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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ F: International Economics
/ / F3: International Finance
/ / / F30: General
/ / / F31: Foreign Exchange
/ / / F32: Current Account Adjustment; Short-term Capital Movements
/ / / F33: International Monetary Arrangements and Institutions
/ / / F34: International Lending and Debt Problems
/ / / F35: Foreign Aid
/ / / F36: Financial Aspects of Economic Integration
/ / / F37: International Finance Forecasting and Simulation: Models and Applications
/ / / F38: International Financial Policy: Financial Transactions Tax; Capital Controls
/ / / F39: Other

This JEL code is mentioned in the follow RePEc Biblio entries:
  1. > International Economics > Exchange Rate Economics

This topic is covered by the following reading lists:
  1. Mondialisation
  2. SOEP based publications

Most recent items first, undated at the end.
  • 2015 Cross-border resolution of global banks
    by Faia, Ester & Weder di Mauro, Beatrice

  • 2015 Monetary Union with a Single Currency and Imperfect Credit Market Integration
    by Vincent Bignon & Régis Breton & Mariana Rojas Breu

  • 2015 The Role of Regulatory Arbitrage in U.S. Banks’ International Lending Flows: Bank-Level Evidence
    by Judit Temesvary

  • 2015 A Pairwise-Based Approach to Examine the Feldstein-Horioka Condition of International Capital Mobility
    by Mark J. Holmes & Jesús Otero

  • 2015 The Theory of Finance: A novel finance model being formed on the Internet
    by Magomet Yandiev

  • 2015 Absence Of Interbank Loan Market And Banking Short-Term Liquidity Management Mechanisms: The Most Pressing Problems Of The Islamic Finance Model
    by Magomet Yandiev

  • 2015 The impact of the global financial crisis on border-crossing mergers and acquisitions: A continental/industry analysis
    by Reddy, Kotapati Srinivasa

  • 2015 Long term funding and regulation: facilitating financial stability and development (low income developing countries)
    by Marianne, Ojo

  • 2015 The Impossible Trinity: Where does India stand?
    by Sengupta, Rajeswari

  • 2015 Long term funding and regulation: facilitating financial stability and development in low income developing countries
    by Marianne, Ojo

  • 2015 Exchange Rate Determination and Out of Sample Forecasting: Cointegration Analysis
    by Hina, Hafsa & Qayyum, Abdul

  • 2015 Efficiency of sugar industry in Sudan: Data Envelopment Analysis
    by onour, Ibrahim

  • 2015 Global and Regional Volatility Spillovers to GCC Stock Markets
    by Alotaibi, Abdullah R & Mishra, Anil V

  • 2015 Wall Street’s Cultur
    by Tiberiu Brãilean & Aurelian-Petrus Plopeanu

  • 2015 Using genetic algorithm in dynamic model of speculative attack
    by Bogna Gawronska-Nowak & Wojciech Grabowski

  • 2015 News Shocks in Open Economies: Evidence from Giant Oil Discoveries
    by Rabah Arezki & Valerie A. Ramey & Liugang Sheng

  • 2015 News Shocks in Open Economies: Evidence from Giant Oil Discoveries
    by Rabah Arezki & Valerie A Ramey & Liugang Sheng

  • 2015 Capital Control Measures: A New Dataset
    by Andrés Fernández & Michael W. Klein & Alessandro Rebucci & Martin Schindler & Martín Uribe

  • 2015 The Internationalization of the RMB, Capital Market Openness, and Financial Reforms in China
    by Joshua Aizenman

  • 2015 Capital Flow Management Measures: What Are They Good For?
    by Kristin Forbes & Marcel Fratzscher & Roland Straub

  • 2015 International Currency Exposures, Valuation Effects, and the Global Financial Crisis
    by Agustín S. Bénétrix & Philip R. Lane & Jay C. Shambaugh

  • 2015 Reconsidering the rise of ‘shareholder value’ in the United States, 1960-2000
    by Blake Edward Taylor

  • 2015 Reshaping the financial architecture for development finance: the new development banks
    by Rajiv Biswas

  • 2015 Cheap but flighty: how global imbalances create financial fragility
    by Ahnert, Toni & Perotti, Enrico C

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

  • 2015 Estimating Capital Flows to Emerging Market Economies with Heterogeneous Panels
    by Hernandez Vega Marco A

  • 2015 Does Financial Integration Increase Welfare? Evidence from International Household-Level Data
    by Christian Friedrich

  • 2015 Interconnected Risk Contributions: A Heavy-Tail Approach to Analyze U.S. Financial Sectors
    by Mauro Bernardi & Lea Petrella

  • 2015 The Impact of the Basel Accord on Greek Banks: A Stress Test Study
    by John Leventides & Anna Donatou

  • 2015 Quadratic Hedging of Basis Risk
    by Hardy Hulley & Thomas A. McWalter

  • 2015 Implied and Local Volatility Surfaces for South African Index and Foreign Exchange Options
    by Antonie Kotzé & Rudolf Oosthuizen & Edson Pindza

  • 2015 State Prices and Implementation of the Recovery Theorem
    by Alex Backwell

  • 2015 Pricing a Collateralized Derivative Trade with a Funding Value Adjustment
    by Chadd B. Hunzinger & Coenraad C.A. Labuschagne

  • 2015 Firm Value and Cross Listings: The Impact of Stock Market Prestige
    by Nicola Cetorelli & Stavros Peristiani

  • 2015 Are Women More Likely to Seek Advice than Men? Evidence from the Boardroom
    by Maurice Levi & Kai Li & Feng Zhang

  • 2015 Quantification of VaR: A Note on VaR Valuation in the South African Equity Market
    by Lesedi Mabitsela & Eben Maré & Rodwell Kufakunesu

  • 2015 Acknowledgement to Reviewers of the Journal of Risk and Financial Management
    by Journal of Risk Financial Management Editorial Office

  • 2015 The NBA’s Maximum Player Salary and the Distribution of Player Rents
    by Kelly M. Hastings & Frank Stephenson

  • 2015 Effects of Family Ownership, Debt and Board Composition on Mexican Firms Performance
    by Juan Manuel San Martin-Reyna & Jorge A. Duran-Encalada

  • 2015 Modern and Traditional Methods for Measuring Money Supply: The Case of Saudi Arabia
    by William A. Barnett & Ryadh M. Alkhareif

  • 2015 How the Economic and Financial Situation of the Community Affects Sport Clubs’ Resources: Evidence from Multi-Level Models
    by Pamela Wicker & Christoph Breuer

  • 2015 The Relation between Past Flows and Future Performance: Simple Investment Strategies in the Mutual Fund Sector
    by Martin Rohleder

  • 2015 Acknowledgement to Reviewers of the International Journal of Financial Studies in 2014
    by International Journal of Financial Studies Editorial Office

  • 2015 The 2008 financial crisis: Stock market contagion and its determinants
    by Luchtenberg, Kimberly F. & Vu, Quang Viet

  • 2015 International reserves before and after the global crisis: Is there no end to hoarding?
    by Aizenman, Joshua & Cheung, Yin-Wong & Ito, Hiro

  • 2015 Input substitution, export pricing, and exchange rate policy
    by Shi, Kang & Xu, Juanyi & Yin, Xiaopeng

  • 2015 Out-of-sample bond risk premium predictions: A global common factor
    by Zhu, Xiaoneng

  • 2015 Home bias, risk differential, and cultural spatial spillover effects
    by Kim, Heeho & Cho, Seong-Hoon & Kim, Yongku

  • 2015 The “greatest” carry trade ever? Understanding eurozone bank risks
    by Acharya, Viral V. & Steffen, Sascha

  • 2015 Convertibility restriction in China’s foreign exchange market and its impact on forward pricing
    by Wang, Yi David

  • 2015 Equity hedging and exchange rates at the London 4p.m. fix
    by Melvin, Michael & Prins, John

  • 2015 Cross-sectional anomalies and volatility risk in different economic and market cycles
    by Peltomäki, Jarkko & Äijö, Janne

  • 2015 Corporate international diversification and risk
    by Krapl, Alain A.

  • 2015 Our currency, your problem? The global effects of the euro debt crisis
    by Stracca, Livio

  • 2015 Are Linear and Nonlinear Exchange Rate Exposures Aggravating Agents to Corporate Bankruptcy in Nigeria? New Evidence from the “U” Test Analysis
    by Abdulkadir Abdulrashid Rafindadi & Zarinah Yusof

  • 2015 Short-Run Determinants of the USD/MYR Exchange Rate
    by Yu Hsing

  • 2015 Monetary policy, incomplete asset markets, and welfare in a small open economy
    by Shigeto Kitano & Kenya Takaku

  • 2015 Effects of Exchange Rate Volatility on Exports: Evidence from India
    by Sidheswar Panda & Ranjan Kumar Mohanty

  • 2015 Exchange rate determination in Vietnam
    by Thai-Ha Le

  • 2014 In lands of foreign currency credit, bank lending channels run through? The effects of monetary policy at home and abroad on the currency denomination of the supply of credit
    by Ongena, Steven & Schindele, Ibolya & Vonnák, Dzsamila

  • 2014 International capital flows and economic growth in CESEE: a structural break in the great recession
    by Željko Bogdan & Milan Deskar-Škrbić & Velimir Šonje

  • 2014 The Effects of Exchange Rates on Employment in Canada
    by Haifang Huang, Ke Pang, Yao Tang

  • 2014 The Real Exchange Rate and External Competitiveness in Egypt, Morocco and Tunisia
    by Zuzana Brixiova & Balázs Égert & Thouraya Hadj Amor Essid

  • 2014 The Effects of Financial and Real Shocks, Structural Vulnerability and Monetary Policy on Exchange Rates from the Perspective of Currency Crises Models
    by Ryota Nakatani

  • 2014 The Dynamics of Currency Crises---Results from Intertemporal Optimization and Viscosity Solutions
    by Christian Bauer & Philip Ernstberger

  • 2014 Are exporting firms always a good hedge against currency risk? Evidence from Central and Eastern European Countries
    by M. FRÖMMEL & M. LUETJE

  • 2014 Revisiting the Link between Political and Financial Crises in Africa
    by Bertin, Sara & Ohana, Steve & Strauss-Kahn, Vanessa

  • 2014 Exploring Diversification Benefits in Asia-Pacific Equity Markets
    by Mensah, Jones Odei & Premaratne, Gamini

  • 2014 The 2007-2008 global financial crisis, and cross-border mergers and acquisitions: A 26-nation exploratory study
    by Reddy, Kotapati Srinivasa & Nangia, Vinay Kumar & Agrawal, Rajat

  • 2014 International reserves in the era of quasi-world money
    by Labrinidis, George

  • 2014 On the European debt crisis
    by Beker, Victor

  • 2014 Regional inflation, spatial location and the Balassa-Samuelson effect
    by Nagayasu, Jun

  • 2014 Forex Trading and the WMR Fix
    by Evans, Martin

  • 2014 What determines cross-border bank lending and risk-taking? The effects of culture, geography, institutions, and information exchange
    by Owen, Ann L. & Temesvary, Judit

  • 2014 Financial liberalization, Foreign Direct investment (FDI) and Economic Growth: A Panel Dynamic Data Validation
    by SAIEF EDDINE, AYOUNI & FAKHRI, ISSAOUI & SALEM, BRAHIM

  • 2014 External Balances, Trade Flows and Financial Conditions
    by Evans, Martin

  • 2014 Impact of FDI on GDP: An Analysis of Global Economy on Production Function
    by Khan, Shiraz & Mehboob, Farhan

  • 2014 Estimating and Testing Threshold Regression Models with Multiple Threshold Variables
    by Chong, Terence Tai Leung & Yan, Isabel K.

  • 2014 Investment Opportunity Sets of Real Assets: An International Empirical Study Based on Ownership Types
    by Ang, James & Knill, April & Mauck, Nathan

  • 2014 Tapering Talk: The Impact of Expectations of Reduced Federal Reserve Security Purchases on Emerging Markets
    by Eichengreen, Barry & Gupta, Poonam

  • 2014 Comparing U.S. and European Market Volatility Responses to Interest Rate Policy Announcements
    by Krieger, Kevin & Mauck, Nathan & Vasquez, Joseph

  • 2014 Liberalisation reform and export performance of India
    by Ramesh C. Paudel

  • 2014 The Authority of the FSOC and the FSB to Designate SIFIs: Implications for the Regulation of Insurers in the United States after the Prudential Decision
    by Peter J. Wallison

  • 2014 The Evolution of the Federal Reserve Swap Lines since 1962
    by Michael D. Bordo & Owen F. Humpage & Anna J. Schwartz

  • 2014 The Real Effects of Capital Controls: Financial Constraints, Exporters, and Firm Investment
    by Laura Alfaro & Anusha Chari & Fabio Kanczuk

  • 2014 A Distant Mirror of Debt, Default, and Relief
    by Carmen M. Reinhart & Christoph Trebesch

  • 2014 Inspecting the Mechanism: Leverage and the Great Recession in the Eurozone
    by Philippe Martin & Thomas Philippon

  • 2014 Monetary Policy in Open Economies: Practical Perspectives for Pragmatic Central Bankers
    by Richard Clarida

  • 2014 The Revived Bretton Woods System's First Decade
    by Michael P. Dooley & David Folkerts-Landau & Peter M. Garber

  • 2014 International Reserves Before and After the Global Crisis: Is There No End to Hoarding?
    by Joshua Aizenman & Yin-Wong Cheung & Hiro Ito

  • 2014 International Banking and Liquidity Risk Transmission: Lessons from Across Countries
    by Claudia M. Buch & Linda S. Goldberg

  • 2014 Liquidity Risk and U.S. Bank Lending at Home and Abroad
    by Ricardo Correa & Linda S. Goldberg & Tara Rice

  • 2014 Globalisation, Pass-through and the Optimal Policy Response to Exchange Rates
    by Michael B. Devereux & James Yetman

  • 2014 Global Value Chains and Effective Exchange Rates at the Country-Sector Level
    by Nikhil Patel & Zhi Wang & Shang-Jin Wei

  • 2014 The Price Impact of Joining a Currency Union: Evidence from Latvia
    by Alberto Cavallo & Brent Neiman & Roberto Rigobon

  • 2014 Varieties of Sovereign Crises: Latin America 1820-1931
    by Graciela L. Kaminsky & Pablo Vega-García

  • 2014 The Transmission of Federal Reserve Tapering News to Emerging Financial Markets
    by Joshua Aizenman & Mahir Binici & Michael M. Hutchison

  • 2014 A Distant Mirror of Debt, Default, and Relief
    by Reinhart, Carmen M. & Trebesch, Christoph

  • 2014 Chocs extérieurs et régimes monétaires en Asie du Sud-Est : une analyse DSGE
    by Ibrahima Sangaré

  • 2014 Skilled emigration and exchange rate : theory and empirics
    by Paul, Saumik & Ouyang, Alice & Li, Rachel Cho Suet

  • 2014 Stock Market Reactions to Sovereign Credit Rating Changes: Evidence from Four European Countries
    by Ibrahim Fatnassi & Zied Ftiti & Habib Hasnaoui

  • 2014 World gold prices and stock returns in China: insights for hedging and diversification strategies
    by Mohamed El Hedi Arouri & Amine Lahiani & Duc Khuong Nguyen

  • 2014 Pareto optima and exchange rates under risk neutrality: A note
    by Stefano Bosi & Patrice Fontaine & Cuong Le Van

  • 2014 Firm dollar debt and central bank dollar reserves: Empirical evidence from Latin America
    by Rajeswari Sengupta

  • 2014 Official Financial Flows, Capital Mobility, and Global Imbalances
    by Tamim Bayoumi & Joseph E. Gagnon & Christian Saborowski

  • 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 Understanding Differences in Growth Performance in Latin America and Developing Countries between the Asian and Global Financial Crises
    by Roberto Alvarez & Jose De Gregorio

  • 2014 The Macroeconomic Effects of Debt- and Equity-Based Capital Inflows
    by Scott Davis

  • 2014 Debt Deleveraging and the Zero Bound: Potentially Perverse Effects of Real Exchange Rate Movements
    by Paul Luk & David Vines

  • 2014 In Lands of Foreign Currency Credit, Bank Lending Channels Run Through? The Effects of Monetary Policy at Home and Abroad on the Currency Denomination of the Supply of Credit
    by Steven Ongena & Ibolya Schindele & Dzsamila Vonnak

  • 2014 Forex Trading and the WMR Fix
    by Martin Evans

  • 2014 Increase in Home Bias and the Eurozone Sovereign Debt Crisis
    by Camille Cornand & Pauline Gandré & Céline Gimet

  • 2014 Monetary policy and real exchange rate dynamics in sticky-price models
    by Carvalho, Carlos & Nechio, Fernanda

  • 2014 The macroeconomic effects of debt- and equity-based capital inflows
    by Davis, J. Scott

  • 2014 Hot money and quantitative easing: the spillover effect of U.S. monetary policy on Chinese housing, equity and loan markets
    by Ho, Steven Wei & Zhang, Ji & Zhou, Hao

  • 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 Institutional quality, the cyclicality of monetary policy and macroeconomic volatility
    by Duncan, Roberto

  • 2014 The Evolution of the Federal Reserve Swap Lines since 1962
    by Bordo, Michael D. & Humpage, Owen F. & Schwartz, Anna J.

  • 2014 What drives the German current account? And how does it affect other EU member states?
    by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in’t Veld & Lukas Vogel

  • 2014 The Social Value of Finance
    by van Dijk, M.A.

  • 2014 How insurers differ from banks: a primer on systemic regulation
    by Christian Thimann

  • 2014 Destabilizing carry trades
    by Guillaume Plantin & Hyun Song Shin

  • 2014 Volcker rule, ring-fencing or separation of bank activities: comparison of structural reform acts around the world
    by Matthias Lehmann

  • 2014 A Markov chain model for contagion
    by Angelos Dassios & Hongbiao Zhao

  • 2014 Diversification and financial stability
    by Paolo Tasca & Stefano Battiston

  • 2014 Moral hazard and debt maturity
    by Gur Huberman & Rafael Repullo

  • 2014 Measuring impact: preliminary insights from interviews with impact investors
    by Neil Reeder & Gemma Rocyn Jones & John Loder & Andrea Colantonio

  • 2014 Banks and human rights: the Thun Group and the UN guiding principles on business and human rights
    by Damiano de Felice

  • 2014 Fiscal policy in an unemployment crisis
    by Pontus Rendahl

  • 2014 Issues in the design of fiscal policy rules
    by Jonathan Portes & Simon Wren-Lewis

  • 2014 Optimal monetary policy in the presence of human capital depreciation during unemployment
    by Lien Laureys

  • 2014 Dependency structure and scaling properties of financial time series are related
    by Raffaello Morales & T. Di Matteo & Tomaso Aste

  • 2014 Bankers and their bonuses
    by Brian Bell & John Van Reenen

  • 2014 Top income shares, business profits, and effective tax rates in contemporary Chile
    by Tasha Fairfield & Michel Jorratt

  • 2014 The perceived credibility of forward-looking performance disclosures
    by Vasiliki E. Athanasakou & Khaled Hussainey

  • 2014 Walrasian foundations for equilibria in segmented markets
    by Rohit Rahi & Jean-Pierre Zigrand

  • 2014 Liquidity risk and the dynamics of arbitrage capital
    by Peter Kondor & Dimitri Vayanos

  • 2014 The costs of separation: friction between company and insolvency law in the single market
    by Carsten Gerner-Beuerle & Edmund-Philipp Schuster

  • 2014 Intermediated securities and legal certainty
    by Eva Micheler

  • 2014 A fetish and fiction of finance: unraveling the subprime crisis
    by Erica Pani & Nancy Holman

  • 2014 The political economy of natural disaster damage
    by Eric Neumayer & Thomas Plümper & Fabian Barthel

  • 2014 On the lower arbitrage bound of American contingent claims
    by Beatrice Acciaio & Gregor Svindland

  • 2014 The amenity value of English nature: a hedonic price approach
    by Stephen Gibbons & Susana Mourato & Guilherme Mendes Resende

  • 2014 Form or function?: the effect of new sports stadia on property prices in London
    by Gabriel M. Ahlfeldt & Georgios Kavetsos

  • 2014 What drives the German current account? And how does it affect other EU member states?
    by Robert Kollmann & Marco Ratto & Werner Roeger & Jan in’t Veld & Lukas Vogel

  • 2014 Global Implications of the Renminbi’s Ascendance
    by Eswar Prasad

  • 2014 Global Implications of the Renminbi’s Ascendance
    by Eswar Prasad

  • 2014 On the effectiveness of devaluations in emerging and developing countries
    by Carl Grekou

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

  • 2014 The impact of the global and eurozone crises on European banks stocks Some evidence of shift contagion
    by Jean-Pierre Allegret & Hélène Raymond & Houda Rharrabti

  • 2014 Determinants of the real impact of banking crises: A review and new evidence
    by Philip Wilms & Job Swank & Jakob de Haan

  • 2014 International Capital Markets Structure, Preferences and Puzzles: The US-China Case
    by Guglielmo Maria Caporale & Michael Donadelli & Alessia Varani

  • 2014 The Global Crisis and Equity Market Contagion
    by Geert Bekaert & Micheal Ehrmann & Marcel Fratzscher & Arnaud Mehl

  • 2014 What drives the German current account? And how does it affect other EU member states?
    by In 'T Veld, Jan & Kollmann, Robert & Ratto, Marco & Roeger, Werner & Vogel, Lukas

  • 2014 Income-Induced Expenditure Switching
    by Bems, Rudolfs & di Giovanni, Julian

  • 2014 Capital Controls and Macroprudential Measures: What Are They Good For?
    by Forbes, Kristin & Fratzscher, Marcel & Straub, Roland

  • 2014 A Distant Mirror of Debt, Default, and Relief
    by Reinhart, Carmen M. & Trebesch, Christoph

  • 2014 Predicting Winners in Civil Wars
    by Haber, Stephen H & Mitchener, Kris & Oosterlinck, Kim & Weidenmier, Marc

  • 2014 The Global Financial Crisis—What Drove The Build-Up?
    by Merrouche, Ouarda & Nier, Erlend

  • 2014 As American as Apple Inc.: International tax and ownership nationality
    by Chris Sanchirico

  • 2014 Countries’ safety and competitiveness, and the estimation of current account misalignments
    by Teresa Sastre & Francesca Viani

  • 2014 Capital Flows and Macroprudential Policies - A Multilateral Assessment of Effectiveness and Externalities
    by John Beirne & Christian Friedrich

  • 2014 Banking and Sovereign Debt Crises in a Monetary Union Without Central Bank Intervention
    by Jing Cheng & Meixing Dai & Frédéric Dufourt

  • 2014 La deuda pública: El bálsamo financiero del régimen de Franco (1939-1975)
    by Francisco Comín Comín

  • 2014 The Chinese Growth Miracle
    by Yao, Yang

  • 2014 The Imminent Housing Collapse - Will History Repeat Itself?
    by LAI, Ping-fu (Brian) & CHAN, Ho Sum

  • 2014 A Study Of Chinese Yuan (Rmb) Appreciation Accompanying With Others Factors Including Foreign Direct Investment (Fdi) And Their Effect On China Economy
    by LAI, Ping-fu (Brian) & CHOI, Kam Hung William

  • 2014 The Applicability Of The Option Exchange Markets In The Central Bank Foreign Exchange Policies: The Colombia Application
    by BULENT DICLEHAN CADIRCI & MEVLUDIYE SIMSEK

  • 2014 Capital Flows and Credit Expansions in Turkey
    by Özgür Orhangazi

  • 2014 Currency Exposure and Hedging Practices among Indian Non-financial Firms
    by Praveen Bhagawan M. & P.J. Jijo Lukose

  • 2014 Investments in research and development: case study in Eastern Europe
    by Raluca Coada & Luminita Maria Gogan

  • 2014 A weighted least squares analysis of globalization and the Nigerian stock market performance
    by Alenoghena Osi Raymond & Odior Simeon Ernest

  • 2014 Exact Fit of Simple Finite Mixture Models
    by Dirk Tasche

  • 2014 Risk Management of Interest Rate Derivative Portfolios: A Stochastic Control Approach
    by Konstantinos Kiriakopoulos & Alexandros Koulis

  • 2014 Risk Measures and Portfolio Optimization
    by Priscilla Serwaa Nkyira Gambrah & Traian Adrian Pirvu

  • 2014 Report on the Fifth International Mathematics in Finance (MiF) Conference 2014, Skukuza, Kruger National Park, South Africa
    by Michael McAleer

  • 2014 Asymmetric Realized Volatility Risk
    by David E. Allen & Michael McAleer & Marcel Scharth

  • 2014 Refining Our Understanding of Beta through Quantile Regressions
    by Allen B. Atkins & Pin T. Ng

  • 2014 International Diversification Versus Domestic Diversification: Mean-Variance Portfolio Optimization and Stochastic Dominance Approaches
    by Fathi Abid & Pui Lam Leung & Mourad Mroua & Wing Keung Wong

  • 2014 Remuneration Committee, Board Independence and Top Executive Compensation
    by Chii-Shyan Kuo & Shih-Ti Yu

  • 2014 Validation of the Merton Distance to the Default Model under Ambiguity
    by Wei-ling Chen & Leh-chyan So

  • 2014 Revisiting the Performance of MACD and RSI Oscillators
    by Terence Tai-Leung Chong & Wing-Kam Ng & Venus Khim-Sen Liew

  • 2014 “Hot Hand” in the National Basketball Association Point Spread Betting Market: A 34-Year Analysis
    by Benjamin Waggoner & Daniel Wines & Brian P. Soebbing & Chad S. Seifried & Jean Michael Martinez

  • 2014 Incumbent Decisions about Succession Transitions in Family Firms: A Conceptual Model
    by Britta Boyd & Isabel C. Botero & Tomasz A. Fediuk

  • 2014 Are the Scaling Properties of Bull and Bear Markets Identical? Evidence from Oil and Gold Markets
    by Samet Günay

  • 2014 Review of Family Business Definitions: Cluster Approach and Implications of Heterogeneous Application for Family Business Research
    by Henrik Harms

  • 2014 Capital Asset Pricing Model Testing at Warsaw Stock Exchange: Are Family Businesses the Remedy for Economic Recessions?
    by Jacek Lipiec

  • 2014 The Corporate Social Responsibility of Family Businesses: An International Approach
    by Gérard Hirigoyen & Thierry Poulain-Rehm

  • 2014 Socio Emotional Wealth Preservation in the REIT Industry: An Exploratory Study
    by Magdy Noguera & Erick Paulo Cesar Chang

  • 2014 Does Trading by Small Investors Improve or Deteriorate Price Efficiency? Evidence from the Minimum Trade Unit Changes on the Korea Exchange
    by Hee-Joon Ahn

  • 2014 Market Efficiency and Behavioral Biases in the WNBA Betting Market
    by Rodney J. Paul & Andrew P. Weinbach

  • 2014 The Effects of the Clock and Kickoff Rule Changes on Actual and Market-Based Expected Scoring in NCAA Football
    by Kenneth Linna & Evan Moore & Rodney Paul & Andrew Weinbach

  • 2014 Financial Stability Board: Mandate and Implementation of Its Systemic Risks Standards
    by Rolf H. Weber & Dominic N. Staiger

  • 2014 The Long-Term Game: An Analysis of the Life Expectancy of National Football League Players
    by Ruud Koning & Victor Matheson & Anil Nathan & James Pantano

  • 2014 Credibility and Crisis Stress Testing
    by Li Lian Ong & Ceyla Pazarbasioglu

  • 2014 Sovereign Credit Risk and Stock Markets–Does the Markets’ Dependency Increase with Financial Distress?
    by Paulo Pereira da Silva

  • 2014 Acknowledgement to Reviewers of the International Journal of Financial Studies in 2013
    by IJFS Editorial Office

  • 2014 Bank Credit Risk Management and Rating Migration Analysis on the Business Cycle
    by Dimitris Gavalas & Theodore Syriopoulos

  • 2014 Family-Concentrated Ownership in Chinese PLCs: Does Ownership Concentration Always Enhance Corporate Value?
    by Jin-Hui Luo & Heng Liu

  • 2014 Dilemmas and Challenges in the Marketing of Hybrid Organizations: A Theoretical Exploration of Dutch Sheltered Work Companies
    by Lieske van der Torre & Menno Fenger & Mark van Twist & Daphne Bressers

  • 2014 Re-examining the Feldstein–Horioka and Sachs' views of capital mobility: A heterogeneous panel setup
    by Holmes, Mark J. & Otero, Jesús

  • 2014 Does market timing persistently affect capital structure? Evidence from stock market liberalization
    by Huang, I-Hsiang

  • 2014 Transmission of pricing information between level III ADRs and their underlying domestic stocks: Empirical evidence from India
    by Bhattacharjee, Kaushik & Bang, Nupur Pavan & Mamidanna, Sravya

  • 2014 The Greek Economy and Banking System: Recent Developments and the Way Forward
    by Provopoulos, George A.

  • 2014 Institutional quality, the cyclicality of monetary policy and macroeconomic volatility
    by Duncan, Roberto

  • 2014 Capital flows to emerging market economies: A brave new world?
    by Ahmed, Shaghil & Zlate, Andrei

  • 2014 Granular institutional investors and global market interdependence
    by Jinjarak, Yothin & Zheng, Huanhuan

  • 2014 The transmission of international shocks to the UK. Estimates based on a time-varying factor augmented VAR
    by Liu, Philip & Mumtaz, Haroon & Theophilopoulou, Angeliki

  • 2014 Costly information, entry, and credit access
    by Gormley, Todd A.

  • 2014 The great entanglement: The contagious capacity of the international banking network just before the 2008 crisis
    by Garratt, Rodney J. & Mahadeva, Lavan & Svirydzenka, Katsiaryna

  • 2014 Should I stay or should I go? Bank productivity and internationalization decisions
    by Buch, Claudia M. & Koch, Cathérine T. & Koetter, Michael

  • 2014 Determinants of syndicated lending in European banks and the impact of the financial crisis
    by Howcroft, Barry & Kara, Alper & Marques-Ibanez, David

  • 2014 LIBOR deception and central bank forward (mis-)guidance: Evidence from Norway during 2007–2011
    by Stenfors, Alexis

  • 2014 Large capital infusions, investor reactions, and the return and risk-performance of financial institutions over the business cycle
    by Elyasiani, Elyas & Mester, Loretta J. & Pagano, Michael S.

  • 2014 How does trading volume affect financial return distributions?
    by Do, Hung Xuan & Brooks, Robert & Treepongkaruna, Sirimon & Wu, Eliza

  • 2014 Consumer attitudes, stock market liquidity, and the macro economy: A Canadian perspective
    by Smimou, K.

