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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ F: International Economics
/ / F3: International Finance
/ / / F30: General
This topic is covered by the following reading lists:
  1. SOEP based publications
  2. Mondialisation

Most recent items first, undated at the end.
  • 2015 Geographical Diversification with a World Volatility Index
    by Aboura, Sofiane & Chevallier, Julien

  • 2015 Do transfer costs matter for foreign remittances? A gravity model approach
    by Ahmed, Junaid & Martínez-Zarzoso, Inmaculada

  • 2015 The Pro-Russian Conflict and its Impact on Stock Returns in Russia and the Ukraine
    by Manuel Hoffmann & Matthias Neuenkirch

  • 2015 When Bonds Matter: Home Bias in Goods and Assets
    by Nicolas Coeurdacier & Pierre-Olivier Gourinchas

  • 2015 Tax Convergence in the Eurozone
    by Ioana Laura Tibulca

  • 2015 The Relationship Between Credit Default Swap Spreads, Equity Indices and Sector Equity Indices: An Empirical Study on Istanbul Stock Exchange
    by AYBEN KOY

  • 2015 Evolving patterns of payment methods in Turkish foreign trade
    by Turkcan, Kemal

  • 2015 Investigating the Role of Contract Enforcement and Financial Costs on the Payment Choice: Industry-Level Evidence from Turkey
    by Türkcan, Kemal & Avşar, Veysel

  • 2015 Nominal Exchange Rates and Net Foreign Assets' Dynamics: the Stabilization Role of Valuation Effects
    by Eugeni, Sara

  • 2015 Institutional Investors Allocation to Emerging Markets: a Panel Approach to Asset Demand
    by Bonizzi, Bruno

  • 2015 Shock Transmission through International Banks: Austria
    by Esther Segalla

  • 2015 Monetary Policy Independence under Flexible Exchange Rates: An Illusion?
    by Sebastian Edwards

  • 2015 The Taylor Rule, Wealth Effects and the Exchange Rate
    by Rudan Wang & Bruce Morley & Javier Ordóñez

  • 2015 Legal Risk Premia During the Euro-Crisis: The Role of Credit and Redenomination Risk
    by Nordvig, Jens

  • 2015 Toward robust early-warning models: A horse race, ensembles and model uncertainty
    by Holopainen, Markus & Sarlin , Peter

  • 2015 International Currency Exposures, Valuation Effects, and the Global Financial Crisis
    by Jay C. Shambaugh

  • 2015 Remarks at the CPMI’s 25th Anniversary Conference
    by Dudley, William

  • 2015 U.S. macroeconomic and regulatory developments and emerging market economies
    by Musalem, Alberto G.

  • 2015 Coordination and Crisis in Monetary Unions
    by Aguiar, Mark & Amador, Manuel & Farhi, Emmanuel & Gopinath, Gita

  • 2015 International Financial Spillovers to Emerging Market Economies: How Important Are Economic Fundamentals?
    by Ahmed, Shaghil & Coulibaly, Brahima & Zlate, Andrei

  • 2015 Trilemma, not dilemma: financial globalisation and Monetary policy effectiveness
    by Georgiadis, Georgios & Mehl, Arnaud

  • 2015 Financialisation and the Financial and Economic Crises: The Case of Japan
    by Mimoza Shabani & Jan Toporowski

  • 2015 Money and Foreign Trade Ricardo’s “ Magic Numbers”
    by de Boyer des Roches, Jérôme

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

  • 2015 Sovereign Debt Relief and its Aftermath
    by Carmen M. Reinhart & Christoph Trebesch

  • 2015 Management of the External Value of the Renminbi
    by Heikki Oksanen

  • 2015 International Reserves Before and After the Global Crisis: Is There No End to Hoarding?
    by Joshua Aizenman & Yin-Wong Cheung & Hiro Ito

  • 2015 Designing Macro-prudential Policy in Mortgage Lending: Do First Time Buyers Default Less?
    by Kelly, Robert & O'Malley, Terence & O'Toole, Conor

  • 2015 Not all emerging markets are the same: A classification approach with correlation based networks
    by Ahmet Sensoy & Kevser Ozturk & Erk Hacihasanoglu & Benjamin M. Tabak

  • 2015 The impact of liquidity regulation on banks
    by Banerjee, Ryan & Mio, Hitoshi

  • 2015 Reassessing Price-Competitiveness Indicators of the Four Largest Euro-Area Countries and of their Main Trading Partners
    by Alberto Felettigh & Claire Giordano & Giacomo Oddo & Valentina Romano

  • 2015 Motivations for Bilateral Aid Allocation in Korea: Humanitarian, Commercial, or Diplomatic?
    by Bokyeong Park & Hongshik Lee

  • 2015 A Review on the Relationship Between the Real Exchange Rate, Productivity, and Growth
    by Murat Ozbilgin

  • 2015 Volatility Transmission and Dynamic Correlation Analysis between Developed and Emerging European Stock Markets during Sovereign Debt Crisis
    by Murad A.Bein & Gulcay TUNA

  • 2015 Has Nonlinearity Resolved The A Nomaly Of Unit Root Behaviour In Forward Discount ? New Empirical Evidence
    by Aidil Rizal SHAHRIN

  • 2015 Financial Globalisation and the Spatial Limitations of the Financial-monetary Integration in the Euro Area
    by Zoltán Gál

  • 2015 Risikobewertung von Staatsanleihen im Euroraum während der Staatsschuldenkrise von Ansteckungseffekten getrieben
    by Manuel Buchholz & Lena Tonzer

  • 2015 United State’s Dollar & Economic Escalation: A Co Integration Case
    by Amna Nazeer & Wu Jun & Khuram Shafi & Liu Yan Yan & Javed Altaf Satti

  • 2015 Behavior of Exchange Rate Volatility: Once Again in Action
    by Khuram Shafi & Liu Hua & Amna Nazeer & Zahra Idrees

  • 2015 Exchange Rate Volatility and Macroeconomic War: A Comparative Study of India and Pakistan
    by Khuram Shafi & Liu Hua & Zahra Idrees & Amna Nazeer

  • 2015 Exchange Rate Volatility and Oil Prices Shocks
    by Khuram Shafi & Liu Hua & Zahra Idrees & Javed Altaf Satti & Amna Nazeer

  • 2015 Leading indicators of systemic banking crises: Finland in a panel of EU countries
    by Lainà, Patrizio & Nyholm, Juho & Sarlin, Peter

  • 2015 Terrorism, openness and the Feldstein–Horioka paradox
    by Younas, Javed

  • 2015 On the compensation for illiquidity in sovereign credit markets
    by Lafuente, Juan Angel & Serrano, Pedro

  • 2015 Geographical diversification with a World Volatility Index
    by Aboura, Sofiane & Chevallier, Julien

  • 2015 Japan’s exorbitant privilege
    by Rogoff, Kenneth S. & Tashiro, Takeshi

  • 2015 The transmission of US systemic financial stress: Evidence for emerging market economies
    by Fink, Fabian & Schüler, Yves S.

  • 2015 Financial crises and the composition of cross-border lending
    by Cerutti, Eugenio & Hale, Galina & Minoiu, Camelia

  • 2015 Drivers of structural change in cross-border banking since the global financial crisis
    by Bremus, Franziska & Fratzscher, Marcel

  • 2015 A new taxonomy of Sudden Stops: Which Sudden Stops should countries be most concerned about?
    by Cavallo, Eduardo & Powell, Andrew & Pedemonte, Mathieu & Tavella, Pilar

  • 2015 Product market competition and analyst forecasting activity: International evidence
    by Haw, In-Mu & Hu, Bingbing & Lee, Jay Junghun

  • 2015 Credit default swaps and the market for sovereign debt
    by Ismailescu, Iuliana & Phillips, Blake

  • 2015 The nonlinear relationships between stock indexes and exchange rates
    by Ho, Liang-Chun & Huang, Chia-Hsing

  • 2015 Mandatory adoption of IFRS and timely loss recognition across Europe: The effect of corporate finance incentives
    by Chan, Ann L.-C. & Hsu, Audrey W.-H. & Lee, Edward

  • 2015 Managerial risk incentives and investment related agency costs
    by Belghitar, Yacine & Clark, Ephraim

  • 2015 Innovation efficiency, global diversification, and firm value
    by Gao, Wenlian & Chou, Julia

  • 2015 An Analysis of Purchasing Power Parity for the Turkish Economy Using Unit Root Testing with Multiple Structural Breaks
    by Betül GÜR

  • 2015 State aid for research, development and innovation in the European Union competition policy
    by Krzysztof Rutkiewicz

  • 2015 The Implementation Of Single Euro Payments Area In Romania And The Effects On Efficiency
    by Mihaita-Cosmin POPOVICI

  • 2015 The Performance Of Global Banks In Their Cross-Border Activity
    by Andreea POPOVICI & Dragos TURLIUC

  • 2015 Understanding Global Crises: An Emerging Paradigm
    by Assaf Razin

  • 2015 Empirical dynamics of emerging financial markets during the global mortgage crisis
    by Rahmi Erdem Aktug

  • 2015 Preparing France’s balance of payments in accordance with the new international standards: a statistical response to economic globalisation
    by B. Collès. & J. Pavot. & J. Uri.

  • 2014 Sugli effetti salariali e distributivi delle crisi dei regimi di cambio
    by Emiliano Brancaccio & Nadia Garbellini

  • 2014 A provincial view of global imbalances: regional capital flows in China
    by Samuel Cudré & Mathias Hoffmann

  • 2014 Sovereign Credit Risk Co-movements in the Eurozone: Simple Interdependence or Contagion?
    by Tonzer, Lena & Buchholz, Manuel

  • 2014 By a Silken Thread : regional banking integration and pathways to financial development in Japan s Great Recession
    by Hoffmann, Mathias & Okubo, Toshihiro

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

  • 2014 What drives bilateral remittances to Pakistan? A gravity model approach
    by Ahmed, Junaid & Martinez-Zarzoso, Inmaculada

  • 2014 Do Mutual Funds Outperform During Recessions? International (Counter-) Evidence
    by Fink, Christopher & Raatz, Katharina & Weigert, Florian

  • 2014 The Role of Uncertainty Avoidance in Foreign Investment Bias
    by Burcu Erdogan

  • 2014 Fiscal Sustainability and Economic Growth: Case of Bulgaria
    by Irena Nikolova

  • 2014 The Relationship Between Foreign Portfolio Investments And Economic Growth: The Case Of Turkey
    by Mehmet Mucuk & Mustafa Tahir Demirsel

  • 2014 The Effect Of Foreign Direct Investment On Economic Growth: The Case Of Turkey
    by Mustafa Tahir Demirsel & Adem Ö & Mehmet Mucuk

  • 2014 Portfolio Investments and Asset Prices Relationship in Turkey
    by Bilge Bakin & Gozde Gurgun

  • 2014 Socially Responsible and Conventional Investment Funds: Performance Comparison and the Global Financial Crisis
    by Leonardo Becchetti & Rocco Ciciretti & Ambrogio Dalò & Stefano Herzel

  • 2014 Paths to a Reserve Currency: Internationalization of the Renminbi and Its Implications
    by Huang, Yiping & Wang, Daili & Fan, Gang

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

  • 2014 Socially Responsible and Conventional Investment Funds: Performance Comparison and the Global Financial Crisis
    by Leonardo Becchetti & Rocco Ciciretti & Ambrogio Dalo & Stefano Herzel

  • 2014 Financial Integration and the Great Leveraging
    by Daniel Carvalho

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

  • 2014 The role of sponsor and external management on the capital structure of Asian-Pacific REITs: the case of Australia, Japan, and Singapore
    by Chen, Dong & Gao, Yanmin & Kaul, Mayank & Leung, Charles Ka Yui & Tsang, Desmond

  • 2014 On the winning virtuous strategies for ultra high frequency electronic trading in foreign currencies exchange markets
    by Ledenyov, Dimitri O. & Ledenyov, Viktor O.

  • 2014 Determinants of corporate hedging policies and derivatives usage in risk management practices of non-financial firms
    by Chaudhry, Dr. Naveed Iqbal & Mehmood, Mian Saqib & Mehmood, Asif

  • 2014 On the winning virtuous strategies for ultra high frequency electronic trading in foreign currencies exchange markets
    by Ledenyov, Dimitri O. & Ledenyov, Viktor O.

