 1997 Inflation Forecast Targeting: Implementing and Monitoring Inflation Targets
    by Svensson, Lars E.O.

  • 1997 Price Level Targeting vs. Inflation Targeting: A Free Lunch?
    by Svensson, Lars E.O.

  • 1997 More on optimal denominations for coins and currency
    by Wynne, Mark A.

  • 1997 Monetary Policy Regimes and Beliefs
    by David Andolfatto & Paul Gomme

  • 1997 A Strategy for Launching the Euro
    by Obstfeld, Maurice

  • 1997 Inflation Targets and Contracts with Uncertain Central Banker Preferences
    by Beetsma, Roel & Jensen, Henrik

  • 1997 Los dólares del narcotráfico
    by Roberto Steiner

  • 1997 Reexamining the Term Structure of Interest Rates and the Interwar Demand for Money
    by Christopher F. Baum & Clifford F. Thies

  • 1997 The Liquidity Trap: Evidence from Japan
    by Isabelle Weberpals

  • 1997 Policy Uncertainty and Informational Monopolies: The Case of Monetary Policy
    by Jones, L.E. & Manuelli, R.E

  • 1997 Why Democracy is Essential to Monetary Stability
    by Homburg, Stefan

  • 1997 Hat die Währungsunion Auswirkungen auf die Finanzpolitik?
    by Homburg, Stefan

  • 1997 Az ezredvégi nagy borzongás
    by László, Géza & Király, Júlia & Csontos, László

  • 1997 Japon : les limites d'une gestion macro-économique de la crise financière
    by Stéphanie Guichard

  • 1997 La crise financière en Asie
    by Michel Aglietta & Agnès Bénassy-Quéré & Loïc Cadiou & Jérôme Sgard

  • 1996 Currency Baskets as International Units of Account
    by Wolf, H.C.

  • 1996 Money Velocity with Costly Credit
    by Gillman M. & Siklos & P.L.Silver & J.L.

  • 1996 Policy Making and Speculative Attacks in Models of Exchange Rate Crises: A Synthesis
    by Corsetti, G. & Cavallari, L.

  • 1996 Price Level Targeting vs Inflation Targeting : A free Lunch?
    by Svensson, L-E-O

  • 1996 Price and Change Rate determination Between Laos and Thailand
    by Joyeux, R. & Worner, W.E.

  • 1996 International Interest Rates Linkage: Evidence from OCDE Countries
    by Monadjemi, M.S.

  • 1996 A Clash of Values: Coinage in New Guinea Between the World Wars
    by Perkins, J.

  • 1996 La comptabilite des emprunts en devises: une evaluation empirique du Franc francais
    by Guidon, M. & Amachaya, M.

  • 1996 EMU: An Outsider's Perspective
    by Eichengreen, B.

  • 1996 Punts, Pounds and Euros: In Search of an Optimum Currency Area
    by Neary, J.P. & Thom, D.R.

  • 1996 Governance by Market: How Voluntary Domestic Markets for Government debt Emerge in pacific Asia and Other Development Areas
    by Fry, M.J.

  • 1996 Will the New $100 Bill Decrease Counterfeiting?
    by Edward J. Green & Warren Weber

  • 1996 Shortages, interest rates, and money demand in Poland, 1969-1995
    by Erwin Nijsse & Elmer Sterken,

  • 1996 Punts, pounds and euros : in search of an optimum currency area
    by Rodney Thom & J. Peter Neary

  • 1996 Inflation targets and contracts with uncertain central banker preferences
    by Beetsma, R.M.W.J. & Jensen, H.

  • 1996 Income Taxes and Entrepreneur' Use of Labor
    by Robert Carroll & Douglas Holtz-Eakin & Mark Rider & Harvey Rosen

  • 1996 Inflation Forecast Targeting: Implementing and Monitoring Inflation Targets
    by Lars E. O. Svensson

  • 1996 Speculative Attacks: Fundamentals and Self-Fulfilling Prophecies
    by Robert P. Flood & Nancy P. Marion

  • 1996 Monetary Cohabitation in Europe
    by Torsten Persson & Guido Tabellini

  • 1996 Getting Pegged: Comparing the 1879 and 1925 Gold Resumptions
    by Michael D. Bordo & Tamim Bayoumi

  • 1996 Inflation Forecast Targeting: Implementing and Monitoring Inflation Targets
    by Svensson, Lars E O

  • 1996 Price-level Targeting versus Inflation Targeting: A Free Lunch?
    by Svensson, Lars E O

  • 1996 Do Capital Market Imperfections Exacerbate Output Fluctuations?
    by Bacchetta, Philippe & Caminal, Ramon

  • 1996 Monetary Cohabitation in Europe
    by Persson, Torsten & Tabellini, Guido

  • 1996 Convergence in Monetary Inflation Models with Heterogeneous Learning Rules
    by Evans, George W. & Honkapohja, Seppo & Marimon, Ramon

  • 1996 Basic Payment Systems
    by David Sheppard

  • 1995 The Collapse of the Mexican Peso: What Have We Learned?
    by Sachs, J. & Tornell, A. & Velasco, A.