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  • 2014 The Market of Foreign Exchange Hedge in Brazil: Reaction of Financial Institutions to Interventions of the Central Bank
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  • 2014 This Time is Different: A Panoramic View of Eight Centuries of Financial Crises
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  • 2014 The importance of managerial accounting in managerial accounting system
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  • 2014 The EU strategy and environmental accounting
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  • 2014 Determinants of foreign capital flows: The experience of selected Sub-Saharan African countries
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  • 2013 The Forward Exchange Rate Unbiasedness Hypothesis: A Single Break Unit Root and CointegrationAnalysis
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  • 2013 Estimation of Keynesian Exchange Rate Model of Pakistan by Considering Critical Events and Multiple Cointegrating Vectors
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  • 2013 Foreign capital and exchange rate movement in developing economies: a theoretical note
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  • 2013 Global Imbalances, Risk, and the Great Recession
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  • 2013 Goodbye Inflation Targeting, Hello Fear of Floating? Latin America after the Global Financial Crisis
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  • 2013 Constructing a New Global Economy after the Global Financial Crisis : Stagnation and Social Crisis or Towards a Green Economy and Global Freedom?
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  • 2013 Deep Financial Crises, Reforming the IMF and Building Regional Autonomy:Towards a New Hybrid Global Financial Architecture
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  • 2013 Basel III, BIS and Global Financial Governance
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  • 2013 Global Financial Governance: Towards a New Global Financial Architecture for Averting Deep Financial Crises
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  • 2013 Recasting the Power Politics of Debt: Structural Power, Hegemonic Stabilisers and Change
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  • 2013 Management of Capital Flows in India: 1990-2011
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  • 2013 The Ethical Dimensions Of Financial Crisis In The World Of Globalized Finance
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  • 2013 How has politico-economic liberalization affected financial allocation efficiency? Fresh African evidence
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  • 2013 Una nota preliminar sobre el ejercicio de stress testing 2011 del sistema bancario europeo; impacto de la crisis soberana griega
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  • 2013 The 90% Public Debt Threshold: The Rise and Fall of a Stylised Fact
    by Balázs Égert

  • 2013 Challenges to Sustain Poland's Growth Model
    by Balázs Égert & Rafal Kierzenkowski

  • 2013 Should Financial Regulators Engage in International Policy Coordination?
    by David VanHoose

  • 2013 China's Growth, Stability, and Use of International Reserves
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  • 2013 Are Commodity Futures Prices Barometers of the Global Economy?
    by Conghui Hu & Wei Xiong

  • 2013 Are Capital Controls Prudential? An Empirical Investigation
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  • 2013 Asia Chartbook: Crises, Credit and Debt, 1835-2013
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  • 2013 The Optimal Currency Area in a Liquidity Trap
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  • 2013 Linkages across Sovereign Debt Markets
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  • 2013 Rounding the Corners of the Policy Trilemma: Sources of Monetary Policy Autonomy
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  • 2013 Carry
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  • 2013 Roads and the Real Exchange Rate
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  • 2013 External Adjustment, Global Imbalances and Valuation Effects
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  • 2013 Slow Moving Debt Crises
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  • 2013 Capital Controls, Global Liquidity Traps and the International Policy Trilemma
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  • 2013 The "Greatest" Carry Trade Ever? Understanding Eurozone Bank Risks
    by Viral V. Acharya & Sascha Steffen

  • 2013 R-squared and the Economy
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  • 2013 A Bargaining Theory of Trade Invoicing and Pricing
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  • 2013 A Theory of the Competitive Saving Motive
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  • 2013 Informational Frictions and Commodity Markets
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  • 2013 Why do emerging markets liberalize capital outflow controls? Fiscal versus net capital flow concerns
    by Joshua Aizenman & Gurnain Kaur Pasricha

  • 2013 On Returns Differentials
    by Stephanie E. Curcuru & Charles P. Thomas & Francis E. Warnock

  • 2013 Nation Building
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  • 2013 A Model of the Safe Asset Mechanism (SAM): Safety Traps and Economic Policy
    by Ricardo J. Caballero & Emmanuel Farhi

  • 2013 Hot Tip: Nominal Exchange Rates and Inflation Indexed Bond Yields
    by Richard H. Clarida

  • 2013 International Monetary Coordination and the Great Deviation
    by John B. Taylor

  • 2013 Coordination in the European Union
    by Martin Feldstein

  • 2013 Three Branches of Theories of Financial Crises
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  • 2013 Transmission Channels Of The Global Economic Crisis: Micro Evidence For The Republic Of Macedonia
    by Biljana Jovanovikj & Ljupka Georgievska

  • 2013 Payment Choice in International Trade: Theory and Evidence from Cross-country Firm Level Data
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  • 2013 Financial stress and economic dynamics: an application to France
    by Sofiane Aboura & Björn van Roye

  • 2013 The Real Exchange Rate and External Competitiveness in Egypt, Morocco and Tunisia
    by Brixiova, Zuzana & Égert, Balázs & Hadj Amor Essid, Thouraya

  • 2013 The Income Lever and the Allocation of Aid
    by Lidia Ceriani & Paolo Verme

  • 2013 Rounding the Corners of the Policy Trilemma: Sources of Monetary Policy Autonomy
    by Michael W. Klein & Jay C. Shambaugh

  • 2013 The International Finance Multiplier in Business Cycle Fluctuations
    by Naohisa Hirakata & Takushi Kurozumi

  • 2013 Real Exchange Rates in a Model of Structural Change: Applications to the Real Yen-Dollar and Chinese RMB-Dollar Exchange Rates
    by Robert Dekle

  • 2013 Asian and European Financial Crises Compared
    by Edwin M. Truman

  • 2013 Are There Bubbles in the Sterling-dollar Exchange Rate? New Evidence from Sequential ADF Tests
    by Timo Bettendorf & Wenjuan Chen & &

  • 2013 A Theory of the Competitive Saving Motive
    by Qingyuan Du & Shang-Jin Wei

  • 2013 A Model of Chinese Capital Account Liberalisation
    by Dong He & Paul Luk

  • 2013 Ecuador’s Economy Since 2007
    by Mark Weisbrot & Jake Johnston & Stephan Lefebvre

  • 2013 Money for nothing: how firms have financed R&D-projects since the Industrial Revolution
    by Gerben Bakker

  • 2013 When to sell Apple and the NASDAQ? Trading bubbles with a stochastic disorder model
    by Albert N. Shiryaev & M. V. Zhitlukhin & William T. Ziemba

  • 2013 Incorporating equity as part of the wider impacts in transport infrastructure assessment: an application of the SUMINI approach
    by Nikolaos Thomopoulos & Susan Grant-Muller

  • 2013 Capital structure and investment dynamics with fire sales
    by Douglas Gale & Piero Gottardi

  • 2013 Risk models–at–risk
    by Christophe M. Boucher & Jon Danielsson & Patrick S. Kouontchou & Bertrand B. Maillet

  • 2013 A proposal for an open-source financial risk model
    by Jong Ho Hwang

  • 2013 Medium and long run prospects for UK growth in the aftermath of the financial crisis
    by Nicholas Oulton

  • 2013 The finance-welfare state nexus
    by Eddie Gerba & Waltraud Schelkle

  • 2013 Shareholder empowerment and bank bailouts
    by Daniel Ferreira & David Kershaw & Thomas Kirchmaier & Edmund-Philipp Schuster

  • 2013 A theory of the evolution of derivatives markets
    by Ulf Axelson

  • 2013 Economic diversification in GCC countries: past record and future trends
    by Martin Hvidt

  • 2013 Comparative institutional advantage in the European sovereign debt crisis
    by Alison Johnston & Bob Hancké & Suman Pant

  • 2013 Self-fulfilling crises in the Eurozone: an empirical test
    by Paul de Grauwe & Yuemei Ji

  • 2013 Adjustment mechanisms in a currency area
    by C. A. E. Goodhart & D. J. Lee

  • 2013 Point process bridges and weak convergence of insider trading models
    by Umut Cetin & Hao Xing

  • 2013 Explicit construction of a dynamic Bessel bridge of dimension 3
    by Luciano Campi & Umut Cetin & Albina Danilova

  • 2013 The role of care home fees in the public costs and distributional effects of potential reforms to care home funding for older people in England
    by Ruth Hancock & Juliette Malley & Raphael Wittenberg & Marcello Morciano & Linda Pickard & Derek King & Adelina Comas-Herrera

  • 2013 Borders and Nominal Exchange Rates in Risk-Sharing
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  • 2013 Risk-On/Risk-Off, Capital Flows, Leverage, and Safe Assets
    by Robert N. McCauley

  • 2013 Risk-On/Risk-Off, Capital Flows, Leverage, and Safe Assets
    by Robert N. McCauley

  • 2013 Price Transmission and Effects of Exchange Rates on Domestic Commodity Prices via Offshore and Currency Hedging
    by Nongnuch Tantisantiwong

  • 2013 The 90% public debt threshold: The rise and fall of a stylised fact
    by Balázs Égert

  • 2013 Capital Controls and Macroprudential Measures: What Are They Good For?
    by Kristin Forbes & Marcel Fratzscher & Roland Straub

  • 2013 Optimal monetary policy in open economies: the role of reference currency in vertical production and trade
    by Chan Wang & Heng-fu Zou

  • 2013 Financial and Sovereign Debt Crises: Some Lessons Learned and Those Forgotten
    by Reinhart, Carmen M. & Rogoff, Kenneth

  • 2013 Exchange Rate Predictability
    by Rossi, Barbara

  • 2013 Policy Coordination, Convergence, and the Rise and Crisis of EMU Imbalances
    by Bertola, Giuseppe

  • 2013 The "Greatest" Carry Trade Ever? Understanding Eurozone Bank Risks
    by Acharya, Viral V & Steffen, Sascha

  • 2013 Trade Reforms and Current Account Imbalances: When Does the General Equilibrium Effect Overturn a Partial Equilibrium Intuition?
    by Ju, Jiandong & Shi, Kang & Wei, Shang-Jin

  • 2013 Dodging the Steamroller: Fundamentals versus the Carry Trade
    by Copeland, Laurence & Lu, Wenna

  • 2013 What is the Major Determinant of Credit Flows through Cross-Border Banking?
    by Toyoichiro Shirota

  • 2013 The Greek Economy and Banking System: Recent Developments and the Way Forward
    by George Provopoulos

  • 2013 Exchange Rate Predictability
    by Barbara Rossi

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

  • 2013 Central bank and government in a speculative attack model
    by Giuseppe Cappelletti & Lucia Esposito

  • 2013 Real-Time Out-of-Sample Exchange Rate Predictability
    by Onur Ince & Tanya Molodtsova

  • 2013 Exchange rate pass-through and inflation dynamics in Tunisia: A Markov-switching approach
    by Khemiri, Rim & Ali, Mohamed Sami Ben

  • 2013 A Faith-Based Initiative Meets the Evidence: Does a Flexible Exchange Rate Regime Really Facilitate Current Account Adjustment?
    by Menzie D. Chinn & Shang-Jin Wei

  • 2013 Selection-free predictions in global games with endogenous information and multiple equilibria
    by Pavan, Alessandro & Angeletos, George-Marios

  • 2013 A Study of yhe Nonlinear Relationships among the U.S. and Asian Stock Markets during Financial Crises
    by Yu-Hau Hu & Shun-Jen Hsueh

  • 2013 Influence of the Greek Crisis on the Risk Perception of European Economies
    by Agata Kliber

  • 2013 Banking union – the way to the stronger financial system
    by Tomáš Šťastný

  • 2013 Capital Requirements Directive IV and Basel 3 – Benefits, New Rules and Their Impact
    by Tomáš Šťastný & Tomáš Čech

  • 2013 Revision of Price/Cost Competitiveness Indicators for Austria
    by Walpurga Köhler-Töglhofer & Christa Magerl

  • 2013 Kamatfelár, hitelválság és mérlegalkalmazkodás egy kis, nyitott gazdaságban
    by Kónya, István & Benczúr, Péter

  • 2013 Impact of Exchange Rate on Selected Macroeconomic Variables: A case study of West African Monetary Zone
    by Rahman Olanrewaju Raji

  • 2013 Does Dollarization Alleviate Or Aggravate Exchange Rate Volatility?
    by LULA G. MENGESHA & MARK J. HOLMES

  • 2013 The Impact of Financial and Economic Crisis on EU-27 Member States' Balance of Payments
    by Simona Moagar Poladian & Ionela Baltatescu

  • 2013 Bienes públicos y cooperación regional para el desarrollo : Una nueva mirada
    by Sandler, Todd

  • 2013 La Revista Completa
    by Instituto para la Integración de América Latina y el Caribe, INTAL

  • 2013 Public Goods and Regional Cooperation for Development: A New Look
    by Sandler, Todd

  • 2013 The Complete Issue
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  • 2013 Stock Market And Tax Revenue Collection In Malaysia: Evidence From Cointegration And Causality Tests
    by Roshaiza Taha

  • 2013 A Non-Parametric and Entropy Based Analysis of the Relationship between the VIX and S&P 500
    by David E. Allen & Michael McAleer & Robert Powell & Abhay K. Singh

  • 2013 Publisher’s Note: Journal of Risk and Financial Management
    by Shu-Kun Lin

  • 2013 Testing for a Single-Factor Stochastic Volatility in Bivariate Series
    by Masaru Chiba & Masahito Kobayashi

  • 2013 The Journal of Risk and Financial Management in Open Access
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  • 2013 Systematic Positive Expected Returns in the UK Fixed Odds Betting Market: An Analysis of the Fink Tank Predictions
    by Babatunde Buraimo & David Peel & Rob Simmons

  • 2013 European Markets’ Reactions to Exogenous Shocks: A High Frequency Data Analysis of the 2005 London Bombings
    by Christos Kollias & Stephanos Papadamou & Costas Siriopoulos

  • 2013 Bank Regulation in Dollarized Economies: The Case of Turkey
    by Erick W. Rengifo & Emre Ozsoz & Mustapha A. Akinkunmi & Eduardo Court

  • 2013 Organizational Mission and Revenue Diversification among Non-profit Sports Clubs
    by Pamela Wicker & Svenja Feiler & Christoph Breuer

  • 2013 How Does the Financial Crisis Affect Volatility Behavior and Transmission Among European Stock Markets?
    by Faten Ben Slimane & Mohamed Mehanaoui & Irfan Akbar Kazi

  • 2013 New Evidence on the Information and Predictive Content of the Baltic Dry Index
    by Nicholas Apergis & James E. Payne

  • 2013 On the Choice of the Discount Rate and the Role of Financial Variables and Physical Parameters in Estimating the Levelized Cost of Energy
    by Sergei Manzhos

  • 2013 Quantity versus Price Rationing of Credit: An Empirical Test
    by George A. Waters

  • 2013 The Influence of Marketing Scholarship’s Legacy on Nonprofit Marketing
    by Walter Wymer

  • 2013 Decomposing US Money Supply Changes since the Financial Crisis
    by Richard Robinson & Marwan El Nasser

  • 2013 Inaugural Letter for the International Journal of Financial Studies (IJFS)
    by Nicholas Apergis

  • 2013 Measuring dependence in financial crisis: A copula approach for Mexico and Brazil
    by Arturo Lorenzo Valdés & Ricardo Massa Roldán

  • 2013 The effect of banking market structure on the lending channel: Evidence from emerging markets
    by Amidu, Mohammed & Wolfe, Simon

  • 2013 Can US economic variables predict the Chinese stock market?
    by Goh, Jeremy C. & Jiang, Fuwei & Tu, Jun & Wang, Yuchen

  • 2013 Capital structure effects of international expansion
    by Joliet, Robert & Muller, Aline

  • 2013 Return and volatility interaction between oil prices and stock markets in Saudi Arabia
    by Jouini, Jamel

  • 2013 Sudden stop and trade balance reversal after Asian crisis: Investment drought impact versus exchange rate depreciation
    by Yamamoto, Shugo

  • 2013 Equity issue-specific versus broad regulatory protections against expropriation risk: International evidence from SEOs
    by Gupta, Manu & Prakash, Puneet & Rangan, Nanda K.

  • 2013 Self-fulfilling crises in the Eurozone: An empirical test
    by De Grauwe, Paul & Ji, Yuemei

  • 2013 Financial crises and cross-border banking: New evidence
    by Kleimeier, Stefanie & Sander, Harald & Heuchemer, Sylvia

  • 2013 A new approach to tests of pricing-to-market
    by Byrne, Joseph P. & Kortava, Ekaterina & MacDonald, Ronald

  • 2013 The U.S. left behind? Financial globalization and the rise of IPOs outside the U.S
    by Doidge, Craig & Karolyi, G. Andrew & Stulz, René M.

  • 2013 Prestigious stock exchanges: A network analysis of international financial centers
    by Cetorelli, Nicola & Peristiani, Stavros

  • 2013 Real exchange rate adjustment in European transition countries
    by Maican, Florin G. & Sweeney, Richard J.

  • 2013 Fuzzy logic, trading uncertainty and technical trading
    by Gradojevic, Nikola & Gençay, Ramazan

  • 2013 Banking crises: An equal opportunity menace
    by Reinhart, Carmen M. & Rogoff, Kenneth S.

  • 2013 Testing purchasing power parity for Japan and the US: A structural-break approach
    by Dimitriou, Dimitrios & Simos, Theodore

  • 2013 The perils of a central bank's capital control: How substantial is the effect on firm value?
    by Vithessonthi, Chaiporn & Tongurai, Jittima

  • 2013 A theory of the competitive saving motive
    by Du, Qingyuan & Wei, Shang-Jin

  • 2013 Towards a theory of trade finance
    by Schmidt-Eisenlohr, Tim

  • 2013 Growth and structural reforms: A new assessment
    by Christiansen, Lone & Schindler, Martin & Tressel, Thierry

  • 2013 Discount rate policy under the Classical Gold Standard: Core versus periphery (1870s–1914)
    by Morys, Matthias

  • 2013 Modeling returns and volatility transmission between oil price and US–Nigeria exchange rate
    by Salisu, Afees A. & Mobolaji, Hakeem

  • 2013 Dove or Hawk? Characterizing monetary policy regime switches in India
    by Hutchison, Michael M. & Sengupta, Rajeswari & Singh, Nirvikar

  • 2013 Interest rate and the exchange rate: A non-monotonic tale
    by Hnatkovska, Viktoria & Lahiri, Amartya & Vegh, Carlos A.

  • 2013 Capital mobility in the Caucasus
    by Jamilov, Rustam

  • 2013 Are there bubbles in the Sterling-dollar exchange rate? New evidence from sequential ADF tests
    by Bettendorf, Timo & Chen, Wenjuan

  • 2013 Financial dependence and growth: Diminishing returns to improvement in financial development
    by Shen, Leilei

  • 2013 E(M)U effects in global cross-border banking
    by Sander, Harald & Kleimeier, Stefanie & Heuchemer, Sylvia

  • 2013 A driver currency hypothesis
    by Wang, P.J.

  • 2013 Emigration, unemployment and welfare – The role of non-traded sector
    by Marjit, Sugata & Kar, Saibal & Hazari, Bharat R.

  • 2013 Private information and its origins in an electronic foreign exchange market
    by Gençay, Ramazan & Gradojevic, Nikola

  • 2013 Optima exchange crisis regression and twin crisis: Evidences for some MENA countries
    by Aidi, Wafa

  • 2013 Bull or bear markets: A wavelet dynamic correlation perspective
    by Benhmad, François

  • 2013 Stock markets in GCC countries and global factors: A further investigation
    by Jouini, Jamel

  • 2013 Domestic and foreign sources of volatility spillover to South African asset classes
    by Duncan, Andrew S. & Kabundi, Alain

  • 2013 Liquidity management of foreign exchange reserves in continuous time
    by Zhang, Dewei & Wang, Yiqi & Wang, Jingjing & Xu, Weidong

  • 2013 The internal workings of internal capital markets: Cross-country evidence
    by Gugler, Klaus & Peev, Evgeni & Segalla, Esther

  • 2013 Capital flows and real exchange rates in emerging Asian countries
    by Jongwanich, Juthathip & Kohpaiboon, Archanun

  • 2013 Foreign Aid and Economic Growth in Egypt: A Cointegration Analysis
    by Hoda Abd El Hamid Ali

  • 2013 Aid Flows and Growth Diagnosis: Empirical Evidence for A Panel of ECOWAS Countries
    by P. B. Eregha

  • 2013 Exchange Market Pressure, Output Drops, and Domestic Credit: Do Emerging Markets Behave Differently?
    by Scott W Hegerty

  • 2013 New Evidence of Technical Trading Profitability
    by Viktor Manahov & Robert Hudson

  • 2013 The role of tourism and exchange rate on economic growth:Evidence from the BIMP-EAGA countries
    by Hanafiah Harvey & Fumitaka Furuoka & Qaiser Munir

  • 2013 Sectoral Aid-for-Trade and Sectoral Exports: A Seemingly Unrelated Regression Analysis
    by Shankar Ghimire & Debasri Mukherjee & Eskander Alvi

  • 2013 Long-run relationship with shifts between Mexican current account revenues and expenditures
    by Daniel Ventosa-santaulària & Manuel Gómez-zaldívar & Lizet A Pérez

  • 2013 Exchange rate coordination in Asia under regional currency basket systems
    by Benjamin Keddad

  • 2013 Corruption, aid volatility & growth
    by Jay Kathavate

  • 2013 Do countries strategically improve their institutions to access increased debt relief?
    by William Akoto

  • 2013 Government bond market linkages within EMU: evidence from a multivariate Granger causality analysis
    by Iuliana Matei

  • 2013 Macroeconomic, financial and institutional determinants of Eurozone sovereign crisis - Evidence from daily data
    by Jean-yves Filbien & Fabien Labondance & Yann Echinard

  • 2013 How has politico-economic liberalization affected financial allocation efficiency? Fresh African evidence
    by Simplice A Asongu

  • 2013 Volatility spillovers and contagion: an empirical analysis of structural changes in emerging market volatility
    by Aymen Ben Rejeb

  • 2013 Correlation and Volatility of the MENA Equity Markets in Turbulent Periods, and Portfolio Implications
    by Elie I Bouri

  • 2013 Current account balance and exchange rate adjustment in New Caledonia
    by Florence Huart & Gaël Lagadec

  • 2013 Can Exchange Rates Forecast Commodity Prices? Recent Evidence using Australian Data
    by Kieran Burgess & Nicholas Rohde

  • 2013 Do Capital Inflows Cause Currency Black Markets In Mena Countries? Causality Tests For Heterogeneous Panels
    by SULIMAN, Osman

  • 2013 Neue monetäre Institutionen in der Europäischen Währungsunion als Antwort auf die Finanzkrise: eine Keynes'sche Betrachtungg
    by Horst Tomann

  • 2013 Das schwere Erbe der europäischen Sparprogramme
    by Paul DeGrauwe & Yuemei Ji

  • 2013 Liquidity, Sentiment and Segmentation: A Survey of Closed-End Fund Literature
    by Mary FLETCHER

  • 2013 Unwinding RON carry-trade or RON speculative attack?
    by Silviu Eduard Dinca

  • 2012 Making the European Monetary Union
    by James, Harold

  • 2012 What to Target? Inflation or Exchange Rate
    by Shu Lin & Haichun Ye

  • 2012 Exchange rate pass-through and inflation dynamics in Tunisia: A Markov-Switching approach
    by Khemiri, Rim & Ali, Mohamed Sami Ben

  • 2012 Are there bubbles in the Sterling-dollar Exchange Rate? New evidence from Sequential ADF Tests
    by Bettendorf, Timo & Chen, Wenjuan

  • 2012 Global financial crisis, financial contagion and emerging markets
    by F. Gulcin Ozkan & D. Filiz Unsal

  • 2012 Discount rate policy under the Classical Gold Standard: core versus periphery (1870s – 1914)
    by Matthias Morys

  • 2012 Globalization, Inequality, and Corruption
    by Harald Badinger & Elisabeth Nindl

  • 2012 Yet Another Nail in the Coffin of Zeroing: United States - Anti-Dumping Administrative Reviews and Other Measures Related to Imports of Certain Orange Juice from Brazil
    by Kamal Saggi & Mark Wu

  • 2012 Rating agencies, self-fulfilling prophecy and multiple equilibria? An empirical model of the European sovereign debt crisis 2009-2011
    by Gärtner, Manfred & Griesbach, Björn

  • 2012 The Myth of Financial Protectionism: The New (and old) Economics of Capital Controls
    by Kevin Gallagher

  • 2012 Limited Participation in International Business Cycle Models: A Formal Evaluation
    by Gao, Xiaodan & Hnatkovska, Viktoria & Marmer, Vadim

  • 2012 Leading Behavior of Interest Rate Term Spreads and Credit Risk Spreads in Korea
    by Won-Gi Kim & Noh-Sun Kwark

  • 2012 The Sustainability of Monetary Unions. Can the Euro Survive?
    by Paolo Canofari & Giancarlo Marini & Giovanni Piersanti

  • 2012 Real Exchange Rate and Real Effective Exchange Rate Measurement: Some theoretical Extensions
    by ibrahim, waheed & Jimoh, Ayodele

  • 2012 Was There a Contagion during the Asian Crises?
    by Kazemi, Hossein S. & Ogus, Ayla

  • 2012 The Challenge of Islamic Finance
    by Sheng, Andrew & Singh, Ajit

  • 2012 Déséquilibres globaux, taux de change d’équilibre et modélisation stock-flux cohérente
    by Saadaoui, Jamel

  • 2012 Capital Inflows, Exchange Rate Flexibility, and Domestic Credit
    by Reinhart, Carmen

  • 2012 Causes of Financial Crises Past and Present: The Role of the This Time is Different Syndrome
    by Reinhart, Carmen & Rogoff, Kenneth

  • 2012 This Time is Different, Again? The United States Five Years after the Onset of Subprime
    by Reinhart, Carmen & Kenneth, Rogoff

  • 2012 Monetary Regimes and Policy on a Global Scale: The Oeuvre of Michael D. Bordo
    by Rockoff, Hugh & White, Eugene N.

  • 2012 EDB Eurasian Integration Yearbook 2012
    by Vinokurov, Evgeny

  • 2012 A new governance for EMU and the economic policy framework
    by Schilirò, Daniele

  • 2012 The impact of liberalisation policies on income inequality in african countries
    by Enowbi Batuo, Michael & Asongu, Simplice A.

  • 2012 On the Performance of Socially Responsible Investing: Further Evidence
    by Shalchian, H & Mzali, B & Lilti, JJ & Elbadraoui, K

  • 2012 The Forward Premium Puzzle And Risk Premiums
    by Nagayasu, Jun

  • 2012 Mitigating Turkey's trilemma trade-offs
    by Cortuk, Orcan & Akcelik, Yasin & Turhan, İbrahim

  • 2012 Asymmetric demographic pressure in South-Mediterranean versus North-Mediterranean economies and its impact on international gross capital flows
    by Peeters, Marga

  • 2012 Is There a J-curve for Azerbaijan? Evidence from Industry-Level Analysis
    by Jamilov, Rustam

  • 2012 Capital mobility in the Caucasus
    by Jamilov, Rustam

  • 2012 International financial integration of Mediterranean economies : A bird’s-eye view
    by Peeters, Marga & Sabri, Nidal Rachid

  • 2012 The impact of exchange rate volatility on trade integration among North and South Mediterranean countries
    by Sabri, Nidal Rachid & Peeters, Marga & Abulaben, Diama K.

  • 2012 An Optimal Design of Early Warning Systems: A Bayesian Quickest Change Detection Approach
    by Li, Haixi

  • 2012 The effects of real exchange rate volatility on productivity growth
    by Diallo, Ibrahima Amadou

  • 2012 Public Debt, Economic Growth and Nonlinear Effects: Myth or Reality?
    by Balázs Égert

  • 2012 International Capital Mobility and Financial Fragility - Part 2. The Demand for Safe Assets in Emerging Economies and Global Imbalances: New Empirical Evidence
    by Rudiger Ahrend & Cyrille Schwellnus

  • 2012 How the Subprime Crisis Went Global: Evidence from Bank Credit Default Swap Spreads
    by Barry Eichengreen & Ashoka Mody & Milan Nedeljkovic & Lucio Sarno

  • 2012 Adopting a Currency Transaction Tax When Avoidance is a Possibility: Which Currencies Would Take the Lead and What Rate Could they Charge?
    by David Stubbs

  • 2012 Trade Reforms and Current Account Imbalances: When Does the General Equilibrium Effect Overturn a Partial Equilibrium Intuition?
    by Jiandong Ju & Kang Shi & Shang-Jin Wei

  • 2012 External Imbalances and Financial Crises
    by Alan M. Taylor

  • 2012 When Is There a Strong Transfer Risk from the Sovereigns to the Corporates? Property Rights Gaps and CDS Spreads
    by Jennie Bai & Shang-Jin Wei

  • 2012 Currency Unions, Product Introductions, and the Real Exchange Rate
    by Alberto Cavallo & Brent Neiman & Roberto Rigobon

  • 2012 Macroeconomic Adjustment and the History of Crises in Open Economies
    by Joshua Aizenman & Ilan Noy

  • 2012 Capital Controls: Gates versus Walls
    by Michael W. Klein

  • 2012 Value-Added Exchange Rates
    by Rudolfs Bems & Robert C. Johnson

  • 2012 Tax Multipliers: Pitfalls in Measurement and Identification
    by Daniel Riera-Crichton & Carlos A. Vegh & Guillermo Vuletin

  • 2012 Long Horizon Uncovered Interest Parity Re-Assessed
    by Menzie D. Chinn & Saad Quayyum

  • 2012 Labor Market, Financial Crises and Inflation: Jobless and Wageless Recoveries
    by Guillermo A. Calvo & Fabrizio Coricelli & Pablo Ottonello

  • 2012 The "Big C": Identifying Contagion
    by Kristin Forbes

  • 2012 A Long-Run Risks Explanation of Predictability Puzzles in Bond and Currency Markets
    by Ravi Bansal & Ivan Shaliastovich

  • 2012 Over-optimistic Official Forecasts in the Eurozone and Fiscal Rules
    by Jeffrey A. Frankel & Jesse Schreger

  • 2012 Fiscal Unions
    by Ivan Werning & Emmanuel Farhi

  • 2012 Dealing with the Trilemma: Optimal Capital Controls with Fixed Exchange Rates
    by Emmanuel Farhi & Ivan Werning

  • 2012 The Dollar and its Discontents
    by Olivier Jeanne

  • 2012 Country Size, Currency Unions, and International Asset Returns
    by Tarek Alexander Hassan

  • 2012 Bubble Thy Neighbor: Portfolio Effects and Externalities from Capital Controls
    by Kristin Forbes & Marcel Fratzscher & Thomas Kostka & Roland Straub

  • 2012 The Evolving Importance of Banks and Securities Markets
    by Asli Demirguc-Kunt & Erik Feyen & Ross Levine

  • 2012 U.S. International Equity Investment
    by John Ammer & Sara B. Holland & David C. Smith & Francis E. Warnock

  • 2012 Accounting for Real Exchange Rates Using Micro-data
    by Mario J. Crucini & Anthony Landry

  • 2012 Nominal Stability and Financial Globalization
    by Michael B. Devereux & Ozge Senay & Alan Sutherland

  • 2012 Global excess liquidity and asset prices in emerging countries: a pvar approach
    by Sophie Brana & Marie-Louise Djigbenou & Stéphanie Prat

  • 2012 The Renminbi's Role in the Global Monetary System
    by Prasad, Eswar & Ye, Lei (Sandy)

  • 2012 The Renminbi's Role in the Global Monetary System
    by Prasad, Eswar & Ye, Lei (Sandy)

  • 2012 Consolidamento fiscale e interventi sul pubblico impiego. L'esperienza di otto paesi europei
    by Mara Meacci & Cristina Quaglierini

  • 2012 International Reserves and the Composition of Equity Capital Inflows
    by Xingwang Qian & Andreas Steiner

  • 2012 How Important are Foreign Ownership Linkages for International Stock Returns?
    by Sohnke M. Bartram & John Griffin & David T. Ng

  • 2012 Model of Financial Development: A cluster analysis
    by Dalila NICET-CHENAF (GREThA, CNRS, UMR 5113)

  • 2012 Venezuela's Economic Recovery: Is It Sustainable?
    by Jake Johnston & Mark Weisbrot

  • 2012 The Mexican Economy and the 2012 Elections
    by Rebecca Ray & Mark Weisbrot

  • 2012 Ecuador’s Economy Since 2007
    by Rebecca Ray & Sara Kozameh

  • 2012 More Pain, No Gain for Greece: Is the Euro Worth the Costs of Pro-Cyclical Fiscal Policy and Internal Devaluation?
    by Mark Weisbrot & Juan Antonio Montecino

  • 2012 The state of e-services delivery in Kuwait: opportunities and challenges
    by Hendrik Kraetzschmar & El Mustapha Lahlali

  • 2012 A technology of expertise: EU financial services agencies
    by Michelle Everson

  • 2012 How not to be a lender of last resort
    by Paul de Grauwe

  • 2012 Social impact investment: the opportunity and challenge of social impact bonds
    by Neil Reeder & Geoff Mulgan & Mhairi Aylott & Luke Bo’sher

  • 2012 United Kingdom (Scotland): health system review
    by David Steele & Jonathan Cylus

  • 2012 "The silent revolution": how the staff exercise informal governance over IMF lending
    by Jeffrey M. Chwieroth

  • 2012 Assessing the costs of protection in a context of switching stochastic regimes
    by Pauline Barrieu & Nadine Bellamy & Jean-Michel Sahut

  • 2012 International Financial Integration and Economic Growth: New Evidence on Threshold Effects
    by Jinzhao Chen & Thérèse Quang

  • 2012 Public debt, economic growth and nonlinear effects: Myth or reality?
    by Balázs Égert

  • 2012 Is the European sovereign crisis self-fulfilling? Empirical evidence about the drivers of market sentiments
    by Fouquau, Julien & Delatte, Anne-Laure & Bruneau, Catherine

  • 2012 International Macroeconomic Policy: When Wealth Affects People's Impatience
    by Wang Peng & Heng-fu Zou

  • 2012 Default, rescheduling and inflation : debt crisis in Spain during the 19th and 20th centuries
    by Francisco Comín

  • 2012 External Imbalances and Financial Crises
    by Taylor, Alan M.

  • 2012 Country Size, Currency Unions, and International Asset Returns
    by Hassan, Tarek

  • 2012 Bubble Thy Neighbor: Portfolio Effects and Externalities from Capital Controls
    by Forbes, Kristin & Fratzscher, Marcel & Straub, Roland

  • 2012 The Return of Financial Repression
    by Reinhart, Carmen M.

  • 2012 A Darwinian Perspective on "Exchange Rate Undervaluation"
    by Du, Qingyuang & Wei, Shang-Jin

  • 2012 On the connection between intra-temporal and intertemporal trade
    by Ju, Jiandong & Shi, Kang & Wei, Shang-Jin

  • 2012 Liquidity, Risk and the Global Transmission of the 2007-08 Financial Crisis and the 2010-11 Sovereign Debt Crisis
    by Chudik, Alexander & Fratzscher, Marcel

  • 2012 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
    by Reinhart, Carmen M.

  • 2012 On the optimal mix of fiscal and monetary policy actions
    by Apostolis Philippopoulos & Petros Varthalitis & Vanghelis Vassilatos

  • 2012 Factors Influencing Export Of Financial Services
    by Marija Lindemane, Ilmars Purins, Didzis Rutitis

  • 2012 Factors Influencing Export Of Financial Services
    by Marija Lindemane, Ilmars Purins, Didzis Rutitis

  • 2012 Capital Structure and Sustainability: An Empirical Study of Microfinance Institutions
    by Vicki L. Bogan

  • 2012 Post-Keynesian Theory and a Policy for Managing Financial Market Instability and its Relevance to the Great Recession
    by Paul Davidson

  • 2012 A Comparative Analysis of ASEAN Currencies Using a Copula Approach and a Dynamic Copula Approach
    by Chukiat Chaiboonsri & Prasert Chaitip

  • 2012 Trade liberalization, financial development and economic growth in the long term: The case of Iran
    by Mohammad Nabi Shahiki Tash

  • 2012 Poland’S Decision To Adopt The Euro
    by Ankit Arora

  • 2012 Accounting Information System Infrastructure as a Service
    by Mihalache D. Arsenie-Samoil

  • 2012 Virtualisation the Accounting Information System Infrastructure
    by Mihalache D. Arsenie-Samoil

  • 2012 Risk-on/risk-off, capital flows, leverage and safe assets
    by Robert N. McCauley

  • 2012 Why Did Southeastern European Countries Experience Low Inflation Rates in the Beginning of This Century?
    by Hiroyuki Yamada & Gerwin Bell

  • 2012 Real Exchange Rate and Economic Growth in China
    by Ping Hua

  • 2012 Are the Real Exchange Rates of the New EU Member Countries in Line with Fundamentals? – Implications of the NATREX Approach
    by Michael Frenkel & Isabell Koske

  • 2012 Method Of Systematizing The European Union States In Categories According To Their Administrative Capacity
    by Irina Bosie

  • 2012 Is Exchange Rate Stabilization an Appropriate Cure for the Dutch Disease?
    by Chris Kubelec & Filipa Sá

  • 2012 Investors Behaviour between Theory and Practice
    by Oana Mionel

  • 2012 Modelling the Effects of Oil Prices on Global Fertilizer Prices and Volatility
    by Ping-Yu Chen & Chia-Lin Chang & Chi-Chung Chen & Michael McAleer

  • 2012 The Behaviour of Small Investors in the Hong Kong Derivatives Markets: A Factor Analysis
    by Tai-Yuen Hon

  • 2012 Stock Returns and Risk: Evidence from Quantile
    by Thomas C. Chiang & Jiandong Li

  • 2012 Technical Efficiency and Port Competition: Revisiting the Bohai Economic Rim, China
    by Grace Wang & Chen Gao

  • 2012 A General Empirical Model of Hedging
    by Moawia Alghalith & Ricardo Lalloob

  • 2012 House Price Forecasts, Forecaster Herding, and the Recent Crisis
    by Christian Pierdzioch & Jan Christoph Rülke & Georg Stadtmann

  • 2012 Doomsday for the Euro Area: Causes, Variants and Consequences of Breakup
    by Ansgar Belke & Florian Verheyen

  • 2012 Bubble thy neighbor: portfolio effects and externalities from capital controls
    by Forbes, Kristin J. & Fratzscher, Marcel & Kostka, Thomas & Straub, Roland

  • 2012 The threshold consumption correlation-based approach to international capital mobility: Evidence from advanced and developing countries
    by Nagayasu, Jun

  • 2012 Bond risk premia, macroeconomic fundamentals and the exchange rate
    by Pericoli, Marcello & Taboga, Marco

  • 2012 Sources and legitimacy of financial liberalization
    by Burgoon, Brian & Demetriades, Panicos & Underhill, Geoffrey R.D.