  • 2014 Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa
    by Asongu, Simplice

  • 2014 Is there a rule of thumb for absolute purchasing power parity to hold?
    by Zhang, Zhibai

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

  • 2014 China, the Dollar Peg and U.S. Monetary Policy
    by Tervala, Juha

  • 2014 Un modelo TGARCH con una distribución t de Student asimétrica y las hipotesis de racionalidad de los inversionistas bursátiles en Latinoamérica
    by Lorenzo-Valdes, Arturo & Ruiz-Porras, Antonio

  • 2014 State aid and competitiveness of the hard coal mining industry in the European Union
    by Izabela Jonek-Kowalska

  • 2014 Cooperation between countries to ensure global economic growth: a role for the G20?
    by David Vines

  • 2014 Mutual Assistance between Federal Reserve Banks, 1913-1960 as Prolegomena to the TARGET2 Debate
    by Barry Eichengreen & Arnaud J. Mehl & Livia Chițu & Gary Richardson

  • 2014 Is the Stock Market Just a Side Show? Evidence from a Structural Reform
    by Murillo Campello & Rafael Perez Ribas & Yan Wang

  • 2014 Do Real Exchange Rate Appreciations Matter for Growth?
    by Matthieu Bussière & Claude Lopez & Cédric Tille

  • 2014 Jacques Rueff et la réforme du système monétaire international
    by Frederic Teulon

  • 2014 Financial Crises and Contagion Effects between the US and OECD Equity Markets
    by Ilyes Abid & Khaled Guesmi & Olfa Kaabia & Duc Khuong Nguyen

  • 2014 Co-movements between Germany and International Stock Markets: Some New Evidence from DCC-GARCH and Wavelet Approaches
    by Gazi Salah Uddin & Mohamed Arouri & Aviral Kumar Tiwari

  • 2014 Responses of international stock markets to oil price surges: a regimeswitching perspective
    by Rania Jammazi & Duc Khuong Nguyen

  • 2014 Are emerging markets exposed to contagion from U.S.: Evidence from stock and sovereign bond markets
    by Irfan Akbar Kazi & Hakimzadi Wagan

  • 2014 Interactions between CNY and CNH Money and Forward Exchange Markets
    by David Leung & John Fu

  • 2014 What Makes Systemic Risk Systemic? Contagion and Spillovers in the International Sovereign Debt Market
    by Elena Kalotychou & Eli Remolona & Eliza Wu

  • 2014 Leading indicators of systemic banking crises: Finland in a panel of EU countries
    by Lainà, Patrizio & Nyholm, Juho & Sarlin, Peter

  • 2014 Financial Crisis in Norway and Japan
    by Miyagawa, Shigeyoshi & Morita, Yoji

  • 2014 The China Boom in Latin America: An End to Austerity?
    by Stephen B. Kaplan

  • 2014 The role of education in equity portfolios during the recent financial crisis
    by Udichibarna Bose & Ronald MacDonald & Serafeim Tsoukas

  • 2014 Do Real Exchange Rate Appreciations Matter for Growth?
    by Matthieu Bussière & Claude Lopez & Cédric Tille

  • 2014 What determines the composition of international bank flows?
    by Kerl, Cornelia & Niepmann, Friederike

  • 2014 Global financial stability - the road ahead
    by Dudley, William

  • 2014 Renegotiation Policies in Sovereign Defaults
    by Arellano, Cristina & Bai, Yan

  • 2014 The Stock of External Sovereign Debt: Can We Take the Data at ‘Face Value’?
    by Dias, Daniel A. & Richmond, Christine & Wright, Mark L. J.

  • 2014 Estimating U.S. Cross-Border Securities Positions: New Data and New Methods
    by Bertaut, Carol C. & Judson, Ruth

  • 2014 Financial crises and the composition of cross-border lending
    by Cerutti, Eugenio & Hale, Galina & Minoiu, Camelia

  • 2014 The international monetary and financial system: a capital account perspective
    by Borio, Claudio & James, Harold & Shin, Hyun Song

  • 2014 The international monetary and financial system: its Achilles heel and what to do about it
    by Borio, Claudio

  • 2014 Stability or upheaval? The currency composition of international reserves in the long run
    by Eichengreen, Barry & Livia, Chitu & Mehl, Arnaud

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

  • 2014 Liberalised Capital Accounts and Volatility of Capital Flows and Foreign Exchange Rates
    by Bogdan Bogdanov

  • 2014 Extremal Dependence and Contagion
    by Renée Fry-McKibbin & Cody Yu-Ling Hsiao

  • 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'tVeld & Lukas Vogel

  • 2014 Paths to a Reserve Currency : Internationalization of the Renminbi and Its Implications
    by Yiping Huang & Daili Wang & Gang Fan

  • 2014 Paths to a Reserve Currency : Internationalization of the Renminbi and Its Implications
    by Yiping Huang & Daili Wang & Gang Fan

  • 2014 Drivers of Structural Change in Cross-Border Banking since the Global Financial Crisis
    by Franziska Bremus & Marcel Fratzscher

  • 2014 On the compensation for illiquidity in sovereign credit markets
    by Jonatan Groba & Juan Ángel Lafuente & Pedro Serrano

  • 2014 Do Real Exchange Rate Appreciations Matter for Growth?
    by Bussière, Matthieu & Lopez, Claude & Tille, Cédric

  • 2014 Drivers of Structural Change in Cross-Border Banking Since the Global Financial Crisis
    by Bremus, Franziska & Fratzscher, Marcel

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

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

  • 2014 Dynamic Spanning Tree Approach - The Case Of Asia-Pacific Stock Markets
    by Ahmet Sensoy & Benjamin M. Tabak

  • 2014 Trade and finance: is there more than just 'trade finance'? Evidence from matched bank-firm data
    by Silvia Del Prete & Stefano Federico

  • 2014 Fiscal Policy and Macroeconomic Imbalances
    by Emanuele Baldacci & Sanjeev Gupta & Carlos Mulas-Granados & Fabio Balboni & Mirko Licchetta & Alexander Klemm & Luca Agnello & Gilles Dufrénot & Ricardo M. Sousa & Raffaela Giordano & Marcello Pericoli & Pietro Tommasino & Panagiotis Chronis & George Palaiodimos & Christophe Kamps & Roberta De Stefani & Nadine Leiner-Killinger & Rasmus Rüffer & David Sondermann & Niels Gilbert & Jeroen Hessel & Jorge Cunha & Cláudia Braz & Antonio Bassanetti & Matteo Bugamelli & Sandro Momigliano & Roberto Sabbatini & Francesco Zollino & Karsten Staehr & Atri Mukherjee & Marialuz Moreno Badia & Alex Segura Ubiergo & Carlos Herrero & Pedro Hinojo & Anne-Marie Brook & Ana María Aguilar & Claudia Ramírez & Geert Langenus & Adi Brender & Carlos Cuerpo & Elena Deryugina & Francesco Di Comite & Kazuhiko Ejima & Jonas Fisher & Daniele Franco & Fuad Hasanov & Sebastian Hauptmeier & David Heald & Ida Hjortsoe & Alexandr Hobza & Ana Teresa Holanda De Albuquerque & Juan Jimeno & Christian Kastrop & Walpurga Koehler-Toeglhofer & Jean Le Pavec & Ignazio Lozano & Ranjana Madhusudan & Lucio Pench & Peter Pontuch & Ernesto Rezk & Livio Stracca & Teresa Ter-Minassian & Alessandro Turrini & Sergey Vlasov

  • 2014 The impact of the exchange rate on Luxembourg equity funds
    by Mustafa Kultur & Romuald Morhs

  • 2014 Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa
    by Asongu Simplice

  • 2014 Dollarization and the relationship between EMBI and fundamentals Latin American countries
    by María Lorena Mari del Cristo & Marta Gómez-Puig

  • 2014 Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa
    by Simplice Anutechia Asongu

  • 2014 Origins of Terms in International Economics
    by Alan V. Deardorff

  • 2014 Lists of Terms in International Economics by Subject
    by Alan V. Deardorff

  • 2014 Picture Gallery
    by Alan V. Deardorff

  • 2014 Glossary of Terms in International Economics
    by Alan V. Deardorff

  • 2014 Terms of Trade:Glossary of International Economics
    by Alan V Deardorff

  • 2014 Econometric Methods and Their Applications in Finance, Macro and Related Fields
    by

  • 2014 Economics and Politics of Trade Policy
    by Douglas R Nelson

  • 2014 Contagion Effects of the Global Financial Crisis in US and European Real Economy Sectors
    by Dimitris Kenourgios & Dimitrios Dimitriou

  • 2014 Is the global financial safety net at a tipping point to fragmentation?
    by Adam Hawkins & Jyoti Rahman & Thomas Williamson

  • 2014 Open Innovation as a Response to Constraints and Risks: Evidence from China
    by Xiaolan Fu & Jizhen Li & Hongru Xiong & Henry Chesbrough

  • 2014 Open Innovation as a Response to Constraints and Risks: Evidence from China
    by Xiaolan Fu & Jizhen Li & Hongru Xiong & Henry Chesbrough

  • 2014 Global Production Sharing and Wage Premiums: Evidence from the Thai Manufacturing Sector
    by Archanun Kohpaiboon & Juthathip Jongwanich

  • 2014 A Study on the Relationship between Fiscal Pressure and the Business Confidence Index
    by Georgeta VINTILA & Ioana Laura TIBULCA

  • 2014 The Twin Deficits in Selected Central and Eastern European Economies: Bounds Testing Approach with Causality Analysis
    by Tosun, M. Umur & Iyidogan, Pelin Varol & Telatar, Erdinç

  • 2014 Currency Integration under Labor Mobility: when Cost is incurred
    by Yoshimi, Taiyo

  • 2014 Israeli-Hezbollah War and Global Financial Crisis in the Middle East and North African Equity Markets
    by Bouri, Elie I

  • 2014 Financial Sustainability of the Company
    by Vlad Costicã

  • 2014 Post Crisis Regulatory Reforms – An Overview
    by Stoian Andrei & Becherescu Radu

  • 2014 Economic Diplomacy – the Case of Slovenia
    by Romih Dejan

  • 2014 Tracing the origins of the financial crisis
    by Paul Ramskogler

  • 2014 A Cure Rather than a Disease: Government Ownership and Minority Shareholder Protection
    by Mihail K. Miletkov

  • 2014 The Efficiency of Foreign Exchange Markets in Pakistan: An Empirical Analysis
    by Rizwana Bashir & Rabia Shakir & Badar Ashfaq & Atif Hassan

  • 2014 Colombian international trade and its finance with local banks: A firm level analysis
    by Sergio Restrepo & Jorge Niño & Enrique Montes

  • 2014 Bucharest-Ilfov Region – Between Economic And Social Convergence And Divergence
    by Catalina Mihaela Badoiu

  • 2014 Current Account Dynamics In The Euro Area
    by Yannick Timmer

  • 2014 M&A, Competition And Performance In The Slovenian Banking System
    by Andreea Nicoleta Popovici & Dragos Gabriel Turliuc

  • 2014 Asset Class Diversification and Delegation of Responsibilities between a Central Bank of Sovereign Wealth Fund
    by Joshua Aizenman & Reuven Glick

  • 2014 Equity culture development in Central and Eastern Europe: The role of institutional and managerial factors
    by Stone, Zita & Filippaios, Fragkiskos & Stoian, Carmen

  • 2014 National cultural effects on leverage decisions: Evidence from emerging-market ADRs
    by Wang, Daphne & Esqueda, Omar A.

  • 2014 A time-varying perspective on the CAPM and downside betas
    by Tsai, Hsiu-Jung & Chen, Ming-Chi & Yang, Chih-Yuan

  • 2014 Trading income and bank charter value during the financial crisis: Does derivatives dealer designation matter?
    by Egly, Peter V. & Sun, Jun

  • 2014 Hits and runs: Determinants of the cross-country variation in the severity of impact from the 2008–09 financial crisis
    by Dwyer, Shane & Tan, Chih Ming

  • 2014 Transmission of government default risk in the eurozone
    by Kohonen, Anssi

  • 2014 Official FX interventions through derivatives
    by Kohlscheen, Emanuel & Andrade, Sandro C.

  • 2014 History, gravity and international finance
    by Chiţu, Livia & Eichengreen, Barry & Mehl, Arnaud

  • 2014 Net foreign asset (com)position: Does financial development matter?
    by Vermeulen, Robert & de Haan, Jakob

  • 2014 Accounting for reserves
    by Bayoumi, Tamim & Saborowski, Christian

  • 2014 A dynamic equilibrium model of imperfectly integrated financial markets
    by Bhamra, Harjoat S. & Coeurdacier, Nicolas & Guibaud, Stéphane

  • 2014 Investment and saving and the euro crisis: A new look at Feldstein–Horioka
    by Johnson, Mark A. & Lamdin, Douglas J.

  • 2014 Determinants of financial stress in emerging market economies
    by Park, Cyn-Young & Mercado, Rogelio V.

  • 2014 What factors drive systemic risk during international financial crises?
    by Weiß, Gregor N.F. & Bostandzic, Denefa & Neumann, Sascha

  • 2014 Acquisition pricing in India during 1995–2011: Have Indian acquirers really beaten the odds?
    by Banerjee, Pradip & Banerjee, Prithviraj & De, Soumen & Jindra, Jan & Mukhopadhyay, Jayanta

  • 2014 African stock market returns and liquidity premia
    by Assefa, Tibebe A. & Mollick, André Varella

  • 2014 Financial stress spillovers in advanced economies
    by Apostolakis, George & Papadopoulos, Athanasios P.

  • 2014 An analysis of South-Eastern European stock markets: Evidence on cointegration and portfolio diversification benefits
    by Guidi, Francesco & Ugur, Mehmet

  • 2014 The stock of external sovereign debt: Can we take the data at ‘face value’?
    by Dias, Daniel A. & Richmond, Christine & Wright, Mark L.J.

  • 2014 The impact of the 2008 and 2010 financial crises on the Hurst exponents of international stock markets: Implications for efficiency and contagion
    by Horta, Paulo & Lagoa, Sérgio & Martins, Luís

  • 2014 The effects of sovereign rating drifts on financial return distributions: Evidence from the European Union
    by Do, Hung Xuan & Brooks, Robert & Treepongkaruna, Sirimon & Wu, Eliza

  • 2014 Spillover effects of the 2008 global financial crisis on the volatility of the Indian equity markets: Coupling or uncoupling? A study on sector-based data
    by Dufrénot, Gilles & Keddad, Benjamin

  • 2014 Price discovery for cross-listed firms with foreign IPOs
    by Alhaj-Yaseen, Yaseen S. & Lam, Eddery & Barkoulas, John T.

  • 2014 Time-varying Granger causality tests for applications in global crude oil markets
    by Lu, Feng-bin & Hong, Yong-miao & Wang, Shou-yang & Lai, Kin-keung & Liu, John

  • 2014 Timescale-dependent stock market comovement: BRICs vs. developed markets
    by Lehkonen, Heikki & Heimonen, Kari

  • 2014 Do global factors impact BRICS stock markets? A quantile regression approach
    by Mensi, Walid & Hammoudeh, Shawkat & Reboredo, Juan Carlos & Nguyen, Duc Khuong

  • 2014 Who benefits from regional trade agreements? The view from the stock market
    by Moser, Christoph & Rose, Andrew K.