  • 1995 Seigniorage, Delegation and Common Currency
    by Cheikbossian, G.

  • 1995 Currencies and the Allocation of Risk: The Welfare Effect of a Monetary Union
    by Neumeyer, P.A.

  • 1995 Designing Fiscal and Monetary policy Institutions for a European Monetary Union
    by Beetsma, R.M.W.J. & Bovenberg, A.L.

  • 1995 Central Bank Independence and Seigniorage: The Banque de France
    by Wesche, Katrin & Jens Weidmann

  • 1995 Monetary and fiscal policy interaction and government debt stabilization
    by van Aarle, B. & Bovenberg, A.L. & Raith, M.

  • 1995 Danish Balance of Payments Support
    by Tarp, Finn & Kragh, Mads Váczy

  • 1995 Danish Balance of Payments Support
    by Tarp, Finn

  • 1995 The Mirage of Fixed Exchange Rates
    by Maurice Obstfeld & Kenneth Rogoff

  • 1995 Optimal Inflation Targets, 'Conservative' Central Banks, and Linear Inflation Contracts
    by Svensson, Lars E O

  • 1995 Macroeconomic Policy During a Transition to Monetary Union
    by Buiter, Willem H.

  • 1995 Efectos económicos y sociales de la legislación laboral
    by Eduardo Lora Torres & Marta Luz Henao

  • 1995 Determining the Value of a Financial Unit of Account Based on Composite Currencies: The Case of the Private ECU
    by David Folkerts-Landau & Peter M. Garber

  • 1995 Leçons mexicaines
    by Jean Pisani-Ferry & Jérôme Sgard

  • 1995 The Mirage of Fixed Exchange Rates
    by Maurice Obstfeld & Kenneth Rogoff

  • 1994 Monetary Regimes, Inflation and Monetary Reform: An Essay in Honor of Axel Leijonhufvud
    by Bordo, Michael D. & Jonung, Lars

  • 1994 'Wir sind alle abgewertet !' Zur Anpassungskrise von Währung, Wirtschaft und Gesellschaft in der CFA-Zone
    by Kohnert, Dirk

  • 1994 A Model of Fiat Money and Barter
    by Fumio Hayashi & Akihiko Matsui

  • 1994 The Specie Standard as a Contingent Rule: Some Evidence for Core and Peripheral Countries, 1880-1990
    by Michael D. Bordo & Anna J. Schwartz

  • 1994 Issues Concerning Nominal Anchors for Monetary Policy
    by Robert Flood & Michael Mussa

  • 1994 Credibility of the Interwar Gold Standard, Uncertainty, and the Great Depression
    by J. Peter Ferderer

  • 1994 Currency Board or Central Bank? Lessons from the Irish Pound's Link with Sterling, 1928-79
    by Honohan, Patrick

  • 1994 Optimal Target Zones: How an Exchange Rate Mechanism Can Improve Upon Discretion
    by Miller, Marcus & Zhang, Lei

  • 1994 The International Monetary System : in search of New Principles
    by Michel Aglietta

  • 1994 Indépendance de la banque centrale et politique budgétaire
    by Agnès Bénassy-Quéré & Jean Pisani-Ferry

  • 1994 The "Hard" SDR: An Exploratory Analysis
    by Subhash Thakur

  • 1994 Exchange Rate Strategies and Fiscal Performance in Sub-Saharan Africa
    by Karim Nashashibi & Stefania Bazzoni

  • 1994 Estbilización de la economía ecuatoriana. El rol del ancla cambiaria
    by Luis I. Jácome Hidalgo

  • 1993 Seigniorage, taxation and myopia in EMU
    by Krichel, Thomas

  • 1993 The Gold Standard, Bretton Woods and other Monetary Regimes: An Historical Appraisal
    by Michael Bordo

  • 1993 D'une série de « National Labour Standards » à un « European Monetary Standard » ?
    by Robert BOYER

  • 1993 Reflections on the Emergence of a Single Market for Bank Reserves in a European Monetary Union
    by Melitz, Jacques

  • 1993 The Political Economy of the Exchange Rate Mechanism
    by Minford, Patrick

  • 1993 Who Are the Insiders? Wage Setting in Spanish Manufacturing Firms
    by Bentolila, Samuel & Dolado, Juan J.

  • 1993 The measurement of money’s value
    by Luís E. Rivero M.

  • 1993 La demanda de dinero en el corto y en el largo plazo en Colombia
    by Santiago Herrera A. & Juan Manuel Julio

  • 1993 Los capitales extranjeros en tres economías latinoamericanas
    by Roberto Steiner

  • 1993 Transmission of the Great Depression
    by Peter Temin

  • 1992 Interest income evasion in a two-country model
    by Tillmann,Georg

  • 1992 The Reform of Federal Deposit Insurance
    by Cebula, Richard

  • 1992 Money in a Sovereign Quebec
    by Grady, Patrick

  • 1992 Understanding the High Interest Rates on Italian Government Securities
    by Giovannini, Alberto & Piga, Gustavo

  • 1992 Bretton Woods and its Precursors: Rules versus Discretion in the History of International Monetary Regimes
    by Giovannini, Alberto