  • 2012 Stock price synchronicities and speculative trading in emerging markets
    by Hsin, Chin-Wen & Tseng, Po-Wen

  • 2012 A Markov regime switching model of crises and contagion: The case of the Iberian countries in the EMS
    by Lopes, José Mário & Nunes, Luis C.

  • 2012 Who benefits from capital account liberalization? Evidence from firm-level credit ratings data
    by Prati, Alessandro & Schindler, Martin & Valenzuela, Patricio

  • 2012 Exchange market pressure and absorption by international reserves: Emerging markets and fear of reserve loss during the 2008–2009 crisis
    by Aizenman, Joshua & Hutchison, Michael M.

  • 2012 Crossing the lines: The conditional relation between exchange rate exposure and stock returns in emerging and developed markets
    by Bartram, Söhnke M. & Bodnar, Gordon M.

  • 2012 The Feldstein-Horioka Puzzle and Spurious Ratio Correlation
    by Chu, Kam Hon

  • 2012 Country-specific equity market characteristics and foreign equity portfolio allocation
    by Thapa, Chandra & Poshakwale, Sunil S.

  • 2012 Using survey data to resolve the exchange risk exposure puzzle: Evidence from U.S. multinational firms
    by Jongen, R. & Muller, A. & Verschoor, W.F.C.

  • 2012 How the UK economy weathered the financial storm
    by Sentance, Andrew & Taylor, Mark P. & Wieladek, Tomasz

  • 2012 Do sovereign credit ratings influence regional stock and bond market interdependencies in emerging countries?
    by Christopher, Rachel & Kim, Suk-Joong & Wu, Eliza

  • 2012 Idiosyncratic risk and expected returns in frontier markets: Evidence from GCC
    by Bley, Jorg & Saad, Mohsen

  • 2012 International tax arbitrage, currency options and put-call parity conditions
    by Strobel, Frank

  • 2012 Pricing currency risk in the stock market: Evidence from Finland and Sweden 1970–2009
    by Antell, Jan & Vaihekoski, Mika

  • 2012 From the financial crisis to the real economy: Using firm-level data to identify transmission channels
    by Claessens, Stijn & Tong, Hui & Wei, Shang-Jin

  • 2012 Capital flows, push versus pull factors and the global financial crisis
    by Fratzscher, Marcel

  • 2012 ABS inflows to the United States and the global financial crisis
    by Bertaut, Carol & DeMarco, Laurie Pounder & Kamin, Steven & Tryon, Ralph

  • 2012 Can leading indicators assess country vulnerability? Evidence from the 2008–09 global financial crisis
    by Frankel, Jeffrey & Saravelos, George

  • 2012 Virtual borders
    by Boivin, Jean & Clark, Robert & Vincent, Nicolas

  • 2012 The role of expenditure switching in the global imbalance adjustment
    by Dong, Wei

  • 2012 “Lending by example”: Direct and indirect effects of foreign banks in emerging markets
    by Giannetti, Mariassunta & Ongena, Steven

  • 2012 Wine price risk management: International diversification and derivative instruments
    by Kourtis, Apostolos & Markellos, Raphael N. & Psychoyios, Dimitris

  • 2012 On the impacts of oil price fluctuations on European equity markets: Volatility spillover and hedging effectiveness
    by Arouri, Mohamed El Hedi & Jouini, Jamel & Nguyen, Duc Khuong

  • 2012 Equity order flow and exchange rate dynamics
    by Ferreira Filipe, Sara

  • 2012 Financial development and the allocation of external finance
    by Bena, Jan & Ondko, Peter

  • 2012 Transmission effects of foreign exchange reserves on price level: Evidence from China
    by Chen, Langnan & Huang, Shoufeng

  • 2012 Bayesian estimation of exchange rate regime choice with spatial effect
    by Zhang, Guoxiong

  • 2012 Stochastic processes and target zones revisited
    by Beladi, Hamid & Chakrabarti, Avik

  • 2012 Frequency domain analysis of foreign exchange order flows
    by Gradojevic, Nikola

  • 2012 A new interpretation of known facts: The case of two-way causality between trading and volatility
    by Müller, Christian

  • 2012 Currency crisis transmission through international trade
    by Haidar, Jamal Ibrahim

  • 2012 Explaining dispersion in foreign exchange expectations: A heterogeneous agent approach
    by Jongen, Ron & Verschoor, Willem F.C. & Wolff, Christian C.P. & Zwinkels, Remco C.J.

  • 2012 Sudden stops, financial frictions, and labor market flows: Evidence from Latin America
    by Gallego, Francisco A. & Tessada, José A.

  • 2012 Vertical trade and China's export dynamics
    by Liao, Wei & Shi, Kang & Zhang, Zhiwei

  • 2012 Consolidation first - About twin deficits and the causal relation between fiscal budget and current account imbalances
    by Matthias Hartmann & Helmut Herwartz

  • 2012 Interactions of money market between china and the us: pre-crises and post-crises
    by Lu Yang

  • 2012 Malaysia's Time Varying Capital Mobility
    by Turkhan Ali Abdul Manap & Gairuzazmi M Ghani

  • 2012 Revisiting the effects of country specific fundamentals on sovereign default risk
    by Manuel Ramos-Francia & José G Rangel

  • 2012 Nonlinear modeling of oil and stock price dynamics: segmentation or time-varying integration?
    by Mohamed E AROURI & Fredj JAWADI & Duc K NGUYEN

  • 2012 On the effect of foreign aid on corruption
    by Simplice A Asongu

  • 2012 Foreign exchange intervention in a small open economy with a long term peg
    by Mahalia Jackman

  • 2012 Is currency risk priced for emerging stock markets?
    by Walid Chkili

  • 2012 Is there an S-curve relationship between U.S. trade balance and terms of trade? An analysis across industries and countries
    by Amit Ghosh

  • 2012 Forecasting the Dollar/British Pound Exchange Rate: Asymmetric Loss and Forecast Rationality
    by Christian Pierdzioch & Jan C Rülke & Georg Stadtmann

  • 2012 De facto exchange rate regimes in post-crisis Asia
    by Takuji Kinkyo

  • 2012 Protect and survive? Did capital controls help shield emerging markets from the crisis?
    by Makram El-Shagi

  • 2012 A dynamic conditional correlation analysis of European stock markets from the perspective of the Greek sovereign debt crisis
    by Go Tamakoshi & Yuki Toyoshima & Shigeyuki Hamori

  • 2012 A structural VARX modelling of international parities between China and Japan in the liberalization era
    by Tze-Haw Chan & Chee-Wooi Hooy & Ahmad Zubaidi Baharumshah

  • 2012 Purchasing Power Parity in African Countries: Further Evidence based on the ADL Test for Threshold Cointegration
    by Tsangyao Chang & Chia-hao Lee & Guochen Pan

  • 2012 Business cycles and economic distortions
    by Raicu Gabriel & Stanca Costel & Raicu Alexandra

  • 2012 Oil Price Shocks and Gold Returns
    by Thai-Ha Le & Youngho Chang

  • 2012 EMU sustainability and the prospects of peripheral economies
    by Papaspyrou Theodoros

  • 2012 Eurodollar banking and currency internationalisation
    by Dong He & Robert N McCauley

  • 2012 Pressing problems of the euro zone — And beyond (OR: What may break the camel’s back)
    by Jan Winiecki

  • 2012 McKinnon-Shaw Complimentarity Hypothesis: Evidence From Lesotho
    by Sephooko Motelle & Rethabile Masenyetse

  • 2012 The Impact of a Sovereign Default within the Euro Zone on the Exchange Rate
    by Arne Breuer & Oliver Sauter

  • 2012,4th quarter update Krugman, Paul(1953-)
    by Steven Pressman

  • 2011 R. G. Hawtrey on the National and International Lender of Last Resort
    by de Boyer des Roches, Jérôme & Solis Rosales, Ricardo

  • 2011 2010 Presidential Address - The New Deal and Modern Memory
    by William F. Shughart II

  • 2011 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
    by Carmen M. Reinhart

  • 2011 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
    by Carmen M. Reinhart

  • 2011 Opposition to capital market opening
    by Engler, Philipp & Wulff, Alexander

  • 2011 Der Euro als Triebfeder des deutschen Exports?
    by Zeddies, Götz

  • 2011 Zaduženost Republike Hrvatske i zemalja srednje i istočne Europe
    by Vlatka Bilas & Sanja Franc & Vanja Cvitković

  • 2011 John Maynard Keynes: Is That you Knocking on the Door?
    by Tadeusz Kowalski & Yochanan Shachmurove

  • 2011 As the Current Account Turns: Disaggregating the Effects of Current Account Reversals in Industrial Countries
    by William D. Craighead & David R. Hineline

  • 2011 International Risk-Sharing and Commodity Prices
    by Martin Berka & Mario J. Crucini & Chih-Wei Wang

  • 2011 Paradigm shift? A critique of the IMF’s new approach to capital controls
    by Daniela Gabor

  • 2011 Paradigm shift? A critique of the IMF’s new approach to capital controls
    by Daniela Gabor

  • 2011 Innovation and diffusion in risky industries under liability law: the case of “double-impact” innovations
    by Julien Jacob

  • 2011 Motivations and strategies for a real revaluation of the Yuan
    by Meixing Dai

  • 2011 Home Bias and Prediction Markets: Evidence from the Racetrack
    by Paul Scanlon

  • 2011 The Role of Monetary Policy in Turkey during the Global Financial Crisis (Kuresel Kriz Doneminde Turkiye'de Para Politikasinin Rolu)
    by Harun Alp & Selim Elekdag

  • 2011 Is There a Beijing Consensus on International Macroeconomic Policy
    by Graham Bird & Alex Mandilaras & Helen Popper

  • 2011 Trilemma Stability and International Macroeconomic Archetypes in Developing Economies
    by Helen Popper & Alex Mandilaras & Graham Bird

  • 2011 Incentives and the delegation of decision making power in sovereign wealth funds
    by Artur Grigoryan

  • 2011 Volatility Spillovers across South African Asset Classes during Domestic and Foreign
    by Andrew S. Duncan & Alain Kabundi

  • 2011 Alberto Quadrio Curzio - Valeria Miceli, Sovereign Wealth Funds. A complete guide to state-owned investment funds
    by Schilirò, Daniele

  • 2011 Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems
    by Ojo, Marianne

  • 2011 The financial trilemma in China and a comparative analysis with India
    by Aizenman, Joshua & Sengupta, Rajeswari

  • 2011 Global imbalances, under-consumption and overborrowing: the state of the world economy & future policies
    by Cripps, Francis & Izurieta, Alex & Singh, Ajit

  • 2011 J-Curve Dynamics and the Marshall-Lerner Condition: Evidence from Azerbaijan
    by Jamilov, Rustam

  • 2011 The financial trilemma in China and a comparative analysis with India
    by Aizenman, Joshua & Sengupta, Rajeswari

  • 2011 Turkey’s trilemma trade-offs: is there a role for reserves?
    by Cortuk, Orcan & Singh, Nirvikar

  • 2011 Exchange rate determination in Jamaica: A market microstructures and macroeconomic fundamentals approach
    by Wright, Allan S & Craigwell, Roland C & RamjeeSingh, Diaram

  • 2011 Money laundry and financial development
    by Buscemi, Antonino & Yallwe, Alem Hagos

  • 2011 Is devaluation contractionary? empirical evidence for Pakistan
    by Muhammad, Shahbaz & Faridul, Islam & Naveed, Aamir

  • 2011 Money laundry and financial development
    by Buscemi, Antonino & Yallwe, Alem Hagos

  • 2011 Money laundry and financial development
    by Yallwe, Hagos Alem & Buscemi, Antonino

  • 2011 Determinants of Public Debt for middle income and high income group countries using Panel Data regression
    by Sinha, Pankaj & Arora, Varun & Bansal, Vishakha

  • 2011 The impact of oil price fluctuations on stock markets in developed and emerging economies
    by Le, Thai-Ha & Chang, Youngho

  • 2011 Financial repression redux
    by Reinhart, Carmen & Kirkegaard, Jacob & Sbrancia, Belen

  • 2011 Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems
    by Ojo, Marianne

  • 2011 Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems
    by Ojo, Marianne

  • 2011 Motivations and strategies for a real revaluation of the Yuan
    by Dai, Meixing

  • 2011 Dove or Hawk? characterizing monetary regime switches during financial liberalization in India
    by Hutchison, Michael & Sengupta, Rajeswari & Singh, Nirvikar

  • 2011 Financial development, international migrant remittances, and endogenous growth in Ghana
    by Adenutsi, Deodat E.

  • 2011 Trade Liberalization Sequence for Sustained Economic Growth
    by Mo, Pak Hung

  • 2011 An Historical Walk Through Recent Financial Crises
    by Tadeusz Kowalski & Yochanan Shachmurove

  • 2011 Towards a Theory of Trade Finance
    by Tim Schmidt-Eisenlohr

  • 2011 Sovereign Wealth Funds as Investors in Africa: Opportunities and Barriers
    by Edouard Turkisch

  • 2011 Recalibrating Development Co-operation: How Can African Countries Benefit from Emerging Partners?
    by Myriam Dahman Saidi & Christina Wolf

  • 2011 Monetary Policy Rules and Macroeconomic Stabilization in Small Open Economies under Behavioral FX Trading: Insights from Numerical Simulations
    by Christian Proaño

  • 2011 Home Bias in Open Economy Financial Macroeconomics
    by Nicolas Coeurdacier & Hélène Rey

  • 2011 International Contagion Through Leveraged Financial Institutions
    by Eric van Wincoop

  • 2011 International Policy Coordination: The Long View
    by Barry Eichengreen

  • 2011 The External Impact of China's Exchange Rate Policy: Evidence from Firm Level Data
    by Barry Eichengreen & Hui Tong

  • 2011 Role Reversal in Global Finance
    by Eswar S. Prasad

  • 2011 International Reserves and the Global Financial Crisis
    by Kathryn M.E. Dominguez & Yuko Hashimoto & Takatoshi Ito

  • 2011 From the Financial Crisis to the Real Economy: Using Firm-level Data to Identify Transmission Channels
    by Stijn Claessens & Hui Tong & Shang-Jin Wei

  • 2011 On the International Transmission of Shocks: Micro-Evidence from Mutual Fund Portfolios
    by Claudio Raddatz & Sergio L. Schmukler

  • 2011 Liquidity management of U.S. global banks: Internal capital markets in the great recession
    by Nicola Cetorelli & Linda S. Goldberg

  • 2011 Leverage Across Firms, Banks, and Countries
    by Sebnem Kalemli-Ozcan & Bent Sorensen & Sevcan Yesiltas

  • 2011 The Financial Crisis and The Geography of Wealth Transfers
    by Pierre-Olivier Gourinchas & Hélène Rey & Kai Truempler

  • 2011 Capital Flow Waves: Surges, Stops, Flight, and Retrenchment
    by Kristin J. Forbes & Francis E. Warnock

  • 2011 ABS Inflows to the United States and the Global Financial Crisis
    by Carol Bertaut & Laurie Pounder DeMarco & Steven B. Kamin & Ralph W. Tryon

  • 2011 The Extensive Margin, Sectoral Shares and International Business Cycles
    by Michael B. Devereux & Viktoria Hnatkovska

  • 2011 Consumption Risk-Sharing and the Real Exchange Rate: Why does the Nominal Exchange Rate Make Such a Difference?
    by Michael B. Devereux & Viktoria Hnatkovska

  • 2011 International Recessions
    by Fabrizio Perri & Vincenzo Quadrini

  • 2011 Risk, Monetary Policy and the Exchange Rate
    by Gianluca Benigno & Pierpaolo Benigno & Salvatore Nisticò

  • 2011 The U.S. Left Behind: The Rise of IPO Activity Around the World
    by Craig Doidge & G. Andrew Karolyi & René M. Stulz

  • 2011 The Liquidation of Government Debt
    by Carmen M. Reinhart & M. Belen Sbrancia

  • 2011 A Decade of Debt
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2011 Capital Controls: Myth and Reality - A Portfolio Balance Approach
    by Nicolas E. Magud & Carmen M. Reinhart & Kenneth S. Rogoff

  • 2011 Sex Ratios, Entrepreneurship, and Economic Growth in the People's Republic of China
    by Shang-Jin Wei & Xiaobo Zhang

  • 2011 Currency and Financial Crises of the 1990s and 2000s
    by Assaf Razin & Steven Rosefielde

  • 2011 Differences of Opinion and International Equity Markets
    by Bernard Dumas & Karen K. Lewis & Emilio Osambela

  • 2011 The Role of Currency Realignments in Eliminating the US and China Current Account Imbalances
    by Martin S. Feldstein

  • 2011 The Impact of Oil Price Fluctuations on Stock Markets in Developed and Emerging Economies
    by Thai-Ha LE & Youngho CHANG

  • 2011 Incentives and the Delegation of Decision Making Power in Sovereign Wealth Funds
    by Artur Grigoryan

  • 2011 Migrations, public goods and taxes
    by Jean J. Gabszewicz & Salome Gvetadze & Skerdilajda Zanaj

  • 2011 Trade and Payments Theory in a Financialized Economy
    by Michael Hudson

  • 2011 Orthodox versus Heterodox (Minskyan) Perspectives of Financial Crises: Explosion in the 1990s versus Implosion in the 2000s
    by Jesus Munoz

  • 2011 Corporate Leverage, the Cost of Capital,and the Financial Crisis in Latin America
    by Ricardo Bebczuk & Arturo Galindo

  • 2011 Financial stress and economic activity in Germany and the Euro Area
    by Björn van Roye

  • 2011 Ist die Währungsunion zu retten? Für einen anreizeffizienten Krisenmechanismus
    by Henning Klodt

  • 2011 Role Reversal in Global Finance
    by Prasad, Eswar

  • 2011 Role Reversal in Global Finance
    by Prasad, Eswar

  • 2011 Surviving the Crisis: Foreign Multinationals vs Domestic Firms in Ireland
    by Godart, Olivier & Görg, Holger & Hanley, Aoife

  • 2011 Surviving the Crisis: Foreign Multinationals vs Domestic Firms in Ireland
    by Godart, Olivier & Görg, Holger & Hanley, Aoife

  • 2011 Unofficial Development Assistance: A Dynamic Model of Charities' Donation Income
    by Arulampalam, Wiji & Backus, Peter G. & Micklewright, John

  • 2011 Unofficial Development Assistance: A Dynamic Model of Charities' Donation Income
    by Arulampalam, Wiji & Backus, Peter G. & Micklewright, John

  • 2011 Robust Global Stock Market Interdependencies
    by Brian M Lucey & Cal Muckley

  • 2011 Capital Controls: Myth and Reality--A Portfolio Balance Approach
    by Nicolas E. Magud E. & Carmen M. & Kenneth S. Rogoff

  • 2011 Integrating Reform of Financial Regulation with Reform of the International Monetary System
    by Morris Goldstein

  • 2011 Sovereign Wealth Funds: Is Asia Different?
    by Edwin M. Truman

  • 2011 The Liquidation of Government Debt
    by Carmen M. & M. Belen Sbrancia

  • 2011 The Value of Clean Hands: How to Appeal to International Equity Investors
    by Sercu, Piet & Vanpée, Rosanne

  • 2011 Sectoral Labor Adjustment and Monetary Policy in a Small Open Economy
    by Kang Shi

  • 2011 The Currency Transactions Tax: Feasibility, revenue estimates, and potential use of revenues
    by Rodney Schmidt & Aniket Bhushan

  • 2011 Der Euro als Triebfeder des deutschen Exports?
    by Götz Zeddies

  • 2011 The Argentine Success Story and its Implications
    by Mark Weisbrot & Rebecca Ray & Juan Montecino & Sara Kozameh

  • 2011 The Scorecard on Development, 1960-2010: Closing the Gap?
    by Mark Weisbrot & Rebecca Ray

  • 2011 From a “normal recession” to the “Great Depression”: finding the turning point in Chicago bank portfolios, 1923-1933
    by Natacha Postel-Vinay

  • 2011 The choice of the personal income tax base
    by Roger H. Gordon & Wojciech Kopczuk

  • 2011 Should China revisit the 1994 fiscal reforms?
    by Ehtisham Ahmad

  • 2011 Securitized lending, asymmetric information, and financial crisis
    by Sudipto Bhattacharya & Georgy Chabakauri & Kjell G. Nyborg

  • 2011 Locating inside the Salop circle: demand rotations in a micro-founded model
    by Heski Bar-Isaac & Guillermo Caruana & Vicente Cuñat

  • 2011 Financing constraints, firm dynamics, export decisions, and aggregate productivity
    by Andrea Caggese & Vicente Cuñat

  • 2011 The inherent limits of ‘legal devices’: lessons for the public sector's central counterparty prescription for the OTC derivatives markets
    by Jo Braithwaite

  • 2011 On the detrimental impact of visa restrictions on bilateral trade and foreign direct investment
    by Eric Neumayer

  • 2011 Dollarization in Tanzania: empirical evidence and cross-country experience
    by Pantaleo Kessy

  • 2011 Pricing of Asian options on interest rates in the CIR model
    by Angelos Dassios & Jayalaxshmi Nagaradjasarma

  • 2011 Dynamic Markov bridges motivated by models of insider trading
    by Luciano Campi & Umut Cetin & Albina Danilova

  • 2011 Exchange Rates and Global Rebalancing
    by Barry Eichengreen & Gisela Rua

  • 2011 Prospects for Monetary Cooperation in East Asia
    by Yung Chul Park & Chi-Young Song

  • 2011 Distribution, Domestic Politics, and Monetary Cooperation in East Asia
    by Natasha Hamilton-Hart

  • 2011 Prospects for Monetary Cooperation in East Asia
    by Yung Chul Park & Chi-Young Song

  • 2011 Distribution, Domestic Politics, and Monetary Cooperation in East Asia
    by Natasha Hamilton-Hart

  • 2011 Exchange Rates and Global Rebalancing
    by Barry Eichengreen & Gisela Rua

  • 2011 Distribution, Domestic Politics, and Monetary Cooperation in East Asia
    by Natasha Hamilton-Hart

  • 2011 The impact of oil price fluctuations on stock markets in developed and emerging economies
    by Thai-Ha Le & Youngho Chang

  • 2011 Oil Prices and Stock Markets in Europe: A Sector Perspective
    by Mohamed EL HEDI AROURI & Philippe FOULQUIER & Julien FOUQUAU

  • 2011 Estimating US persistent and transitory monetary shocks: implications for monetary policy
    by Juan Angel Lafuente & Rafaela Pérez & Jesús Ruiz

  • 2011 Fiscal Devaluations
    by Farhi, Emmanuel & Gopinath, Gita & Itskhoki, Oleg

  • 2011 Capital Flows, Push versus Pull Factors and the Global Financial Crisis
    by Fratzscher, Marcel

  • 2011 International Recessions
    by Perri, Fabrizio & Quadrini, Vincenzo

  • 2011 Global crises and equity market contagion
    by Bekaert, Geert & Ehrmann, Michael & Fratzscher, Marcel & Mehl, Arnaud

  • 2011 Poultry in Motion: A Study of International Trade Finance Practices
    by Antràs, Pol & Foley, C. Fritz

  • 2011 A Decade of Debt
    by Reinhart, Carmen M. & Rogoff, Kenneth

  • 2011 Migrations, public goods and taxes
    by GABSZEWICZ, Jean J. & GVETADZE, Salome & ZANAJ, Skerdilajda

  • 2011 Unity in Diversity: A Global Consensus on Choosing the IMF’s Managing Director—Evidence from CGD’s Online Survey - Working Paper 267
    by David Wheeler

  • 2011 CPI Inflation Targeting and the UIP Puzzle: An Appraisal of Instrument and Target Rules
    by Alfred Guender

  • 2011 Global Imbalances, Under-Consumption and Over-Borrowing: The State of the World Economy and Future Policies
    by Cripps, F. & Izurieta, A. & Singh, A.

  • 2011 Monetary Policy, Capital Inflows, and the Housing Boom
    by Sá, F. & Wieladek, T.

  • 2011 Does Productivity Respond to Exchange Rate Appreciations? A Theoretical and Empirical Investigation
    by Yao Tang

  • 2011 Micro approaches to foreign exchange determination
    by Martin D. D. Evans & Dagfinn Rime

  • 2011 International financial flows, real exchange rates and cross-border insurance
    by Francesca Viani

  • 2011 Regulation and Banking after the Crisis
    by Morten Balling & Ernest Gnan & Patrick Honohan & David T. Llewellyn & Nigel Jenkinson & Aerdt Houben & Jan Kakes & Pat Farrell & Patricia Jackson & Edward J. Kane & Alistair Milne

  • 2011 The Future of Banking in CESEE after the Financial Crisis
    by Ernest Gnan & Andras Simor & Manfred Schepers & Markus Eller & Michael Froemmel & Nora Srzentic & Debora Revoltella & Fabio Mucci & Malgorzata Iwanicz-Drozdowska & Petra Kalfmann

  • 2011 Shadow Sovereign Ratings
    by Canuto, Otaviano & Mohapatra, Sanket & Dilip Ratha

  • 2011 The SDR and Its Potential as an International Reserve Asset
    by Chelsky, Jeff

  • 2011 Delivering Aid Differently: Lessons from the Field
    by Fengler, Wolfgang & Kharas, Homi

  • 2011 Evaluation Of The Budget Process Reform Within The European Union
    by Padurean, Elena & Dinga, Emil & Leonida, Ionel

  • 2011 International Price Differences in Ski Lift Tickets
    by Martin Falk

  • 2011 Entrada de capitales y acumulación de reservas: evidencia reciente
    by Reinhart, Carmen M. & Reinhart, Vincent R.

  • 2011 Development of Internal Demand and Bank Lending
    by Erzsébet Gém

  • 2011 Devaluation As The Instrument For Recession Overcoming In Bosnia And Herzegovina
    by ZELJKO MARIC &

  • 2011 Outsourcing Company Accounting
    by Mihalache D. Arsenie-Samoil

  • 2011 Cloud Accounting
    by Mihalache D. Arsenie-Samoil

  • 2011 Rose Effect: How Far Can it be Argued that the Euro Increased Trade?
    by Puiu Cristina

  • 2011 Câmbio real, poupança doméstica e poupança externa: análise teórica e evidências empíricas [Real exchange rate, domestic savings and external savings: theoretical analysis and empirical evidence]
    by Marcos Rocha & Paulo Gala

  • 2011 An Empirical Analysis of the Impact of Foreign Direct Investment on Economic Activity of India
    by R. Jayaraj & Sumeet Gupta

  • 2011 Romanian Administrative Capacity Of European Funds Absobtion
    by Irina Bosie (Ungureanu) & Andrei Puicã

  • 2011 Exchange Rate Regime Transition Dynamics in Southeast Asia
    by Monzur Hossain

  • 2011 Periodically Collapsing Bubbles in Stock Prices Cointegrated with Broad Dividends and Macroeconomic Factors
    by Man Fu & Prasad V. Bidarkota

  • 2011 Use of Bayesian Estimates to determine the Volatility Parameter Input in the Black-Scholes and Binomial Option Pricing Models
    by Shu Wing Ho & Alan Lee & Alastair Marsden

  • 2011 A Pseudo-Bayesian Model for Stock Returns In Financial Crises
    by Eric S. Fung & Kin Lam & Tak-Kuen Siu & Wing-Keung Wong

  • 2011 Multiperiod Hedging using Futures: Mean Reversion and the Optimal Hedging Path
    by Vadhindran K. Rao

  • 2011 Corporate Governance and Corporate Creditworthiness
    by Dror Parnes

  • 2011 Taxa de câmbio, poupança e produtividade: impactos de curto e longo prazo
    by Gala, Paulo & Libânio, Gilberto

  • 2011 US macroeconomic news spillover effects on Vietnamese stock market
    by Tho Nguyen

  • 2011 Sudden stops and currency crises
    by Levan Efremidze & Samuel M. Schreyer & Ozan Sula

  • 2011 Classifying international aspects of currency regimes
    by Thomas Willett & Eric M.P. Chiu & Sirathorn (B.J.) Dechsakulthorn & Ramya Ghosh & Bernard Kibesse & Kenneth Kim & Jeff (Yongbok) Kim & Alice Ouyang

  • 2011 Financial flows to developing and advanced countries: determinants and implications
    by Magda Kandil

  • 2011 Heterogeneity and convergence of regional inflation (prices)
    by Nagayasu, Jun

  • 2011 Sectoral labor adjustment and monetary policy in a small open economy
    by Shi, Kang

  • 2011 The international transmission of monetary shocks across developed countries: The role of imported raw materials
    by Garcia-Cebro, Juan A. & Varela-Santamaría, Ramón

  • 2011 Measuring financial market integration over the long run: Is there a U-shape?
    by Volosovych, Vadym

  • 2011 The risk adjusted uncovered equity parity
    by Kim, Heeho

  • 2011 Volatility spillovers between oil prices and stock sector returns: Implications for portfolio management
    by El Hedi Arouri, Mohamed & Jouini, Jamel & Nguyen, Duc Khuong

  • 2011 The optimal currency basket under vertical trade
    by Xu, Juanyi

  • 2011 Stock market interdependence, contagion, and the U.S. financial crisis: The case of emerging and frontier markets
    by Samarakoon, Lalith P.

  • 2011 Size, productivity, and international banking
    by Buch, Claudia M. & Koch, Cathérine T. & Koetter, Michael

  • 2011 Financial liberalization, structural change, and real exchange rate appreciations
    by Meza, Felipe & Urrutia, Carlos

  • 2011 The Global Financial Crises of 2007–2010 and the future of capitalism
    by Shahrokhi, Manuchehr

  • 2011 Determinants of European stock market integration
    by Büttner, David & Hayo, Bernd

  • 2011 The role of transparency in currency crisis models: a laboratory experiment
    by Emna Trabelsi

  • 2011 Identification of Driving Factors for Emerging Markets Sovereign Spreads
    by Edward W. Sun & Daniel Tenengauzer & Ali Bastani & Omid Rezania

  • 2011 The stabilization of foreign bank lending: A neglected benefit of hard pegs
    by Caroline Duburcq & Eric Girardin

  • 2011 The exchange rate regime and the gdp: a case study of south korea
    by Usama Al-mulali & Che Normee Che Sab

  • 2011 Gold and financial assets: Are there any safe havens in bear markets?
    by Virginie Coudert & Hélène Raymond-Feingold

  • 2011 The profitability of technical analysis in the Taiwan-U.S. forward foreign exchange market
    by Yun-Shan Dai & Wei-Ming Lee

  • 2011 The dynamics of the volatility – trading volume relationship: New evidence from developed and emerging markets
    by Loredana Ureche-Rangau & Fabien Collado & Ulysse Galiay

  • 2011 Time varying regional integration in emerging stock market
    by Khaled Guesmi

  • 2011 Shock Persistence and Current Account Dynamics
    by Kang Shi

  • 2011 Risk transmission between Latin America stock markets and the US: impacts of the 2007/2008 Crisis
    by Fernanda G Barba & Paulo S Ceretta

  • 2011 Free trade agreements, exhange rates and foreign portfolio investment in pakistan. dynamic causality analysis
    by Muhammad Anees & Ahmed Jamil & Faisal Shahzad

  • 2011 Exchange rate fluctuations and extra-eurozone exports: A comparison of Germany and France
    by Serge Rey

  • 2011 Purchasing power parity hypothesis among the main trading partners of Turkey
    by Giray Gozgor

  • 2011 Purchasing Power Parity and the Chinese Yuan
    by Richard Paul Gregory & Gary Shelley

  • 2011 Nonlinear prediction of Malaysian exchange rate with monetary fundamentals
    by Chun-Teck Lye & Tze-Haw Chan & Chee-Wooi Hooy

  • 2011 Purchasing power parity in G-7 countries: Further evidence based on ADL test for threshold cointegration
    by Tsangyao Chang & Chia-hao Lee & Pei-I Chou

  • 2011 Modeling the volatility of Mediterranean stock markets: a regime-switching approach
    by Walid Chkili & Duc Khuong Nguyen

  • 2011 Does asymmetric information play a role in explaining the Asian crisis? Application to Indonesian and Malaysian cases using a two-state Markov Switching model
    by Emna Trabelsi

  • 2011 Structural change in the forward discount: a Bayesian analysis of forward rate unbiasedness hypothesis
    by Yi-Chi Chen & Wei-Choun Yu

  • 2011 Estimation of equilibrium exchange rate in CEECs: a rolling window approach
    by Claudiu T Albulescu & Daniel Goyeau

  • 2011 Universities and authors: a ranking for international finance
    by Paulo S.A. Sousa & Pedro Cosme C. Vieira

  • 2011 Workers´ Remittances and the Equilibrium Real Exchange Rate: Theory and Evidence
    by Adolfo Barajas & Ralph Chami & Dalia Hakura & Peter Montiel

  • 2011 Macroeconomic and welfare implications of financial globalization
    by Ester Faia

  • 2011 L'impact de la loi de 1862 généralisant la responsabilité limitée au secteur bancaire et financier sur la crise anglaise de 1866
    by David Foucaud

  • 2011 Renminbi internationalisation and China's financial development
    by Robert McCauley

  • 2011 Global credit and domestic credit booms
    by Claudio Borio & Robert McCauley & Patrick McGuire

  • 2011 An Ex-Post Empirical Investigation of the Efficacy of Central Bank Interventions in Currency Markets: Bilateral Exchange Rate of the Dollar
    by Bahram Adrangi & Mary Allender & Kambiz Raffiee

  • 2011 Exchange Rates and Inflation Rates: Exploring Nonlinear Relationships
    by Bahram Adrangi & Mary E. Allender & Kambiz Raffiee

  • 2011 Basel Iii Regulations On Strengthening The Banking System Capitalization
    by Natalita HURDUC & Nicoleta HURDUC

  • 2011 Southern African Economic Integration: Evidence from an Augmented Gravity Model
    by Moshi Optat Herman & Kirsten Wandschneider & Thierry Warin & Phanindra Wunnava

  • 2011 Gustav von Schmoller-Vorlesung, 5. Konferenz für Sozial- und Wirtschaftsdaten: Die Internationalisierung deutscher Banken und Unternehmen aus Perspektive der Mikrodaten
    by Claudia M. Buch

  • 2011, 2nd quarter update subprime mortgage crisis, the
    by Christopher L. Foote & Paul S. Willen

  • 2010 Assessing the World Bank’s influence on the good governance paradigm
    by Gaoussou DIARRA & Patrick PLANE

  • 2010 Análisis comparado sobre la crisis y los rescates financieros de México (1995) y los Estados Unidos (2008)
    by Bazdresch Parada, Carlos & Buira, Ariel & Calvo, Guillermo & Elizondo Almaguer, Everardo & Esquivel Hernández, Gerardo & Fernández, Eduardo & Hernández Trillo, Fausto & de Juan, Aristóbulo & Loser, Claudio M. & Reinhart, Carmen M. & Rojas Suárez, Liliana & Silva Herzog Flores, Jesús & Weintraub, Sidney & Williamson, John

  • 2010 Contagious Policies: An Analysis of Spatial Interactions Among Countries' Capital Account Policies
    by Steiner, Andreas

  • 2010 Do banks benefit from internationalization? Revisiting the market power-risk nexus
    by Buch, Claudia M. & Koch, Cathérine Tahmee & Koetter, Michael

  • 2010 Monetary Policy under the Classical Gold Standard (1870s - 1914)
    by M Morys

  • 2010 Quelques Réflexions sur la Réévaluation du Yuan
    by Meixing Dai

  • 2010 Oil Volatility and the Option Value of Waiting: An analysis of the G-7
    by Don Bredin & John Elder & Stilianos Fountas

  • 2010 Money Supply Rules and Exchange Rate Dynamics
    by Juha Tervala

  • 2010 International portfolios, capital accumulation and foreign assets dynamics
    by Nicolas Coeurdacier & Robert Kollmann & Philippe Martin

  • 2010 Decoupling: Myth or Reality?
    by Bernhardt, Thomas

  • 2010 هل تؤثر الأزمة المالية العالمية في الاقتصاد السعودي؟ تلحيل عبر نموذج التقهقر الذاتي البنيوي
    by Ghassan, Hassan B. & Taher, Farid B. & AlDehailan, Salman

  • 2010 The global economic and financial crisis: Which way forward?
    by Singh, Ajit & Zammit, Ann

  • 2010 Does reserve accumulation lead to higher currency-risk taking in the corporate sector? Firm-level evidence for Latin America
    by Sengupta, Rajeswari

  • 2010 Tyrannical Greed and National Disintegration of the Sudanese Nation
    by Mohamed, Issam A.W.