  • 2014 Equity market contagion during the global financial crisis: Evidence from the world's eight largest economies
    by Dungey, Mardi & Gajurel, Dinesh

  • 2014 Inflation targeting and real exchange rates: A bias correction approach
    by Kim, Jaebeom

  • 2014 Nontradable sector reform and external rebalancing in monetary union: A model-based analysis
    by Vogel, Lukas

  • 2014 Co-movements of GCC emerging stock markets: New evidence from wavelet coherence analysis
    by Aloui, Chaker & Hkiri, Besma

  • 2014 Solving DSGE portfolio choice models with dispersed private information
    by Tille, Cédric & van Wincoop, Eric

  • 2014 When did the dollar overtake sterling as the leading international currency? Evidence from the bond markets
    by Chiţu, Livia & Eichengreen, Barry & Mehl, Arnaud

  • 2014 Analyzing the Sustainability of Current Account in ASEAN Countries: Test of Intertemporal Borrowing Constraints
    by Hüseyin Kalyoncu & Muhittin Kaplan

  • 2014 Análisis económico-político de la balanza de pagos de Colombia (1994-2013)
    by Mariluz Nova Laverde

  • 2014 Financial Globalization in Emerging Economies: Much Ado About Nothing?
    by Eduardo Levy Yeyati & Tomas Williams

  • 2014 Measuring The Evolution Of The Financial Globalization
    by Andrei V. STOIAN

  • 2014 THE ALLOCATION OF EUROPEAN FUNDS IN ROMANIA Title ro:ALOCAREA FONDURILOR EUROPENE ÎN ROMÂNIA
    by Ana Monica POP

  • 2014 The impossible trinity and Krugman?s balance of payments crisis model
    by Partha Sen

  • 2014 The dynamics of European banking union: the process of its making and its role in future financial and economic integration
    by Michael Clauss

  • 2014 Postavenie A Perspektívy Usd A Cny Vo Svetovej Ekonomike
    by Silvia Draková

  • 2014 La balance des paiements de la France selon les nouvelles normes internationales : une réponse statistique à la mondialisation de l’économie
    by COLLÈS, B. & PAVOT, J. & URI, J.

  • 2014(XXIV) Fractal Characteristics Of World Market Commodity Derivatives
    by Mihajlovsky OKSANA

  • 2013 Determinants of Financial Stress in Emerging Market Economies
    by Park, Cyn-Young & Mercado, Jr., Rogelio V.

  • 2013 Asian Capital Market Integration: Theory and Evidence
    by Park, Cyn-Young

  • 2013 Finance internationale et gestion des risques : questions et exercices corrigés
    by Simon, Yves & Roy, Sébastien

  • 2013 Are Sovereign Credit Ratings Pro-Cyclical? A Controversial Issue Revisited in Light of the Current Financial Crisis Abstract: With the present work I aim to shed new light on the debate on possible pro-cyclicality of the foreign sovereign credit ratings issued by credit rating agencies (CRAs), considering their behavior in the current financial crisis. I find that the assumption of a pro-cyclical behavior of CRAs appears to be groundless when referring to the period 2001-2011. Actually, even though the ratings issued throughout the pre-crisis period (2001-2006) are generally higher than the predicted ones, there is no evidence of CRAs assigning unduly worse ratings during the years of the crisis (2007-2011)
    by Paolo Giacomino

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

  • 2013 Remittances, FDI, and Economic Growth in South Asia: Evidence from Panel Data - Rimesse di denaro, Investimenti Diretti Esteri e crescita economica in Sud Africa: evidenze da dati panel
    by Upadhyaya, Kamal P. & Dhakal , Dharmendra & Thapa, Samanta

  • 2013 Sovereign Investment Funds and the International Competitiveness Through Outsourcing in Emerging Countries [Fondurile suverane de investiţii şi competitivitatea internaţională prin outsourcing în ţări emergente]
    by Drăniceanu Doina

  • 2013 The Transmission of US Financial Stress: Evidence for Emerging Market Economies
    by Schüler, Yves S. & Fink, Fabian

  • 2013 The early warnings of balance-of-payments problems: Kaminsky and Reinhart revisited
    by Lang, Michael

  • 2013 Crash Aversion and the Cross-Section of Expected Stock Returns Worldwide
    by Weigert, Florian

  • 2013 Credit in the Structure of the Market Quotation of Financial Assets in Relation to the Islamic Financial Laws
    by Magomet Yandiev & Renat Bekkin

  • 2013 Topical issues related to the formation of the Islamic financial system: at the intersection of philosophy and practice
    by Magomet Yandiev

  • 2013 Corporate Social Responsibility, Stakeholder Risk, and Idiosyncratic Volatility
    by Leonardo Becchetti & Rocco Ciciretti & Iftekhar Hasan

  • 2013 Granger Causality from Exchange Rates to Fundamentals: What Does the Bootstrap Test Show Us?
    by Hsiu-Hsin Ko & Masao Ogaki

  • 2013 Forecasting the NOK/USD Exchange Rate with Machine Learning Techniques
    by Papadimitriou, Theophilos & Gogas, Periklis & Plakandaras, Vasilios

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

  • 2013 Forecasting the NOK/USD Exchange Rate with Machine Learning Techniques
    by Theophilos Papadimitriou & Periklis Gogas & Vasilios Plakandaras

  • 2013 Policy Responses to the Global Financial Crisis: What Did Emerging Economies Do Differently?
    by Ceballos, Francisco & Didier, Tatiana & Hevia, Constantino & Schmukler, Sergio

  • 2013 Foreign direct investment and institutional reform: evidence and an application to Portugal
    by Paulo Júlio & Ricardo Pinheiro-Alves & José Tavares

  • 2013 Global Factors in Capital Flows and Credit Growth
    by Valentina Bruno & Hyun Song Shin

  • 2013 Кризата В Ес – Финансови Рискове За Африка
    by Marinov, Eduard

  • 2013 Globalization and Financial Market Contagion: Evidence from Financial Crisis and Natural Disasters
    by Asongu, Simplice

  • 2013 Financial Integration and Economic Growth
    by Juraev, Nosirjon

  • 2013 Liberalization and financial sector competition: a critical contribution to the empirics with an African assessment
    by Asongu, Simplice A

  • 2013 Goodbye Inflation Targeting, Hello Fear of Floating? Latin America after the Global Financial Crisis
    by Reinhart, Carmen

  • 2013 Trends and Challenges of India’s Balance of Payments
    by Mathew, Dr Jomon

  • 2013 Taxation of Domestic Dividend Income and Foreign Investment Holdings
    by Mishra, Anil V & Ratti, Ronald A

  • 2013 Inequality, poverty and quality of institutions: which freedom channels of globalization matter for Africa?
    by Asongu, Simplice A

  • 2013 The Road to Sustainable Growth in Emerging Markets: The Role of Structural and Monetary Policies in Turkey
    by Aysan, Ahmet Faruk & Güler, Mustafa Haluk & Orman, Cüneyt

  • 2013 Currency Crises in Reverse: Do Large Real Exchange Rate Appreciations Matter for Growth?
    by Bussirère, Matthieu & Lopez, Claude & Tille, Cédric

  • 2013 Crowding Out Redefined: The Role of Reserve Accumulation
    by Carmen M. Reinhart & Takeshi Tashiro

  • 2013 Do Firms Issue more equity when markets are more liquid?
    by René M. Stulz & Dimitrios Vagias & Mathijs A. van Dijk

  • 2013 Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis
    by Joshua Aizenman & Mahir Binici & Michael M. Hutchison

  • 2013 The 1991 Reforms, Indian Economic Growth, and Social Progress
    by Manmohan Agarwal & John Whalley

  • 2013 History, Gravity and International Finance
    by Livia Chițu & Barry Eichengreen & Arnaud J. Mehl

  • 2013 The effects of ownership structure on corporate financing decisions: Evidence from stock market liberalization
    by Thomas Flavin & Thomas O'Connor

  • 2013 The Transmission of US Financial Stress: Evidence for Emerging Market Economies
    by Fabian Fink & Yves S. Schüler

  • 2013 A Bargaining Theory of Trade Invoicing and Pricing
    by Linda Goldberg & Cédric Tille

  • 2013 The Elephant Hiding in the Room: Currency Intervention and Trade Imbalances
    by Joseph E. Gagnon

  • 2013 A New Taxonomy of Sudden Stops: Which Sudden Stops Should Countries Be Most Concerned About?
    by Eduardo A. Cavallo & Andrew Powell & Mathieu Pedemonte & Pilar Tavella

  • 2013 Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis
    by Joshua Aizenman & Mahir Binici & Michael Mercier Hutchison

  • 2013 Finansallaşma Süreci ve Sonuçları: G8 Ülkeleri Örneği
    by Afşar, Muharrem & Meçik, Oytun

  • 2013 Does co-integration and causal relationship exist between the non-stationary variables for Chinese bank’s profitability? Empirical evidence
    by Mondher bellalah & Olivier Levyne & Omar Masood

  • 2013 'By a Silken Thread': regional banking integration and pathways to financial development in Japan's Great Recession
    by Mathias Hoffmann & Toshihiro Okubo

  • 2013 Do Firms Issue More Equity When Markets Are More Liquid?
    by Stulz, Rene M. & Vagias, Dimitrios & Van Dijk, Mathijs A.

  • 2013 Oil Prices, Exchange Rates and Asset Prices
    by Marcel Fratzscher & Daniel Schneider & Ine Van Robays

  • 2013 Correlations between oil and stock markets : a wavelet-based approach
    by Belén Martín-Barragán & Sofía B. Ramos & Helena Veiga

  • 2013 Carry
    by Koijen, Ralph & Moskowitz, Tobias J & Pedersen, Lasse Heje & Vrugt, Evert B.

  • 2013 Crowding Out Redefined: The Role of Reserve Accumulation
    by Reinhart, Carmen M. & Tashiro, Takeshi

  • 2013 Commodity and Equity Markets: Some Stylized Facts from a Copula Approach
    by Delatte, Anne-Laure & Lopez, Claude

  • 2013 A bargaining theory of trade invoicing and pricing
    by Goldberg, Linda S. & Tille, Cédric

  • 2013 Currency Mismatch: New Database and Indicators for Latin America and the Caribbean
    by Martín Tobal

  • 2013 Contagion Effects in the European Nyse Euronext Stock Markets in the Context of the 2010 Sovereign Debt Crisis
    by Paulo Horta

  • 2013 The Micro Dynamics of Macro Announcements
    by Stefan Mittnik & Nikolay Robinzonov & Klaus Wohlrabe

  • 2013 Credit Constraints, Quality, and Export Prices: Theory and Evidence from China
    by Haichao Fan & Edwin L.-C. Lai & Yao Amber Li

  • 2013 Payment Choice in International Trade: Theory and Evidence from Cross-country Firm Level Data
    by Andreas Hoefele & Tim Schmidt-Eisenlohr & Zhihong Yu

  • 2013 Peer Effects in Program Participation
    by Gordon B. Dahl & Katrine Vellesen Loken & Magne Mogstad

  • 2013 Oil Prices, Exchange Rates and Asset Prices
    by Marcel Fratzscher & Daniel Schneider & Ine Van Robays

  • 2013 Exchange Rates and Asset Prices: Heterogeneous Agents at Work
    by Giulia Piccillo

  • 2013 The 90% Public Debt Threshold: The Rise and Fall of a Stylised Fact
    by Balazs Egert

  • 2013 Optimal Fiscal Action in an Economy with Sovereign Premia and without Monetary Independence: An Application to Italy
    by Apostolis Philippopoulos & Petros Varthalitis & Vanghelis Vassilatos

  • 2013 Public Debt, Economic Growth and Nonlinear Effects: Myth or Reality
    by Balazs Egert

  • 2013 'By a Silken Thread': Regional Banking Integration and Pathways to Financial Development in Japan's Great Recession
    by Mathias Hoffmann & Toshihiro Okubo

  • 2013 Putting the EMU integration into a new perspective: the case of capital market holdings
    by George T. Palaiodimos

  • 2013 Exchange Rate Pass-Through in the Global Economy
    by Bussière, M. & Delle Chiaie, S. & Peltonen, T. A.

  • 2013 Commodity and Equity Markets: Some Stylized Facts from a Copula
    by Delatte, A-L. & Lopez, C.

  • 2013 Liberalization and financial sector competition: a critical contribution to the empirics with an African assessment
    by Asongu Simplice

  • 2013 Inequality, poverty and quality of institutions: which freedom channels of globalization matter for Africa?
    by Asongu Simplice

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

  • 2013 Evolving Roles of Sovereign Wealth Managers After the Financial Crisis:Past, Present and Future
    by Bernard Lee

  • 2013 Testing for Causality between the Foreign Direct Investment, Current Account Deficit, GDP and Total Credit: Evidence from G7
    by Yusuf Ekrem Akbas & Mehmet Senturk & Canan Sancar

  • 2013 Which Global Stock Indices Trigger Stronger Contagion Risk in the Vietnamese Stock Market? Evidence Using a Bivariate Analysis
    by Kuan-Min Wang & Hung-Cheng Lai

  • 2013 The Purchasing Power Parity in Emerging Europe: Empirical Results Based on Two-Break Analysis
    by Zorica Mladenović & Kosta Josifidis & Slađana Srdić

  • 2013 Unexploited Gains From International Diversification: Patterns Of Portfolio Holdings Around The World
    by Tatiana Didier & Roberto Rigobon & Sergio L. Schmukler

  • 2013 Currency Union and Foreign Direct Investment Inflow: Evidence from Economic Community of West African States (ECOWAS)
    by Anokye M. Adam

  • 2013 What is Driving India’s Food Inflation? A Survey of Recent Evidence
    by Jayatilleke S. Bandara

  • 2013 Exchange rates and the macroeconomy in an era of global financial crises, with special reference to Australia
    by Peter Kriesler & J W Nevile & G C Harcourt

  • 2013 The Impact of Tax Pressure on Companies’ Performance Case Study: OECD Europe Zone
    by Georgeta VINTILA & Ioana Laura TIBULCA

  • 2013 The Influence Of Foreign Direct Investments On Montenegro Payment Balance
    by Gardasevic, Ana

  • 2013 Inequality, poverty and quality of institutions: which freedom channels of globalization matter for Africa?
    by Asongu, Simplice A.