  • 1992 A Multilateral Payments Union for the Commonwealth of Independent States: Why and How?
    by Bofinger, Peter & Gros, Daniel

  • 1992 From EMS to EMU
    by Fratianni, Michele & von Hagen, Jürgen & Waller, Christopher

  • 1992 Macroeconomic Policy and Elections in OECD Democracies
    by Alesina, Alberto F & Cohen, Gerald D & Roubini, Nouriel

  • 1992 Speculative Attacks and Models of Balance of Payments Crises
    by Pierre-Richard Agénor & Jagdeep S. Bhandari & Robert P. Flood

  • 1992 Debates macroeconómicos en España
    by Iñaki Mauleón

  • 1992 The Gold Standard, Monetary Policy, and the Banking School--Currency School Debate
    by Scott Sumner

  • 1992 Medios de pago, reservas internacionales, crédito e inflación
    by Miguel Urrutia & María Teresa Ramírez

  • 1992 Flujos de capitales, tasa de cambio real y coyuntura macroeconómica en América Latina
    by Mauricio Cárdenas

  • 1991 Options for a New Monetary Framework for the Area of the Soviet Union
    by Bofinger, Peter

  • 1991 The Currency Reform as the Last Stage of Economic and Monetary Union: Some Policy Questions
    by Giovannini, Alberto

  • 1991 Designing a Central Bank for Europe: A Cautionary Tale from the Early Years of the Federal Reserve System
    by Eichengreen, Barry

  • 1991 Projected Employment Effects of a Repeal of the Glass-Steagall Act
    by Randall K. Filer & Bernard Shull

  • 1991 Implicaciones macroeconómicoas de la composición del déficit fiscal
    by Patricia Correa & Jorge Armando Rodríguez

  • 1991 La expansión de la base monetaria, 1987 - 1990: una nueva metodogía de sectorización
    by Mauricio Alviar R.

  • 1989 Las economías andinas en 1988
    by Fedesarrollo

  • 1988 Currency speculation and dollar fluctuations
    by Stephan Schulmeister

  • 1988 Currency speculation and dollar fluctuations
    by Stephan Schulmeister

  • 1985 Évaluation du processus d'intégration monétaire au sein du Système Monétaire Européen
    by Galy, Michel

  • 1985 Ahorro e inversión en Colombia
    by José Antonio Ocampo & Juan Luis Londoño & Leonardo Villar

  • 1984 El comercio intra-regional y el problema de pagos
    by José Antonio Ocampo

  • 1984 Simulaciones de la balanza de pagos
    by Leonardo Villar

  • 1984 La política económica de la administración Betancur
    by Guillermo Perry

  • 1983 Esquema de un sistema de pagos para el Grupo Andino
    by José Antonio Ocampo

  • 1982 A macroeconomic view of Eurodollar market expansion after 1973
    by Galy, Michel

  • 1982 Los acontecimientos recientes del sector financiero en perspectiva
    by Mauricio Avella

  • 1982 Confrontaciones en torno al sector financiero: anotaciones sobre un problema político
    by Mauricio Avella

  • 1982 Economía, sistema financiero y confianza pública
    by Carlos Caballero

  • 1970 Euro-dollar creation: a mystery story
    by Fritz Machlup

  • 1970 Euro-dollar creation: a mystery story
    by Fritz Machlup

  • Money and Reciprocity
    by Thorsten Hens & Bodo Vogt

  • Full Employment, Open Economy Macroeconomics, and Keynes’ General Theory: Does the Swan Diagram Suffice?
    by Paul Davidson

  • Stabilization and expanded commitment: a theory of forward guidance for economies with rational expectations
    by Hughes Hallett Andrew & Nicola Acocella

  • Finland's Experiences and Challenges in the Euro Zone
    by Kotilainen, Markku

  • Solving Boundary Value Problems in the Fiscal Theory of the Price Level
    by Gliksberg, Baruch

  • Monetary Policy and Fiscal Limits with No-Default
    by Gliksberg, Baruch

  • Maximising Seigniorage and Inflation Tax: The Case of Belarus
    by D r. (elect.) Julia Korosteleva

  • The Belarusian Case of Transition: Whither Financial Repression?
    by Dr. (elect.) Julia Korosteleva & Dr. Colin Lawson

  • Central Bank Independence, Exchange Rate Policy and Inflation Persistence Empirical Evidence on Selected EMU Countries
    by Athanasios Papadopoulos & Moïse Sidiropoulos

  • Symmetric Thermal Optimal Path and Time-Dependent Lead-Lag Relationship: Novel Statistical Tests and Application to UK and US Real-Estate and Monetary Policies
    by Hao MENG & Wei-Xing ZHOU & Didier SORNETTE

  • Monetary policy loss functions: two cheers for the quadratic
    by CHADHA, Jagjit & SCHELLEKENS, Philip

  • Choice and Performance of Exchange Rate Regimes in Developing Countries: The Case of Chile
    by Miguel Gouvêa & António Portugal Duarte

  • This information is provided to you by IDEAS at the Research Division of the Federal Reserve Bank of St. Louis using RePEc data.