  • 2010 Labor wedges and open economy puzzles
    by Karabarbounis, Loukas

  • 2010 Accumulation of reserves and keeping up with the Joneses: the case of LATAM economies
    by Cheung, Yin-Wong & Sengupta, Rajeswari

  • 2010 Сучасні Моделі Фінансових Криз
    by Petrushchak, Bohdan

  • 2010 Impactul modificării ratei dobânzii asupra cursului de schimb în România
    by Ghiba, Nicolae

  • 2010 Bank efficiency and openness in Africa: do income levels matter?
    by Simplice A, Asongu

  • 2010 Inattentive Consumers and Exchange Rate Volatility
    by Mehmet Fatih, Ekinci

  • 2010 Regional Inflation (Price) Behaviors: Heterogeneity and Convergence
    by Nagayasu, Jun

  • 2010 India’s trilemma: financial liberalization, exchange rates and monetary policy
    by Hutchison, Michael & Sengupta, Rajeswari & Singh, Nirvikar

  • 2010 Diminished Expectations, Double Dips, and External Shocks: The Decade After the Fall
    by Reinhart, Carmen & Reinhart, Vincent

  • 2010 Do countries “graduate” from crises? Some historical perspective
    by Reinhart, Carmen & Qian, Rong & Rogoff, Kenneth

  • 2010 A phronesis antenarrative about the understanding of money and usage of money in more phronetic ways
    by Berendsen, Wilfred

  • 2010 On cross-currency models with stochastic volatility and correlated interest rates
    by Grzelak, Lech & Oosterlee, Kees

  • 2010 Integration, decoupling and the global financial crisis: A global perspective
    by Miankhel, Adil Khan & Kalirajan, Kaliappa & Thangavelu, Shandre

  • 2010 Balance of Payments-consistent unreported flows
    by Beja Jr, Edsel

  • 2010 Managing the Process of Removing Capital Controls: What Does the Literature Suggest?
    by Moore, Winston

  • 2010 When Bad Things Happen to Good Sovereign Debt Contracts: The Case of Ecuador
    by Porzecanski, Arturo C.

  • 2010 An Equity-Interest Rate Hybrid Model With Stochastic Volatility and the Interest Rate Smile
    by Grzelak, Lech & Oosterlee, Kees

  • 2010 The impact of capital and disclosure requirements on risks and risk taking incentives
    by Ojo, Marianne

  • 2010 Extending the scope of prudential supervision: Regulatory developments during and beyond the “effective” periods of the Post BCCI and the Capital Requirements directives
    by Ojo, Marianne

  • 2010 Corporate Governance in Pakistan: Corporate Valuation, Ownership and Financing
    by Attiya Y. Javid & Robina Iqbal

  • 2010 U.S. Foreign-Exchange-Market Intervention and the Early Dollar Float: 1973 - 1981
    by Michael D. Bordo & Owen F. Humpage & Anna J. Schwartz

  • 2010 Composition of Capital Flows: A Survey
    by Koralai Kirabaeva & Assaf Razin

  • 2010 The Chinese Corporate Savings Puzzle: A Firm-level Cross-country Perspective
    by Tamim Bayoumi & Hui Tong & Shang-Jin Wei

  • 2010 Countercyclical Currency Risk Premia
    by Hanno Lustig & Nikolai Roussanov & Adrien Verdelhan

  • 2010 U.S. Foreign-Exchange-Market Intervention during the Volcker-Greenspan Era
    by Michael D. Bordo & Owen F. Humpage & Anna J. Schwartz

  • 2010 After the Fall
    by Carmen M. Reinhart & Vincent R. Reinhart

  • 2010 Emerging Local Currency Bond Markets
    by John D. Burger & Francis E. Warnock & Veronica Cacdac Warnock

  • 2010 On Graduation from Default, Inflation and Banking Crisis: Elusive or Illusion?
    by Rong Qian & Carmen M. Reinhart & Kenneth S. Rogoff

  • 2010 Do Global Banks Spread Global Imbalances? The Case of Asset-Backed Commercial Paper During the Financial Crisis of 2007-09
    by Viral V. Acharya & Philipp Schnabl

  • 2010 External Capital Structures and Oil Price Volatility
    by John D. Burger & Alessandro Rebucci & Francis E. Warnock & Veronica Cacdac Warnock

  • 2010 Are Leading Indicators of Financial Crises Useful for Assessing Country Vulnerability? Evidence from the 2008-09 Global Crisis
    by Jeffrey A. Frankel & George Saravelos

  • 2010 A Sexually Unbalanced Model of Current Account Imbalances
    by Qingyuan Du & Shang-Jin Wei

  • 2010 Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach
    by Olivier Jeanne & Anton Korinek

  • 2010 This Time is Different Chartbook: Country Histories on Debt, Default, and Financial Crises
    by Carmen M. Reinhart

  • 2010 From Financial Crash to Debt Crisis
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2010 Liquidity, Institutional Quality and the Composition of International Equity Flows
    by Itay Goldstein & Assaf Razin & Hui Tong

  • 2010 Virtual Borders: Online Nominal Rigidities and International Market Segmentation
    by Jean Boivin & Robert Clark & Nicolas Vincent

  • 2010 Growth in a Time of Debt
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2010 Transition to Equilibrium in International Trades
    by Gaël Giraud & Céline Rochon

  • 2010 Oil Volatility and the Option Value of Waiting: An analysis of the G-7
    by Don Bredin & John Elder & Stilianos Fountas

  • 2010 Does Idiosyncratic Business Risk Matter?
    by Claudio Michelacci & Fabiano Schivardi

  • 2010 Three Futures for Postcrisis Banking in the Americas: The Financial Trilemma and the Wall Street Complex
    by Gary A. Dymski

  • 2010 Purchasing Power Parity and the European Single Currency: Some New Evidence
    by Maria Christidou & Theodore Panagiotidis

  • 2010 Better to Give than to Receive: Predictive Directional Measurement of Volatility Spillovers
    by Francis X. Diebold & Kamil Yilmaz

  • 2010 Sudden Stops, Financial Frictions, and Labor Market Flows: Evidence from Latin America
    by Francisco Gallego & José Tessada

  • 2010 Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach
    by Olivier Jeanne & Anton Korinek

  • 2010 Assessment on Valuation of RMB – a triangular analysis approach
    by Peijie Wang

  • 2010 A Triangular Analysis of Exchange Rate Determination and Adjustments - The case of RMB, the US dollar and the euro
    by Peijie Wang

  • 2010 Contagious Policies: An Analysis of Spatial Interactions Among Countries’ Capital Account Policies
    by Andreas Steiner

  • 2010 External Capital Structures and Oil Price Volatility
    by John D. Burger & Alessandro Rebucci & Francis E. Warnock & Veronica Cacdac Warnock

  • 2010 Accumulation of Reserves and Keeping Up with the Joneses: The Case of LATAM Economies
    by Yin-Wong Cheung & Rajeswari Sengupta

  • 2010 The Composition Matters: Capital Inflows and Liquidity Crunch during a Global Economic Crisis
    by Hui Tong & Shang-Jin Wei

  • 2010 Leverage Constraints and the International Transmission of Shocks
    by Michael B. Devereux & James Yetman

  • 2010 Vertical Trade and China's Export Dynamics
    by Wei Liao & Kang Shi & Zhiwei Zhang

  • 2010 Micro, Macro, and Strategic Forces in International Trade Invoicing
    by Linda S. Goldberg & Cedric Tille

  • 2010 Capital Flight: China's Experience
    by Yin-Wong Cheung & XingWang Qian

  • 2010 „Geschäftsmodell Deutschland“ und außenwirtschaftliche Ungleichgewichte in der EU
    by Renate Ohr & Götz Zeddies

  • 2010 Exchange Rate Pass Through To Import Prices: Panel Evidence From Emerging Market Economies
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  • 2010 Repayment frequency in microfinance contracts with present-biased borrowers
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  • 2010 The demand for money in Tanzania
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  • 2010 Challenging global accountability: the intersection of contracts and culture in the World Bank
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  • 2010 Symmetric or asymmetric interest rate adjustments? Evidence from Greece, Bulgaria and Slovenia
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  • 2010 The explicit solution to a sequential switching problem with non-smooth data
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  • 2010 Beyond the great crash of 2008: questioning journalists’ legal and ethical frameworks
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  • 2010 What are financial journalists for?
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  • 2010 Designing carbon markets, part I: carbon markets in time
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  • 2010 The impact of double taxation treaties on foreign direct investment: evidence from large dyadic panel data
    by Fabian Barthel & Matthias Busse & Eric Neumayer

  • 2010 Really responsive risk-based regulation
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  • 2010 Inflation Uncertainty, Exchange Rate Depreciation and Volatility: Evidence from Ghana, Mozambique and Tanzania
    by Hassan Molana & Kwame Osei-Assibey

  • 2010 What Segments Equity Markets?
    by Bekaert, Geert & Harvey, Campbell & Lundblad, Christian T & Siegel, Stephan

  • 2010 Identifying the Global Transmission of the 2007-09 Financial Crisis in a GVAR Model
    by Chudik, Alexander & Fratzscher, Marcel

  • 2010 Global Banking and International Business Cycles
    by Enders, Zeno & Kollmann, Robert & Müller, Gernot

  • 2010 When the North Last Headed South: Revisiting the 1930s
    by Reinhart, Carmen M. & Reinhart, Vincent

  • 2010 Reglas de Taylor y previsibilidad fuera de muestra de la tasa de cambio en Latinoamérica
    by Daniel Andrés Jaimes Cárdenas & jair Ojeda Joya

  • 2010 Capital Accumulation, External Indebtedness and Macroeconomic Performance of Emerging Countries
    by Marcos Rocha & José Luis Oreiro

  • 2010 Extreme Returns: The Case of Currencies
    by Carol Osler & Tanseli Savaser

  • 2010 Financial Integration and Economic Growth: An Empirical Analysis Using International Panel Data from 1974-2007
    by Mitsuhiro Osada & Masashi Saito

  • 2010 Alternative Optimized Monetary Policy Rules in Multi-Sector Small Open Economies: The Role of Real Rigidities
    by Carlos de Resende & Ali Dib & Maral Kichian

  • 2010 The Role of Expenditure Switching in the Global Imbalance Adjustment
    by Wei Dong

  • 2010 The euro and the volatility of exchange rates
    by Amalia Morales-Zumaquero & Simón Sosvilla-Rivero

  • 2010 INTERNATIONAL FINANCE AND OPEN-ECONOMY MACROECONOMICS:Theory, History, and Policy
    by Hendrik Van den Berg

  • 2010 Fundamentals Of International Financial Accounting And Reporting
    by Roger Hussey

  • 2010 BANKING AND CAPITAL MARKETS:New International Perspectives
    by

  • 2010 GLOBAL DERIVATIVE DEBACLES:From Theory to Malpractice
    by Laurent L Jacque

  • 2010 The euro at ten - lessons and challenges, 5th ECB Central Banking Conference, 13-14 November 2008
    by

  • 2010 Monetary ease: A factor behind financial crises? Some evidence from OECD countries
    by Ahrend, Rudiger

  • 2010 Can Real Exchange Rate Undervaluation Boost Exports and Growth in Developing Countries? Yes, But Not for Long
    by Haddad, Mona & Pancaro, Cosimo

  • 2010 Dealing with the Challenges of Capital Inflows in the Context of Macrofinancial Links
    by Ghosh, Swati

  • 2010 Subnational Debt Finance and the Global Financial Crisis
    by Canuto, Otaviano & Liu, Lili

  • 2010 On the Role of Financial Frictions and the Saving Rate During Trade Liberalizations
    by Pol Antràs & Ricardo J. Caballero

  • 2010 Exchange Rate Pass-Through and Exposure in the Turkish Economy
    by Nazli Toraganli

  • 2010 Is there currency substitution in Korea?
    by S. R. Lee

  • 2010 Finance, Market, Globalization: Lessons from the 2007-09 Crisis
    by Salvatore Rossi

  • 2010 Contributions on monetary and financial issues: an introduction
    by Alessandro Roncaglia

  • 2010 Introduction
    by Alessandro Roncaglia

  • 2010 Introduzione
    by Alessandro Roncaglia

  • 2010 Modelli formali della crisi
    by Giancarlo Gandolfo

  • 2010 "Europa 2020", nuovo governo economico e ri-regolamentazione finanziaria: incentivi o vincoli alla crescita?
    by Mario Sarcinelli

  • 2010 Introduzione
    by Alessandro Roncaglia

  • 2010 Il dollaro: ieri, oggi e domani
    by Charles P. Kindleberger

  • 2010 Equity Market Liberalization, Industry Growth And The Cost Of Capital
    by Zhen Li

  • 2010 Cost Of Carry On Steroids: Application To Oil Futures Pricing
    by Eric Girard & Trevor Reid

  • 2010 Determinants Of Emerging Markets’ Commercial Bank Stock Returns
    by Eric Girard & James Nolan & Tony Pondillo

  • 2010 A Mean-Variance Diagnosis of the Financial Crisis: International Diversification and Safe Havens
    by Alexander Eptas & Lawrence A. Leger

  • 2010 Soybean Futures Crush Spread Arbitrage: Trading Strategies and Market Efficiency
    by John B. Mitchell

  • 2010 Hedging Performance and Multiscale Relationships in the German Electricity Spot and Futures Markets
    by Mara Madaleno & Carlos Pinho

  • 2010 Are Entrepreneur-Led Companies Better? Evidence from Publicly Traded U.S. Companies: 1998-2010
    by Joel M. Shulman

  • 2010 Conserving Capital by Adjusting Deltas for Gamma in the Presence of Skewness
    by Dilip B. Madan

  • 2010 Long-run relationship among latin america stock markets and the us - impacts of the 2007/2008 crisis
    by Fernanda G Barba & Paulo S Ceretta

  • 2010 A Big Mac test of price dynamics and dispersion across euro area
    by Fabio Clementi & Mauro Gallegati & Antonio Palestrini

  • 2010 A note on exchange rate regimes in Asia: Are they really what they claim to be?
    by Tony Cavoli & Ramkishen Rajan

  • 2010 Exchange-market pressure and currency crises in Latin America: Empirical tests of their macroeconomic determinants
    by Scott W Hegerty

  • 2010 Are Real Exchange Rates Nonlinear with a Unit Root? Evidence on Purchasing Power Parity for China: A Note
    by Tsangyao Chang & Su-yuan Lin & Horng-jinh Chang

  • 2010 Contagion and causality: an empirical analysis on sovereign bond spreads
    by Iuliana Matei

  • 2010 Domestic vs. International Correlations of Interest Rate Maturities
    by Joseph P Byrne & Giorgio Fazio & Norbert Fiess

  • 2010 The validity of PPP: evidence from Lagrange multiplier unit root tests for ASEAN countries
    by Alper ASLAN

  • 2010 Twin deficits in CEEC economies: evidence from panel unit root tests
    by Alberto Bagnai

  • 2010 Spillover impacts of the US macroeconomic news: Australian sectoral perspective
    by Tho D.Q. Nguyen & Jian Wu

  • 2010 The Forward Premium Puzzle Across Maturities
    by Liang Ding & Linh To

  • 2010 A Note on Short-Run and Long-Run Relationships between Parallel and Official Exchange Rates: The Case of Cambodia
    by Sovannroeun Samreth

  • 2010 On the Impacts of Crisis on the Risk Premium: Evidence from the US Stock Market using a Conditional CAPM
    by Arouri Mohamed El Hédi & Jawadi Fredj

  • 2010 On the stationarity of Japanese-yen based purchasing power parity in the presence of the structural breaks
    by Masafumi Kozuka

  • 2010 International Capital Mobility in African Countries: Do the legal origins matter?
    by Chrysost Bangaké & Jude Eggoh

  • 2010 Random risk aversion and the cost of eliminating the foreign exchange risk of the Euro
    by Samih A Azar

  • 2010 Fractional integration and cointegration in stock prices and exchange rates
    by Marcel Aloy & Mohamed Boutahar & Karine Gente & Anne Péguin-feissolle

  • 2010 An empirical investigation of purchasing power parity for a transition economy - Cambodia
    by Venus Khim-Sen Liew & Tuck Cheong Tang

  • 2010 The Effects of Inflation Targeting on the Current Account: An Empirical Examination
    by Cesar R Sobrino

  • 2010 Does Devaluation work for India?
    by Artatrana Ratha

  • 2010 Testing for the Sustainability of the Current Account Deficit in Four Industrial Countries: A Revisitation
    by Shyh-Wei Chen

  • 2010 The Long-Run of Purchasing Power Parity: The Case of Japan
    by Dara Long

  • 2010 Inflation divergence within the SADC
    by Jaunky Chandr Vishal

  • 2010 Oil Prices and Stock Markets: What Drives What in the Gulf Corporation Council Countries
    by Mohamed Arouri & Christophe Rault

  • 2010 Les effets des fluctuations du prix du pétrole sur les marchés boursiers dans les pays du Golfe
    by Mohamed El Hedi Arouri & Christophe Rault

  • 2010 Política cambiaria y crisis internacional: El rodeo innecesario
    by Gabriel Loza Tellería

  • 2010 Exchange rates during financial crises
    by Marion Kohler

  • 2009 Crisis macroeconómica y desempeño de la empresa individual. La experiencia mexicana
    by Watkins, Karen & van Dijk, Dick & Spronk, Jaap

  • 2009 Do We Really Know That Flexible Exchange Rates Facilitate Current Account Adjustment? Some New Empirical Evidence for CEE Countries
    by Sabine Herrmann

  • 2009 Margins of international banking: is there a productivity pecking order in banking, too?
    by Buch, Claudia M. & Koch, Cathérine Tahmee & Koetter, Michael

  • 2009 On the influence of oil prices on stock markets: Evidence from panel analysis in GCC countries
    by Christophe Rault & Mohamed El Hedi AROURI

  • 2009 Oil prices and stock markets: what drives what in the Gulf Corporation Council countries?
    by Christophe Rault & ohamed El Hedi AROURI

  • 2009 Interaction between foreign financial services and foreign direct investment in Transition Economies: An empirical analysis with focus on the manufacturing sector
    by Guido Cazzavillan & Krzysztof Olszewski

  • 2009 Should Financial Flows Be Regulated? Yes
    by Gerald Epstein

  • 2009 Rethinking the Economics of Capital Mobility and Capital Controls
    by Thomas I. Palley

  • 2009 How Important is the Currency Denomination of Exports in Open-Economy Models?
    by Michael Dotsey & Margarida Duarte

  • 2009 Once Bitten: The Effect of IMF Programs on Subsequent Reserve Behaviour
    by Graham Bird & Alex Mandilaras

  • 2009 THE SHADOW GN*: The Ways Out of the Crisis and the Builbing of a More Cohesive World
    by Jean-Paul Fitoussi & Joseph Stiglitz

  • 2009 Dynamic Returns Linkages and Volatility Transmission between South African and World Major Stock Markets
    by Z. Chinzara & M.J. Aziakpono

  • 2009 Accounting for Global Dispersion of Current Accounts
    by Yongsung Chang & Sun-Bin Kim & Jaewoo Lee

  • 2009 Informed Trading in an Electronic Foreign Exchange Market
    by Ramazan Gencay & Nikola Gradojevic

  • 2009 Leverage Constraints and the International Transmission of Shocks
    by Michael B Devereux & James Yetman

  • 2009 The Impact of International Remittances on Income, Work Efforts, Poverty and Inequality: Evidence from Vietnam
    by Nguyen, Cuong & van den Berg, Marrit & Lensink, Robert

  • 2009 Forward rate unbiased hypothesis, risk premium and exchange rate expectations: estimates on Pakistan Rupee-US Dollar
    by Waheed, Muhammad

  • 2009 Litigations, Damages And Solutions In Residential Mortgage-Backed Securities
    by Jomadar, Dinesh

  • 2009 International Monetary Arrangements for the 21st Century—Which Way?
    by Hossain, Monzur

  • 2009 When the North Last Headed South: Revisiting the 1930s
    by Reinhart, Carmen & Reinhart, Vincent

  • 2009 Fundamentals and Exchange Rates: Evidence from ASEAN-5
    by Rashid, Abdul & Ling, Jeffrey

  • 2009 Main sources of finance for development: retrospective view on the evolution of pre-crisis ideas
    by Sherstnev, Mikhail

  • 2009 Understanding Real Exchange Rate Movements with Trade in Intermediate Products
    by Parsley, David & Popper, Helen

  • 2009 Housing Markets and Current Account Dynamics
    by Gete, Pedro

  • 2009 On The Heston Model with Stochastic Interest Rates
    by Grzelak, Lech & Oosterlee, Kees

  • 2009 The benefits of utilisation computer system for monitoring the movements of excise (EMCS)
    by Vătuiu, Teodora & Ţarcă, Naiana & Popeangă, Vasile & Popeangă, Vasile Nicolae

  • 2009 This Time It’s Different: Eight Centuries of Financial Folly-Chapter 1
    by Reinhart, Carmen & Rogoff, Kenneth

  • 2009 Bank Competition and International Financial Integration: Evidence using a new Index
    by Pasricha, Gurnain

  • 2009 The Role of USAID in Development in Egypt
    by Attia, Sayed Moawad

  • 2009 No Place To Hide: The Global Crisis in Equity Markets in 2008/09
    by Bartram, Söhnke M. & Bodnar, Gordon M.

  • 2009 The single global currency - common cents for the world (2008 Edition)
    by Bonpasse, Morrison

  • 2009 Imfの融資制度ーアイスランド、ウクライナ、ラトビア、ハンガリーのケースをもとにして
    by Shirai, Sayuri

  • 2009 The Impact of the US Subprime Mortgage Crisis on the World and East Asia
    by Shirai, Sayuri

  • 2009 Corporate Hedging and Shareholder Value
    by Aretz, Kevin & Bartram, Söhnke M.

  • 2009 Resolving the Exposure Puzzle: The Many Facets of Exchange Rate Exposure
    by Bartram, Söhnke M. & Brown, Gregory W. & Minton, Bernadette

  • 2009 The first global financial crisis of the 21st century,Part II: Introduction
    by Reinhart, Carmen & Felton, Andrew

  • 2009 Entrepreneurship in Oman
    by Yochanan Shachmurove

  • 2009 Entrepreneurship in Qatar
    by Yochanan Shachmurove

  • 2009 Global Shocks and the Japanese Economy:Structural Changes in the 1990s
    by Jun-ichi Shinkai & Akira Kohsaka

  • 2009 Is a common currency area feasible for East Asia? A multivariate structural VAR approach
    by Hsiufen Hsu

  • 2009 Country Size, Currency Unions, and International Asset Returns
    by Tarek A. Hassan

  • 2009 Are Workers' Remittances Relevant for Credit Rating Agencies?
    by Rolando Avendaño & Norbert Gaillard & Sebastián Nieto Parra

  • 2009 Taking Stock of the Credit Crunch: Implications for Development Finance and Global Governance
    by Andrew Mold & Sebastian Paulo & Annalisa Prizon

  • 2009 Composition of International Capital Flows: A Survey
    by Koralai Kirabaeva & Assaf Razin

  • 2009 Currency Carry Trade Regimes: Beyond the Fama Regression
    by Richard Clarida & Josh Davis & Niels Pedersen

  • 2009 Did Fair-Value Accounting Contribute to the Financial Crisis?
    by Christian Laux & Christian Leuz

  • 2009 Thirty Years of Currency Crises in Argentina: External Shocks or Domestic Fragility?
    by Graciela Kaminsky & Amine Mati & Nada Choueiri

  • 2009 Micro, Macro, and Strategic Forces in International Trade Invoicing
    by Linda S. Goldberg & Cédric Tille

  • 2009 Evidence of Regulatory Arbitrage in Cross-Border Mergers of Banks in the EU
    by Santiago Carbo-Valverde & Edward J. Kane & Francisco Rodriguez-Fernandez

  • 2009 Trending Current Accounts
    by Horag Choi & Nelson C. Mark

  • 2009 The Composition Matters: Capital Inflows and Liquidity Crunch during a Global Economic Crisis
    by Hui Tong & Shang-Jin Wei

  • 2009 Capital Market Integration and Wages
    by Anusha Chari & Peter Blair Henry & Diego Sasson

  • 2009 Rebalancing Growth in Asia
    by Eswar S. Prasad

  • 2009 World Markets for Mergers and Acquisitions
    by Isil Erel & Rose C. Liao & Michael S. Weisbach

  • 2009 Transmission of the U.S. Subprime Crisis to Emerging Markets: Evidence on the Decoupling-Recoupling Hypothesis
    by Michael P. Dooley & Michael M. Hutchison

  • 2009 The Competitive Saving Motive: Evidence from Rising Sex Ratios and Savings Rates in China
    by Shang-Jin Wei & Xiaobo Zhang

  • 2009 Decomposing the U.S. External Returns Differential
    by Stephanie E. Curcuru & Tomas Dvorak & Francis E. Warnock

  • 2009 Estimating the Border Effect: Some New Evidence
    by Gita Gopinath & Pierre-Olivier Gourinchas & Chang-Tai Hsieh & Nicholas Li

  • 2009 Thresholds in the Process of International Financial Integration
    by M. Ayhan Kose & Eswar S. Prasad & Ashley D. Taylor

  • 2009 What Segments Equity Markets?
    by Geert Bekaert & Campbell R. Harvey & Christian Lundblad & Stephan Siegel

  • 2009 International Portfolio Allocation under Model Uncertainty
    by Pierpaolo Benigno & Salvatore Nisticò

  • 2009 China's Current Account and Exchange Rate
    by Yin-Wong Cheung & Menzie D. Chinn & Eiji Fujii

  • 2009 Some New Perspectives on India's Approach to Capital Account Liberalization
    by Eswar S. Prasad

  • 2009 The Aftermath of Financial Crises
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2009 Determinants of European Stock Market Integration
    by David Büttner & Bernd Hayo

  • 2009 Return and Volatility Spillovers among the East Asian Equity Markets
    by Kamil Yilmaz

  • 2009 An Awkward Dance: China and the United States
    by Prasad, Eswar & Gu, Grace

  • 2009 The Role of Demographics in Precipitating Crises in Financial Institutions
    by Macunovich, Diane

  • 2009 The Role of Demographics in Precipitating Crises in Financial Institutions
    by Macunovich, Diane J.

  • 2009 Southern African Economic Integration: Evidence from an Augmented Gravity Model
    by Warin, Thierry & Wunnava, Phanindra V. & Tengia, Optat & Wandschneider, Kirsten

  • 2009 Southern African Economic Integration: Evidence from an Augmented Gravity Model
    by Warin, Thierry & Wunnava, Phanindra V. & Tengia, Optat & Wandschneider, Kirsten

  • 2009 Rebalancing Growth in Asia
    by Prasad, Eswar

  • 2009 Rebalancing Growth in Asia
    by Prasad, Eswar

  • 2009 Thresholds in the Process of International Financial Integration
    by Kose, M. Ayhan & Prasad, Eswar & Taylor, Ashley D.

  • 2009 Thresholds in the Process of International Financial Integration
    by Kose, M. Ayhan & Prasad, Eswar & Taylor, Ashley D.

  • 2009 India's Approach to Capital Account Liberalization
    by Prasad, Eswar

  • 2009 India's Approach to Capital Account Liberalization
    by Prasad, Eswar

  • 2009 Workers’ Remittances and Growth in MENA Labor Exporting Countries
    by Sufian Eltayeb Mohamed

  • 2009 Currency Runs, International Reserves Management and Optimal Monetary Policy Rules
    by Mika Kato & Christian R. Proano & Willi Semmler

  • 2009 The Multilateral Response to the Global Crisis: Rationale, Modalities, and Feasibility
    by Eduardo Fernandez-Arias & Andrew Powell & Alessandro Rebucci

  • 2009 Some Implications of Multilateral Financing to the Private Sector without Sovereign Guarantee
    by Elio Londero

  • 2009 Exports, Productivity, and Credit Constraints: A Firm-Level Empirical Investigation of China
    by Zhiyuan Li & Miaojie Yu

  • 2009 Evaluating Exchange Rate Management An Application to Korea
    by David Parsley & Helen Popper

  • 2009 A Faith-based Initiative: Does a Flexible Exchange Rate Regime Really Facilitate Current Account Adjustment?
    by Menzie D. Chinn & Shang-Jin Wei

  • 2009 European Monetary Union at Ten: Had the German Maastricht Critics Been Wrong?
    by Renate Ohr

  • 2009 The Effect of Nominal Exchange Rate Volatility on Real Macroeconomic Performance in the CEE Countries
    by Olga Arratibel & Davide Furceri & Reiner Martin & Aleksandra Zdzienicka

  • 2009 Towards a Theory of Trade Finance
    by Tim Schmidt-Eisenlohr

  • 2009 The Impact of the US Subprime Mortgage Crisis on the World and East Asia: Through Analyses of Cross-border Capital Movements
    by Sayuri SHIRAI

  • 2009 CEPR Responds to the IMF’s Reply and Defense of Its Policies During the World Recession
    by Mark Weisbrot

  • 2009 IMF-Supported Macroeconomic Policies and the World Recession: A Look at Forty-One Borrowing Countries
    by Mark Weisbrot & Rebecca Ray & Jake Johnston & Jose Antonio Cordero

  • 2009 The IMF’s Stand-by Arrangements and the Economic Downturn in Eastern Europe: The Cases of Hungary, Latvia, and Ukraine
    by Jose Antonio Cordero

  • 2009 Costa Rica During the Global Recession: Fiscal Stimulus with Tight Monetary Policy
    by Jose Antonio Cordero

  • 2009 Empowering the IMF: Should Reform be a Requirement for Increasing the Fund's Resources?
    by Mark Weisbrot & Jose Cordero & Luis Sandoval

  • 2009 Time Variation in Asset Return Dependence: Strength or Structure?
    by Markwat, T.D. & Kole, H.J.W.G. & van Dijk, D.J.C.

  • 2009 Depression econometrics: a FAVAR model of monetary policy during the Great Depression
    by Pooyan Amir Ahmadi & Albrecht Ritschl

  • 2009 Money, states and empire: financial integration cycles and institutional change in Central Europe, 1400-1520
    by David Chilosi & Oliver Volckart

  • 2009 Depression econometrics: a FAVAR model of monetary policy during the Great Depression
    by Pooyan Amir Ahmadi & Albrecht Ritschl

  • 2009 After the Great Debasement, 1544-51: did Gresham’s Law apply?
    by Ling-Fan Li

  • 2009 The development of Islamic finance in the GCC
    by Rodney Wilson

  • 2009 Hundi/hawala: the problem of definition
    by Marina B.V. Martin

  • 2009 Spillover and backward linkage effects of FDI: empirical evidence for the UK
    by Richard Harris

  • 2009 Pricing and hedging in carbon emissions markets
    by Umut Cetin & Michel Verschuere

  • 2009 A flow-based explanation for return predictability
    by Dong Lou

  • 2009 Financial volatility and economic activity
    by Fabio Fornari & Antonio Mele

  • 2009 A preferred-habitat model of the term structure of interest rates
    by Dimitri Vayanos & Jean-Luc Vila

  • 2009 Regime switching in volatilities and correlation between stock and bond markets
    by Runquan Chen

  • 2009 Liquidity and asset prices: a united framework
    by Dimitri Vayanos & Jiang Wang

  • 2009 Negative nominal interest rates: three ways to overcome the zero lower bound
    by Willem H. Buiter

  • 2009 Reforming pensions: principles, analytical errors and policy directions
    by Nicholas Barr & Peter Diamond

  • 2009 The credit crisis and the dynamics of asset backed commercial paper programs
    by Nikolaj Schmidt

  • 2009 Is Contagion in the Eye of the Beholder?
    by Mark Mink

  • 2009 The pungent smell of Red Herrings; Subsoil assets, rents, volatility and the resource curse
    by Frederick van der Ploeg & Steven Poelhekke

  • 2009 Are banks too big to fail?
    by Chen Zhou

  • 2009 Diversification of Banks' International Portfolios: Evidence and Policy Lessons
    by Claudia M. Buch & Katja Neugebauer

  • 2009 Japanese FDI in China: determinants and performance
    by Shiro Armstrong

  • 2009 The Limits to Fiscal Stimulus
    by Buiter, Willem H.

  • 2009 Micro, Macro, and Strategic Forces in International Trade Invoicing
    by Goldberg, Linda S. & Tille, Cédric

  • 2009 A Tractable Model of Precautionary Reserves, Net Foreign Assets, or Sovereign Wealth Funds
    by Carroll, Christopher D & Jeanne, Olivier

  • 2009 The Impact of Creditor Protection on Stock Prices in the Presence of Credit Crunches
    by Hale, Galina B & Razin, Assaf & Tong, Hui

  • 2009 Negative Nominal Interest Rates: Three ways to overcome the zero lower bound
    by Buiter, Willem H.