  • 2013 From Tulips to Black Swans – Have the Financial Rules Changed?
    by Stoian Andrei & Becherescu Radu

  • 2013 In the Spotlight of the Financial Globalization
    by Lupu Iulia & Criste Adina

  • 2013 The Volatility of International Prices During the CrisisAbstract:This crisis imposes with its amplitude and the foreseen duration in time, a strict reconsideration of the whole economico-social system and especially of the financial one. One of the most sensitive aspects is the one of the stability of raw material and agricultural products prices. Volatility prices and its effects upon food safety is a complex matter with drastic effects on short and long term, with a negative impact on the consumers and manufacturers from the developed countries or country which are developing. Another distinction is made between the set of necessary measures in order to prevent volatility and the one to reduce its consequences. The conclusion is that, in the conditions of strong ties on the international market and national markets to solve the problem would take a coordinated effort at a global level
    by Vlad Costica

  • 2013 Sovereign Wealth Funds and the New Dynamics of Globalization in the Context of the Current Financial Crisis: International Competitiveness Through Outsourcing in Emerging Countries
    by Drãniceanu Doina

  • 2013 Currency Warfare As Practice Of The Eurozone’S Effilochement: The Logic Of Geo–Economy In Lieu Of The European Integration Theories
    by Maria DUNIN-WĄSOWICZ

  • 2013 Reasons for the LIBOR review and its effects on international interbank reference rate quotations
    by Szilárd Erhart & Imre Ligeti & Zoltán Molnár

  • 2013 How South African SMEs Can Become Better Candidates for Export Finance
    by Marianne Matthee & André Heymans

  • 2013 Asset Markets Contagion During the Global Financial Crisis
    by Dimitris Kenourgios & Dimitrios Dimitriou & Apostolos Christopoulos

  • 2013 Presidential Elections And Stock Returns In Egypt
    by Yvan Nezerwe

  • 2013 Crowding out redefined: the role of reserve accumulation
    by Reinhart, Carmen M. & Tashiro, Takeshi

  • 2013 Contagion among Central and Eastern European Stock Markets during the Financial Crisis
    by Jozef BARUNÍK & Lukáš VÁCHA

  • 2013 Finansal Krizlerin Belirleyenleri ve Ongorulebilirligi: Turkiye Uzerine Bir Uygulama
    by Muhammet Ali AVCI & N.Oguzhan ALTAY

  • 2013 Learning by devaluating: A supply-side effect of competitive devaluation
    by Tervala, Juha

  • 2013 Has international borrowing or lending driven Australia's net capital inflow?
    by Makin, Anthony J. & Narayan, Paresh Kumar

  • 2013 Price dispersion and the euro: Micro heterogeneity and macro implications
    by Martin, Julien & Mejean, Isabelle

  • 2013 Volatility and return spillovers in Canadian and U.S. industry ETFs
    by Krause, Timothy & Tse, Yiuman

  • 2013 Gross capital flows: Dynamics and crises
    by Broner, Fernando & Didier, Tatiana & Erce, Aitor & Schmukler, Sergio L.

  • 2013 On the determinants of aggregate currency mismatch
    by Baek, Seung-Gwan

  • 2013 Transmission of the global financial crisis to Korea
    by Kim, Bong-Han & Kim, Seewon

  • 2013 How do foreign investors impact domestic economic activity? Evidence from India and China
    by Jotikasthira, Chotibhak & Lundblad, Christian & Ramadorai, Tarun

  • 2013 What drives corporate default risk premia? Evidence from the CDS market
    by Díaz, Antonio & Groba, Jonatan & Serrano, Pedro

  • 2013 The pricing of sovereign risk and contagion during the European sovereign debt crisis
    by Beirne, John & Fratzscher, Marcel

  • 2013 What is the risk of European sovereign debt defaults? Fiscal space, CDS spreads and market pricing of risk
    by Aizenman, Joshua & Hutchison, Michael & Jinjarak, Yothin

  • 2013 What drives China's current account?
    by Hoffmann, Mathias

  • 2013 Real exchange rate fluctuations and the relative importance of nontradables
    by Ouyang, Alice Y. & Rajan, Ramkishen S.

  • 2013 The great intervention and massive money injection: The Japanese experience 2003–2004
    by Watanabe, Tsutomu & Yabu, Tomoyoshi

  • 2013 The European Union, the Euro, and equity market integration
    by Bekaert, Geert & Harvey, Campbell R. & Lundblad, Christian T. & Siegel, Stephan

  • 2013 Overconfidence, experience, and professionalism: An experimental study
    by Menkhoff, Lukas & Schmeling, Maik & Schmidt, Ulrich

  • 2013 Option-implied correlation between iTraxx Europe Financials and Non-Financials Indexes: A measure of spillover effect in European debt crisis
    by Hui, Cho-Hoi & Lo, Chi-Fai & Lau, Chun-Sing

  • 2013 Corporate social responsibility and earnings forecasting unbiasedness
    by Becchetti, Leonardo & Ciciretti, Rocco & Giovannelli, Alessandro

  • 2013 A revisit to the dependence structure between the stock and foreign exchange markets: A dependence-switching copula approach
    by Wang, Yi-Chiuan & Wu, Jyh-Lin & Lai, Yi-Hao

  • 2013 Scale economies and input price elasticities in microfinance institutions
    by Hartarska, Valentina & Shen, Xuan & Mersland, Roy

  • 2013 Commodity and equity markets: Some stylized facts from a copula approach
    by Delatte, Anne-Laure & Lopez, Claude

  • 2013 Are stock market crises contagious? The role of crisis definitions
    by Mierau, Jochen O. & Mink, Mark

  • 2013 Post-listing performance and private sector regulation: The experience of London's Alternative Investment Market
    by Gerakos, Joseph & Lang, Mark & Maffett, Mark

  • 2013 Asymmetric adjustment between oil prices and exchange rates: Empirical evidence from major oil producers and consumers
    by Ahmad, A.H. & Moran Hernandez, Ricardo

  • 2013 Is corporate governance relevant during the financial crisis?
    by Gupta, Kartick & Krishnamurti, Chandrasekhar & Tourani-Rad, Alireza

  • 2013 International herding: Does it differ across sectors?
    by Gębka, Bartosz & Wohar, Mark E.

  • 2013 Sudden spikes in global risk
    by Bacchetta, Philippe & van Wincoop, Eric

  • 2013 Global financial crisis and emerging stock market contagion: A multivariate FIAPARCH–DCC approach
    by Dimitriou, Dimitrios & Kenourgios, Dimitris & Simos, Theodore

  • 2013 An empirical study of nonlinear adjustment in the UIP model using a smooth transition regression model
    by Li, Dandan & Ghoshray, Atanu & Morley, Bruce

  • 2013 Determinants of dividend smoothing in emerging market: The case of Korea
    by Jeong, Jinho

  • 2013 Bond markets co-movement dynamics and macroeconomic factors: Evidence from emerging and frontier markets
    by Piljak, Vanja

  • 2013 Bilateral portfolio dynamics during the global financial crisis
    by Galstyan, Vahagn & Lane, Philip R.

  • 2013 Credit rating agencies and elections in emerging democracies: Guardians of fiscal discipline?
    by Hanusch, Marek & Vaaler, Paul M.

  • 2013 Information transmission between sovereign debt CDS and other financial factors – The case of Latin America
    by Wang, Alan T. & Yang, Sheng-Yung & Yang, Nien-Tzu

  • 2013 Spillovers of currency carry trade returns, market risk sentiment, and U.S. market returns
    by Lee, Hsiu-Chuan & Chang, Shu-Lien

  • 2013 A core–periphery framework in stock markets of the euro zone
    by Dias, José G. & Ramos, Sofia B.

  • 2013 Post-mortem examination of the international financial network
    by Chinazzi, Matteo & Fagiolo, Giorgio & Reyes, Javier A. & Schiavo, Stefano

  • 2013 Macro-hedging for commodity exporters
    by Borensztein, Eduardo & Jeanne, Olivier & Sandri, Damiano

  • 2013 “Capital mobility in East Asian Countries is not so high”: Examining the impact of sterilization on capital flows
    by Ying, Yung-Hsiang & Kuan, Chung-Ming & Tung, Chris Y. & Chang, Koyin

  • 2013 Micro and Macro Determinants of Non-performing Loan
    by Ahlem Selma Messai & Fathi Jouini

  • 2013 Purchasing Power Parity in the Case of Romania: Evidence from Structural Breaks
    by Oguz OCAL

  • 2013 Subprime Crisis and Financial Contagion: Evidence from Tunisia
    by Mongi Gharsellaoui

  • 2013 National Savings And Foreign Capital In Pakistan
    by AFZAL, Muhammad

  • 2013 Teoría del Pecking Order versus teoría del Trade off para la empresa Coservicios S.A. E.S.P
    by Sandra Milena Zambrano Vargas & Gustavo Adolfo Acuña Corredor

  • 2013 Financial Crises Of The Last Two Decades And The Issues To Be Addressed
    by Andrei STOIAN & Radu BECHERESCU

  • 2013 Imperfect financial integration and asymmetric information: competing explanations of the home bias puzzle?
    by Jordi Mondria & Thomas Wu

  • 2013 Wie wehrte Deutschland die Finanz- und Wirtschaftskrise ab? Oder: Das Erfordernis übergreifender Erklärungsansätze
    by Horst Zimmermann

  • 2013 Einheitlicher Abwicklungsmechanismus (SRM) für Europas Banken: Wie ist der Vorschlag der EU-Kommission zu bewerten?
    by Hartmut Koschyk & Thomas Gstädtner & Tobias Tröger & Gunter Dunkel & Michael Kemmer

  • 2013 Realeinkommen und Terms of Trade
    by Wolfgang Nierhaus

  • 2013 Bankenregulierung am Scheideweg
    by Stephan Paul & Stefan Stein

  • 2013 Ein europäisches Bankenrestrukturierungsrecht als Grundbestandteil der europäischen Bankenunion
    by Thomas Gstädtner

  • 2013 Wie ist das EU-Konzept zur Bankenunion zu bewerten?
    by Sabine Lautenschläger & Thomas Gstädtner & Sascha Steffen

  • 2013 Saving the European Union: Are Eurobonds the Answer?
    by George Soros & Hans-Werner Sinn

  • 2013 Slovakia: The Consequences of Joining the Euro Aea before the Crisis for a Small Catching-up Economy
    by Jarko Fidrmuc & Andreas Wörgötter

  • 2013 The Relationship Between Stock Prices and Exchange Rates Evidence from Developed and Developing Countries
    by Onder Buberkoku

  • 2013 Renminbi jako waluta miedzynarodowa - stan obecny oraz ocena perspektyw / Renminbi as international currency - current state and potential perspectives
    by Tomasz Serwach

  • 2013 Fractal Characteristics Of World Market Commodity Derivatives
    by Oksana Mihajlovsky

  • 2013 Hedging against the Government: A Solution to the Home Asset Bias Puzzle
    by Tiago C. Berriel & Saroj Bhattarai

  • 2012 Fine-Tuning an Open Capital Account in a Developing Country: The Indonesian Experience
    by JAYASURIYA, SISIRA & CHEN-YU LEU, SHAWN

  • 2012 'By a Silken Thread': regional banking integration and pathways to financial development in Japan's Great Recession
    by Mathias Hoffmann & Toshihiro Okubo

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

  • 2012 Post-Mortem Examination of the International Financial Network
    by Matteo Chinazzi & Giorgio Fagiolo & Javier A. Reyes & Stefano Schiavo

  • 2012 Explaining Shifts in Exchange Rate Regimes
    by Graham Bird & Alex Mandilaras & Helen Popper

  • 2012 Post-Mortem Examination of the International Financial Network
    by Matteo Chinazzi & Giorgio Fagiolo & Javier A. Reyes & Stefano Schiavo

  • 2012 The High-Frequency Response of the Rand-Dollar rate to Inflation Surprises
    by Greg Farrell & Shakill Hassan & Nicola Viegi

  • 2012 Models of Speculative Attacks and Crashes in International Capital Markets
    by Giancarlo Marini & Giovanni Piersanti

  • 2012 Corporate Social Responsibility and Earnings Forecasting Unbiasedness
    by Leonardo Becchetti & Rocco Ciciretti & Alessandro Giovannelli

  • 2012 Regional Financial Arrangements and the International Monetary Fund
    by Eichengreen, Barry

  • 2012 Sovereign Risk: A Macro-Financial Perspective
    by Das, Udaibir S. & Oliva, Maria A. & Tsuda, Takahiro

  • 2012 International Financial Integration and Crisis Intensity
    by Rose, Andrew K.

  • 2012 A wavelet-based assessment of market risk: The emerging markets case
    by António Rua & Luís Catela Nunes

  • 2012 The High-Frequency Response of the Rand-Dollar Rate to Inflation Surprises
    by Greg Farrell & Shakill Hassan & Nicola Viegi

  • 2012 Moral Hazard in the Euro-Zone?
    by Briceño Avalos, Hernán Ricardo

  • 2012 Küresel Ekonomi ve Türkiye Açısından G20'nin Bugünü ve Geleceği
    by Kibritçioğlu, Aykut

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

  • 2012 Capital Inflows, Credit Booms and Their Risks
    by Reinhart, Carmen

  • 2012 Financial development dynamic thresholds of financial globalization: evidence from Africa
    by Simplice A, Asongu

  • 2012 Transmission of Government Default Risk in the Eurozone
    by Kohonen, Anssi

  • 2012 Behind the Greek default and restructuring of 2012
    by Porzecanski, Arturo C.

  • 2012 Determinants of current account imbalances in the global economy: A dynamic panel analysis
    by Das, Debasish Kumar

  • 2012 Technology Spillover and Determinants of Foreign Direct Investment: An Analysis of Indian Manufacturing Industries
    by smruti, Smruti Ranjan Behera

  • 2012 Nonlinear exchange rate pass-through in timber products: the case of oriented strand board in Canada and the United States
    by Goodwin, Barry K. & Holt, Matthew T. & Prestemon, Jeffrey P.

  • 2012 Nonlinear volatility models in economics: smooth transition and neural network augmented GARCH, APGARCH, FIGARCH and FIAPGARCH models
    by Bildirici, Melike & Ersin, Özgür

  • 2012 Commodity and Equity Markets: Some Stylized Facts from a Copula Approach
    by Delatte, Anne-Laure & Lopez, Claude

  • 2012 Are financial benefits of financial globalization questionable until greater domestic financial development has taken place?
    by Simplice A, Asongu

  • 2012 Opportunities for international portfolio diversification in the balkans’ markets
    by Dimitriou, Dimitrios & Kenourgios, Dimitris

  • 2012 The law of one price and the role of market structure
    by Caglayan, Mustafa & Filiztekin, Alpay

  • 2012 International linkages of Japanese bond markets: an empirical analysis
    by Jeon, Bang Nam & Ji, Philip & Zhang, Hongfang

  • 2012 Globalization, (fighting) corruption and development: how are these phenomena linearly and nonlinearly related in wealth effects?
    by Simplice A, Asongu

  • 2012 Globalization and Africa: implications for human development
    by Simplice A, Asongu

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

  • 2012 African Stock Market Performance Dynamics: A Multidimensional Convergence Assessment
    by Simplice A, Asongu

  • 2012 Tracking Climate Finance: What and How?
    by Christa Clapp & Jane Ellis & Julia Benn & Jan Corfee-Morlot

  • 2012 The Federal Reserve, Emerging Markets, and Capital Controls: A High Frequency Empirical Investigation
    by Sebastian Edwards

  • 2012 Debt- and Equity-Led Capital Flow Episodes
    by Kristin J. Forbes & Francis E. Warnock

  • 2012 Resident Networks and Firm Trade
    by Lauren Cohen & Umit G. Gurun & Christopher J. Malloy

  • 2012 When did the dollar overtake sterling as the leading international currency? Evidence from the bond markets
    by Livia Chitu & Barry Eichengreen & Arnaud J. Mehl

  • 2012 Developing countries' financial vulnerability to the euro crisis: An event study of equity and bond markets
    by Joshua Aizenman & Yothin Jinjarak & Minsoo Lee & Donghyun Park

  • 2012 Debt Overhangs: Past and Present
    by Carmen M. Reinhart & Vincent R. Reinhart & Kenneth S. Rogoff

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

  • 2012 International Consumption Risk Is Shared After All: An Asset Return View
    by Karen K. Lewis & Edith X. Liu

  • 2012 Does Macro-Pru Leak? Evidence from a UK Policy Experiment
    by Shekhar Aiyar & Charles W. Calomiris & Tomasz Wieladek

  • 2012 The influence of Doing Business’ institutional variables in Foreign Direct Investment
    by Andreia Olival

  • 2012 Legal bonding, investor recognition, and cross-listing premia in emerging markets
    by Thomas O'Connor &

  • 2012 Central Bank Communication and Correlation between Financial Markets: Canada and the United States
    by Melanie-Kristin Beck & Bernd Hayo & Matthias Neuenkirch

  • 2012 Foreign activity of Russian banks:reconsidering multinational banking theory
    by Victor Gorshkov

  • 2012 Financial contagion and attention allocation
    by Jordi Mondria & Climent Quintana Domeque

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

  • 2012 Lessons from Reforms in Central and Eastern Europe in the Wake of the Global Financial Crisis
    by Anders Aslund

  • 2012 Global Imbalances and Foreign Asset Expansion by Developing Economy Central Banks
    by Joseph E. Gagnon

  • 2012 Mobilizing Resources for Supporting Environmental Activities in Developing Countries: The Case of the GEF Trust Fund
    by Sebastian Miller & Bok-Keun Yu

  • 2012 All You Need Is Trade: On the In(ter)dependence of Trade and Asset Holdings in Gravity Equations
    by Joern Kleinert & Katja Neugebauer

  • 2012 Convertibility restriction in China’s foreign exchange market and its impact on forward pricing
    by Wang, Yi David

  • 2012 Does finance cause growth? Evidence from the origins of banking in Russia
    by Berkowitz, Daniel & Hoekstra, Mark & Schoors, Koen

  • 2012 Hoarding of International Reserves and Sterilization in Dollarized and Indebted Countries : an effective monetary policy?
    by Layal Mansour

  • 2012 The impact of structural policies on external accounts in infinite-horizon and finite-horizon models
    by Lukas Vogel

  • 2012 The Cross-Section of Stock Returns in Frontier Emerging Markets
    by de Groot, W. & Pang, J. & Swinkels, L.A.P.

  • 2012 Financial Globalization and the Rise of IPOs outside the U.S
    by Doidge, Craig & Karolyi, George Andrew & Stulz, Rene M.

  • 2012 Regional Financial Arrangements and the International Monetary Fund
    by Barry Eichengreen

  • 2012 Sovereign Risk : A Macro-Financial Perspective
    by Udaibir S. Das & Maria A. Oliva & Takahiro Tsuda

  • 2012 International Financial Integration and Crisis Intensity
    by Andrew K. Rose

  • 2012 Regional Financial Arrangements and the International Monetary Fund
    by Barry Eichengreen

  • 2012 Sovereign Risk : A Macro-Financial Perspective
    by Udaibir S. Das & Maria A. Oliva & Takahiro Tsuda

  • 2012 Regional Financial Arrangements and the International Monetary Fund
    by Barry Eichengreen

  • 2012 International Financial Integration and Crisis Intensity
    by Andrew K. Rose

  • 2012 Net Foreign Asset (Com)position: Does Financial Development Matter?
    by Robert Vermeulen & Jakob de Haan

  • 2012 Exporting under Financial Constraints: Margins, Switching Dynamics and Prices
    by Angelo Secchi & Federico Tamagni & Chiara Tomasi

  • 2012 The Pricing of Sovereign Risk and Contagion during the European Sovereign Debt Crisis
    by Beirne, John & Fratzscher, Marcel

  • 2012 Sudden Spikes in Global Risk
    by Bacchetta, Philippe & van Wincoop, Eric

  • 2012 Capital controls and foreign exchange policy
    by Fratzscher, Marcel

  • 2012 Comercio exterior colombiano y su financiación con la banca local: Un análisis a nivel de firma
    by Sergio Restrepo Ängel & Jorge Niño Cuervo & Enrique Montes Uribe

  • 2012 Does macropru leak? Evidence from a UK policy experiment
    by Aiyar, Shekhar & Calomiris , Charles W & Wieladek, Tomasz

  • 2012 Does the Buck Stop Here? A Comparison of Withdrawals from Money Market Mutual Funds with Floating and Constant Share Prices
    by Jonathan Witmer

  • 2012 The Impact of Liberalisation Policies on Inequality in Africa
    by Asongu Simplice & Michael E. Batuo

  • 2012 Globalization, (fighting) corruption and development: how are these phenomena linearly and nonlinearly related in wealth effects?
    by Asongu Simplice

  • 2012 Globalization and Africa: implications for human development
    by Asongu Simplice

  • 2012 Financial development dynamic thresholds of financial globalization: evidence from Africa
    by Asongu Simplice

  • 2012 Are financial benefits of financial globalization questionable until greater domestic financial development has taken place?
    by Asongu Simplice

  • 2012 African Stock Market Performance Dynamics: A Multidimensional Convergence Assessment
    by Asongu Simplice

  • 2012 Foreign Aid, Foreign Direct Investment, and Domestic Investment Nexus in Landlocked Economies of Central Asia
    by Annageldy Arazmuradov

  • 2012 The Concept Of The Formation Of Cross-Border Service Iron And Steel Cluster With A Specialization On The Bulgarian And Romanian Shipyards
    by Olga Iermakova

  • 2012 Thailand: Can Capital Account Liberalization Lessen Capital Volatility in a Country with “Original Sin”?
    by Bokyeong Park & Jiyoun An

  • 2012 Globalization, Financial Crisis And Contagion: Time - Dynamic Evidence From Financial Markets Of Developing Countries
    by Simplice A. ASONGU

  • 2012 European Monetary Union and Foreign Direct Investment Inflows
    by Pantelis Pantelidis & Dimitrios Kyrkilis & Efthymios Nikolopoulos

  • 2012 Seeking The Diversification Benefits With Foreign Equities And Commodities – The Case Of Polish Investor
    by Rados³aw Kurach

  • 2012 Inflows and their Macroeconomic Impact in India a VAR Analysis
    by Narayan Sethi

  • 2012 Respuestas de política a la crisis financiera global: ¿Qué hicieron diferente las economías emergentes?
    by Ceballos, Francisco & Didier, Tatiana & Hevia, Constantino & Schmukler, Sergio

  • 2012 The Rating Agencies In The International Political Economy
    by Aggelos KOTIOS & George GALANOS & Spyros ROUKANAS

  • 2012 Beyond The Allure Of Budgeting: Assessing The Suitability Of Budget For Organisational Performance In The 21st Century
    by Uzoechi Nwagbara

  • 2012 Bank Stress Tests Methodology Used in the Euro Area
    by Costicã Vlad

  • 2012 Banking Regulatory Standards Basel III
    by Costicã Vlad & Maria-Alexandra Spau

  • 2012 The future of the Asian economic and financial community
    by Rintaro Tamaki

  • 2012 Dinâmica da taxa de câmbio em uma economia monetária periférica: uma abordagem keynesiana [Dynamics of the exchange rate in a peripheral monetary economy: a keynesian approach]
    by Rogerio P. de Andrade & Daniela Magalhães Prates

  • 2012 Booms and Busts as Exchange Options
    by Stephen Matteo Miller

  • 2012 Wage-Price Flexibility, Exchange Rate Flexibility, Capital Controls, and the Adjustment Speed in the Money Market
    by Sahar Bahmani

  • 2012 Crisis in the Euro Area and the Euro: The Game of Giants - Euro vs. Dollar
    by Isabella Sima & Camelia Marin & Cristina Tenovici & Elena Nisipeanu

  • 2012 Measuring the risk premium in uncovered interest parity using the component GARCH-M model
    by Li, Dandan & Ghoshray, Atanu & Morley, Bruce

  • 2012 Emerging markets and financial crises: Regional, global or isolated shocks?
    by Kenourgios, Dimitris & Padhi, Puja

  • 2012 Reprint of: The dollar and the current account deficit: How much should we worry?
    by Mussa, Michael

  • 2012 Common trends and common cycles among interest rates of the G7-countries
    by Lindenberg, Nannette & Westermann, Frank

  • 2012 Credit buildups and the stock market in four East Asian economies
    by Kim, Jong Hun & Rousseau, Peter L.

  • 2012 Crisis and recovery: Role of the exchange rate regime in emerging market economies
    by Tsangarides, Charalambos G.

  • 2012 How resilient and countercyclical were emerging economies during the global financial crisis?
    by Didier, Tatiana & Hevia, Constantino & Schmukler, Sergio L.

  • 2012 Globalization, exports, and effective exchange rate indices
    by Ho, Lok Sang

  • 2012 How the Subprime Crisis went global: Evidence from bank credit default swap spreads
    by Eichengreen, Barry & Mody, Ashoka & Nedeljkovic, Milan & Sarno, Lucio

  • 2012 Overreaction in capital flows to emerging markets: Booms and sudden stops
    by Agosin, Manuel R. & Huaita, Franklin

  • 2012 Exchange rate pass-through into import prices revisited: What drives it?
    by Brun-Aguerre, Raphael & Fuertes, Ana-Maria & Phylaktis, Kate

  • 2012 Stock returns’ sensitivities to crisis shocks: Evidence from developed and emerging markets
    by Calomiris, Charles W. & Love, Inessa & Martínez Pería, María Soledad

  • 2012 International welfare effects of monetary policy
    by Tervala, Juha

  • 2012 International diversification: An extreme value approach
    by Chollete, Lorán & de la Peña, Victor & Lu, Ching-Chih

  • 2012 Financial contagion and the real economy
    by Baur, Dirk G.

  • 2012 Asymmetric information among lending syndicate members and the value of repeat lending
    by Gadanecz, Blaise & Kara, Alper & Molyneux, Philip

  • 2012 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
    by Arghyrou, Michael G. & Kontonikas, Alexandros

  • 2012 Substitution or complementary effects between banking and stock markets: Evidence from financial openness in Taiwan
    by Cheng, Su-Yin

  • 2012 Border prices and retail prices
    by Berger, David & Faust, Jon & Rogers, John H. & Steverson, Kai

  • 2012 Rainfall, financial development, and remittances: Evidence from Sub-Saharan Africa
    by Arezki, Rabah & Brückner, Markus

  • 2012 Integration of 22 emerging stock markets: A three-dimensional analysis
    by Graham, Michael & Kiviaho, Jarno & Nikkinen, Jussi

  • 2012 Butterfly effect: The US real estate market downturn and the Asian recession
    by Xue, Yi & He, Yin & Shao, Xinjian

  • 2012 Foreign direct investment and institutional quality: Some empirical evidence
    by Buchanan, Bonnie G. & Le, Quan V. & Rishi, Meenakshi

  • 2012 Cross hedging jet-fuel price exposure
    by Adams, Zeno & Gerner, Mathias

  • 2012 The cross-section of stock returns in frontier emerging markets
    by de Groot, Wilma & Pang, Juan & Swinkels, Laurens

  • 2012 Financial development and the evolution of property rights and legal institutions
    by Miletkov, Mihail & Wintoki, M. Babajide

  • 2012 Corporate governance, agency problems and international cross-listings: A defense of the bonding hypothesis
    by Karolyi, G. Andrew

  • 2012 Return and volatility spillovers among CIVETS stock markets
    by Korkmaz, Turhan & Çevik, Emrah İ. & Atukeren, Erdal

  • 2012 To liberalize or not to liberalize: Political and economic determinants of financial liberalization
    by Kaya, Ilker & Lyubimov, Konstantin & Miletkov, Mihail

  • 2012 Exchange rate regime preferences of the international sector. Firm-level evidence
    by Fernández-Albertos, José

  • 2012 Limited investor attention and the mispricing of American Depositary Receipts
    by Eichler, Stefan

  • 2012 The effect of episodes of large capital inflows on domestic credit
    by Furceri, Davide & Guichard, Stéphanie & Rusticelli, Elena

  • 2012 Assessing the impacts of oil price fluctuations on stock returns in emerging markets
    by Aloui, Chaker & Nguyen, Duc Khuong & Njeh, Hassen

  • 2012 Structural reforms, fiscal consolidation and external rebalancing in monetary union: A model-based analysis
    by Vogel, Lukas

  • 2012 A new measure of financial development: Theory leads measurement
    by Boyd, John H. & Jalal, Abu M.