  • 2009 Crash Risk in Currency Markets
    by Farhi, Emmanuel & Fraiberger, Samuel P. & Gabaix, Xavier & Rancière, Romain & Verdelhan, Adrien

  • 2009 Banking Crises: An Equal Opportunity Menace
    by Reinhart, Carmen M. & Rogoff, Kenneth

  • 2009 Financial Globalization and Economic Policies
    by Kose, Ayhan & Prasad, Eswar & Rogoff, Kenneth & Wei, Shang-Jin

  • 2009 Consideraciones casi obvias sobre la tasa de cambio
    by Juan Esteban Carranza & Carlos Giovanni González Espitia

  • 2009 ¿Que tan buenos son los patrones del IGBC para predecir su comportamiento?: una aplicación de datos de alta frecuencia
    by Julio Cesar Alonso & Juan Carlos Garcia

  • 2009 Optimal Exchange-Rate Targeting with Large Labor Unions
    by Vincenzo Cuciniello & Luisa Lambertini

  • 2009 Financial Development and Allocation of External Finance
    by Jan Bena & Peter Ondko

  • 2009 Financiranje regionalnog razvitka - nacini i modeli
    by Branko Matic

  • 2009 Exchange Rate Changes And Price Dynamics In The Triad Countries
    by Piotr MISZTAL

  • 2009 Much Appreciated? The Rise of the Canadian Dollar
    by Michael B. Devereux

  • 2009 Implications of Basel II for financial stability. Clouds are darker for developing countries
    by Mario Tonveronachi

  • 2009 Structural biases in prudential regulation of banks
    by Mario Tonveronachi

  • 2009 The US economy: weaknesses of the "strong" recovery
    by Wymme Godley & Alex Izurieta

  • 2009 The developing recession in the United States
    by Wymme Godley

  • 2009 Prospects for the world economy
    by Paolo Sylos Labini

  • 2009 Globalization, stability and the financial markets
    by Paul A. Volcker

  • 2009 Asset inflation and monetary policy
    by Charles P. Kindleberger

  • 2009 The 1930s and 1980s: parallels and differences
    by Charles P. Kindleberger

  • 2009 Beginnings
    by Hyman P. Minsky

  • 2009 An economic policy for the fifth long wave
    by Angelo Reati & Jan Toporowski

  • 2009 Rule, instability and crisis
    by Alessandro Roncaglia

  • 2009 Le regole del gioco, l'instabilità e le crisi
    by Alessandro Roncaglia

  • 2009 The Effect of Extreme Markets on the Benefits of International Portfolio Diversification
    by Daniella Acker & Nigel W. Duck

  • 2009 Augmented quantity theory of money and Bangladesh Taka – U.S. dollar exchange rate dynamics
    by Prashanta K. Banerjee & Matiur Rahman

  • 2009 The Risk Factors Associated With Investing In An Emerging Equity Market During The Eu Membership Process
    by Eric Girard & Halil Kiymaz

  • 2009 Asymmetric Exchange Rate Exposure and Industry Characteristics : Evidence from Japanese Data
    by Hsu, Chih-Chiang & Yau, Ruey & Wu, Jyun-Yi

  • 2009 Corporate Risk Disclosure and Corporate Governance
    by Kaouthar Lajili

  • 2009 The Nexus between Analyst Forecast Dispersion and Expected Returns Surrounding Stock Market Crashes
    by Terence Tai-Leung Chong & Xiaolei Wang

  • 2009 China’s Stock Market Integration with a Leading Power and a Close Neighbor
    by Zheng Yi & Chen Heng & Wing-Keung Wong

  • 2009 Models for Risk Aggregation and Sensitivity Analysis: An Application to Bank Economic Capital
    by Hulusi Inanoglu & Michael Jacobs

  • 2009 Mergers and Acquisitions (M&AS) by R&D Intensive Firms
    by Shantanu Dutta & Vinod Kumar

  • 2009 Continuous time models of interest rate: testing peso-dollar exchange rate
    by Elizabeth Ortega & Nuñez José-Antonio

  • 2009 A Bivariate Linear and Nonlinear Causality between Stock Prices and Exchange Rates
    by Manish Kumar

  • 2009 Exchange rate misalignment and capital inflows: An endogenous threshold analysis for Malaysia
    by Noor Zahirah Mohd Sidek & Mohammed Yusoff & Qaiser Munir

  • 2009 What Causes the Volatility of the Balancing Item?
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  • 2009 The Baltic States: No End to the Crisis in Sight
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  • 2009 Baltikum: kein Ende der Krise in Sicht
    by Patricia Alvarez-Plata & Hella Engerer

  • 2009 Bonanzas de flujos de capital: una mirada que abarca el pasado y el presente
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  • 2009 Equity market and foreign capital
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  • 2009 Measures for a Prudential Efficiency Surveillance of Credit Institutions
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  • 2009 Les indicateurs de performance en matière de politiques sociales. Quel sens pour l'action publique ?
    by Mireille Elbaum

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  • 2009(XIX) China at the Crossroad:Creating the Asian Single Currency or Internationalizing RMB
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  • 2008 Exchange Rate Puzzles: A Review of the Recent Theoretical and Empirical Developments
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  • 2008 Le rejet par Ricardo du mécanisme des points d’or
    by de Boyer des Roches, Jérôme

  • 2008 Deposit Insurance around the World: Issues of Design and Implementation
    by

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    by

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    by

  • 2008 Consumption risk sharing over the business cycle: the role of small firms' access to credit markets
    by Mathias Hoffmann & Iryna Shcherbakova

  • 2008 Monetary Ease: A Factor behind Financial Crises? Some Evidence from OECD Countries
    by Ahrend, Rudiger

  • 2008 The Impact of Aid on Growth an aid disaggregation approach
    by Ouattara, Bazoumana & Strobl, Eric

  • 2008 International price discovery in the presence of microstructure noise
    by Grammig, Joachim G. & Peter, Franziska J.

  • 2008 International price discovery in the presence of market microstructure effects
    by Grammig, Joachim G. & Peter, Franziska J.

  • 2008 International portfolios, capital accumulation and foreign assets dynamics
    by Coeurdacier, Nicolas & Kollmann, Robert Miguel W. K. & Martin, Philippe J.

  • 2008 Extreme Returns without News: A Microstructural Explanation
    by Carol Osler & Tanseli Savaser

  • 2008 Testing the Bounds: Empirical Behavior of Target Zone Fundamentals
    by J. Isaac Miller

  • 2008 Gender, Distribution, and Balance of Payments (revised 10/08)
    by Stephanie Seguino

  • 2008 Nontraded Goods, Market Segmentation, and Exchange Rates
    by Michael Dotsey & Margarida Duarte

  • 2008 Of Low Yielders and Carry Trading – the JPY and CHF as Market Risk Sentiment Gauges
    by Vistesen, Claus

  • 2008 Sobre la Elección de Regímenes de Tipo de Cambio en Economías Emergentes
    by Adamcik, Santiago

  • 2008 Asymmetric-shocks-on-its-head and lender-of-last-resort theories of optimal currency areas
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  • 2008 One Proposition about Dynamic Portfolio Selection in an Open Economy and International Diversification
    by Aoki, Takaaki

  • 2008 ¿Es tan diferente la crisis financiera de sub-prime en EEUU? Una comparacion historica internacional
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  • 2008 The first global financial crisis of the 21st century: Introduction
    by Reinhart, Carmen

  • 2008 Money, Crises, and Transition Essays in Honor of Guillermo A. Calvo: An Introduction
    by Reinhart, Carmen & Vegh, Carlos & Velasco, Andres

  • 2008 Can Credit Default Swaps Predict Financial Crises: An Empirical Test on Emerging Markets
    by Neziri, Hekuran

  • 2008 Is the US too big to fail?
    by Reinhart, Carmen & Reinhart, Vincent

  • 2008 Tax Haven and Development Partner: Incoherence in Dutch Government Policies
    by Weyzig, Francis & Van Dijk, Michiel

  • 2008 Russian economic report No.16 (June 2008), The World Bank
    by Bogetic, Zeljko & Ulatov, Sergey & Emelyanova, Olga & Smits, Karlis

  • 2008 Russian economic report No. 17 (November 2008), The World Bank
    by Zeljko, Bogetic & Karlis, Smits & Sergey, Ulatov & Olga, Emelyanova & Marco, Hernandez

  • 2008 Demand For International Reserves in ASEAN-5 Economies
    by Eliza, Nor & M., Azali & Law, Siong-Hook & Lee, Chin

  • 2008 Romanian Pattern in Absorption and Management of European Structural Funds : A Critical Analysis
    by Susanu, Monica

  • 2008 The Concept Of Neutral Inflation And Its Application To The Eu Economic Growth Analyses
    by Jan L. Bednarczyk

  • 2008 On the road to the euro zone. Currency rate stabilization: experiences of the selected EU countries
    by Slawomir Bukowski

  • 2008 Monetary Policy, Market Excesses and Financial Turmoil
    by Rudiger Ahrend & Boris Cournède & Robert W.R. Price

  • 2008 Banking Crises: An Equal Opportunity Menace
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2008 Sovereign Wealth Funds: Stylized Facts about their Determinants and Governance
    by Joshua Aizenman & Reuven Glick

  • 2008 Inflation Targeting and Real Exchange Rates in Emerging Markets
    by Joshua Aizenman & Michael Hutchison & Ilan Noy

  • 2008 Financial Crash, Commodity Prices and Global Imbalances
    by Ricardo J. Caballero & Emmanuel Farhi & Pierre-Olivier Gourinchas

  • 2008 Why the European Securities Market is Not Fully Integrated
    by Alberto Giovannini

  • 2008 Carry Trades and Currency Crashes
    by Markus K. Brunnermeier & Stefan Nagel & Lasse H. Pedersen

  • 2008 A Faith-based Initiative: Does a Flexible Exchange Rate Regime Really Facilitate Current Account Adjustment?
    by Menzie D. Chinn & Shang-Jin Wei

  • 2008 Country Portfolios in Open Economy Macro Models
    by Michael B. Devereux & Alan Sutherland

  • 2008 Current Account Sustainability and Relative Reliability
    by Stephanie E. Curcuru & Charles P. Thomas & Francis E. Warnock

  • 2008 The Macroeconomic Implications of a Key Currency
    by Matthew Canzoneri & Robert E. Cumby & Behzad Diba & David Lopez-Salido

  • 2008 Global Portfolio Rebalancing Under the Microscope
    by Harald Hau & Hélène Rey

  • 2008 Banking Globalization, Monetary Transmission, and the Lending Channel
    by Nicola Cetorelli & Linda S. Goldberg

  • 2008 An Anatomy Of Credit Booms: Evidence From Macro Aggregates And Micro Data
    by Enrique G. Mendoza & Marco E. Terrones

  • 2008 When Is Quality of Financial System a Source of Comparative Advantage?
    by Jiandong Ju & Shang-Jin Wei

  • 2008 Resolving the Global Imbalance: The Dollar and the U.S. Saving Rate
    by Martin S. Feldstein

  • 2008 The Forgotten History of Domestic Debt
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2008 Institutions, Technology, and Trade
    by Wolfgang Keller & Carol H. Shiue

  • 2008 Why do Foreigners Invest in the United States?
    by Kristin J. Forbes

  • 2008 This Time is Different: A Panoramic View of Eight Centuries of Financial Crises
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2008 Capital Account Liberalization, Real Wages, and Productivity
    by Peter Blair Henry & Diego Sasson

  • 2008 Capital Inflows and Reserve Accumulation: The Recent Evidence
    by Carmen M. Reinhart & Vincent R. Reinhart

  • 2008 Macroeconomic Interdependence and the International Role of the Dollar
    by Linda S. Goldberg & Cédric Tille

  • 2008 International Trade in Durable Goods: Understanding Volatility, Cyclicality, and Elasticities
    by Charles Engel & Jian Wang

  • 2008 Cross-Border Returns Differentials
    by Stephanie E. Curcuru & Tomas Dvorak & Francis E. Warnock

  • 2008 High Idiosyncratic Volatility and Low Returns: International and Further U.S. Evidence
    by Andrew Ang & Robert J. Hodrick & Yuhang Xing & Xiaoyan Zhang

  • 2008 Liquidity, Institutional Quality and the Composition of International Equity Outflows
    by Itay Goldstein & Assaf Razin & Hui Tong

  • 2008 How Does Corporate Governance Risk at Home Affect Investment Choices Abroad?
    by Woochan Kim & Taeyoon Sung & Shang-Jin Wei

  • 2008 Imperfect exchange rate pass-through : the role of distribution services and variable demand elasticity
    by Philippe Jeanfils

  • 2008 Optimal Pass-Through of Oil Prices in an Economy with Nominal Rigidities
    by Hafedh Bouakez & Nooman Rebei & Désiré Vencatachellum

  • 2008 A Pragmatic Approach to Capital Account Liberalization
    by Prasad, Eswar & Rajan, Raghuram G.

  • 2008 A Pragmatic Approach to Capital Account Liberalization
    by Prasad, Eswar & Rajan, Raghuram G.

  • 2008 Inflación y Tipo de Cambio: Chile 1810-2005
    by Gert Wagner & José Díaz

  • 2008 The Optimal Currency Basket with Input Currency and Output Currency
    by Kang Shi & Juanyi Xu

  • 2008 Input Substitution, Export Pricing, and Exchange Rate Policy
    by Kang Shi & Juanyi Xu

  • 2008 Exchange Rate Pass-Through to Domestic Inflation in Hong Kong
    by Li-gang Liu & Andrew Tsang

  • 2008 Inflation Targeting and Real Exchange Rates in Emerging Markets
    by Joshua Aizenman & Michael Hutchison & Ilan Noy

  • 2008 Do Institutions Matter for Foreign Direct Investment?
    by Fathi Ali & Norbert Fiess & Ronald MacDonald

  • 2008 Order Flows and The Exchange Rate Disconnect Puzzle
    by Martin Evans

  • 2008 Asia-Europe: the third link
    by Jean Pisani-Ferry & J�r�mie Cohen-Setton

  • 2008 Asset prices and exchange rates: a time dependent approach
    by Giulia PICCILLO

  • 2008 Update - Debt Cancellation for Haiti: No Reason For Further Delays
    by Mark Weisbrot & Luis Sandoval

  • 2008 The history, nature and economic significance of an exceptional fiscal state for the growth of the British economy, 1453-1815
    by Patrick O'Brien

  • 2008 Earnings quality, accruals and subjective goodwill accounting
    by Yuko Katsuo

  • 2008 Corporate tax competition and public capital stock
    by Pedro Gomes & Francois Pouget

  • 2008 Sources of systematic risk
    by Igor Makarov & D. Papanikolaou

  • 2008 Vulnerability of currency pegs: evidence from Brazil
    by Bernardo Guimaraes

  • 2008 Optimal external debt and default
    by Bernardo Guimaraes

  • 2008 FDI location across British regions and inward investment policy
    by Jonathan Jones & Colin Wren

  • 2008 Testing the NEG model: further evidence from panel data
    by Bernard Fingleton

  • 2008 Foreign direct investment and prospects for the northern region
    by Jonathan Jones & Colin Wren

  • 2008 Fiscal policy and spatial inequality in Latin America and beyond
    by Jean-Paul Faguet & Mahvish Shami

  • 2008 Exchange rate regime choice with multiple key currencies
    by Thomas Plümper & Eric Neumayer

  • 2008 Foreign bank entry: the stability implications of Greenfield entry vs. acquisition
    by Nikolaj Schmidt

  • 2008 Some determinants of the price of default risk
    by Ronald W. Anderson

  • 2008 Interest rate forecasts: a pathology
    by Charles Goodhart & Wen Bin Lim

  • 2008 Forms and paradoxes of principles-based regulation
    by Julia Black

  • 2008 Structuring multi-criteria portfolio analysis models
    by Gilberto Montibeller & Alberto Franco & Ewan Lord & Aline Iglesias

  • 2008 This Time is Different: A Panoramic View of Eight Centuries of Financial Crises
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2008 Expansion Abroad and Jobs at Home: Evidence from Japanese Multinational Enterprises
    by Nobuaki Yamashita & Kyoji Fukao

  • 2008 Will New Trends in Foreign Direct Investment Change the Structure of Intra-industry Trade between China and Japan?
    by Tao Tao

  • 2008 A Faith-based Initiative: Does a Flexible Exchange Rate Regime Really Facilitate Current Account Adjustment?
    by Chinn, Menzie David & Wei, Shang-Jin

  • 2008 Financial Crash, Commodity Prices and Global Imbalances
    by Caballero, Ricardo & Farhi, Emmanuel & Gourinchas, Pierre-Olivier

  • 2008 Inflation Targeting as the New Golden Standard
    by Spivak, Avia & Sussman, Nathan

  • 2008 Capital Flow Bonanzas: An Encompassing View of the Past and Present
    by Reinhart, Carmen M. & Reinhart, Vincent

  • 2008 Does Idiosyncratic Business Risk Matter?
    by Michelacci, Claudio & Schivardi, Fabiano

  • 2008 International Portfolios, Capital Accumulation and Foreign Assets Dynamics
    by Coeurdacier, Nicolas & Kollmann, Robert & Martin, Philippe

  • 2008 Tariffs, Trains, and Trade: The Role of Institutions versus Technology in the Expansion of Markets
    by Keller, Wolfgang & Shiue, Carol Hua

  • 2008 Sensibilidad del IPC a la Tasa de Cambio en Colombia: Una Medición de Largo Plazo
    by Juan Carlos Parra Alvarez

  • 2008 Vulnerability of Currency Pegs: Evidence from Brazil
    by Bernardo Guimaraes

  • 2008 Optimal External Debt and Default
    by Bernardo Guimaraes

  • 2008 Squeaky Hinges: Widening the Door to Canadian Cross-border Investment
    by Matt Krzepkowski & Jack Mintz

  • 2008 Squeaky Hinges: Widening the Door to Canadian Cross-border Investment
    by Matt Krzepkowski & Jack Mintz

  • 2008 The Credit Risk Premium in a Disaster-Prone World
    by Zhu, Yanhui & Copeland, Laurence

  • 2008 Ungelöste Probleme der Bankenaufsicht
    by Paul J.J. Welfens

  • 2008 The Classification and Perfomance of Alternative Exchange-Rate Systems
    by George Tavlas & Harris Dellas & Alan Stockman

  • 2008 EU framework for safeguarding financial stability: Towards an analytical benchmark for assessing its effectiveness
    by María J. Nieto & Garry J. Schinasi

  • 2008 Welfare Effects of Commodity Price and Exchange Rate Volatilities in a Multi-Sector Small Open Economy Model
    by Ali Dib

  • 2008 Import Price Dynamics in Major Advanced Economies and Heterogeneity in Exchange Rate Pass-Through
    by Stephane Dees & Matthias Burgert & Nicolas Parent

  • 2008 Do Central Banks Respond to Exchange Rate Movements? Some New Evidence from Structural Estimation
    by Wei Dong

  • 2008 Reforming the IMF: Lessons from Modern Central Banking
    by Philipp Maier & Eirc Santor

  • 2008 From BNL-QR to PSL-QR: the history (1947-2007) and prospects of a journal
    by Alessandro Roncaglia

  • 2008 Ownership Concentration, Corporate Governance and Firm Performance: Evidence from Pakistan
    by Attiya Y. Javid & Robina Iqbal

  • 2008 Crises financeiras nos anos 1990 e poupança externa [Financial crises of the 1990s and current account deficits]
    by Luiz Carlos Bresser-Pereira & Lauro Gonzalez & Cláudio Lucinda

  • 2008 Disaggregated spending and the productivity bias hypothesis
    by Gour Gobinda Goswami & A.K.M. Atiqur Rahman

  • 2008 Offshore Bidding and Currency Futures
    by Donald Lien & Fathali Firoozi

  • 2008 The Intra-Industry Effects of Life Insurance Company Demutualizaton
    by Joseph W. Meador & Emery A. Trahan

  • 2008 Effective Basemetal Hedging: The Optimal Hedge Ratio and Hedging Horizon
    by Michaël Dewally & Luke Marriott

  • 2008 Financial Distress Comparison Across Three Global Regions
    by Harlan D. Platt & Marjorie B. Platt

  • 2008 Active Versus Passive Investing - An Analysis of UK Equity Markets, 1991-2005
    by Edel Barnes & M. Scott

  • 2008 Do REITs Outperform Stocks and Fixed-Income Assets? New Evidence from Mean-Variance and Stochastic Dominance Approaches
    by Thomas C. Chiang & Hooi Hooi Lean & Wing-Keung Wong

  • 2008 Research on the choice of RMB exchange rate regime ¨DAnalysis based on the welfare
    by YAO Bin

  • 2008 Oil Prices, aggregate economic activity and global liquidity conditions: evidence from Turkey
    by C. Emre Alper & Orhan Torul

  • 2008 Determinants of the Public's Preference for a Referendum on Monetary Union
    by Steven Buigut

  • 2008 Does capital account liberalisation promote economic growth? Evidence from system estimation
    by Fabrizio Carmignani

  • 2008 Purchasing power parity: A nonlinear multivariate perspective
    by Frédérique Bec & Anders Rahbek & Mélika Ben Salem

  • 2008 Nonlinear unit root tests of PPP using long-horizon data
    by Frederick Wallace

  • 2008 The Monetary Model of Exchange Rate: Evidence from the Philippines Using ARDL Approach
    by Sovannroeun SAMRETH & Dara LONG

  • 2008 Purchasing power parity in Central and Eastern European countries
    by Ahmad Zubaidi Baharumshah & Darja Borsic

  • 2008 Is Mercosur an optimum currency area? An assessment using generalized purchasing power parity
    by Sergio Da Silva & Leandro Stocco & J. Anchieta Neves

  • 2008 Are the fiscal and monetary policies of the G-7 countries effective in decreasing the U.S. trade deficit?
    by Hideki Nishigaki

  • 2008 Analysing the forward premium anomaly using a Logistic Smooth Transition Regression model
    by Sofiane Amri

  • 2008 Non-linear PPP in South Asia and China
    by Shabbir Ahmad & Abdul Rashid

  • 2008 Are the Asian Equity Markets more Interdependent after the Financial Crisis?
    by Elif Akben & Gökhan Özertan & Aslýhan D. Spaulding

  • 2008 Empirical Test of Affine Stochastic Discount Factor Model of Currency Pricing
    by Alex Lebedinsky

  • 2008 The terms of trade, repudiation and default on sovereign debt
    by Michael Bleaney

  • 2008 Testing for PPP in the mean-group panel rgression framework: further evidence
    by Abdullah Noman

  • 2008 Testing PPP for Central American real exchange rates. Evidence from new panel data stationary tests with structural breaks
    by Jean-François Hoarau

  • 2008 One Proposition about Dynamic Portfolio Selection in an Open Economy and International Diversification
    by Takaaki Aoki

  • 2008 An empirical analysis of structural changes in emerging market volatility
    by Duc NGUYEN

  • 2008 Econometrics of the Forward Premium Puzzle
    by Avik Chakraborty & Stephen E. Haynes

  • 2008 Country-specific shocks and optimal monetary policy
    by Hyeongwoo Kim

  • 2008 Monetary policy transmission asymmetries in a heterogeneous monetary union: a simple contractual solution
    by Cristina Badarau Semenescu & Patrick Villieu & Nelly Gregoriadis

  • 2008 Multivariate GARCH modeling analysis of unexpected U.S. D, Yen and Euro-dollar to Reminibi volatility spillover to stock markets
    by Ching-Chun Wei

  • 2008 The international price of idiosyncratic risk
    by AROURI Mohamed

  • 2008 More on corporate diversification, firm size and value creation
    by Duc Khuong Nguyen & Walid Mensi & Adel Boubaker

  • 2008 Could Changes in Black Market Exchange Rates be Expansionary in LDCs?
    by Mohsen Bahmani-Oskooee & Ilir Miteza & Gour Goswami

  • 2008 Exchange Rate Volatility and Optimum Currency Area: Evidence from Africa
    by Chrysost Bangaké

  • 2008 Nonlinear Mean Reversion and Arbitrage in the Gold Futures Market
    by Jeng-Bau Lin & Jin-Ming Liang & Chin-Chia Liang

  • 2008 Volatile capital flows: Interactions between de jure and de facto financial liberalization
    by Rebecca Neumann & Ron Penl

  • 2008 The expectations hypothesis of the term structure in the Euro area:
    by Javier Ordóñez & Cecilio Tamarit & Mariam Camarero

  • 2008 Non-Linear Trend Stationarity And Co-Trending In Latin American Real Exchange Rates
    by HOLMES, Mark J

  • 2008 Ricardo's denial of the gold point mechanism
    by Jérôme DE BOYER DES ROCHES

  • 2008 Political pressures and exchange rate stability in emerging market economies
    by Ester Faia & Massimo Giuliodori & Michele Ruta

  • 2008 Anatomy of the Credit Crisis: The role of Faulty Risk Management Systems
    by Frank Milne

  • 2008 Anatomy of the Credit Crisis: The role of Faulty Risk Management Systems
    by Frank Milne

  • 2008 The value relevance of the foreign currency translation differences : a study of multinational oil and gas companies in Australia
    by Svetalna Vlady

  • 2007 International Relocation, Difference in Production Costs, and Welfare: Analysis Based on the Two-Country Model
    by Kohjiro Dohwa

  • 2007 Purchasing Power Parity and Structural Breaks: Rolling, Recursive and Sequential Regressions
    by Andrew L. H. Parkes

  • 2007 Using Financial Markets to Analyze History: The Case of the Second World War
    by Bruno S. Frey & Daniel Waldenström

  • 2007 The Chinese Bond Market: Historical Lessons, Present Challenges and Future Perspectives
    by Haizhou Huang & Ning Zhu

  • 2007 Market linkages, variance spillovers and correlation stability: empirical evidences of financial contagion
    by Monica Billio & Massimiliano Caporin

  • 2007 A counter-cyclical framework for a development-friendly international financial architecture
    by José Antonio Ocampo & Stephany Griffith-Jones

  • 2007 Taking stock: global imbalances. Where do we stand and where are we aiming to?
    by Andrea Fracasso

  • 2007 Nontraded Goods, Market Segmentation, and Exchange Rates
    by Michael Dotsey & Margarida Duarte

  • 2007 Revisiting Mrs. Machlup's Wardrobe: The Accumulation of International Reserves, 1992-2001
    by Graham Bird & Alex Mandilaras

  • 2007 Determinants of Portfolio Flows into CIS Countries
    by Alina Kudina & Oleksandr Lozovyi

  • 2007 Asian Financial Crisis and the J-Curve: Evidence from South Korea
    by Artatrana Ratha & Eungmin Kang

  • 2007 Policy Words and Policy Deeds: The ECB and the Euro
    by Pierre L. Siklos & Martin T. Bohl

  • 2007 Trade Costs and Some Puzzles in International Macroeconomics
    by Luke Willard

  • 2007 Investment and the exchange rate: Short run and long run aggregate and sector-level estimates
    by Landon, Stuart & Smith, Constance

  • 2007 Correlation dynamics between Asia-Pacific, EU and US stock returns
    by Hyde, Stuart J & Bredin, Don P & Nguyen, Nghia

  • 2007 Companies’ market penetration and activity patterns in european market
    by Neamtu, Liviu & Neamtu, Adina Claudia

  • 2007 The 2000-2001 Financial Crisis in Turkey: A Crisis for Whom?
    by Dufour, Mathieu & Orhangazi, Ozgur

  • 2007 Oil and Challenges of Trade Policy Making In Sudan in a Globalizing Arena
    by Shafaeddin, Mehdi

  • 2007 Corporate Cash Flow and Stock Price Exposures to Foreign Exchange Rate Risk
    by Bartram, Söhnke M.

  • 2007 What Lies Beneath: Foreign Exchange Rate Exposure, Hedging and Cash Flows
    by Bartram, Söhnke M.

  • 2007 What determines banks’ customer choice? Evidence from transition countries
    by De Haas, Ralph & Ferreira, Daniel & Taci, Anita

  • 2007 Collective Action Clauses in International Sovereign Bond Contracts - Whence the Opposition?
    by Häseler, Sönke

  • 2007 In Search of a Euro Effect: Big Lessons from a Big Mac Meal?
    by Parsley, David & Wei, Shang-jin

  • 2007 The Single Global Currency - Common Cents for the World (2007 Edition)
    by Bonpasse, Morrison

  • 2007 The country risk for Romania
    by Fratostiteanu, Cosmin & Tanasie, Anca

  • 2007 Financial Integration in Emerging Market Economies
    by Pasricha, Gurnain

  • 2007 Interactions between interest rates and the transmission of monetary and economic news: the cases of US and UK
    by Tuysuz, Sukriye & Kuhry, Yves

  • 2007 Régimes de change: Le chemin vers la flexibilité
    by Sfia, Mohamed Daly

  • 2007 Foreign Investment in Chinese Joint Stock Banks: 1996-2006
    by Abotsi, Kodjo

  • 2007 Agency Conflicts and Corporate Payout Policies: A Global Study
    by Bartram, Söhnke M. & Brown, Philip & How, Janice C.Y. & Verhoeven, Peter

  • 2007 The Causal Relationship between Foreign Direct Investment and Current Account: An Empirical Investigation for Pakistan Economy
    by Siddiqui, Danish Ahmed & Ahmad, Mohsin Hasnain

  • 2007 Foreign Currency Exposure and Hedging: Evidence from Foreign Acquisitions
    by Bartram, Söhnke M. & Burns, Natasha & Helwege, Jean

  • 2007 Internal and external factors on firms? transfer pricing decisions: Insights from organization studies
    by Dan Li & Manuel Portugal Ferreira

  • 2007 In the Same Boat: Exchange Rate Interdependence in the Asia-Pacific Region
    by Tomer Shachmurove & Yochanan Shachmurove

  • 2007 Demand Shocks and Trade Balance Dynamics
    by José García-Solanes & Jesús Rodríguez López & José Luis Torres Chacón

  • 2007 Banking on Development: Private Banks ans Aid Donors in Developing Countries
    by Javier Rodríguez & Javier Santiso

  • 2007 Dynamic Global Games of Regime Change: Learning, Multiplicity and Timing of Attacks
    by George-Marios Angeletos & Alessandro Pavan

  • 2007 Defense Policies Against Currency Attacks: on the Possibility of Predictions in a Global Game with Multiple Equilibria
    by George-Marios Angeletos & Alessandro Pavan & Christian Hellwig

  • 2007 Foreign Capital and Economic Growth
    by Eswar S. Prasad & Raghuram G. Rajan & Arvind Subramanian

  • 2007 Goods Trade and International Equity Portfolios
    by Fabrice Collard & Harris Dellas & Behzad Diba & Alan Stockman

  • 2007 The Impacts of Renminbi Appreciation on Trades Flows and Reserve Accumulation in a Monetary Trade Model
    by Li Wang & John Whalley

  • 2007 The Impact of Foreign Interest Rates on the Economy: The Role of the Exchange Rate Regime
    by Julian di Giovanni & Jay C. Shambaugh

  • 2007 News and Business Cycles in Open Economies
    by Nir Jaimovich & Sergio Rebelo

  • 2007 Currency Choice and Exchange Rate Pass-through
    by Gita Gopinath & Oleg Itskhoki & Roberto Rigobon

  • 2007 Current Account Adjustment: Some New Theory and Evidence
    by Jiandong Ju & Shang-Jin Wei

  • 2007 Investment Cycles and Sovereign Debt Overhang
    by Mark Aguiar & Manuel Amador & Gita Gopinath

  • 2007 Returns on FDI: Does the U.S. Really Do Better?
    by Barry Bosworth & Susan M. Collins & Gabriel Chodorow-Reich

  • 2007 Flattened Inflation-Output Tradeoff and Enhanced Anti-Inflation Policy: Outcome of Globalization?
    by Assaf Razin & Alon Binyamini

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  • 2006 Nontraded Goods, Market Segmentation, and Exchange Rates
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  • 2006 Consistent information multivariate density optimizing methodology
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  • 2006 Imperfect common knowledge in first generation models of currency crises
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  • 2006 Liquidity and Expected Returns: Lessons from Emerging Markets
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  • 2006 Distribution Margins, Imported Inputs and the Insensitivity of the CPI to Exchange Rates
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  • 2006 Asymmetric Information in the Stock Market: Economic News and Co-movement
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  • 2006 An Equilibrium Model of 'Global Imbalances' and Low Interest Rates
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  • 2006 International Portfolio Equilibrium and the Current Account
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  • 2006 Nivel óptimo de Reservas Internacionales y crisis cambiaria en Colombia
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  • 2006 An equilibrum model of "global imbalances" and low interest rates
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  • 2006 Architects of stability? International cooperation among financial supervisors
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  • 2006 Debt sustainability and procyclical fical policies in Latin America
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  • 2006 The International Monetary Fund's Balance-Sheet and Credit Risk
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  • 2006 Regime-Dependent output convergence in Latin America
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  • 2006 Assessing the Currency Crises in Turkey
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  • 2006 Revised and New Competitiveness Indicators for Austria Reflect Improvement Trend since EMU Accession
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  • 2006 Capital Flows to Transition Economies: Master or Servant? (in English)
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  • 2006 Real variables and the real exchange rate: The importance of traded goods in the transmission mechanism
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  • 2006 The Role of Global Risk Aversion in Explaining Sovereign Spreads
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  • 2006 Debt Sustainability and Procyclical Fiscal Policies in Latin America
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  • 2006 Les regimes monetaires en Australie, 1977-2000 : une mise en perspective a l’aide d’un indicateur de distorsion du taux de change reel
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  • 2006 Internationalising a currency: the case of the Australian dollar
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  • 2005 Exchange Rate Regimes: Latin American Economic Analysis before the Depression
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  • 2005 Exchange Rate Regimes: Latin American Economic Analysis before the Depression
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  • 2005 International Asset Portfolios: A Dynamic General Equilibrium Perspective
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  • 2005 İkiz Açıklar Hipotezinin Türkiye Açısından Araştırılması
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  • 2005 Commodity Price Insurance:A Keynesian Idea Revisited
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  • 2005 Overseas Holdings Of U.S.Currency And The Underground Economy
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  • 2005 Measuring Risk: Political Risk Insurance Premiums and Domestic Political Institutions
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  • 2005 Are Real Exchange Rates Nonlinear or Nonstationary? Evidence from a new Threshold Unit Root Test
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  • 2005 Empirical analysis on the real effects of inflation and exchange rate uncertainty: The case of Colombia
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  • 2005 Monetary Policy under Sudden Stops
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  • 2005 Empirical Contributions to Optionpricing analyzing Black and Scholes and other Models
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  • 2005 External Debt and Exchange Rate Overshooting: The Case of Selected East Asian Countries
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  • 2005 Stochastic Pricing
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  • 2005 Argentina: The Root Cause of the Disaster
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  • 2005 Bankruptcy Lite
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  • 2005 A Critique of Sovereign Bankruptcy Initiatives
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  • 2005 The Constructive Role of Private Creditors
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  • 2005 From Rogue Creditors to Rogue Debtors: Implications of Argentina's Default
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  • 2005 The Calculus of Dollarization, Central Banking (U.K.), Vol.XI, No. 2, (November 2000), 45-58
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  • 2005 Seignirage Sharing and Dollarization, Central Banking (U.K.), Vol. X, No.4, 77-88
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  • 2005 Full Dollarization: Fad or Future? Challenge (March 2000)
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  • 2005 Official Dollarization: Current Experiences and Issues, Cato Journal, Vol. 20, No. 2 (Fall 2000), 179-213
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  • 2005 Fear of Floating: An optimal discretionary monetary policy analysis
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  • 2005 What Has 100 Billion Dollars Worth of Debt Relief Done for Low- Income Countries?
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  • 2005 Real Equilibrium Exchange Rate Estimates: To What Extent Applicable for Setting the Central Parity?
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  • 2005 'Rules of Thumb' for Sovereign Debt Crises
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  • 2005 Say You Fix, Enjoy And Relax The Deleterious Effect Of Peg Announcements On Fiscal Discipline
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  • 2005 An Information Approach to International Currencies
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    by Linda S. Goldberg & Michael W. Klein