  • 2012 Efficiency Tests in Foreign Exchange Market
    by Hsien-Yi Lee & Khatanbaatar Sodoikhuu

  • 2012 Stocks, Commodities And Business Cycle Fluctuations – Seeking The Diversification Benefits
    by Radoslaw Kurach

  • 2012 Bankenunion: Ist eine gemeinsame europäische Bankenaufsicht ein neues Instrument der Bankenrettung?
    by Hans-Peter Burghof & Bernhard Speyer & Michael Kemmer & Jörg Rocholl & Georg Fahrenschon & Jörg Asmussen & Clemens Fuest

  • 2012 L'or est-il une valeur refuge pendant les récessions et les crises boursières ?
    by Virginie Coudert & Hélène Raymond

  • 2012 Alternative International Currencies
    by Elena Vladimirovna Rozhentsova

  • 2012 Economic Growth-Current Account Balance Relationship In Oecd Countries: Analysis Of Panel Data
    by C. Erdem Hepaktan & Serkan Cinar

  • 2012 The Financial Crisis And The Early Warning System Models
    by Cristian Stanciu

  • 2012 Global Financial Stability and the Lessons of History: A Review of Carmen M. Reinhart and Kenneth S. Rogoff's This Time Is Different: Eight Centuries of Financial Folly
    by Alan M. Taylor

  • 2011 Capital controls during financial crises: the cases of Malaysia and Thailand Book Title:Financial Crises in Emerging Markets
    by Hali Edison Carmen Reinhart

  • 2011 Global Crises: A Network Perspective on the Economic Integration
    by Leila, Ali

  • 2011 Después del Colapso
    by Reinhart, Carmen M. & Reinhart, Vincent R.

  • 2011 Portfolio holdings in the euro area - home bias and the role of international, domestic and sector-specific factors
    by Jochem, Axel & Volz, Ute

  • 2011 Assessment of effectiveness of Chinese aid in financing development in Sudan
    by Nour, Samia Satti Osman Mohamed

  • 2011 Learning by Devaluating: A Supply-Side Effect of Competitive Devaluation
    by Juha Tervala

  • 2011 International Welfare Effects of Monetary Policy
    by Juha Tervala

  • 2011 Exchange Rate Management in an Era of Global Financial Crises with special reference to Australia
    by J.W. Nevile & Peter Kriesler & Geoff Harcourt

  • 2011 Exporting under financial constraints: margins, switching dynamics and prices
    by Angelo Secchi & Federico Tamagni & Chiara Tomasi

  • 2011 Currency Crises During the Great Recession: Is This Time Different?
    by Tiziano Arduini & Giuseppe De Arcangelis & Carlo L. Del Bello

  • 2011 Measuring the Impact of Trade Finance on South African Export Flows
    by Marcel Kohler & Adrian Saville

  • 2011 Financial Integration in Emerging Asia: Challenges and Prospects
    by Park, Cyn-Young & Lee, Jong-Wha

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

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

  • 2011 Transpacific Imbalances and Macroeconomic Codependency
    by Thorbecke, Willem

  • 2011 The Effect of Exchange Rate Changes on Japanese Consumption Exports
    by Thorbecke, Willem & Kato, Atsuyuki

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

  • 2011 The 2011 Japanese earthquake, tsunami and nuclear crisis: evidence of contagion from international financial markets
    by Simplice A., Asongu

  • 2011 Monetary Union effects on European stock market integration: An international CAPM approach with currency risk
    by Dimitriou, Dimitrios & Simos, Theodore

  • 2011 Political crises and risk of financial contagion in developing countries: Evidence from Africa
    by Simplice A, Asongu

  • 2011 Foreign aid, foreign direct investment and domestic investment nexus in landlocked economies of Central Asia
    by Arazmuradov, Annageldy

  • 2011 Currency Crises During the Great Recession: Is This Time Different?
    by Arduini, Tiziano & De Arcangelis, Giuseppe & Del Bello, Carlo Leone

  • 2011 Cari İşlem Açıklarının Sürdürülebilirliği: 2001-2011 Türkiye Örneği
    by Sahbaz, A

  • 2011 Do financial systems converge? A Comprehensive panel data approach and new evidence from a dataset for 102 countries
    by Veysov, Alexander & Stolbov, Mikhail

  • 2011 2006-2011 Küresel Ekonomik Krizinin Bileşenleri ve Karmaşıklığı
    by Kibritçioğlu, Aykut

  • 2011 The 2011 Japanese earthquake, tsunami and nuclear crisis: evidence of contagion from international financial markets
    by Simplice A., Asongu

  • 2011 Political Crises and Risk of Financial Contagion in Developing Countries: Evidence from Africa
    by Simplice A., Asongu

  • 2011 Capital Controls: A Meta-analysis Approach
    by Magud, Nicolas & Reinhart, Carmen & Rogoff, Kenneth

  • 2011 Globalization, financial crisis and contagion: time-dynamic evidence from financial markets of developing countries
    by Simplice A, Asongu

  • 2011 The Capital Inflow “Problem” Revisited
    by Reinhart, Carmen & Reinhart, Vincent

  • 2011 Indicatori de măsurare a integrării financiare europene. Literature review
    by Avadanei, Andreea

  • 2011 Monitoring and Tracking Long-Term Finance to Support Climate Action
    by Barbara Buchner & Jessica Brown & Jan Corfee-Morlot

  • 2011 The Effect of Episodes of Large Capital Inflows on Domestic Credit
    by Davide Furceri & Stéphanie Guichard & Elena Rusticelli

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

  • 2011 Linking External Sector Imbalances and Changing Financial Instability before the 2008 Financial Crisis
    by John Whalley & Manmohan Agarwal & Jing Wang & Sean Walsh & Chen Yan

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

  • 2011 When Bonds Matter: Home Bias in Goods and Assets
    by Nicolas Coeurdacier & Pierre-Olivier Gourinchas

  • 2011 The Stock of External Sovereign Debt: Can We Take the Data At 'Face Value'?
    by Daniel A. Dias & Christine J. Richmond & Mark L.J. Wright

  • 2011 On the Connections between Intertemporal and Intra-temporal Trades
    by Jiandong Ju & Kang Shi & Shang-Jin Wei

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

  • 2011 The Real Exchange Rate, Real Interest Rates, and the Risk Premium
    by Charles Engel

  • 2011 Dissecting the Effect of Credit Supply on Trade: Evidence from Matched Credit-Export Data
    by Daniel Paravisini & Veronica Rappoport & Philipp Schnabl & Daniel Wolfenzon

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

  • 2011 Multistate asymmetric ACD model: an application to order dynamics in the EUR/PLN spot market
    by Katarzyna Bień-Barkowska

  • 2011 Exchange Rate Policy and Economic Growth after the Financial Crisis in Central and Eastern Europe
    by Zsolt Darvas

  • 2011 FDI and institutional reform in Portugal
    by Paulo Júlio & Ricardo Pinheiro-Alves & José Tavares

  • 2011 Private Information, Human Capital, and Optimal "Home Bias" in Financial Markets
    by Ehrlich, Isaac & Shin, Jong Kook & Yin, Yong

  • 2011 Private Information, Human Capital, and Optimal "Home Bias" in Financial Markets
    by Ehrlich, Isaac & Shin, Jong Kook & Yin, Yong

  • 2011 Bilateral Portfolio Dynamics During the Global Financial Crisis
    by Vahagn Galstyan & Philip Lane

  • 2011 Coordinating Regional and Multilateral Financial Institutions
    by C. Randall Henning

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

  • 2011 The Real Exchange Rate, Real Interest Rates, and the Risk Premium
    by Engel, Charles

  • 2011 Climate Change Funds and Implications for LAC Countries and the IDB
    by Sebastian Miller & Bok-Keun Yu

  • 2011 News Shocks and Asset Price Volatility in General Equilibrium
    by Akito Matsumoto & Pietro Cova & Massimiliano Pisani & Alessandro Rebucci

  • 2011 On Endogenous Risk, the Amplification Effects of Financial Systems and Macro Prudential Policies
    by Giovanni Majnoni & Andrew Powell

  • 2011 Extreme value models in a conditional duration intensity framework
    by Rodrigo Herrera & Bernhard Schipp

  • 2011 The Cross-Section of Country News, Decoupling Expectations, and Global Business Cycles
    by Mathias Hoffmann & Wei Liao

  • 2011 Financial settlement modes and corruption: Evidence from developed nations
    by Mehrotra, Aaron & Goel, Rajeev K.

  • 2011 The trend of the real exchange rate overvaluation in open emerging economies: the case of Brazil
    by André Nassif & Carmem Feijó & Eliane Araújo

  • 2011 Comovement of Central European stock markets using wavelet coherence: Evidence from high-frequency data
    by Jozef Barunik & Lukas Vacha & Ladislav Krištoufek

  • 2011 Structural reforms and external rebalancing in the euro area: a model-based analysis
    by Lukas Vogel

  • 2011 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
    by Michael G. Arghyrou & Alexandros Kontonikas

  • 2011 Can Leading Indicators Assess Country Vulnerability? Evidence from the 2008-09 Global Financial Crisis
    by Frankel, Jeffrey & Saravelos, George

  • 2011 The Effect of Exchange Rate Changes on Japanese Consumption Exports
    by Willem Thorbecke & Atsuyuki Kato

  • 2011 The Effect of Exchange Rate Changes on Japanese Consumption Exports
    by Willem Thorbecke & Atsuyuki Kato

  • 2011 Transpacific Imbalances and Macroeconomic Codependency
    by Willem Thorbecke

  • 2011 Transpacific Imbalances and Macroeconomic Codependency
    by Willem Thorbecke

  • 2011 China’s Dominance Hypothesis and the Emergence of a Tri-polar Global Currency System
    by Fratzscher, Marcel & Mehl, Arnaud

  • 2011 When Bonds Matter: Home Bias in Goods and Assets
    by Coeurdacier, Nicolas & Gourinchas, Pierre-Olivier

  • 2011 130 years of fiscal vulnerabilities and currency crashes in advanced economies
    by Fratzscher, Marcel & Mehl, Arnaud & Vansteenkiste, Isabel

  • 2011 Gross Capital Flows: Dynamics and Crises
    by Broner, Fernando A & Didier, Tatiana & Erce, Aitor & Schmukler, Sergio

  • 2011 Does Trade Cause Capital to Flow? Evidence from Historical Rainfalls
    by Kalemli-Ozcan, Sebnem & Nikolsko-Rzhevskyy, Alex

  • 2011 How do credit conditions shape economic recoveries?
    by Coricelli, Fabrizio & Roland, Isabelle

  • 2011 Trade Credit and International Return Comovement
    by Albuquerque, Rui & Ramadorai, Tarun & Watugala, Sumudu

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

  • 2011 Role of the U.S. Dollar in International Financial System
    by Mária Vojtková

  • 2011 Mapping systemic risk in the international banking network
    by Garratt, Rodney & Mahadeva, Lavan & Svirydzenka, Katsiaryna

  • 2011 The Implicit Theory of Historical Change in the work of Alan S. Milward
    by Frances M. B. Lynch & Fernando Guirao

  • 2011 Why Do Emerging Economies Borrow Short Term?
    by Fernando Broner & Guido Lorenzoni & Sergio L. Schmukler

  • 2011 Real Exchange Rates, Trade, and Growth: Italy 1861-2011
    by Virginia Di Nino & Barry Eichengreen & Massimo Sbracia

  • 2011 The 2011 Japanese earthquake, tsunami and nuclear crisis: evidence of contagion from international financial markets
    by Asongu Simplice

  • 2011 Globalization, financial crisis and contagion: time-dynamic evidence from financial markets of developing countries
    by Asongu Simplice

  • 2011 Political Crises and Risk of Financial Contagion in Developing Countries: Evidence from Africa
    by Asongu Simplice

  • 2011 Rainfall, Financial Development, and Remittances: Evidence from Sub-Saharan Africa
    by Rabah Arezki & Markus Bruckner

  • 2011 Sovereign Wealth:The Role of State Capital in the New Financial Order
    by

  • 2011 Currencies, Crises, Fiscal Policy, and Coordination
    by

  • 2011 Linguistic Globalization Consequence Of Economic Globalization
    by Camelia FIRICÄ‚ & Jean FIRICÄ‚

  • 2011 On Reserve Hoarding In Emes: The Case Of Turkey
    by Ä°mre ERSOY

  • 2011 WPlYW GIElD sWIATOWYCH NA GloWNE INDEKSY GIElDOWE W POLSCE
    by Iwo Augustynski

  • 2011 La gobernanza de una frágil Eurozona
    by Paul De Grauwe

  • 2011 Are Global Imbalances Sustainable? Post Crisis Scenarios
    by Luiz de Mello & Pier Carlo Padoan

  • 2011 China’s Sovereign Wealth Funds: A path to sustained development?
    by Ákos Dani & Ágnes Tõrös

  • 2011 Eurozone stock returns co-movement: Some findings for portfolio managers and central bankers
    by Radoslaw Kurach

  • 2011 The impact of the global economic crisis on working capital of real sector in Turkey
    by Iffet Gorkey Kesimli & Suleyman Gokhan Gunay

  • 2011 Present Issues of Global Economy
    by Vlad Costicã & Mitea Neluþa

  • 2011 Foreign Direct Investments During Financial Crises
    by VINTILA DENISIA MARIANA