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  • 2005 Privatization in Africa: What has happened? What is to be done?
    by John Nellis

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  • 2005 Can Information Heterogeneity Explain the Exchange Rate Determination?
    by Philippe Bacchetta & Eric van Wincoop

  • 2005 What Has Driven Chinese Monetary Policy Since 1990? Investigating the People's Bank's Policy Rule
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  • 2005 The IMF and the Liberalization of Capital Flows
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  • 2005 Ottoman state finance: a study of fiscal deficits and internal debt in 1859-63
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  • 2005 A search-based theory of the on-the-run phenomenon
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  • 2005 On bank disclosure and subordinated debt
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  • 2005 On modelling endogenous default
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  • 2005 From World Banker to World Venture Capitalist: US External Adjustment and The Exorbitant Privilege
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  • 2005 Some Further Evidence on Exchange-Rate Volatility and Exports
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    by Jeffery D. Amato & Andrew Filardo & Gabriele Galati & Goetz von Peter & Feng Zhu

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  • 2005 The price strategies of export-oriented Italian firms
    by Matteo Bugamelli & Roberto Tedeschi

  • 2005 Exchange rate pass through to import prices in the euro area
    by José M. Campa & Linda S. Goldberg & José M. González-Mínguez

  • 2005 Does China have an impact on foreign direct investment to Latin America?
    by Alicia García-Herrero & Daniel Santabárbara

  • 2005 The role of global risk aversion in explaining Latin American sovereign spreads
    by Alicia García-Herrero & Álvaro Ortiz

  • 2005 Has Exchange Rate Pass-Through Really Declined in Canada?
    by Hafedh Bouakez & Nooman Rebei

  • 2005 Why Are Asset Markets Modeled Successfully, But Not Their Dealers?
    by Rafael Romeu

  • 2005 The Impact of Commodity Price Risk on Firm Value - An Empirical Analysis of Corporate Commodity Price Exposures
    by Sohnke M. Bartram

  • 2005 The Measurement of Co-Circulation of Currencies and Dollarization in the Republic of Armenia
    by Hakob Zoryan

  • 2005 Financial Openness and External Sector Management: The Indian Experiences
    by U Arabi

  • 2005 Capital Account Convertibility: An Agenda For Future
    by Renu Verma

  • 2005 Analyses Of The Relationship Between Exchange Rates And Employment In Korea
    by Wanjoong Kim

  • 2005 The Role Of Firm Size In Controlling Output Decline During The Asian Financial Crisis
    by Hung-ju Chen & Hsiao-tang Hsu

  • 2005 Dollar Shortages and Crises
    by Raghuram G. Rajan & Ioannis Tokatlidis

  • 2005 Exchange Rate Volatility and the Credit Channel in Emerging Markets: A Vertical Perspective
    by Ricardo Caballero & Arvind Krishnamurthy

  • 2005 Travel hysteresis in the US current account after the mid-1980s
    by Sergio Da Silva & Guilherme Moura & Roberto Meurer

  • 2005 Travel hysteresis in the Brazilian current account
    by Sergio Da Silva & Guilherme Moura & Roberto Meurer

  • 2005 A primer on the empirics of original sin
    by Stéphane Colliac & Nader Akmar

  • 2005 Is There a Brazilian J-Curve?
    by Sergio Da Silva & Guilherme Moura

  • 2005 Exchange Rate – Relative Price Nonlinear Cointegration Relationship in Malaysia
    by Venus Khim-Sen Liew & Chee-Keong Choong & Evan Lau & Kian-Ping Lim

  • 2005 Capital Flow, Nontradable Consumption and Home Bias
    by Mao-wei Hung & Hsiao-yuan Yu

  • 2005 Crise Financeira Russa
    by Bruno Pinto & Ursula de Lima & Thais Vilela

  • 2005 Foreign direct investment and profit outflows: a causality analysis for the Brazilian economy
    by Fernando Seabra & Lisandra Flach

  • 2004 Investor Protection and Exchange Rates
    by Neng Wang & Rui Albuquerque

  • 2004 Exchange-rate fluctuations and pass-through
    by Giancarlo Corsetti & Luca Dedola

  • 2004 Dollarization and Financial Integration
    by Jonathan Heathcote & Cristina Arellano

  • 2004 On the Role and E ects of IMF Seniority
    by Diego Saravia

  • 2004 Too Sensational: On the Choice of Exchange Rate Regimes
    by W. Max Corden

  • 2004 Por qué las economías emergentes deberían renunciar a sus monedas nacionales. La dolarización como un caso de la "sustitución de instituciones"
    by Mendoza, Enrique G.

  • 2004 Exchange Rate Intervention, Market Efficiency and Asset Market Returns: The Greek Experience
    by Dionysios Chionis & Panagiotis Liargovas

  • 2004 Between Two Poles: Matching Trade and Exchange Rate Regimes in Mercosur
    by Busse, Matthias & Hefeker, Carsten & Koopmann, Georg

  • 2004 Real-time price discovery in stock, bond and foreign exchange markets
    by Andersen, Torben G. & Bollerslev, Tim & Diebold, Francis X. & Vega, Clara

  • 2004 Risk and Wealth in a Model of Self-Fulfilling Currency Attacks
    by Stephen Morris & Bernardo Guimaraes

  • 2004 Modeling and Measuring Russian Corporate Governance: The Case of Russian Preferred and Common Shares (English version)
    by William N. Goetzmann & Matthew I. Spiegel & Andrey Ukhov

  • 2004 Own interest and foreign need: Are bilateral investment treaty programmes similar to aid allocation?
    by Eric Neumayer

  • 2004 Non-linear real exchange rate effects in the UK labour market
    by Gabriella Legrenzi & Costas Milas

  • 2004 Do bilateral investment treaties increase foreign direct investment to developing countries?
    by Eric Neumayer & Laura Spess

  • 2004 Living with flexible exchange rates:
    by corrinne ho & robert n mccauley

  • 2004 On Singaporean Dollar and Purchasing Power Parity
    by Venus Khim-Sen Liew & Ahmad Zubaidi Baharumshah & Kian-Ping Lim

  • 2004 Budgetticks A Must For The Government
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  • 2004 Was the Russian Financial Crisis Contagious?
    by Ulugbek Olimov

  • 2004 Indicators of financial crises do work! An early-warning system for six Asian countries
    by Lestano & Jan Jacobs & Gerard H. Kuper

  • 2004 What Makes Balance Sheet Effects Detrimental For The Country Risk Premium?
    by ALICIA GARCIA HERRERO & JUAN CARLOS BERGANZA

  • 2004 The Role Of Global Risk Aversion In Explaining Latin American Sovereign Spreads
    by ALICIA GARCIA HERRERO & ALVARO ORTIZ

  • 2004 Big Mac Parity, Income, and Trade
    by Sidney Caetano & Guilherme Moura & Sergio Da Silva

  • 2004 Real Effective Exchange Rate Dynamics in Malawi and South Africa
    by Kisu Simwaka

  • 2004 Endogenous Foreign Exchange Intervention in Latin America
    by Sergio Da Silva & Mauricio Nunes

  • 2004 A Simple and Flexible Dynamic Approach to Foreign Direct Investment Growth: Did Canada Benefit From the Free Trade Agreements with the United States?
    by Peter J. Buckley & Jeremy Clegg & Nicolas Forsans & Kevin T. Reilly

  • 2004 Testing For Contagion: A Conditional Correlation Analysis
    by gulielmo maria caporale & rea cipollini & nicola spagnolo

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    by Muhd-Zulkhibri Abdul Majid

  • 2004 Classroom Guide to the Equilibrium Exchange Rate Model
    by Sergio Da Silva

  • 2004 International Finance, Levy Distributions, and the Econophysics of Exchange Rates
    by Sergio Da Silva

  • 2004 The Dornbusch Model with Chaos and Foreign Exchange Intervention
    by Sergio Da Silva

  • 2004 Financial Crises and the Presence of Foreign Banks
    by Adrian E. Tschoegl

  • 2004 Real Exhange Rate Stationarity in Managed Floats: Evidence From India
    by Renu Kohli

  • 2004 Exchange RAte Dynamics with Financial Repression: A Test of Exchange Rate Models for India
    by Renu Kohli & Kenneth Kletzer

  • 2004 Capital Flows and Domestic Financial Sector in India
    by Renu Kohli

  • 2004 Real Exchange Rate Stationarity in Managed Floats: Evidence from India
    by Renu Kohli

  • 2004 Aspects of Exchange Rate Behaviour and Management in India 1993- 98
    by Renu Kohli

  • 2004 Capital Account Liberalisation: Empirical Evidence and Policy Issues II
    by Renu Kohli

  • 2004 Capital Account Liberalisation: Empirical Evidence and Policy Capital Account Liberalisation: Empirical Evidence and Policy Issues - I
    by Renu Kohli

  • 2004 EURO currency implications on the Czech financial institutions sector
    by Tomas Lhotak

  • 2004 De jure versus de facto Exchange Rate Stabilization in Central and Eastern Europe
    by Gunther Schnabl

  • 2004 Teoria dei Processi Imitativi e Applicazioni Economiche
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  • 2004 Etude de la convergence des économies d’Amérique Latine : Une union monétaire est-elle envisageable ?
    by GIMET Céline & GUESSOUM Yasmine

  • 2004 Indices de vulnérabilité au créancier bancaire commun
    by MARAIS Elise

  • 2004 Is a transactions tax an effective means to stabilize the foreign exchange market?
    by Andrea Terzi

  • 2004 Time-varying Correlations of Russian and U.S. Equity Returns
    by Thadavillil Jithendranathan

  • 2004 Balance Sheet Effects And The Country Risk Premium: An Empirical Investigation
    by Alicia Garcia Herrero & Juan Carlos Berganza & Roberto Chang

  • 2004 Determinants And Impact Of Financial Sector Fdi To Emerging
    by Alicia Garcia Herrero & Daniel Navia Simon

  • 2004 Policy Assessment of the European Central Bank and the Stability and Growth Pact’s Echo of the Conventional Wisdom on Budget Management
    by William E. Ginn

  • 2004 Does the IMF cause moral hazard? A critical review of the evidence
    by Axel Dreher

  • 2004 The Efficiency of Canadian Capital Markets: Some Bank of Canada Research
    by Scott Hendry & Michael R. King

  • 2004 Modelling Long Memory and Risk Premia in Latin American Sovereign Bond Markets
    by Alfonso Mendoza

  • 2004 Beliefs about Exchange-Rate Stability: Survey Evidence From the Currency Board in Bulgaria
    by Neven T. Valev & John A. Carlson

  • 2004 Worsening of the Asian Financial Crisis: Who is to Blame?
    by Ali M. Kutan & Brasukra G. Sudjana

  • 2004 New approaches to debt relief and debt sustainability in LDCs
    by Olav Bjerkholt

  • 2004 Sustaining East Asia's Economic Dynamism: How Aid Worked
    by Hadi Soesastro

  • 2004 On the Dynamics of Information, Coordination and Regime Change
    by A. Pavan & G.M. Angeletos & C. Hellwig

  • 2004 Getting PPP Right: Identifying Mean-Reverting Real Exchange Rates in Panels
    by Georgios Chortareas & George Kapetanios

  • 2004 Value-based measure: an application of EVA in small manufacturing company in Bangladesh
    by Hoque, Mahfuzul & Akter, Mahmuda & Shil, Nikhil Chandra

  • 2004 The Use of Options in Corporate Risk Management
    by Bartram, Söhnke M.

  • 2004 Determinantes de la Cuenta Corriente en Costa Rica
    by Leon, Jorge & Saenz, Manrique

  • 2004 Economic Development in the Middle East
    by Yochanan Shachmurove

  • 2004 Information Dynamics and Equilibrium Multiplicity in Global Games of Regime Change
    by George-Marios Angeletos & Christian Hellwig & Alessandro Pavan

  • 2004 Crises and Prices: Information Aggregation, Multiplicity and Volatility
    by George-Marios Angeletos & Ivan Werning

  • 2004 Covered Interest Arbitrage: Then vs. Now
    by Ted Juhl & William Miles & Marc D. Weidenmier

  • 2004 Globalization and Disinflation: A Note
    by Assaf Razin

  • 2004 Managing Macroeconomic Crises
    by Jeffrey A. Frankel & Shang-Jin Wei

  • 2004 Acquiring Control in Emerging Markets: Evidence from the Stock Market
    by Anusha Chari & Paige P. Ouimet & Linda L. Tesar

  • 2004 Contingent Reserves Management: An Applied Framework
    by Ricardo J. Caballero & Stavros Panageas

  • 2004 Financing Consumption in an Aging Japan: The Role of Foreign Capital Inflows in Immigration
    by Robert Dekle

  • 2004 Fixed Exchange Rates and Trade
    by Michael W. Klein & Jay C. Shambaugh

  • 2004 Can Inflation Targeting Work in Emerging Market Countries?
    by Frederic S. Mishkin

  • 2004 Capital Income Taxation in the Globalized World
    by Assaf Razin & Efraim Sadka

  • 2004 Measuring Market Integration: Foreign Exchange Arbitrage and the Gold Standard, 1879-1913
    by Eugene Canjels & Gauri Prakash-Canjels & Alan M. Taylor

  • 2004 Global Imbalances and the Lessons of Bretton Woods
    by Barry Eichengreen

  • 2004 Financial-Sector FDI and Host Countries: New and Old Lessons
    by Linda Goldberg

  • 2004 A New Micro Model of Exchange Rate Dynamics
    by Martin D.D. Evans & Richard K. Lyons

  • 2004 Transaction Structures in the Developing World
    by Josh Lerner & Antoinette Schoar

  • 2004 A Risk Management Approach to Emerging Market's Sovereign Debt Sustainability with an Application to Brazilian Data
    by Marcio Garcia & Roberto Rigobon

  • 2004 Is the Invisible Hand Discerning or Indiscriminate? Investment and Stock Prices in the Aftermath of Capital Account Liberalizations
    by Anusha Chari & Peter Blair Henry

  • 2004 Capital Controls: Mud in the Wheels of Market Discipline
    by Kristin J. Forbes

  • 2004 A Scapegoat Model of Exchange Rate Fluctuations
    by Philippe Bacchetta & Eric van Wincoop

  • 2004 On the Desirability of Fiscal Constraints in a Monetary Union
    by V.V. Chari & Patrick J. Kehoe

  • 2004 Helping the Poor to Help Themselves: Debt Relief or Aid
    by Serkan Arslanalp & Peter Blair Henry

  • 2004 World Markets for Raising New Capital
    by Brian J. Henderson & Narasimhan Jegadeesh & Michael S. Weisbach

  • 2004 Private Benefits and Cross-Listings in the United States
    by Evangelos Benos & Michael S. Weisbach

  • 2004 Is Debt Relief Efficient?
    by Serkan Arslanalp & Peter Blair Henry

  • 2004 The Euro and European Financial Market Integration
    by Söehnke Bartram & Stephen Taylor & Yaw-Huei Wang

  • 2004 Monetary integration and inflation preferences: a real options analysis
    by Frank Strobel

  • 2004 The consumption-real exchange rate anomaly
    by Christoph Thoenissen & Gianluca Benigno

  • 2004 Financial Integration, Growth, and Volatility
    by Anne Epaulard & Aude Pommeret

  • 2004 A Scapegoat Model of Exchange Rate Fluctuations
    by Philippe BACCHETTA & Eric VAN WINCOOP

  • 2004 Exchange Rate Volatility and Trade among the Asia Pacific Countries Econometric Analysis
    by SaangJoon Baak

  • 2004 Speculative Attack and Informational Structure: An Experimental Study
    by Camille Cornand

  • 2004 The Impact of International Financial Integration on Industry Growth
    by Ellen Vanassche

  • 2004 At the origins of increased productivity growth in services. Productivity, social savings and the consumer surplus of the film industry, 1900-1938
    by Gerben Bakker

  • 2004 The effects of the 1925 Portuguese Bank Note Crisis
    by Henry Wigan

  • 2004 Reconstructing the Industrial Revolution: analyses, perceptions and conceptions of Britain’s precocious transition to Europe’s first industrial society
    by Giorgio Riello & Patrick O'Brien

  • 2004 The canton of Berne as an investor on the London capital market in the 18th century
    by Stefan Altorfer

  • 2004 News from London: Greek government bonds on the London Stock Exchange, 1914-1929
    by Olga Christodoulaki & Jeremy Penzer

  • 2004 The problem with party finance : theoretical perspectives on the funding of party politics
    by Jonathan Hopkin

  • 2004 Do the ECB and the Fed really need to cooperate? Optimal monetary policy in a two-country world
    by Evi Pappa

  • 2004 Flight to quality, flight to liquidity, and the pricing of risk
    by Dimitri Vayanos

  • 2004 Search and endogenous concentration of liquidity in asset markets
    by Dimitri Vayanos & Tan Wang

  • 2004 From risks to second-order dangers in financial markets: unintended consequences of risk management systems
    by Boris Holzer & Yuval Millo

  • 2004 The battle for hearts and minds? Evolutions in organisational approaches to environmental risk communication
    by Andrew Gouldson & Rolf Lidskog & Misse Wester-Herber

  • 2004 Creation of a market network: the regulatory approval of Chicago Board Options Exchange (CBOE)
    by Yuval Millo

  • 2004 Corporate-NGO partnerships as a form of civil regulation: lessons from the energy biodiversity initiative
    by Stephen Tully

  • 2004 Access to justice within the sustainable self-governance model
    by Stephen Tully

  • 2004 Justifying non-compliance. A case study of a Norwegian biotech firm
    by Filippa Corneliussen

  • 2004 The impact of regulations on firms. A study of the biotech industry
    by Filippa Corneliussen

  • 2004 Reforming the UK flood insurance regime. The breakdown of a gentlemen's agreement
    by Michael Huber

  • 2004 Family income and educational attainment : a review of approaches and evidence for Britain
    by Jo Blanden & Paul Gregg

  • 2004 Modeling credit risk with partial information
    by Umut Cetin & R. Jarrow & P. Protter & Y. Yildirim

  • 2004 Co-ordination failure and the role of banks in the resolution of financial distress
    by Spyros Pagratis

  • 2004 Credible pensions
    by Timothy Besley & Andrea Prat

  • 2004 Basel and procyclicality: a comparison of the standardised and IRB approaches to an improved credit risk method
    by Charles Goodhart & Miguel A. Segoviano

  • 2004 Barriers to pension scheme participation in small and medium sized enterprises
    by Alistair Byrne & Debbie Harrison & David Blake

  • 2004 Conglomerate entrenchment under optimal financial contracting
    by Antoine Faure-Grimaud & Roman Inderst

  • 2004 Highwaymen or heroes: should hedge funds be regulated?
    by Jon Danielsson & Ashley Taylor & Jean-Pierre Zigrand

  • 2004 A GARCH model of the implied volatility of the Swiss Market Index from options prices
    by Oliver Linton & Michael Sabbatini

  • 2004 Estimation of linear regression models by a spread-tolerant estimator
    by Oliver Linton

  • 2004 Feedback trading
    by Jon Danielsson & Ryan Love

  • 2004 Consistent testing for stochastic dominance: a subsampling approach
    by Oliver Linton & Esfandiar Maasoumi & Yoon-Jae Whang

  • 2004 Defined benefit or defined contribution?: an empirical study of pension choices
    by Joao F. Cocco & Paula Lopes

  • 2004 A semiparametric single-factor model of the term structure
    by Dennis Kristensen

  • 2004 Estimation in two classes of semiparametric diffusion models
    by Dennis Kristensen

  • 2004 Estimation of partial differential equations with applications in finance
    by Dennis Kristensen

  • 2004 A model to analyse financial fragility
    by Charles Goodhart & Pojanart Sunirand & Dimitrios P. Tsomocos

  • 2004 A theory of sovereign debt roll-over crisis
    by Masazumi Hattori

  • 2004 Sponsoring company finance and investment and defined benefit pension scheme deficits
    by David C. Webb

  • 2004 Performance of personal pension schemes in the UK
    by Alan Gregory & Ian Tonks

  • 2004 Stopping short?: evidence on contributions to long-term savings from aggregate and micro data
    by Sarah Smith

  • 2004 Principal agent problems under loss aversion: an application to executive stock options
    by David de Meza & David C. Webb

  • 2004 An Introduction to hedge funds
    by Gregory Connor & Mason Woo

  • 2004 Further calculations for Israeli options
    by Erik J. Baurdoux & Andreas E. Kyprianou

  • 2004 What determines monetary policy in the Franc zone? : estimating a reaction function for the BCEAO
    by Anja Shortland & David Stasavage

  • 2004 Opportunism, Corruption and the Multinational Firm’s Mode of Entry
    by Stephane Straub

  • 2004 Explaining the dollar/euro exchange rate: the role of policy uncertainty, asymmetric information, and hedging opportunities
    by Michael Melvin & Manuel Gomez

  • 2004 Exchange Rate Regimes And Fiscal Performance. Do Fixed Exchange Rate Regimes Generate More Discipline Than Flexible Ones?
    by Guillermo J. Vuletin

  • 2004 Exchange Rate Fluctuations, Financing Constraints, Hedging, and Exports: Evidence from Firm Level Data
    by Heajin Ryoo & Robert Dekle

  • 2004 The Role of Firm Size in Controlling Output Volatility during the Asian Financial Crisis
    by Hung-ju Chen; Hsiao-tang Hsu

  • 2004 Optimal Fear of Floating: The Role of Currency Mismatches and Fiscal Constraints
    by Eduardo J. J. Ganapolsky

  • 2004 Financial Frictions and Business Cycles in Developing Countries
    by Jaime Guajardo

  • 2004 Exchange Rate Volatility and Trade among the Asia Pacific Countries
    by SaangJoon Baak

  • 2004 Stock Market Volatility: Examining North America, Europe and Asia
    by Gamini Premaratne & Lakshmi Bala

  • 2004 A Structuralist Model of the Small Open Economy in the Short, Medium and Long Run
    by Hian Teck Hoon & Edmund S. Phelps

  • 2004 A Price Based Approach To Estimate The Effects Of Monetary Arrangements On Trade Integration
    by David C. Parsley & Shang-Jin Wei

  • 2004 Devaluation Beliefs and Debt Crisis: The Argentinian Case
    by José-María Da-Rocha & Eduardo L. Giménez & Francisco-Xavier Lores

  • 2004 Deposit Insurance and Bank Intermediation in the Long Run
    by Robert Cull & Lemma Senbet & Marco Sorge

  • 2004 Correlação Poupança-Investimento: Indicador De Mobilidade De Capitais Ou De Solvência?
    by Fabiana Rocha & Maria Beatriz Zerbini

  • 2004 Supervisory Systems, Fiscal Soundness and International Capital Movement: More Challenges for new EU Members
    by Andreas Grünbichler & Patrick Darlap & Sinikka Salo & Leslie Lipschitz & Timothy Lane & Alex Mourmouras

  • 2004 A VAR Analysis of Monetary Transmission Mechanism in the European Union
    by Ivan Lovrinovic & Manuel Benazic

  • 2004 Current Account Deficits in the Transition Economies
    by Mark J. Holmes

  • 2004 Public Information Arrival and Emerging Markets Returns and Volatility
    by Ali M. Kutan & Tansu Aksoy

  • 2004 Real exchange rates in the long and short run: a panel co-integration approach
    by César A. Calderón

  • 2004 Random Walk as a Universal Test of Weak-Form Foreign Exchange Market Efficiency : A Proof
    by Edward E. Ghartey

  • 2004 Exchange Rate Regimes: Choices and Consequences (A. R. Ghosh ? A.-M. Gulde ? H. C. Wolf)
    by Aleš Bulíø

  • 2004 Nothing Is Sacred: Economic Ideas for the New Millenium (R. J. Barro)
    by Aleš Bulíø

  • 2004 The Big Mac Standard: A statistical Illustration
    by Yukinobu Kitamura & Hiroshi Fujiki

  • 2004 Bank runs, political distortions and contagion
    by Victor Vaugirard

  • 2004 Big Mac parity, income, and trade
    by Sergio Da Silva & Guilherme Moura & Sidney Caetano

  • 2004 Nonlinear Adjustment of ASEAN-5 Real Exchange Rates: Symmetrical or Asymmetrical?
    by Venus Khim-Sen Liew

  • 2004 Estimating the equilibrium real exchange rate in Venezuela
    by Hilde Bjørnland

  • 2004 Does liquidity in the FX market depend on volatility?
    by Frank Westerhoff & Sebastiano Manzan

  • 2004 International Risk Sharing and Investor Protection: Some Evidence from the EU-15
    by Johann Scharler

  • 2004 The Impact of Increasing Stock Market Integration on Expected Gains from International Portfolio Diversification: Evidence from a Multivariate Approach with Time Varying Risk
    by AROURI Mohamed El Hedi

  • 2004 Optimal hedge ratio and elasticity of risk aversion
    by Udo Broll & Jack E. Wahl

  • 2004 Global Imbalances and the Lessons of Bretton Woods
    by Barry Eichengreen

  • 2004 The real exchange rate process and its real effects: The cases of Mexico and the USA
    by Kevin B. Grier & Fausto Hernández-Trillo

  • 2003 How does the spirit of capitalism affect stock market prices in a small-open economy
    by Turalay Kenc & Sel Dibooglu

  • 2003 The Non-Linearity of the Financial Accelerator
    by Fabio Natalucci & Andrew Levin

  • 2003 Techniques financières internationales - (8è ed.)
    by Lautier, Delphine & Simon, Yves

  • 2003 La balance des paiements
    by Venet, Baptiste & Raffinot, Marc

  • 2003 Protección contra la exposición del tipo de cambio a largo plazo con contratos de futuros a corto plazo. El caso de los contratos forward en UF Chilenas/dólares
    by Castillo, Augusto & Lefort, Fernando

  • 2003 Handels- und Finanzarchitektur im Umbruch: Globale Integration und die institutionelle Arbeitsteilung von IWF, Weltbank und WTO
    by Hefeker, Carsten

  • 2003 State of the Art Unit Root Tests and the PPP Puzzle
    by Claude Lopez & Christian J. Murray & David H. Papell

  • 2003 The Dynamics of Currency Substitution, Asset Substitution and De facto Dollarization and Euroization in Transition Countrieses
    by Edgar L. Feige

  • 2003 The Dynamics of Currency Substitution, Asset Substitution and De facto Dollarization and Euroization in Transition Countries
    by Edgar L. Feige

  • 2003 Trade Openness, Foreign Direct Investment and Child Labor
    by Eric Neumayer & Indra de Soysa

  • 2003 Impact Of Agriculture Output on Exchange Rates
    by Mukund Raj

  • 2003 Paper or Gold
    by Mukund Raj

  • 2003 Financial Integration and International Portfolio
    by AROURI Mohamed El Hedi

  • 2003 The Behavior of Money and Other Economic Variables: Two Natural Experiments
    by James R. Lothian & Cornelia H. McCarthy

  • 2003 External Debt Management-Case Study On India
    by Supreena Narayanan

  • 2003 Exchange Rates Forecasting Model: An Alternative Estimation Procedure
    by Ahmad Zubaidi Baharumshah & Liew Khim Sen & Lim Kian Ping

  • 2003 Introduction to Trade Finance
    by Bernardo Batiz-Lazo & Douglas Wood

  • 2003 International Evidence on Financial Derivatives Usage
    by Sohnke M. Bartram & Gregory W. Brown & Frank R. Fehle

  • 2003 Long Memory and Structural Changes in the Forward Discount: An Empirical Investigation
    by Kyongwook Choi & Eric Zivot

  • 2003 Issuing Policies In Currencies Denominated In Euros And Eurocents
    by Novak, Branko & Matić, Branko & Stjepanović, Slobodanka

  • 2003 Análisis de Variación de Reservas Internacionales para Costa Rica
    by Leon, Jorge & Saenz, Manrique

  • 2003 The role of taxes in capital structure: evidence from taxed and non-taxed Arab economies
    by Barakat, Mounther-Hussein & Rao, Ramesh-P

  • 2003 Real-Time Price Discovery in Stock, Bond and Foreign Exchange Markets
    by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Clara Vega

  • 2003 Financial Markets of the Middle East and North Africa: The Past and Present
    by Yochanan Shachmurove

  • 2003 Identifying Permanent and Transitory Components in Latin-American Real Exchange Rates
    by Indira Romero & Gabriel Rodriguez

  • 2003 Determinants Of The Initial Decisions By Japanese Firmsto Undertake Foreign Direct Investment
    by Akiomi Yutaka Horiba & Kazuo Yoshida

  • 2003 Financial Market Integration in the Euro Area
    by Carl Gjersem

  • 2003 Official Interventions and Occasional Violations of Uncovered Interest Party in the Dollar-DM Market
    by Nelson Mark & Young-Kyu Moh

  • 2003 Debt Intolerance
    by Carmen M. Reinhart & Kenneth S. Rogoff & Miguel A. Savastano

  • 2003 Explaining Sudden Stops, Growth Collapse and BOP Crises: The Case of Distortionary Output Taxes
    by Guillermo A. Calvo

  • 2003 Choosing (and reneging on) exchange rate regimes
    by Alberto Alesina & Alexander Wagner

  • 2003 The Mirage of Exchange Rate Regimes for Emerging Market Countries
    by Guillermo Calvo & Frederic S. Mishkin

  • 2003 Transparency, Risk Management and International Financial Fragility
    by Mario Draghi & Francesco Giavazzi & Robert C. Merton

  • 2003 Hedging Sudden Stops and Precautionary Contractions
    by Ricardo J. Caballero & Stavros Panageas

  • 2003 One Cost of the Chilean Capital Controls: Increased Financial Constraints for Smalles Traded Firms
    by Kristin J. Forbes

  • 2003 The Elusive Gains from International Financial Integration
    by Pierre-Olivier Gourinchas & Olivier Jeanne

  • 2003 A Brazilian-Type Debt Crisis: Simple Analytics
    by Assaf Razin & Efraim Sadka

  • 2003 Endogenous Exchange Rate Pass-through when Nominal Prices are Set in Advance
    by Michael B. Devereux & Charles Engel & Peter E. Storgaard

  • 2003 A Currency of One's Own? An Empirical Investigation on Dollarization and Independent Currency Unions
    by Sebastian Edwards & Igal Magendzo

  • 2003 Can Information Heterogeneity Explain the Exchange Rate Determination Puzzle?
    by Eric van Wincoop & Philippe Bacchetta

  • 2003 Equity market liberalizations as country IPOs
    by Rodolfo Martell & Rene M. Stulz

  • 2003 Modeling and Measuring Russian Corporate Governance: The Case of Russian Preferred and Common Shares
    by William N. Goetzmann & Matthew Spiegel & Andrey Ukhov

  • 2003 Capital Account Liberalization and Growth: Was Mr. Mahathir Right?
    by Barry Eichengreen & David Leblang

  • 2003 Estimating Models of On-the-Job Search Using Record Statistics
    by Gadi Barlevy

  • 2003 Which Countries Export FDI, and How Much?
    by Assaf Razin & Yona Rubinstein & Efraim Sadka

  • 2003 External Constraints on Monetary Policy and the Financial Accelerator
    by Mark Gertler & Simon Gilchrist & Fabio Natalucci

  • 2003 Cross-Border Valuation: The International Cost of Equity Capital
    by Gordon M. Bodnar & Bernard Dumas & Richard D. Marston

  • 2003 Domestic Capital Market Reform and Access to Global Finance: Making Markets Work
    by Peter Blair Henry & Peter Lombard Lorentzen

  • 2003 Winners and Losers of Tax Competition in the European Union
    by Enrique G. Mendoza & Linda L. Tesar

  • 2003 Experience of and Lessons from Exchange Rate Regime in Emerging Economies
    by Jeffrey A. Frankel

  • 2003 Exchange Rate Volatility and Exports from East Asian Countries to Japan and the U. S
    by SaangJoon Baak & Arif Al-Mahmood & Souksavanh Vixathep

  • 2003 Debt Sustainability, Brazil, and the IMF
    by Morris Goldstein

  • 2003 On the feasibility of a monetary union in the Southern Africa Development Community
    by Terence D.Agbeyegbe

  • 2003 The East Asian Dollar Standard, Fear of Floating, and Original Sin
    by Ronald McKinnon & Gunther Schnabl

  • 2003 Testing for Contagion in International Financial Markets: Which Way to Go?
    by Sébastien WÄLTI

  • 2003 Macroeconomics of International Price Discrimination
    by Giancarlo CORSETTI & Luca DEDOLA

  • 2003 Was the Bundesbank’s credibility undermined during the process of German reunification?
    by Matthias Morys

  • 2003 Steam as a general purpose technology: a growth accounting perspective
    by Nicholas Crafts

  • 2003 Fact or fiction? Re-examination of Chinese premodern population statistics
    by Kent Deng

  • 2003 Autarkic policy and efficiency in the Spanish industrial sector. An estimate of domestic resource cost in 1958
    by Elena Martínez Ruiz

  • 2003 The post-war rise of world trade: does the Bretton Woods System deserve credit?
    by Andrew G. Terborgh

  • 2003 Quantifying the contribution of technological change to economic growth in different eras: a review of the evidence
    by Nicholas Crafts

  • 2003 Bureau competition and economic policies in Nazi Germany, 1933-39
    by Oliver Volckart

  • 2003 Overcoming the zero bound on nominal interest rates with negative interest on currency : Gesell's solution
    by Willem H. Buiter

  • 2003 The transition from national currencies to the Euro
    by Charles Goodhart & Evi Pappa

  • 2003 Mapping the contours of contemporary financial services regulation
    by Julia Black

  • 2003 Precautionary bans or sacrificial lambs? Participative risk regulation and the reform of the UK food safety regime
    by Henry Rothstein

  • 2003 Incentives, choice and accountability in the provision of Public Services
    by Timothy Besley & Maitreesh Ghatak

  • 2003 Regulating parliament: the regulatory state within Westminster
    by Robert Kaye

  • 2003 Business history and risk
    by Terry Gourvish

  • 2003 Comparative and historical perspectives on business risk and antitrust in 20th century America, Japan, Europe and Australia
    by Tony Freyer

  • 2003 The risks of working and the risks of not working: trade unions, employers and responses to the risk of occupational illness in British industry, c.1890-1940s
    by Joseph Melling

  • 2003 The open method of co-ordination and the European welfare state
    by Damian Chalmers & Martin Lodge

  • 2003 Pricing of catastrophe reinsurance and derivatives using the Cox process with shot noise intensity
    by Angelos Dassios & Jiwook Jang

  • 2003 Macroeconomic news, order flows and exchange rates
    by Ryan Love & Richard Payne

  • 2003 Long-term value at risk
    by Kevin Dowd & David Blake & Andrew Cairns

  • 2003 Is immigration the answer to the UK’s pension crisis?
    by David Blake

  • 2003 Procyclicality and the new Basel Accord–banks’ choice of loan rating system
    by Eva Catarineu-Rabell & Patricia Jackson & Dimitrios P. Tsomocos

  • 2003 Financial system requirements for successful pension reform
    by David Blake

  • 2003 IPOs: insights from seven European countries
    by Josef Anton Schuster

  • 2003 The cross-section of European IPO returns
    by Josef Anton Schuster

  • 2003 The near impossibility of credit rationing
    by David de Meza & David C. Webb

  • 2003 What is a promise from the government worth?: measuring and assessing the implications of political risk in state and personal pension schemes in the United Kingdom
    by David Blake

  • 2003 Anatomy of a market crash: a market microstructure analysis of the Turkish overnight liquidity crisis
    by Jon Danielsson & Burak Saltoglu

  • 2003 Pension fund governance and the choice between defined benefit and defined contribution plans
    by Timothy Besley & Andrea Prat

  • 2003 Likelihood-based estimation of latent generalised ARCH structures
    by Gabriele Fiorentini & Enrique Sentana & Neil Shephard

  • 2003 The United Kingdom pension system: key issues
    by David Blake

  • 2003 Tranching
    by Guillaume Plantin

  • 2003 Does reinsurance need reinsurers?
    by Guillaume Plantin

  • 2003 Take (smoothed) risks when you are young, not when you are old: how to get the best from your stakeholder pension plan
    by David Blake

  • 2003 UK pension fund management after Myners: the hunt for correlation begins
    by David Blake

  • 2003 Pensionmetrics 2: stochastic pension plan design during the distribution phase
    by David Blake & Andrew J. G. Cairns & Kevin Dowd

  • 2003 Predatory trading
    by Markus K. Brunnermeier & Lasse Heje Pederson

  • 2003 Financing constraints, irreversibility, and investment dynamics
    by Andrea Caggese

  • 2003 Corporate bond prices and co-ordination failure
    by Max Bruche

  • 2003 Basel II and developing countries: diversification and portfolio effects
    by Stephany Griffith-Jones & Miguel Angel Segoviano & Stephen Spratt

  • 2003 Self-fulfilling liquidity and the coordination premium
    by Guillaume Plantin

  • 2003 Choosing the Regime in an Uncertain World, the UK and Monetary Union
    by Barrell, Ray & Ian Hurst & Tatiana Kirsanova

  • 2003 Stock markets and industry growth: an eastern European perspective
    by Zbigniew Kominek

  • 2003 Exchange Rate Pass-Through, Exchange Rate Volatility, and ExchangeRate Disconnect
    by M.B. Devereux & Ch. Engel

  • 2003 Risk and Wealth in a Model of Self-fulfilling Currency Crises
    by Bernardo Guimaraes & Stephen Morris

  • 2003 Risk and Wealth in a Model of Self-fulfilling Currency Crises
    by Bernardo Guimaraes & Stephen Morris

  • 2003 Comment fixer les cours de change? Annonces et correspondances maastrichtiennes
    by Jean-Sébastien PENTECOTE & Marc-Alexandre SENEGAS

  • 2003 Corrélations investissement-épargne et mobilité internationale des capitaux
    by Jean-Pierre BERDOT & Gérard KEBABDJIAN & Jacques LEONARD

  • 2003 Economic integration, similarity and convergence in the EU and CEECs trade structures
    by Luca De Benedictis & Lucia Tajoli

  • 2003 Dollarization and real volatility
    by Bastourre, Diego & Carrera, Jorge & Féliz, Mariano & Panigo, Demian

  • 2003 Credit constraints, financial liberalisation and twin crises
    by Haibin Zhu

  • 2003 Balance sheet effects and the country risk premium: an empirical investigation
    by Juan Carlos Berganza & Roberto Chang & Alicia García Herrero

  • 2003 Monetary Policy in Estimated Models of Small Open and Closed Economies
    by Ali Dib

  • 2003 The dynamics of currency substitution, asset substitution and de facto dollarization and euroization in transition countries
    by Feige,E.L.

  • 2003 Az Európai Monetáris Rendszer és az ERM-2
    by Polgár, Éva Katalin

  • 2003 Trade in Goods and Trade in Assets
    by Andre Burgstalle & Cem Karayalcin

  • 2003 Securities Transaction Taxes for U.S. Financial Markets
    by Robert Pollin & Dean Baker & Marc Schaberg

  • 2003 The Feldstein-Horioka puzzle and law
    by Hiroshi Gunji

  • 2003 CURRENCY CRISIS AND BALANCE SHEET CHANNEL EFFECT. The Korean Experience
    by Francois HERMET

  • 2003 Efficient unit root tests of real exchange rates in the post-Bretton Woods era
    by Francis Ahking

  • 2003 Threshold stationary real exchange rates: a nonlinear, multivariate approach
    by Philip Shively

  • 2003 The Nominal Exchange Rate and Monetary Fundamentals: Evidence from Nonlinear Unit Root Tests
    by Sofiane Hicham Sekioua

  • 2003 Are the Trade Deficits of Less Developed Countries Stationary?. Evidence for African Countries
    by Holmes, Mark J

  • 2002 Short and Long Term Real Effects of Exchange Rates
    by Yunus Aksoy & Hanno Lustig

  • 2002 Substitutability and Complementarity of FDI and PI in a Martingale Context
    by Brian J. Jacobsen

  • 2002 Techniques financières internationales (7è ed.)
    by Mannaï, Samir & Simon, Yves

  • 2002 Popular reaction to the intervention by the IMF in the Korean economic crisis
    by Hayo, Bernd & Shin, Doh Chull

  • 2002 Contagion of currency crises: Some theoretical and empirical analysis
    by Karmann, Alexander & Greßmann, Oliver & Hott, Christian

  • 2002 Is it time for a world currency?
    by Shams, Rasul

  • 2002 Yen or Yuan? China's role in the future of Asian monetary integration
    by Hefeker, Carsten & Nabor, Andreas

  • 2002 Contagion of currency crises: Some theoretical and empirical analysis
    by Karmann, Alexander & Greßmann, Oliver & Hott, Christian

  • 2002 Fractional Reserve Banking as Economic Parasitism: A Scientific, Mathematical & Historical Expose, Critique, and Manifesto
    by Vladimir Z. Nuri

  • 2002 Monitoring Costs and the Mode of International Investment
    by Chu-Chia S. Lin & Ivan P.L. Png

  • 2002 Currency Arrangements And Goods Market Integration: A Price Based Approach
    by David Parsley Shang-Jin Wei

  • 2002 Budgetticks- A must for the Government
    by Dr. George Benjamin

  • 2002 Budgetticks, not Economics-The need of the Day
    by Dr George Benjamin & .

  • 2002 Dollarization and Euroization in Transition Countries: Currency Substitution, Asset Substitution, Network Externalities and Irreversibility
    by Edgar Feige & James Dean

  • 2002 Unofficial Dollarization in Latin America: Currency Substitution, Network Externalities and Irreversibility
    by Edgar L. Feige & Vedran Šošiæ & Michael Faulend & Velimir Šonje

  • 2002 Three's Company:US Borders After September 11
    by Tapen Sinha & Bradly Condon

  • 2002 The Impact of the Introduction of the Euro on Foreign Exchange Rate Risk Exposures
    by Sohnke M. Bartram & G. Andrew Karolyi

  • 2002 Linear and Nonlinear Foreign Exchange Rate Exposures of German Nonfinancial Corporations
    by Sohnke M. Bartram

  • 2002 Mass Attitudes Toward Financial Crisis and Economic Reform in Korea
    by Bernd Hayo & Doh Shin

  • 2002 Popular Reaction to the Intervention by the IMF in the Korean Economic Crisis
    by Bernd Hayo & Doh Chull Shin

  • 2002 Credit derivatives in emerging markets
    by Romain Rancière

  • 2002 Currency Crises and Macroeconomic Performance
    by Luke Gower & Alan Krause

  • 2002 Corporate governance, competition, the new international financial architecture and large corporations in emerging markets
    by Singh, Ajit & Singh, Alaka & Weisse, Bruce

  • 2002 Financial turmoil: Systemic or regional?
    by Reinhart, Carmen & Kaminsky, Graciela

  • 2002 Optimal Financial Markets Liberalization
    by Khang Min Lee

  • 2002 Exchange Rate, Equity Prices and Capital Flows
    by Harald Hau & Helene Rey

  • 2002 Time Consistency and Free-Riding in a Monetary Union
    by V. V. Chari & Patrick J. Kehoe

  • 2002 Pricing the Global Industry Portfolios
    by Stefano Cavaglia & Robert J. Hodrick & Moroz Vadim & Xiaoyan Zhang

  • 2002 Trade Openness, Investment Instability and Terms-of-Trade Volatility
    by Assaf Razin & Efraim Sadka & Tarek Coury

  • 2002 Financial Globalization and Emerging Markets: With or Without Crash?
    by Philippe Martin & Helene Rey

  • 2002 The Great Exchange Rate Debate After Argentina
    by Sebastian Edwards

  • 2002 FDI Contribution to Capital Flows and Investment in Capacity
    by Assaf Razin

  • 2002 International Financial Integration and Economic Growth
    by Hali J. Edison & Ross Levine & Luca Ricci & Torsten Slok

  • 2002 A Brazilian Debt-Crisis
    by Assaf Razin & Efraim Sadka

  • 2002 Expenditure Switching and Exchange Rate Policy
    by Charles Engel

  • 2002 Gains from FDI Inflows with Incomplete Information
    by Assaf Razin & Efraim Sadka

  • 2002 Monetary Policy in a Financial Crisis
    by Lawrence J. Christiano & Christopher Gust & Jorge Roldos

  • 2002 Risk Sharing and Asset Prices: Evidence From a Natural Experiment
    by Anusha Chari & Peter Blair Henry

  • 2002 Micro Effects of Macro Announcements: Real-Time Price Discovery in Foreign Exchange
    by Torben G. Andersen & Tim Bollerslev & Francis X. Diebold & Clara Vega

  • 2002 IMF Programs: Who is Chosen and What Are the Effects?
    by Robert J. Barro & Jong-Wha Lee

  • 2002 Why Should Emerging Economies Give up National Currencies: A Case for 'Institutions Substitution'
    by Enrique G. Mendoza

  • 2002 Debt Relief and Fiscal Sustainability
    by Sebastian Edwards

  • 2002 Exchange Rate Pass-Through into Import Prices: A Macro or Micro Phenomenon?
    by Jose Manuel Campa & Linda S. Goldberg

  • 2002 Capital Account Liberalization: Allocative Efficiency or Animal Spirits?
    by Anusha Chari & Peter Blair Henry

  • 2002 A Simple Framework for International Monetary Policy Analysis
    by Richard Clarida & Jordi Gali & Mark Gertler

  • 2002 Exchange Rate Pass-Through, Exchange Rate Volatility, and Exchange Rate Disconnect
    by Michael B. Devereux & Charles Engel

  • 2002 Economic and Financial Crises in Emerging Market Economies: Overview of Prevention and Management
    by Martin Feldstein

  • 2002 Quantity Controls, License Transferability, and the Level of Investment
    by Kala Krishna & Ling Hui Tan & Ram Ranjan

  • 2002 Uncovered Interest Rate Parity and the Term Structure
    by Geert Bekaert & Min Wei & Yuhang Xing

  • 2002 The Responsiveness of Consumer Prices to Exchange Rates And the Implications for Exchange-Rate Policy: A Survey Of a Few Recent New Open-Economy..
    by Charles Engel

  • 2002 Regímenes Cambiarios y Performance Fiscal ¿Generan los Regímenes Fijos Mayor Disciplina que los Flexibles?
    by Guillermo Javier Vúletin

  • 2002 Imperfect Knowledge, Temporal Instability and an Uncertainty Premium: Towards a Resolution of the Excess-Returns Puzzle in the Foreign Exchange Market
    by Roman Frydman & Michael D. Goldberg

  • 2002 An Iron Law of Currency Crises: The Divergence of the Nominal and the Real Exchange Rate and Increasing Current Account Deficits
    by Horst Siebert

  • 2002 Home Bias, Transaction Costs, and Prospects for the Euro: A More Detailed Analysis
    by Catherine L. Mann & Ellen E. Meade

  • 2002 Transnational compensation for oil pollution damage: examining changing spatialities of environmental liability
    by Michael Mason

  • 2002 Equilibrium and welfare in markets with financially constrained arbitrageurs
    by Denis Gromb & Dimitri Vayanos

  • 2002 Drivers and drawbacks: regulation and environmental risk management systems
    by Marius Aalders

  • 2002 Conceptualising Insurance: risk management under conditions of solvency
    by Michael Huber

  • 2002 Social licence and environmental protection: why businesses go beyond compliance
    by Neil Gunningham & Robert Kagan & Dorothy Thornton

  • 2002 Neglected risk regulation: the institutional attenuation phenomenon
    by Henry Rothstein

  • 2002 Mass media and political accountability
    by Timothy Besley & Robin Burgess & Andrea Pratt

  • 2002 Embedding regulatory autonomy: the reform of Jamaican telecommunications regulation 1988-2001
    by Lindsay Stirton & Martin Lodge

  • 2002 Critical reflections on regulation
    by Julia Black

  • 2002 Fiscal policy instruments to promote affordable housing
    by Alan Holmans & Kathleen Scanlon & Christine M. E. Whitehead

  • 2002 Analysis of spreads in the dollar/euro and Deutsche Mark/dollar foreign exchange markets
    by Charles Goodhart & Ryan Love & Richard Payne & Dagfinn Rime

  • 2002 Coordination, learning, and delay
    by Amil Dasgupta

  • 2002 Internal ratings, the business cycle and capital requirements: some evidence from an emerging market economy
    by Miguel A. Segoviano & Philip Lowe

  • 2002 Dealer liquidity in an auction market: evidence fom the London Stock Exchange
    by Sylvain Friederich & Richard Payne

  • 2002 Returns from active management in international equity markets; evidence from a panel of UK pension funds
    by David Blake & Allan Timmermann

  • 2002 Performance clustering and incentives in the UK pension fund industry
    by David Blake & Bruce N. Lehmann & Allan Timmermann

  • 2002 International asset allocation with time-varying investment opportunities
    by David Blake & Allan Timmermann

  • 2002 In-kind finance
    by Mike Burkart & Tore Ellingsen

  • 2002 You might as well be hung for a sheep as a lamb: the loss function of an agent
    by Margaret Bray & Charles Goodhart

  • 2002 Hedging housing risk in London
    by Matteo Iacoviello & François Ortalo-Magné

  • 2002 Market timing and return prediction under model instability
    by M. Hashem Pesaran & Allan Timmermann

  • 2002 Venture capital contracts and market structure
    by Roman Inderst & Holger M. Müller

  • 2002 Platform competition in two sided markets
    by Jean-Charles Rochet & Jean Triole

  • 2002 Coordination failures and the lender of last resort: was Bagehot right after all?
    by Jean-Charles Rochet & Xavier Vives

  • 2002 Consistent testing for stochastic dominance: a subsampling approach
    by Oliver Linton & Esfandiar Maasoumi & Yoon-Jae Whang

  • 2002 Family firms
    by Andrei Shleifer & Fausto Panunzi & Mike Burkart

  • 2002 Asymmetric information, heterogeneity in risk perceptions and insurance: an explanation to a puzzle
    by Kostas Koufopoulos

  • 2002 Bubbles and crashes
    by Dilip Abreu & Markus K. Brunnermeier

  • 2002 Pricing catastrophe insurance derivatives
    by Alexander Muermann

  • 2002 A Cox process with log-normal intensity
    by Sankarshan Basu & Angelos Dassios

  • 2002 Управление На Капиталовите Потоци В България
    by Tsvetan Manchev

  • 2002 Management of Capital Inflows in Bulgaria
    by Tsvetan Manchev

  • 2002 Le haut prix du lingot, conséquence ou cause du déficit des paiements ?
    by de Boyer des Roches, Jérôme

  • 2002 A Brazilian Debt-Crisis Model
    by Razin, Assaf & Sadka, Efraim

  • 2002 Dynamic General Equilibrium Analysis: The Open Economy Dimension
    by Ganelli, Giovanni & Lane, Philip R.

  • 2002 Capital account liberalization, free long-term capital flows, financial crises and economic development
    by Ajit Singh

  • 2002 Macroeconomics of international price discrimination
    by Giancarlo Corsetti & Luca Dedola

  • 2002 Asymmetric Shocks, Risk Sharing, and the Latter Mundell
    by Klaus Desmet

  • 2002 Is there a Future for Regional Banks and Regional Exchanges? The Strategies of Selected Austrian Finance Institutions
    by David T. Llewellyn & Reinhard Ortner & Helmut Stepic & Stefan K. Zapotocky

  • 2002 Latin American growth cycles. Empirical evidence: 1960 - 2000
    by Ana María Cerro & José Pineda

  • 2002 How Do Large Depreciations Affect Firm Performance?
    by Kristin J Forbes

  • 2002 Domestic versus International Portfolio Selection: A Statistical Examination of the Home Bias
    by Larry R. Gorman & Bjorn N. Jorgensen

  • 2002 Crisis de credibilidad de la peseta en las bandas del SME. Una aplicación del Modelo de Markov con saltos de régimen
    by RODRÍGUEZ LÓPEZ, Mª A.

  • 2002 Einkommenseffekte, Wechselkursdynamik und der Euro/Dollar-Kurs
    by Hans-Joachim Jarchow

  • 2002 Nominal And Real Exchange Rates And Purchasing Power Parity During The Guatemalan Float, 1897-1922
    by Thomas E. Schweigert

  • 2002 Financial Deregulation And Volatility In Emerging Equity Markets
    by William Miles

  • 2002 K pøíèinám mìnových krizí - empirie a teorie
    by Mojmír Helísek

  • 2002 Effects Of U.S. Interest Rates On The Real Exchange Rate In Mexico
    by Andre Mollick

  • 2002/2003 The New International Architecture
    by Rüdiger Dornbusch

  • 2001 An Interacting-Agents Approach to International Financial Contagion
    by Taisei Kaizoji

  • 2001 Asset Market Linkages in Crisis Periods
    by Hartmann, P. & Straetmans, S. & De Vries, C.G.

  • 2001 Essays on Currency Crises and Exchange Rate Expectations
    by Kajanoja, L.

  • 2001 Insiders and International finance: Evidence From Complementary Markets Patterns in Neighboring Areas
    by Leighton Vaughan Williams

  • 2001 Corporate Financial Policies and Performance Around Currency Crises
    by Arturo Bris & Yrjo Juhani Koskinen & Vicente Pascual Pons-Sanz

  • 2001 Corporate Financial Policies and Performance Prior to Currency Crises
    by Yrjo Juhani Koskinen & Arturo Bris

  • 2001 Investor Panic, IMF Actions, and Emerging Stock Market Returns and Volatility
    by Bernd Hayo & Ali Kutan

  • 2001 Payments-Related Intraday Credit Differentials and the Emergence of a Vehicle Currency
    by Sujit Chakravorti

  • 2001 International Transmission under Floating Exchange Rates
    by James R.Lothian & Cornelia H. McCarthy

  • 2001 Equity Returns and Inflation: The Puzzlingly Long Lags
    by James R. Lothian & Cornelia H.. McCarthy

  • 2001 Currency Substitution, Unoffical Dollarization and Estimates of Foreign Currency Held Abroad: The Case of Croatia
    by Edgar L. Feige & Michael Faulend & Velimir Sonje & Vedran Sosic

  • 2001 Would Collective Action Clauses Raise Borrowing Costs? An Update and Additional Results
    by Barry Eichengreen & Ashoka Mody

  • 2001 The Interest Rate Exposure of Nonfinancial Corporations
    by Sohnke M. Bartram

  • 2001 Corporate Risk Management as a Lever for Shareholder Value Creation
    by Sohnke M. Bartram

  • 2001 The Costs, Wealth Effects, and Determinants of International Capital Raising: Evidence from Public Yankee Bonds
    by Darius P. Miller & John J. Puthenpurackal

  • 2001 Corporate Financial Policies and Performance Prior to Currency Crises
    by Arturo Bris & Yrjö Koskinen & Vicente Pons

  • 2001 Official Dollarization in Latin America: Could it Work?
    by Paul Hallwood & Ian W. Marsh & Jorg Scheibe

  • 2001 The Origins of the Modern Financial Revolution: Responses to Impediments from Church and State in Western Europe, 1200 - 1600
    by John H. Munro

  • 2001 Real and Monetary Shocks to the Canadian Dollar: Do Canada and the U.S Form an Optimal Currency Area?
    by Jack L. Carr & John E. Floyd

  • 2001 The Empirics of Foreign Reserves
    by Philip Lane & Dominic Burke

  • 2001 The Empirics of Foreign Reserves
    by Philip Lane & Dominic Burke

  • 2001 ODA in Indonesia: A Preliminary Assessment
    by Kurnya Roesad

  • 2001 Spurious Welfare Reversals in International Business Cycle Models
    by Jinill Kim and Sunghyun Henry Kim

  • 2001 Currency crises in Russia and other transition economies
    by Popov, Vladimir

  • 2001 Globalisation, multinational enterprises and European integration
    by Gilroy, Bernard Michael

  • 2001 Fear of Floating: Exchange Rate Flexibility Indices
    by Reinhart, Carmen

  • 2001 Dollarization, Inflation and Growth
    by Sebastian Edwards & I. Igal Magendzo

  • 2001 The Curse of Non-Investment Grade Countries
    by Roberto Rigobon

  • 2001 The Role of Industrial Country Policies in Emerging Market Crises
    by Jeffrey A. Frankel & Nouriel Roubini

  • 2001 Long-Term Global Market Correlations
    by William N. Goetzmann & Lingfeng Li & K. Geert Rouwenhorst

  • 2001 Endogenous Currency of Price Setting in a Dynamic Open Economy Model
    by Michael B. Devereux & Charles Engel

  • 2001 The Adjustment of Prices and the Adjustment of the Exchange Rate
    by Charles Engel & James C. Morley

  • 2001 Volatility Dependence and Contagion in Emerging Equity Markets
    by Sebastian Edwards & Raul Susmel

  • 2001 Deposit Insurance Around the Globe: Where Does it Work?
    by Edward J. Kane & Asli Demirguc-Kunt

  • 2001 Limiting Currency Volatility to Stimulate Goods Market Integration: A Price Based Approach
    by David C. Parsley & Shang-Jin Wei

  • 2001 Between Meltdown and Moral Hazard: The International Monetary and Financial Policies of the Clinton Administration
    by J. Bradford DeLong & Barry Eichengreen

  • 2001 Recovery and Sustainability in East Asia
    by Yung Chul Park & Jong-Wha Lee

  • 2001 Rational Speculation and Exchange Rates
    by Margarida Duarte & Alan C. Stockman

  • 2001 A Primer on Emerging Market Crises
    by Rudi Dornbusch

  • 2001 Malaysia: Was it Different?
    by Rudi Dornbusch

  • 2001 Fewer Monies, Better Monies
    by Rudi Dornbusch

  • 2001 The "New Keynesian" Phillips Curve: Closed Economy vs. Open Economy
    by Assaf Razin & Chi-Wa Yuen

  • 2001 Is Disinflation Good for the Stock Market?
    by Peter Blair Henry

  • 2001 Does the Current Account Matter?
    by Sebastian Edwards

  • 2001 Dollarization and Economic Performance: An Empirical Investigation
    by Sebastian Edwards

  • 2001 Stock Market Liberalizations and the Repricing of Systematic Risk
    by Anusha Chari & Peter Blair Henry

  • 2001 Financial Safety Nets: Reconstructing and Modeling a Policymaking Metaphor
    by Edward J. Kane

  • 2001 When Is U.S. Bank Lending to Emerging Markets Volatile?
    by Linda S. Goldberg

  • 2001 Country Risk and Capital Flow Reversals
    by Assaf Razin & Efraim Sadka

  • 2001 Protection of Minority Shareholder Interests, Cross-listings in the United States, and Subsequent Equity Offerings
    by William A. Reese, Jr. & Michael S. Weisbach

  • 2001 High- and Low-Frequency Exchange Rate Volatility Dynamics: Range-Based Estimation of Stochastic Volatility Models
    by Sassan Alizadeh & Michael W. Brandt & Francis X. Diebold

  • 2001 Exchange Rates and Wages
    by Linda Goldberg & Joseph Tracy

  • 2001 The Law of One Price - A Case Study
    by Jonathan Haskel & Holger Wolf

  • 2001 Capital Mobility and Economic Performance: Are Emerging Economies Different?
    by Sebastian Edwards

  • 2001 Optimal Currency Basket Pegs for Developing and Emerging Economies
    by Joseph Daniels & Peter G. Toumanoff & Marc von der Ruhr

  • 2001 Currency Crises in Asia and Latin America: A Comparison
    by Shoji Nishijima

  • 2001 The Regime-Dependent Determination of Credibility: A New Look at European Interest Rate Differentials
    by Peter Tillmann

  • 2001 Offshore Investment Funds: Monsters in Emerging Markets?
    by Woochan Kim & Shang-Jin Wei

  • 2001 A Nonparametric Bayesian Approach to Detect the Number of Regimes in Markov Switching Models
    by Edoardo Otranto & Giampiero M. Gallo

  • 2001 Modelling the Impact of Overnight Surprises on Intra-daily Stock Returns
    by Giampiero M. Gallo & Yongmiao Hong & Tae-Why Lee

  • 2001 The limits of social democracy? Tax and spend under Labour, 1974-1979
    by Tom Clark

  • 2001 Fiscal exceptionalism: Great Britain and its European rivals: from civil war to triumph at Trafalgar and Waterloo
    by Patrick O'Brien

  • 2001 Strategic trading in a dynamic noisy market
    by Dimitri Vayanos

  • 2001 Membership has its priveleges : the effect of social capital and neighbourhood characteristics on the earnings of microfinance borrowers
    by Rafael Gomez & Eric Santor

  • 2001 Saving eliminates credit rationing
    by David de Meza & David C. Webb

  • 2001 Crisis costs and debtor discipline: the efficacy of public policy in sovereign debt crises
    by Prasanna Gai & Simon Hayes & Hyun Song Shin

  • 2001 Financial development, agency and the pace of adoption of new techniques
    by Ronald W. Anderson & Kjell G. Nyborg

  • 2001 Mean-variance portfolio allocation with a value at risk constraint
    by Enrique Sentana

  • 2001 Tests of the Fama and French model in India
    by Gregory Connor & Sanjay Sehgal

  • 2001 The skill profile of central bankers and supervisors
    by Charles Goodhart & Dirk Schoenmaker & Paolo Dasgupta

  • 2001 Housing market dynamics: on the contribution of income shocks and credit constraints
    by François Ortalo-Magné & Sven Randy

  • 2001 The impact of technology on cash usage
    by Charles Goodhart & Malte Krueger

  • 2001 Coordination risk and the price of debt
    by Stephen Morris & Hyun Song Shin

  • 2001 Disclosures and asset returns
    by Hyun Song Shin

  • 2001 In defence of usury laws
    by Giuseppe Coco & David de Meza

  • 2001 Flexible term structure estimation: which method is preferable?
    by Andrew Jeffrey & Oliver Linton & Thong Nguyen

  • 2001 Explaining currency crises: a duration model approach
    by Maria Mercedes Tudela

  • 2001 New evidence on the effects of US monetary policy on exchange rates
    by Sarantis Kalyvitis & Alexander Michaelides

  • 2001 International Finance in General Equilibrium
    by John Geanakoplos & Dimitri P. Tsomocos

  • 2001 Tax Smoothing with Stochastic Interest Rates: A Re-assessment of Clinton's Fiscal Legacy
    by Huw Lloyd-Ellis & Shiqiang Zhang & Xiaodong Zhu

  • 2001 Political Risk and Capital Flight
    by Quan Le & Paul J. Zak

  • 2001 Income Inequality in Advanced Economies: A Critical Examination of the Trade and Technology Theories and an Alternative Perspective
    by A Singh

  • 2001 Volatility and Sovereign Default
    by Luisa Lambertini

  • 2001 Vincoli sugli afflussi di capitale: un rimedio per le crisi finanziarie?
    by Paolo Spada

  • 2001 Crash-Free Sequencing Strategies for Financial Development and Liberalization
    by By Jorge A. Chan-Lau & Zhaohui Chen

  • 2001 Exchange Market Pressure and Monetary Policy: Asia and Latin America in the 1990s
    by Evan Tanner

  • 2001 On the Way to European Union: Nominal and Real Convergence in Transition Countries
    by Jan Frait & Luboš Komárek

  • 2001 The Equilibrium Value of The Euro/$ US Exchange Rate: An Evaluation of Research
    by Stein L.

  • 2001 Bayesian and DF-GLS unit root tests of real exchange rates over the current floating period
    by David O. Cushman

  • 2001 Contrôle des capitaux. Pourquoi les gouvernements hésitent-ils ?
    by Benjamin J. Cohen

  • 2001 Pegging the CEECs Exchange Rates to the Euro
    by Laurence Boone & Mathilde Maurel

  • 2000 Local vs Foreign Currency Ratings: What Determines Sovereign Transfer Risk?
    by Trevino, L. & Thomas, S.

  • 2000 Corporate Risk Management as a Lever for Shareholder Value Creation
    by Bartram, S.M.

  • 2000 Moral Theory and International Fiscal Law
    by Cappelen, A.W.

  • 2000 Leaving a Monetary Union: Expected Time and Probability
    by Strobel, Dr F.

  • 2000 Sources of real exchange rate fluctuations in transition economies: The case of Ploand and Hungary
    by Dibooglu, Selahattin & Kutan, Ali M.

  • 2000 Culture and finance in a globalised world - an uneasy relation
    by Reszat, Beate

  • 2000 New Directions for Stochastic Open Economy Models
    by Maurice Obstfeld & Kenneth Rogoff

  • 2000 Does Mercosur Need a Single Currency?
    by Barry Eichengreen

  • 2000 International Economic Policy in the Wake of the Asian Crisis
    by Barry Eichengreen

  • 2000 Corporate Finance in Europe from 1986 to 1996
    by Michel DELBREIL & Ana ESTEBAN & Hans FRIDERICHS & Bernard PARANQUE & Franz PARTSCH & Franco VARETTO

  • 2000 Retail Banking in Hungary: A Foreign Affair?
    by John P. Bonin & Istvan Abel

  • 2000 Wool and Wool-Based Textiles in the West European Economy, c.800 - 1500: Innovations and Traditions in Textile Products, Technology, and Industrial Organisation
    by John H. Munro

  • 2000 The West European Woollen Industries and their Struggles for International Markets, c.1000 - 1500
    by John H. Munro

  • 2000 The Changing Fortunes of Fairs in Medieval and Early Modern Europe: Warfare, Transaction Costs, and the 'New Institutional Economics'
    by John H. Munro

  • 2000 Measuring the Degree of Currency Misalignment Using Offshore Forward Exchange Rates: The Case of the Korean Financial Crisis
    by Daekeun Park & Changyong Rhee

  • 2000 When Capital Inflows Come to a Sudden Stop: Consequences and Policy Options
    by Reinhart, Carmen & Calvo, Guillermo

  • 2000 The Philippines in the Asian Financial Crisis: How the Sick Man Avoided Pneumonia
    by Noland, Marcus

  • 2000 Deviation from Purchasing Power Parity: Evidence from Malaysia, 1973–1997
    by Goh, Soo Khoon & Mithani, Dawood

  • 2000 Rating the Rating Agencies
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela

  • 2000 Early Warning System: Empirical Results from The Signals Approach
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela

  • 2000 Methodology for an Early Warning System: The Signals Approach
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela

  • 2000 Assessing financial vulnerability, an early warning system for emerging markets: Introduction
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela

  • 2000 Capital flows to emerging markets: Liberalization, overshooting and volatility (a comment)
    by Reinhart, Carmen

  • 2000 The EMS Crisis in Retrospect
    by Barry Eichengreen

  • 2000 Bank Runs and Banking Policies: Lessons for African Policymakers
    by Edward J. Kane & Tara Rice

  • 2000 Aspects of Global Economic Intergration: Outlook for the Future
    by Martin Feldstein

  • 2000 Optimal Exchange Rate Policy: The Influence of Price Setting and Asset Markets
    by Charles Engel

  • 2000 Managers, Investors, and Crises: Mutual Fund Strategies in Emerging Markets
    by Graciela Kaminsky & Richard K. Lyons & Sergio Schmukler

  • 2000 Balance Sheets and Exchange Rate Policy
    by Luis Felipe Cespedes & Roberto Chang & Andres Velasco

  • 2000 Comments on Obstfeld and Rogoff's "The Six Major Puzzles in International Macroeconomics: Is There a Common Cause?"
    by Charles Engel

  • 2000 Interest Rate Volatility and Contagion in Emerging Markets: Evidence from the 1990s
    by Sebastian Edwards & Raul Susmel

  • 2000 Interest Rates, Contagion and Capital Controls
    by Sebastian Edwards

  • 2000 Looking for Contagion: Evidence from the ERM
    by Carlo A. Favero & Francesco Giavazzi

  • 2000 Country Portfolios
    by Aart Kraay & Norman Loayza & Luis Serven & Jaume Ventura

  • 2000 Macroeconomic Volatility in Latin America: A View and Three Case Studies
    by Ricardo J. Caballero

  • 2000 The Six Major Puzzles in International Macroeconomics: Is There a Common Cause?
    by Maurice Obstfeld & Kenneth Rogoff

  • 2000 Emerging Equity Markets and Economic Development
    by Geert Bekaert & Campbell R. Harvey & Christian Lundblad

  • 2000 The Rise and Fall of Foreign Exchange Market Intervention
    by Anna J. Schwartz

  • 2000 Financial Crisis, Health Outcomes and Aging: Mexico in the 1980s and 1990s
    by David M. Cutler & Felicia Knaul & Rafael Lozano & Oscar Mendez & Beatriz Zurita

  • 2000 Foreign and Domestic Bank Participation in Emerging Markets: Lessons from Mexico and Argentina
    by Linda Goldberg & B. Gerard Dages & Daniel Kinney

  • 2000 Measuring Real Economic Effects of Bailouts: Historical Perspectives on How Countries in Financial Distress Have Fared With and Without Bailouts
    by Michael D. Bordo & Anna J. Schwartz

  • 2000 Monetary Policy in the Open Economy Revisited: Price Setting and Exchange Rate Flexibility
    by Michael B. Devereux & Charles Engel

  • 2000 The Bail-In Problem: Systematic Goals, Ad Hoc Means
    by Barry Eichengreen & Christof Ruehl

  • 2000 Expectations Hypotheses Tests
    by Geert Bekaert & Robert J. Hodrick

  • 2000 Globalization and International Public Finance
    by Michael Kremer & Paras Mehta

  • 2000 U.S. Banks, Crises, and Bailouts: From Mexico to LTCM
    by Rene M. Stulz

  • 2000 Capital Movements, Banking Insolvency, and Silent Runs in the Asian Financial Crisis
    by Edward J. Kane

  • 2000 Money as Stock: Price Level Determination with no Money Demand
    by John H. Cochrane

  • 2000 Estimating Exchange Rate Exposures: Some "Weighty" Issues
    by Gordon M. Bodnar & M.H. Franco Wong

  • 2000 Causes of the Korean Financial Crisis: Lessons for Policy
    by Joon-Ho Hahm & Frederic S. Mishkin

  • 2000 Would Collective Action Clauses Raise Borrowing Costs?
    by Barry Eichengreen & Ashoka Mody

  • 2000 Lessons from the Asian Crisis
    by Frederic S. Mishkin

  • 2000 Explaining European Short-term Interest Rate Differentials: An Application of Tobin's Portfolio Theory
    by Thomas J. Flavin & Michele G. Limosani

  • 2000 Are Banks Different? Evidence from International Data
    by Claudia M. Buch

  • 2000 Housing finance aspects of the green paper
    by John Hills & Alex Marsh

  • 2000 Too much of a good thing? High oil prices and Russian monetary policy
    by David M. Woodruff

  • 2000 Business risk management in government: pitfalls and possibilities
    by Robert Baldwin & Christopher Hood & Henry Rothstein & Bridget M. Hutter & Michael Power

  • 2000 Is regulation right?
    by Robert Baldwin & Christopher Hood & Henry Rothstein & Bridget M. Hutter & Michael Power

  • 2000 Risk management and business regulation
    by Robert Baldwin & Christopher Hood & Henry Rothstein & Bridget M. Hutter & Michael Power

  • 2000 Financial integration and asset returns
    by Philippe Martin & Helene Rey

  • 2000 Optimal currency areas: why does the exchange rate regime matter? (with an application to UK membership in EMU)
    by Willem H. Buiter

  • 2000 Currency areas, policy domains, and the institutionalization of fixed exchange rates
    by Peter B. Kenen

  • 2000 Monetary misconceptions
    by Willem H. Buiter

  • 2000 Pass-through and Exposure
    by Bodnar, Gordon M. & Dumas, Bernard & Marston, Richard C.