  • 2011 Financial Contagion: A Methodology for its Evaluation using Asymptotic Dependence Coefficients
    by Jorge Uribe

  • 2011 The Impact Of Democracy And Corruption On The Debt-Growth Relationship In Developing Countries
    by JOAO TOVAR JALLES

  • 2011 Política Fiscal en EEUU y Europa: Efectos Macroeconómicos de Mediano Plazo
    by Ari Aisen & David Moreno

  • 2011 Place of the Euro and the European Monetary System on the International Scene
    by Mihaela Albici & Delia Teselios

  • 2011 An assessment of another decade of capital controls in Colombia: 1998–2008
    by Concha, Alvaro & Galindo, Arturo José & Vasquez, Diego

  • 2011 Macroeconomic risk and the (de)stabilising role of government size
    by Carmignani, Fabrizio & Colombo, Emilio & Tirelli, Patrizio

  • 2011 Domestic and foreign country bias in international equity portfolios
    by Diyarbakirlioglu, Erkin

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

  • 2011 News shocks and asset price volatility in general equilibrium
    by Matsumoto, Akito & Cova, Pietro & Pisani, Massimiliano & Rebucci, Alessandro

  • 2011 Contagio financiero: una metodología para su evaluación mediante coeficientes de dependencia asintótica
    by Uribe Gil, Jorge Mario

  • 2011 Equity home bias, incomplete financial markets, and nominal rigidities
    by Ke Pang

  • 2011 Eurokrise: Ist eine temporäre Einführung einer Parallelwährung in den Krisenstaaten eine Lösung?
    by Dirk Meyer & Michael Vogelsang & Anton Beer & André ten Dam

  • 2011 Banken unter Druck: Gibt es Auswege aus der neuen Bankenkrise?
    by Stephan Paul & Christian Farruggio & Gerhard Schick & Jan Weder & Jochen Zimmermann & Harald Hau & Bernd Lucke

  • 2011 »Pakt für den Euro«: Kann mit dem Maßnahmenpaket die Europäische Union die Euro-Schuldenkrise überwinden?
    by Georg Milbradt & Joachim Starbatty & Andreas Haufler & Volker Grossmann & Markus Ferber & Lüder Gerken

  • 2011 Umbruch im Weltwährungssystem: Sollte die Zeit freier Wechselkurse beendet werden?
    by Jörg Asmussen & Gunther Schnabl

  • 2011 How to Rescue the Euro: Ten Commandments
    by Hans-Werner Sinn

  • 2011 EMU at Crossroads
    by Bodo Herzog

  • 2011 Agreement needed on Liquidity Provision to Restore Confidence in the Eurozone
    by Stefano Micossi

  • 2011 The Ten Roots of the Euro Crisis
    by Zsolt Darvas

  • 2011 On the Macroeconomics of European Divergence
    by Oliver Landmann

  • 2011 Reforming the Investment Canada Act: Walk More Softly, Carry a Bigger Stick
    by Philippe Bergevin & Daniel Schwanen

  • 2011 Reforming the Investment Canada Act: Walk More Softly, Carry a Bigger Stick
    by Philippe Bergevin & Daniel Schwanen

  • 2011 Go Big or Go Home: Priorities for the Canada-EU Economic and Trade Agreement
    by Daniel Schwanen

  • 2011 Dokumentárne akreditívy a pranie peňazí, financovanie terorizmu a podvody
    by Eva Jančíková

  • 2011 Assessing global liquidity
    by Dietrich Domanski & Ingo Fender & Patrick McGuire

  • 2011 Financial transaction tax: Small is beautiful
    by Zsolt Darvas & Jakob Weizsäcker

  • 2011 Foreign Direct Investment and Financial Resilience: Case of the Mediterranean Countries
    by Semia RACHID

  • 2011 The Local Determinants Of Emerging Market Sovereign Cds Spreads In The Context Of The Debt Crisis. An Explanatory Study "
    by Sorin Gabriel Anton

  • 2011 Public Private Partnerships In Infrastructure Projects
    by Mihnea CRACIUN

  • 2010 Beggar-thyself or beggar-thy-neighbour? The welfare effects of monetary policy
    by Tervala, Juha & Engler, Philipp

  • 2010 The Economic and Monetary Union’s Effect on (International) Trade: the Case of Slovenia Before Euro Adoption
    by Aleksander Aristovnik & Matevz Meze

  • 2010 Temporal Aggregation and Purchasing Power Parity Persistence
    by Yamin Ahmad & William Craighead

  • 2010 Gross capital flows: Dynamics and crises
    by Fernando Broner & Tatiana Didier & Aitor Erce & Sergio L. Schmukler

  • 2010 Globalization and the Output-Inflation Tradeoff : New Time Series Evidence
    by Eijffinger, S.C.W. & Qian, Z.

  • 2010 The 2008 Financial Crisis and Taxation Policy
    by Thomas Hemmelgarn & Gaetan Nicodeme

  • 2010 The 2008 Financial Crisis and Taxation Policy
    by Thomas Hemmelgarn & Gaëtan Nicodème

  • 2010 The Sustainability of South African Current Account Deficits
    by Peter Searle & Albert Touna Mama

  • 2010 Trends in National and Regional Investors Financing Crossborder Infrastructure Projects in Asia
    by De, Prabir & Samudram, Muthi & Moholkar, Sanjeev

  • 2010 The Euro After Its First Decade: Weathering the Financial Storm and Enlarging the Euro Area
    by Regling, Klaus & Deroose, Servaas & Felke, Reinhard & Kutos, Paul

  • 2010 Liberalization and Regulation of Capital Flows: Lessons for Emerging Market Economies
    by Mohan, Rakesh & Kapur, Muneesh

  • 2010 Economics in the mirror of the financial crisis
    by Signorino, Rodolfo

  • 2010 Küresel Finans Krizinin Türkiye'ye Etkileri
    by Kibritçioğlu, Aykut

  • 2010 Capital mobility and macroeconomic volatility: evidence from Greece
    by Anastasios, Pappas

  • 2010 Implication of Single Euro Payments Area for financial services market. The case of Romania
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  • 2010 Cross-Country Causes and Consequences of the Crisis: An Update
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    by Reinhart, Carmen M. & Rogoff, Kenneth

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  • 2010 Australia’s current account deficit in a global imbalances context
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  • 2010 Finansal Stres ve Iktisadi Faaliyet
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  • 2010 Global imbalances: a gathering storm
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  • 2010 Corporate Financial Analysis And Localization Criteria - Emerging Versus Developed Countries: Case Study On It Commercial Companies
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  • 2010 The Impact Of Globalisation On Banking Service Quality In Zimbabwe (2003-2008)
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  • 2010 Mechanisms and Policies for Romanian Balance of Payments' Equilibrium
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  • 2010 La Nature De L`Incertitude Et La Relevance Des Previsions Financi�Res
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  • 2010 Prospects for International Financial Center in the Russian Federation
    by Sergey Drobyshevsky & Elizaveta Khudko & Elena Velikova

  • 2010 Internationalization of the Chinese Renminbi: An Opportunity for China
    by Olaf Stier & Kerstin Bernoth & Alexander Fisher

  • 2010 Die Internationalisierung des chinesischen Renminbi: eine Chance für China
    by Olaf Stier & Kerstin Bernoth & Alexander Fisher

  • 2010 Early Warning Indicators for Latin America
    by Fernando Tenjo & Martha López

  • 2010 Ist eine europäische Wirtschaftsregierung eine sinnvolle Option?
    by Rainer Brüderle & Georg Fahrenschon & Carsten Hefeker & Rainer Schweickert & Konrad Lammers

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    by Hans-Werner Sinn

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  • 2010 The General Framework For Foreign Direct Investments Attraction In Central And Eastern European Countries
    by Mihai MUTASCU & Roxana HETES & Oana MIRU

  • 2010 Accounting Treatment Of Assets Amortization Taken By Means Of Financial Leasing Regime
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  • 2010 Risk and Global Economic Architecture: Why Full Financial Integration May Be Undesirable
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  • 2009 Finance internationale
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  • 2009 Country Risk Analysis: A Survey of the Quantitative Methods
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  • 2009 The Effect of Country Default Risk on Foreign Direct Investment
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  • 2009 International Financial Services: Location Preferences and Economies
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  • 2009 La intolerancia a la deuda
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  • 2009 How Persistent are International Capital Flows?
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  • 2009 Sovereign wealth - no fund: The decisive role of domestic veto players
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  • 2009 Staatsfonds - neue Akteure an den Finanzmärkten?
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  • 2009 Convergence of EMU Equity Portfolios
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  • 2009 The Impact of Remittances on Economic Insecurity
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  • 2009 Do Multilateral Trade Linkages Explain Bilateral Real Exchange Rate Volatility?
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  • 2009 Overreaction in capital flows to emerging markets: Booms and sudden stops
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  • 2009 When bonds matter: home bias in goods and assets
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  • 2009 International portfolios with supply, demand and redistributive shocks
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  • 2009 Global imbalances and prospects for the world economy
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  • 2009 The Financial Crisis and Money Markets in Emerging Asia
    by Rigg, Robert & Schou-Zibell, Lotte

  • 2009 Lessons of the Crisis for Emerging Markets
    by Eichengreen, Barry

  • 2009 Reform of the International Financial Architecture: An Asian Perspective
    by Kawai, Masahiro

  • 2009 Thailand's Growth Rebalancing
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  • 2009 Le nouveau mercantilisme et sa crise. Eléments de discussion (The new Mercantilism and its crisis elements for discussion )
    by dIMITRI UZUNIDIS & Dimitris PATELIS

  • 2009 International comovement of stock market returns: a wavelet analysis
    by António Rua & Luís Catela Nunes

  • 2009 Heterogeneity of the Maghreb: the results of optimized monetary rules
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  • 2009 Liquidity, volume and dividend yields in stock return data: Evidence from London Stock Exchange
    by Vasilakis, Chrysovalantis & Samitas, Aristeidis

  • 2009 Вплив Екзогенних Чинників На Розвиток Українського Фондового Ринку
    by Petrushchak, Bohdan

  • 2009 Uninsurable Risk and Financial Market Puzzles
    by Basu, Parantap & Semenov, Andrei & Wada, Kenji

  • 2009 The Second Great Contraction
    by Reinhart, Carmen

  • 2009 Impact of the Financial Turmoil on the Romanian Capital Market
    by Susanu, Monica & Micu, Adrian & Micu, Angela Eliza

  • 2009 Macroeconomic Implications of Capital Inflows in India
    by Masood, Tariq & Ahmad, Mohd. Izhar

  • 2009 Functional overview of financial crises development and propagation
    by Popa, Catalin C.

  • 2009 Latin America: The Missing Financial Crisis
    by Porzecanski, Arturo C.

  • 2009 Global Stock Markets Development and Integration: with Special Reference to BRIC Countries
    by Chittedi, Krishna Reddy

  • 2009 This Time It’s Different: Eight Centuries of Financial Folly-Preface
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  • 2009 The Economic and Monetary Union’s effect on (international) trade: the case of Slovenia before euro adoption
    by Aristovnik, Aleksander & Matevz, Meze

  • 2009 Basic Principles of Hedge Accounting
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  • 2009 Overborrowing and Systemic Externalities in the Business Cycle
    by Bianchi, Javier

  • 2009 Overborrowing and Systemic Externalities in the Business Cycle
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  • 2009 The Role of Information Asimmetries and Inflation Hedging in International Equity Portfolios
    by Giofré, Maela M.

  • 2009 Post-Subprime Crisis: China Banking and GATS Liberalization
    by Killion, M. Ulric

  • 2009 Thirty Years of Currency Crises in Argentina: External Shocks or Domestic Fragility?
    by Graciela Kaminsky & Amine Mati & Nada Choueiri

  • 2009 Macro-Hedging for Commodity Exporters
    by Eduardo Borensztein & Olivier Jeanne & Damiano Sandri

  • 2009 Cross-Country Causes and Consequences of the 2008 Crisis: International Linkages and American Exposure
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  • 2009 Cross-Country Causes and Consequences of the 2008 Crisis: Early Warning
    by Andrew K. Rose & Mark M. Spiegel

  • 2009 FORTY YEARS OF LATIN AMERICA'S ECONOMIC DEVELOPMENT: From the Alliance for Progress to the Washington Consensus
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  • 2009 Latin America's Decline: A Long Historical View
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  • 2009 What Lies Beneath the Euro's Effect on Financial Integration: Currency Risk, Legal Harmonization, or Trade?
    by Sebnem Kalemli-Ozcan & Elias Papaioannou & José-Luis Peydró

  • 2009 Financial Openness and Productivity
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  • 2009 The sequencing of stock market liberalization events and corporate financing decisions
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  • 2009 News and Correlations of CEEC-3 Financial Markets
    by David Büttner & Bernd Hayo

  • 2009 The Impact of Foreign Macroeconomic News on Financial Markets in the Czech Republic, Hungary, and Poland
    by David Büttner & Bernd Hayo & Matthias Neuenkirch

  • 2009 Government Size and International Consumption Risk Sharing
    by Markus Leibrecht & Johann Scharler

  • 2009 The Transatlantic Banking Crisis: Lessons and EU Reforms
    by Welfens, Paul J. J.

  • 2009 Speculative Attacks: A Laboratory Study in Continuous Time
    by Yin-Wong Cheung & Daniel Friedman

  • 2009 A Structural Investigation into the Price and Wage Dynamics in Hong Kong
    by Michael Cheng & Wai-Yip Alex Ho

  • 2009 International Diversification: A Copula Approach
    by Chollete, Loran & Pena, Victor de la & Lu, Ching-Chih

  • 2009 International Diversification: An Extreme Value Approach
    by Chollete, Loran & de la Pena , Victor & Lu, Ching-Chih

  • 2009 China'S Financial Market Integration With The World
    by Johansson, Anders C.