  • 2000 A Simple Model of Foreign Exchange Exposure
    by Bodnar, Gordan M. & Marston, Richard C.

  • 2000 Fiscal Shocks and Fiscal Risk Management
    by Huw Lloyd-Ellis & Xiaodong Zhu

  • 2000 U.S.-Europe Economic Interdependence and Policy Transmission
    by Fabio Ghironi

  • 2000 Crises and Credibility in a Target Zone: A Logit from a Markov-Switching Model
    by M. Isabel Campos & M. Araceli Rodríguez

  • 2000 International Linkages in Short- and Long-Term Interest Rates
    by Guglielmo Maria Caporale & Geoffrey Williams

  • 2000 Information, Announcement, and Listing Effects of ADR Programs and German-U.S. Stock Market Integration
    by Michael Hertzel & Paul Lowengrub & Michael Melvin

  • 2000 How Does Dollarization Affect Real Volatility and Country Risk?
    by Jorge Eduardo Carrera & Mariano Feliz & Demian Panigo

  • 2000 Los flujos de oro y el ajuste externo. Argentina 1903-1913
    by Elías Salama

  • 2000 A tőke forradalma. Lőrinczné Istvánffy Hajna: Nemzetközi pénzügyek. Aula Kiadó, Budapest, 1999, 623 oldal
    by Bácskai, Tamás

  • 2000 The (Past and) Future of European Currencies
    by Giancarlo Corseti & Paolo Pesenti

  • 2000 Macroeconomic Volatility in Latin America: A Conceptual Framework and Three Case Studies
    by Ricardo J. Caballero

  • 2000 Macroeconomic Policy Lessons from LDC's
    by Carlos Alfredo Rodríguez

  • 1999 Exchange Rate Market Tensions in a Small Open Economy During the Transition to EMU: can Asian countries learn from the Portuguese experience in 1992-1995?
    by Margarida Abreu

  • 1999 Finance et stratégie
    by Batsch, Laurent

  • 1999 When to Leave a Monetary Union: Now or Later?
    by Strobel, F.

  • 1999 An eclectic approach to real exchange rate: Determination
    by Cerveró, Susana G.

  • 1999 Global Real Estate Markets: Cycles And Fundamentals
    by William N. Goetzmann & Bradford Case & K. Geert Rouwenhorst

  • 1999 "Nonlinear" covariance matrix and portfolio theory for non-Gaussian multivariate distributions
    by D. Sornette & P. Simonetti & J.V. Andersen

  • 1999 Foreign Portfolio Investors before and during a Crisis
    by Woochan Kim & Shang-Jin Wei

  • 1999 Spurious Welfare Reversals in International Business Cycle Models
    by Jinill Kim & Sunghyun Henry Kim

  • 1999 The New Open Economy Macroeconomics: A Survey
    by Lane, P

  • 1999 The risk premium, exchange rate expectations, and the forward exchange rate: Estimates for the Yen-Dollar rate
    by Landon, Stuart & Smith, Constance

  • 1999 The Consequences and Management of Capital Inflows: Lessons for Sub-Saharan Africa
    by Reinhart, Carmen & Calvo, Guillermo

  • 1999 International Capital Flows: Identifying the Gender Dimension
    by Singh, Ajit & Zammit, Josephine Ann

  • 1999 On the use of reserve requirements in dealing with capital flow problems
    by Reinhart, Carmen & Reinhart, Vincent

  • 1999 Inversión de las corrientes de capital, tipo de cambio y dolarización
    by Reinhart, Carmen & Calvo, Guillermo

  • 1999 Some Parallels Between Currency and Banking Crises: A Comment
    by Reinhart, Carmen

  • 1999 Boom and Bust and Sovereign Ratings
    by Helmut Reisen & Julia von Maltzan

  • 1999 Exchange Rates and Financial Fragility
    by Barry Eichengreen & Ricardo Hausmann

  • 1999 Uncertainty and the Disappearance of International Credit
    by Joshua Aizenman & Nancy P. Marion

  • 1999 Exchange Rate Pass-Through and the Welfare Effects of the Euro
    by Michael B. Devereux & Charles Engel & Cedric Tille

  • 1999 Short-Term Capital Flows
    by Dani Rodrik & Andres Velasco

  • 1999 No Single Currency Regime is Right for All Countries or At All Times
    by Jeffrey A. Frankel

  • 1999 The Determinants of Cross-Border Equity Flows
    by Richard Portes & Helene Rey

  • 1999 New Directions for Stochastic Open Economy Models
    by Maurice Obstfeld & Kenneth Rogoff

  • 1999 Liquidity Crises in Emerging Markets: Theory and Policy
    by Roberto Chang & Andres Velasco

  • 1999 Can Capital Mobility be Destabilizing?
    by Qinglai Meng & Andres Velasco

  • 1999 Japan's Big Bang and the Transformation of Financial Markets
    by Takatoshi Ito & Michael Melvin

  • 1999 Explaining the Cross-Section of Stock Returns in Japan: Factors or Characteristics?
    by Kent Daniel & Sheridan Titman & K.C. John Wei

  • 1999 The Dynamics of Emerging Market Equity Flows
    by Geert Bekaert & Campbell R. Harvey & Robin L. Lumsdaine

  • 1999 Reserve Uncertainty and the Supply of International Credit
    by Joshua Aizenman & Nancy Marion

  • 1999 International Trade and Factor Mobility: An Empirical Investigation
    by Linda S. Goldberg & Michael W. Klein

  • 1999 An International Dynamic Asset Pricing Model
    by Robert J. Hodrick & David Tat-Chee Ng & Paul Sengmueller

  • 1999 Offshore Investment Funds: Monsters in Emerging Markets?
    by Woochan Kim & Shang-Jin Wei

  • 1999 Was Expansionary Monetary Policy Feasible During the Great Contraction? An Examination of the Gold Standard Constraint
    by Michael D. Bordo & Ehsan U. Choudhri & Anna J. Schwartz

  • 1999 Lending Booms, Reserves, and the Sustainability of Short-Term Debt: Inferences from the Pricing of Syndicated Bank Loans
    by Barry Eichengreen & Ashoka Mody

  • 1999 On the Foreign-Exchange Risk Premium in Sticky-Price General Equilibrium Models
    by Charles Engel

  • 1999 Exchange Rates and Local Labor Markets
    by Linda Goldberg & Joseph Tracy

  • 1999 Foreign Portfolio Investors Before and During a Crisis
    by Woochan Kim & Shang-Jin Wei

  • 1999 Self-Protection for Emerging Market Economies
    by Martin Feldstein

  • 1999 Risks to Lenders and Borrowers in International Capital Markets
    by Benjamin E. Hermalin & Andrew K. Rose

  • 1999 International Capital Movements, Financial Volatility and Financial Instability
    by Frederic S. Mishkin

  • 1999 A Simple Model of Monetary Policy and Currency Crises
    by Philippe AGHION & Philippe BACCHETTA & Abhijit BANERJEE

  • 1999 Strategic trading and welfare in a dynamic market
    by Dimitri Vayanos

  • 1999 Alice in Euroland
    by Willem H. Buiter

  • 1999 UDROP: a small contribution to the international financial architecture
    by Willem H. Buiter & Anne Sibert

  • 1999 Privatization, Political Risk and Stock Market Development
    by Perotti, Enrico C & van Oijen, Pieter

  • 1999 The Determinants of Cross-Border Equity Flows
    by Portes, Richard & Rey, Hélène

  • 1999 Currency Crises: A Perspective on Recent Theoretical Developments
    by Jeanne, Olivier

  • 1999 An Optimal Currency Area Perspective of the EU Enlargement to the CEECs
    by Boone, Laurence & Maurel, Mathilde

  • 1999 The New Open Economy Macroeconomics: a Survey
    by Lane, Philip R.

  • 1999 EMU and the External Value of the Euro
    by Demertzis, Maria & Hughes Hallett, Andrew

  • 1999 Do Trading Rules Based upon Winners and Losers Work Across Markets? Evidence from the Pacific Basin and U.S. Markets
    by Hung-Gay Fung & Wai K. Leung & Gary A. Patterson

  • 1999 Ceny v èeském zahranièním obchodì (Prices in Czech Foreign Trade)
    by Tomáš Holub

  • 1998 Both Sides of Corporate Diversification: The Value Impacts of Geographic and Industrial Diversification
    by Bodnar, G.M. & Tang, C. & Weintrop, J.

  • 1998 Pass-Through and Exposure
    by Bodnar, G.M. & Dumas, B. & Marston, R.C.

  • 1998 Heterogeneous "Credit Channels" and Optimal Monetary Policy in a Monetary Union
    by Gambacorta, L.

  • 1998 Inflation and Exchange Rate Regimes in Mexico
    by Li, C.A. & Philippopoulos, A. & Tzavalis, E.

  • 1998 International Tax Arbitrage Tax Evasion amd Interest Parity Conditions
    by Strobel, F.

  • 1998 Internatioanl Tax Arbitrage, Currency Options and Put-Call Parity Conditions
    by Strobel, F.

  • 1998 Why EMU is irrelevant for the German economy
    by Posen, Adam

  • 1998 A Theoretical Analysis of the Investor Protection Regulations Argument for Global Listing of Stocks
    by Oren Fuerst

  • 1998 Is the Malaysian Foreign Exchange Market Efficient?
    by Omar Marashdeh

  • 1998 The Demand for Money in an Open Economy: the Case of Malaysia
    by Omar Marashdeh

  • 1998 Dynamic Hedging in Currency Crisis
    by Malte Krüger

  • 1998 Fiscal Shocks and Fiscal Risk Management
    by H. Lloyd-Ellis & Xiaodong Zhu

  • 1998 Monetary Policy and the Real Exchange Rate: Some Evidence
    by John E. Floyd

  • 1998 Stochastic Monetary Interdependence, Currency Regime Choice and the Operation of Monetary Policy
    by John E. Floyd

  • 1998 Empirical Strategies in Labor Economics
    by Joshua Angrist & Alan Krueger

  • 1998 “Some Lessons for Policy Makers Who Deal with the Mixed Blessing of Capital Inflows,”
    by Reinhart, Carmen & Reinhart, Vincent

  • 1998 Leading Indicators of Currency Crises
    by Reinhart, Carmen & Kaminsky, Graciela & Lizondo, Saul

  • 1998 On crises, contagion, and confusion
    by Reinhart, Carmen & Kaminsky, Graciela

  • 1998 The forward rate unbiasedness hypothesis in inflation-targeting regimes
    by W A Razzak

  • 1998 Real Interest Rate Parity under Regime Shifts: Evidence for Industrial Countries
    by Stilianos Fountas & Jyh-lin Wu

  • 1998 Testing for Real Interest Rate Convergence in European Countries
    by Stilianos Fountas & Jyh-lin Wu

  • 1998 Fixed vs. Floating Exchange Rates: How Price Setting Affects the Optimal Choice of Exchange-Rate Regime
    by Michael B. Devereux & Charles Engel

  • 1998 Does Mercosur Need a Single Currency
    by Barry Eichengreen

  • 1998 The Asian Liquidity Crisis
    by Roberto Chang & Andres Velasco

  • 1998 Interest Rate Volatility, Capital Controls, and Contagion
    by Sebastian Edwards

  • 1998 Employment versus Wage Adjustment and the US Dollar
    by Jose Manuel Campa & Linda S. Goldberg

  • 1998 Currency Hedging and Goods Trade
    by Shang-Jin Wei

  • 1998 Dating the Integration of World Equity Markets
    by Geert Bekaert & Campbell R. Harvey & Robin L. Lumsdaine

  • 1998 Capital Flows and the Behavior of Emerging Market Equity Returns
    by Geert Bekaert & Campbell R. Harvey

  • 1998 Financial Crises in Emerging Markets
    by Roberto Chang & Andres Velasco

  • 1998 Currency Crisis and Unemployment: Sterling in 1931
    by Barry Eichengreen & Olivier Jeanne

  • 1998 Financial Fragility and the Exchange Rate Regime
    by Roberto Chang & Andres Velasco

  • 1998 The Emergence of the Euro as an International Currency
    by Richard Portes & Helene Rey

  • 1998 What Explains Changing Spreads on Emerging-Market Debt: Fundamentals or Market Sentiment?
    by Barry Eichengreen & Ashoka Mody

  • 1998 International Home Bias in International Finance and Business Cycles
    by Karen K. Lewis

  • 1998 Optimal International Asset Allocation and Home Bias
    by Thomas J. Flavin & Michael R. Wickens

  • 1998 Finance capital in the Weimar Republic: does evidence on supervisory board representation support Hilferding's view of the role of large banks in German capitalism?
    by Jeroen F De Boer

  • 1998 Transaction costs and asset prices : a dynamic equilibrium model
    by Dimitri Vayanos

  • 1998 The real exchange rate in transition economies
    by Clemens Grafe & Charles Wyplosz

  • 1998 The Asian Liquidity Crisis
    by Velasco, A. & Chang, R.

  • 1998 Financial Crises in Emerging Markets: A Canonical Model
    by Chang, R. & Velasco, A.

  • 1998 Financial Fragility and the Exchange Rate Regime
    by Chang, R. & Velasco, A.

  • 1998 Economic Convergence of the CEECs with the EU
    by Boone, Laurence & Maurel, Mathilde

  • 1998 Currency Crises, Sunspots and Markov-Switching Regimes
    by Jeanne, Olivier & Masson, Paul R

  • 1998 International Borrowing, Specialization and Unemployment in a Small, Open Economy
    by Osakwe, Patrick N.

  • 1998 Fundamentals, Contagion and Currency Crises: An Empirical Analysis
    by Kruger, Mark & Osakwe, Patrick N. & Page, Jennifer

  • 1998 Транснациональные Финансово-Промышленные Группы И Межгосударственная Экономическая Интеграция: Реальность И Перспективы
    by Цветков В.А.

  • 1998 Visión Retrospectiva de Algunos Aspectos Esenciales de la Economía Chilena a Través de Cuadernos de Economía
    by Dominique Hachette & Fernando Ossa

  • 1997 The Balance of Payments in Belgium and the IMF Approach
    by Mikael Petitjean

  • 1997 Echanges internationaux et économie mondiale
    by Mikael Petitjean

  • 1997 Inflation Under Alternatives Exchange Rate Regimes: What Hapens When Countries are of Different Size?
    by Hughes Hallett, A.J. & Kavanagh, E.

  • 1997 The Emergence of the Euro as an International Currency
    by Alogoskoufis, G. & Portes, R. & Rey, H.

  • 1997 The Effect of the Current Account Balance on Interest Rates
    by Peter S. Spiro

  • 1997 Do Financial Markets Expect a Significant Delay before EMU ?
    by A. Frachot

  • 1997 Real Exchange Rate Misalignments and Growth
    by Ofair Razin & Susan M. Collins

  • 1997 Capital Imports and the Jacksonian Economy: A New View of the Balance of Payments
    by T. J. O. Dick & John E. Floyd

  • 1997 Cost Effectiveness Of Foreign Aid Programs In The Baltics
    by van der Hoek, M. Peter & Chong, Yen Yee

  • 1997 Considerazioni finali del governatore della Banca d’Italia: un commento
    by Schilirò, Daniele

  • 1997 Tests for Interest Rate Convergence and Structural Breaks in the EMS
    by Stilianos Fountas & Jyh-lin Wu

  • 1997 Tests for Interest Rate Convergence and Structural Breaks in the EMS
    by Stilianos Fountas & Jyh-lin Wu

  • 1997 The Mexican Peso Crisis? How Much Did We Know? When Did We Know It?
    by Sebastian Edwards

  • 1997 Foreign Speculators and Emerging Equity Markets
    by Geert Bekaert & Campbell R. Harvey

  • 1997 Both Sides of Corporate Diversification: The Value Impacts of Geographic and Industrial Diversification
    by Gordon M. Bodnar & Charles Tang & Joseph Weintrop

  • 1997 "Peso Problem" Explanations for Term Structure Anomalies
    by Geert Bekaert & Robert J. Hodrick & David A. Marshall

  • 1997 Measuring Market Integration: A Model of Arbitrage with an Econometric Application to the Gold Standard, 1879-1913
    by Gauri Prakash & Alan M. Taylor

  • 1997 Wage Dispersion and Country Price Levels
    by Robert E. Lipsey & Birgitta Swedenborg

  • 1997 Hot Money
    by V. V. Chari & Patrick Kehoe

  • 1997 The Valuation of the Foreign Income of U.S. Multinational Firms: A Growth Opportunities Perspective
    by Gordon M. Bodnar & Joseph Weintrop

  • 1997 The Segmentation of International Markets: Evidence from The Economist
    by Michael M. Knetter

  • 1997 Deutschmark appreciation and structural change: An overview of economic structural reports
    by Schmidt, Klaus-Dieter

  • 1997 Interpreting the ERM crisis: country-specific and systemic issues
    by Willem H. Buiter & Giancarlo M. Corsetti & Paolo A. Pesenti

  • 1997 The real exchange rate in India: determinants and targeting
    by U. Patel & P. Srivastava

  • 1997 Foreign direct investment
    by J. Hatzius

  • 1997 Enterprises in transition: macroeconomic influences on enterprise decision-making and performance
    by Willem H. Buiter & R. Lago & H. Rey

  • 1997 Corporate governance and shareholder rights in Russia
    by D. Willer

  • 1997 Dynamic analysis in the Viner model of mercantilism
    by Heng-fu Zou

  • 1997 International Interest Rate Differentials: The Interaction with Fiscal and Monetary Variables, and the Business Cycle
    by Paul Fenton & Alain Paquet

  • 1997 Politiques économiques et intégration des marchés financiers: que pouvons-nous apprendre des différentiels de taux d'intérêt?
    by Paul Fenton & Alain Paquet

  • 1997 The Emergence of the Euro as an International Currency
    by Alogoskoufis, George & Portes, Richard & Rey, Hélène

  • 1997 Implications of the Great Depression for the Development of the International Monetary System
    by Bordo, Michael D & Eichengreen, Barry

  • 1997 How Will the Euro behave?
    by Cohen, Daniel

  • 1997 How Will Transatlantic Policy Interactions Change with the Advent of EMU?
    by Eichengreen, Barry & Ghironi, Fabio

  • 1997 Sources of Purchasing Power Disparities Between the G3-Economies
    by Weber, Axel A.

  • 1997 Sources of Currency Crisis: An Empirical Analysis
    by Weber, Axel A.

  • 1997 Финансово-Промышленные Группы: История Создания, Международный Опыт, Российская Модель
    by Цветков В.А.

  • 1997 European Monetary Union: an old Keynesian guide to issues
    by T.I. PALLEY

  • 1997 European Monetary Union: an old Keynesian guide to issues
    by T.I. PALLEY

  • 1996 Currency Fluctuations vs. Interest and Inflation Differentials : Does the Double Equality Hold ?
    by Jean-Christian LAMBELET

  • 1996 From Halifax to Lyons : What Has Been Done About Crisis Management?
    by Summers, L-H & Cline, W-R & Eichengreen, B & Portes, R & Fraga, A & Goldstein, M

  • 1996 From Halifax to Lyons : What Has Been Done About Crisis Management?
    by Summers, L-H & Cline, W-R & Eichengreen, B & Portes, R & Fraga, A & Goldstein, M

  • 1996 The credibility of monetary policy: a survey of the literature with some simple applications to Caanda
    by Robert Amano & Paul Fenton & David Tessier & Simon van Norden

  • 1996 Switching Between Chartists and Fundamentalists: A Markov Regime-Switching Approach
    by Robert Vigfusson

  • 1996 Stochastic Monetary Interdependence: The Case for Flexible Exchange Rates Revisited
    by John E. Floyd

  • 1996 Derivative Exposure and the Interest Rate and Exchange Rate Risks of U.S. Banks
    by Jongmoo Jay Choi & Elyas Elyasiani

  • 1996 Capital Flows to Latin America: Is There Evidence of Contagion Effects?”
    by Reinhart, Carmen & Calvo, Sara

  • 1996 Saving Behavior in Low- and Middle-Income Developing Countries: A Comparison
    by Reinhart, Carmen & Ogaki, Masao & Ostry, Jonathan

  • 1996 Dealing with capital inflows: Are there any lessons?
    by Reinhart, Carmen & Dunnaway, Steve

  • 1996 Inflows of capital to developing countries in the 1990s
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo

  • 1996 Goods Prices and Exchange Rates: What Have We Learned?
    by Pinelopi K. Goldberg & Michael M. Knetter

  • 1996 Fundamental Determinants of National Equity Market Returns: A Perspective on Conditional Asset Pricing
    by Wayne E. Ferson & Campbell R. Harvey

  • 1996 Testing for the Fundamental Determinants of the Long-Run Real Exchange Rate: The Case of Taiwan
    by Hsiu-Ling Wu

  • 1996 Issues in Korean Exchange Rate Policy
    by Stanley W. Black

  • 1996 The Effects of Industry Structure on Economic Exposure
    by Richard C. Marston

  • 1996 Fiscal Policy and Monetary Union: Is There a Tradeoff between Federalism and Budgetary Restrictions?
    by Barry Eichengreen & Jurgen von Hagen

  • 1996 Trade and Growth: An Empirical Investigation
    by Jeffrey A. Frankel & David Romer

  • 1996 Japanese FDI in Australia in the 1990s: Manufacturing, Financial Services and Tourism
    by Stephen Nicholas & David Merrett & Greg Whitwell & William Purcell & Sue Kimberley

  • 1996 A Stochastic Dynamic General Equilibrium Model for Greece
    by Kollintzas, Tryphon & Vassilatos, Vanghelis

  • 1996 Relative Labour Productivity and the Real Exchange Rate in the Long Run: Evidence for a Panel of OECD Countries
    by Canzoneri, Matthew B & Cumby, Robert & Diba, Behzad

  • 1996 The Use of SDRs in the Financing of Official Safety-net Mechanisms
    by De Cecco, Marcello & Giavazzi, Francesco

  • 1996 External debt and creditworthiness : theory with evidence
    by Amartya Lahiri & Hinh T. Dinh

  • 1995 Africa's Experience with Structural Adjustment. Proceedings of the Harare Seminar, May 23-24, 1994
    by Kapoor, K.

  • 1995 Intervention and Long Term Bias: Evidence from the Spot U.S. Dollar/Japanese Yen Fractal structure
    by Batten, J. & Ellis, C.

  • 1995 Structural Adjustment and the Effect of Drought: The Case of Zimbabwe
    by Durkan, J.

  • 1995 On the Optimal Exchange Rate Trends
    by Sinclair, P.J.N.

  • 1995 Russian Reform / International Money
    by Yegor Gaidar & Karl Otto Pöhl

  • 1995 Exchange Rates and Oil Prices
    by Robert A. Amano & Simon van Norden

  • 1995 National, regional and international capital markets: Measurement and implications for domestic financial fragility
    by Menzie Chinn & Michael Dooley

  • 1995 Financial and capital account liberalization in the Pacific Basin: Korea and Taiwan during the 1980's
    by Menzie Chinn & William Maloney

  • 1995 The relative influence of US and Japan on real interest rates around the Pacific Rim
    by Menzie Chinn & Jeffery Frankel

  • 1995 More survey data on exchange rate expectations: More currencies, more horizons, more tests
    by Menzie Chinn & Jeffery Frankel

  • 1995 Integration, cointegration and the forecast consistency of structural exchange rate models
    by Yin-Wong Cheung & Menzie Chinn

  • 1995 Whither the Yen? Implications of an intertemporal model of the Yen/Dollar rate
    by Menzie Chinn

  • 1995 Accounting for U.S. Current Account Deficits: An Empirical Investigation
    by Selahattin Dibooglu

  • 1995 Real Disturbances, Relative Prices, and Purchasing Power Parity
    by Selahattin Dibooglu

  • 1995 Oil Prices and the Rise and Fall of the U.S. Real Exchange Rate
    by Robert A. Amano & Simon van Norden

  • 1995 Uncovered Interest Parity: A Further Reconsideration
    by John E. Floyd

  • 1995 The evolution of a global network: a game of coalition formation
    by Chichilnisky, Graciela

  • 1995 Capital inflows to Latin America with reference to the Asian experience
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo

  • 1995 Accounting for U.S. Real Exchange Rate Changes
    by Charles Engel

  • 1995 The Forward Discount Anomaly and the Risk Premium: A Survey of Recent Evidence
    by Charles Engel

  • 1995 Emerging Equity Market Volatility
    by Geert Bekaert & Campbell R. Harvey

  • 1995 One Day in June, 1994: A Study of the Working of Reuters 2000-2 Electronic Foreign Exchange Trading System
    by Charles Goodhart & Takatoshi Ito & Richard Payne

  • 1995 Banks, firms, bad debts and bankruptcy in Hungary 1991-4
    by J. P. Bonin & M. E. Schaffer

  • 1995 Budgetary aspects of stabilization and structural adjustment in India: the painful road to a sustainable fiscal-financial-monetary plan
    by Willem H. Buiter & U. Patel

  • 1995 Macroeconomic policy during a transition to monetary union
    by Willem H. Buiter

  • 1995 European Monetary Unification: The Challenges Ahead
    by Eichengreen, Barry & Ghironi, Fabio

  • 1994 Bank cooperation and banking policy in a monetary union: A political-economy perspective on EMU
    by Grüner, Hans Peter & Hefeker, Carsten

  • 1994 Technical Trading Rule Profitability and Foreign Exchange Intervention
    by Blake LeBaron

  • 1994 A New Meaure of the Korean Current Account
    by Eric O'N. Fisher & YoungSoo Woo

  • 1994 Is US Real GNP Chaotic? On Using the BDS test to Decide Whether an ARMA Model forthe US GNP Genreates I.I.D. Residuals
    by Domenico Mignacca & Mauro Gallegati

  • 1994 Is Money Neutral? Some Evidence for Italy
    by Gianluca Cubadda & Domenico Mignacca

  • 1994 Optimum Currency Areas and Shock Asymmetry A Comparison of Europe and the United States
    by Nick Chamie & Alain DeSerres & Rene Lalonde

  • 1994 Macroeconomic stabilisation and intervention policy under an exchange rate band
    by Beetsma, R.M.W.J. & van der Ploeg, F.

  • 1994 The Macroeconomic Determinants of Commodity Prices
    by Reinhart, Carmen & Borensztein, Eduardo

  • 1994 The Size and Timing of Devaluations in Capital-Controlled Developing Countries
    by Robert Flood & Nancy Marion

  • 1994 Time-Varying World Market Integration
    by Geert Bekaert & Campbell R. Harvey

  • 1994 The Distribution of Exchange Rates in the EMS
    by Charles Engel & Craig S. Hakkio

  • 1994 What Determines Expected International Asset Returns?
    by Campbell R. Harvey & Bruno Solnik & Guofu Zhou

  • 1994 Relative Returns on Equities in Pacific Basin Countries
    by Charles Engel & John H. Rogers

  • 1994 The Implications of First-Order Risk Aversion for Asset Market Risk Premiums
    by Geert Bekaert & Robert J. Hodrick & David A. Marshall

  • 1994 Conditional Asset Allocation in Emerging Markets
    by Campbell R. Harvey

  • 1994 Predictable Risk and Returns in Emerging Markets
    by Campbell R. Harvey

  • 1994 Macroeconomic Stabilization and Intervention Policy Under an Exchange Rate Band
    by Beetsma, Roel & van der Ploeg, Frederick

  • 1994 Short- and Long-term Hedging for the Corporation
    by Dumas, Bernard J

  • 1994 Exchange Rate Strategies and Fiscal Performance in Sub-Saharan Africa
    by Karim Nashashibi & Stefania Bazzoni

  • 1993 Exchange rate crises with domestic bank runs: Evidence from the 1890S
    by Victoria Miller

  • 1993 Intramarginal interventions, bands and the pattern of EMS exchange rate distributions
    by Beetsma, R.M.W.J. & van der Ploeg, F.

  • 1993 “Capital Inflows and Real Exchange Rate Appreciation in Latin America: The Role of External Factors
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo

  • 1993 El problema de la afluencia de capital: Conceptos y temas
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo

  • 1993 Tests of CAPM on an International Portfolio of Bonds and Stocks
    by Charles Engel

  • 1993 An Exploratory Investigation of the Fundamental Determinants of National Equity Market Returns
    by Wayne E. Ferson & Campbell R. Harvey

  • 1993 Emerging Currency Blocs
    by Jeffrey A. Frankel & Shang-Jin Wei

  • 1993 Income transfers in Russia : problems and some policy directions
    by Nicholas Barr

  • 1993 Five weeks in the life of the pound: interest rates
    by D. Robertson & J. Symons

  • 1993 Creating stable monetary systems in post-communist economies
    by J. Rostowski

  • 1993 Foreign Exchange Markets in Russia: Understanding the Reforms
    by Linda S. Goldberg

  • 1992 Irreversible investment with uncertainty and scale economies
    by Avinash Dixit

  • 1992 Exchange Rate Bands and Optimal Monetary Accommodation Under a Dirty Float
    by Beetsma, Roel & van der Ploeg, Frederick

  • 1992 Is There a Conflict Between EC Enlargement and European Monetary Unification?
    by Bayoumi, Tamim & Eichengreen, Barry

  • 1992 Shocking Aspects of European Monetary Unification
    by Bayoumi, Tamim & Eichengreen, Barry

  • 1992 An econometric diffusion model of exchange rate movements within a band : implications for interest rate differential and credibility of exchange rate policy
    by Olavi Rantala

  • 1991 The Japanese Economy
    by Takatoshi Ito

  • 1991 Output Fluctuations and Monetary Shocks: Evidence from Colombia
    by Reinhart, Carmen & Reinhart, Vincent

  • 1991 The stock market and economic development: should developing countries encourage stock markets?
    by Singh, Ajit

  • 1991 Output Fluctuations and Monetary Shocks
    by Reinhart, Carmen & Reinhart, Vincent

  • 1989 Banks exposure to market risks
    by Galy, Michel

  • 1989 Venezuela public debt: 1979-1989
    by Hugo Contreras

  • 1987 Real-Financial Linkages among Open Economies
    by

  • 1982 Time series analysis of UK and US equity portfolios 1926-70
    by Lucien Foldes & Pauline Watson

  • 1981 Quarterly returns to treasury bills: U.K. and U.S. 1926-75
    by Lucien Foldes & Pauline Watson

  • 1978 Quarterly returns to U.K. equities 1919-70
    by Lucien Foldes & Pauline Watson

  • Existence of Sunspot Equilibria and Uniqueness of Spot Market Equilibria: The Case of Intrinsically Complete Markets
    by Thorsten Hens & Beate Pilgrim & Janos Mayer

  • External finance, sudden stops and financial crisis: what is different this time?
    by Gulcin Ozkan & Filiz Unsal

  • Moving People or Jobs? A New Perspective on Immigration and International Outsourcing
    by Hamid Beladi & Avik Chakrabarti

  • Exchange Rate Pass-Through: A Generalization
    by Hamid Beladi & Avik Chakrabarti & Sugata Marjit

  • My Studies in International Economics
    by Robert M. Stern

  • India's Experience in Navigating the Trilemma: Do Capital Controls Help?
    by R. Kohli

  • India's Experience in Navigating the Trilemma: Do Capital Controls Help?
    by R. Kohli

  • Capital Mobility for Developing Countries May Not Be So High
    by Thomas D. Willett & Young Seok Ahn & Manfred W. Keil

  • Inflation Targeting, Sudden Stops and the Cost of Fear of Floating
    by Javier Gómez Pineda

  • The Political Economy of Japan's Big Bang
    by Takatoshi Ito & Michael Melvin

  • Asymmetric Information and Price Discovery in the FX Market: Does Tokyo Know More About the Yen?
    by Michael Melvin & Vincentiu Covrig

  • This information is provided to you by IDEAS at the Research Division of the Federal Reserve Bank of St. Louis using RePEc data.