  • 2009 Export pricing and the cross-country correlation of stock prices
    by Tervala, Juha

  • 2009 The pass-through effect: a twofold analysis
    by Antonio Forte

  • 2009 The Influence of Economics and Politics on the Structure of World Trade and Investment Flows
    by Shiro Armstrong & Peter Drysdale

  • 2009 Global imbalances and prospects for the world economy
    by Steven Dunaway

  • 2009 Global and Regional Spillovers in Emerging Stock Markets: A Multivariate GARCH-in-Mean Analysis
    by John Beirne & Guglielmo Maria Caporale & Marianne Schulze-Ghattas & Nicola Spagnolo

  • 2009 Volatility Spillovers and Contagion from Mature to Emerging Stock Markets
    by John Beirne & Guglielmo Maria Caporale & Marianne Schulze-Ghattas & Nicola Spagnolo

  • 2009 On the endogeneity of exchange rate regimes
    by Eduardo Levy-Yeyati & Federico Sturzenegger & Iliana Reggio

  • 2009 Convergence of EMU Equity Portfolios
    by Maela Giofré

  • 2009 Macro-Hedging for Commodity Exporters
    by Borensztein, Eduardo & Jeanne, Olivier & Sandri, Damiano

  • 2009 Cross-Country Causes and Consequences of the 2008 Crisis: International Linkages and American Exposure
    by Rose, Andrew K & Spiegel, Mark

  • 2009 Cross-Country Causes and Consequences of the 2008 Crisis: Early Warning
    by Rose, Andrew K & Spiegel, Mark

  • 2009 What Lies Beneath the Euro's Effect on Financial Integration? Currency Risk, Legal Harmonization, or Trade?
    by Kalemli-Ozcan, Sebnem & Papaioannou, Elias & Peydró, José Luis

  • 2009 The Aftermath of Financial Crises
    by Reinhart, Carmen M. & Rogoff, Kenneth

  • 2009 Labor Laws and Innovation
    by Acharya, Viral V & Baghai, Ramin & Subramanian, Krishnamurthy

  • 2009 International propagation of shocks: an evaluation of contagion effects for some Latin American countries
    by Ramirez, Manuel & Martínez, Constanza

  • 2009 Long-run Performance Following Cross-Listing: A Re-examination
    by Cécile Carpentier & Jean-François L'Her & Jean-Marc Suret

  • 2009 Contagion Effects of the Subprime Crisis in the European Nyse-Euronext Markets
    by Paulo Horta & Carlos Mendes & Isabel Vieira

  • 2009 Margins of International Banking: Is there a Productivity Pecking Order in Banking, too?
    by Claudia M. Buch & Cathérine Tahmee Koch & Michael Kötter

  • 2009 Early Warning System for Economic and Financial Risks in Kazakhstan
    by Biswa N. Bhattacharyay & Dennis Dlugosch & Benedikt Kolb & Kajal Lahiri & Irshat Mukhametov & Gernot Nerb

  • 2009 Towards a Macroprudential Surveillance and Remedial Policy Formulation System for Monitoring Financial Crisis
    by Biswa N. Bhattacharyay

  • 2009 Global and Regional Spillovers in Emerging Stock Markets: A Multivariate GARCH-in-mean Analysis
    by John Beirne & Guglielmo Maria Caporale & Marianne Schulze-Ghattas & Nicola Spagnolo

  • 2009 The Crisis in the Foreign Exchange Market
    by Michael Melvin & Mark P. Taylor

  • 2009 On the Influence of Oil Prices on Stock Markets: Evidence from Panel Analysis in GCC Countries
    by Mohamed El hedi Arouri & Christophe Rault

  • 2009 China's Current Account and Exchange Rate
    by Yin-Wong Cheung & Menzie D. Chinn & Eiji Fujii

  • 2009 Volatility Spillovers and Contagion from Mature to Emerging Stock Markets
    by John Beirne & Guglielmo Maria Caporale & Marianne Schulze-Ghattas & Nicola Spagnolo

  • 2009 Consumption Risk Sharing over the Business Cycle: the Role of Small Firms' Access to Credit Markets
    by Mathias Hoffmann & Iryna Shcherbakova

  • 2009 International financial transmission: emerging and mature markets
    by Felices, Guillermo & Grisse, Christian & Yang, Jing

  • 2009 Short Changed? The Market's Reaction to the Short Sale Ban of 2008
    by Louis Gagnon & Jonathan Witmer

  • 2009 Global Asset Pricing: Is There a Role for Long-run Consumption Risk?
    by Jesper Rangvid & Maik Schmeling & Andreas Schrimpf

  • 2009 Improving tax administration: Russian practice and China`s experience
    by Gavriil Agarkov & Alexei Naidenov & Anastasiya Chusova

  • 2009 Marco Institucional de la Contabilidad y las Finanzas
    by Galindo Lucas, Alfonso

  • 2009 Is the 2007 U.S. Sub-Prime Financial Crisis So Different? An International Historical Comparison
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2009 Global financial structure and climate change
    by Whalley, John & Yuan, Yufei

  • 2009 Devaluation and trade balance in Latin American countries
    by Huseyin Kalyoncu & Ilhan Ozturk & Seyfettin Artan & Kahraman Kalyoncu

  • 2009 Institutions for Social Well-Being: The Author’s Reply
    by Lilia Costabile

  • 2009 Stakeholder networks of foreign investors in Russia: An empirical study among German firms
    by Dirk Holtbruegge & Jonas F. Puck

  • 2009 Effects Of Residual Value Revision On The Lessor’S Results In The Finance Lease Contracts
    by Tulvinschi Mihaela & Chirita Irina

  • 2009 CANCELLATION OF A LEASING CONTRACT a€“ EVALUATING THE ASSET REGAINED
    by PAUNESCU MIRELA

  • 2009 The Crisis Of The Preglobal Era. The European Solution
    by Dinu Marin

  • 2009 Testing the sustainability of current account deficits in developing economies:evidence from Egypt, Morocco, and Tunisia
    by Marial A. Yol

  • 2009 A Comparison of Two Alternative Monetary Approaches to Exchange Rate Determination over the Long-Run
    by Bruce Morley

  • 2009 Half-Life Deviations from PPP in the South African Development Community (SADC)
    by Thabo M. Mokoena & Gupta, R. & Van Eyden, R.

  • 2009 Thirty Years of Currency Crises in Argentina: External Shocks or Domestic Fragility?
    by Graciela Kaminsky & Amine Mati & Nada Choueiri

  • 2009 Interactions between US and UK interest rates and news spillovers: the impact of the EMU
    by Yves Kuhry & Sukriye Tuysuz

  • 2009 Obchodovanie na svetových menových trhoch Forex - trading a jeho základné piliere
    by Jozef Portašík

  • 2009 An Empirical Examination of Bilateral Interaction Between Foreign Investors’ Trading and Returns in Turkey
    by Hasan F. Baklaci

  • 2009 Jinx Numbers Effect
    by Ekrem Tufan & Bahattin Hamarat

  • 2009 Investigação da Mobilidade de Capitais da Paridade Coberta de Juros com Modelos de Parâmetros Fixos e Variáveis
    by Soraia Santos da Silva & Divanildo Triches & Ronald Otto Hillbrecht

  • 2009 The Role Of European Union In Financing International Development Using Budget Support
    by Lect. Ph.D Daea Alexandra Renate & Lect. Ph.D. Mangra Madalina Giorgiana & Assoc. Prof. Ph.D. Stanciu Marieta

  • 2009 Fed’S “Quantitave Easing Action”– More Than A Move For Us Economy Revitalization?
    by Lect. Ph.D Rizescu Sabin & Lect. Ph.D Stanciu Cristian Valeriu & Prof. Ph.D Spulbar Cristi

  • 2009 Joining Euro Very Rapidly – A Step Forward For Non-Euro Eu Members ?
    by Prof. Ph.D Spulbar Cristi & Lect. Ph.D Rizescu Sabin & Lect. Ph.D Stanciu Cristian Valeriu

  • 2008 Half-Life Deviations from PPP in the SADC
    by Thabo Mokoena & Rangan Gupta & Renee van Eyden

  • 2008 Relative Prices and Wages in China: Evidence from a Panel of Provincial Data
    by Nagayasu, Jun & Liu, Ying

  • 2008 The current global financial turmoil and Asian developing countries
    by Yılmaz AKYÜZ

  • 2008 İkiz açıklar hipotezi: Türkiye analizi
    by A. Öznur ÜMİT & Kemal YILDIRIM

  • 2008 Export production, hedging exchange rate risk: the duopoly case
    by Broll, Udo & Wahl, Jack E. & Wessel, Christoph

  • 2008 Do Markets Care About Central Bank Governor Changes? Evidence from Emerging Markets
    by Dreher, Axel & Moser, Christoph

  • 2008 The Lucas Paradox and the quality of institutions: then and now
    by Schularick, Moritz & Steger, Thomas M.

  • 2008 Globalization,the Output-Inflation Tradeoff, and Inflation
    by Harald Badinger

  • 2008 International reserves, growth and effective demand
    by Peter Kriesler & Moritz Cruz

  • 2008 Securitization in East Asia
    by Lejot , Paul & Arner, Douglas & Schou-Zibell, Lotte

  • 2008 Ialamic finance education at graduate level: Current position and challenges
    by Hasan, Zubair

  • 2008 Note sur la crise financière internationale
    by Tsasa V. Kimbambu, Jean-Paul

  • 2008 Ефективність Міжнародних Злиттів І Поглинань В Банківській Сфері: Роль Синергетичних Вигод
    by Namonyuk, Vasyl

  • 2008 Exchange Rate Volatility and Non-Traditional Exports Performance: Zambia, 1965–1999
    by Musonda, Anthony

  • 2008 One or Two Monies?
    by Janet Hua, Jiang & Mei, Dong

  • 2008 The center and the periphery: The globalization of financial turmoil
    by Reinhart, Carmen & Kaminsky, Graciela

  • 2008 Bias in foreign equity portfolios: households versus professional investors
    by Giofré, Maela M.

  • 2008 Convergence of EMU Equity Portfolios
    by Giofré, Maela/M.

  • 2008 Financial Integration and Macroeconomic Volatility: Does Financial Development Matter?
    by Eozenou, Patrick

  • 2008 A Common Currency Area for MENA Countries? A VAR Analysis of viability
    by Bacha, Obiyathulla I.

  • 2008 La récente crise financière internationale cause t-elle la crise des marchés des swaps sur défaut de crédit?
    by Naifar, Nader

  • 2008 Demand for International Reserves: A Quantile Regression Approach
    by Sula, Ozan

  • 2008 Duration of loan arrangement and syndicate organization
    by Godlewski, Christophe

  • 2008 La metodología de rating “through the cycle”: aplicación para la estimación de ratings soberanos
    by Pena, Alejandro & Rodríguez, Analía

  • 2008 The Contribution of Foreign Borrowing to the New Zealand Economy
    by Anthony Makin & Wei Zhang & Grant Scobie

  • 2008 Sovereign Wealth Funds: the Norwegian Experience
    by Mehmet Caner & Tom Grennes

  • 2008 Sequencing of Reforms, Financial Globalization, and Macroeconomic Vulnerability
    by Sebastian Edwards

  • 2008 Capital Flow Bonanzas: An Encompassing View of the Past and Present
    by Carmen M. Reinhart & Vincent R. Reinhart

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    by Graciela L. Kaminsky

  • 2008 Why Do Foreign Firms Leave U.S. Equity Markets?
    by Craig Doidge & G. Andrew Karolyi & René M. Stulz

  • 2008 Securities Laws, Disclosure, and National Capital Markets in the Age of Financial Globalization
    by René M. Stulz

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    by Carmen M. Reinhart & Kenneth S. Rogoff

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    by Zsolt Darvas & György Szapáry

  • 2008 EMU-related News and Financial Markets in the Czech Republic, Hungary and Poland
    by David Büttner & Bernd Hayo

  • 2008 Duration of syndication process and syndicate organization
    by Christophe J. Godlewski

  • 2008 Banking Environment, Agency Costs, and Loan Syndication : A Cross-Country Analysis
    by Christophe J. Godlewski

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    by U. Michael Bergman & Shakill Hassan

  • 2008 Monetary Systems in Developing Countries: An Unorthodox View
    by Cordeiro, Jose Luis

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    by Nuno Carlos Leitão & Horácio Faustino

  • 2008 Crises and Sudden Stops: Evidence from International Bond and Syndicated-Loan Markets
    by Graciela L. Kaminsky

  • 2008 Realized portfolio selection in the euro area
    by Claudio Morana

  • 2008 Are All Measures of International Reserves Created Equal? An Empirical Comparison of International Reserve Ratios
    by Yin-wong Cheung & Clement Yuk-pang Wong

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    by Francis, Bill B & Hasan, Iftekhar & Hunter, Delroy M

  • 2008 Exchange rate pass-through in the global economy – the role of emerging market economies
    by Bussière, Matthieu & Peltonen, Tuomas

  • 2008 Euro Area Enlargement and Euro Adoption Strategies
    by Zsolt Darvas & Gyorgy Szapary

  • 2008 Costs and benefits of running an international currency
    by Elias Papaioannou & Richard Portes

  • 2008 Euro Area Enlargement and Euro Adoption Strategies
    by Zsolt Darvas & Gy�rgy Szap�ry

  • 2008 Dragon on a Short Leash : An Inside-Out Analysis of China Investment Corporation
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  • 2008 Information Asymmetries and Foreign Equity Portfolios: Households versus Financial Investors
    by Maela Giofré

  • 2008 Do Trade Costs in Goods Market Lead to Home Bias in Equities?
    by Coeurdacier, Nicolas

  • 2008 Exchange Rate Regimes and Capital Mobility: How Much of the Swoboda Thesis Survives?
    by Eichengreen, Barry

  • 2008 Contagion effects of the US Subprime Crisis on Developed Countries
    by Paulo Horta & Carlos Mendes & Isabel Vieira

  • 2008 Speculative Attacks: A Laboratory Study in Continuous Time
    by Yin-Wong Cheung & Daniel Friedman

  • 2008 Financial Integration And Cyclicality Of Monetary Policy In Small Open Economies
    by Yossi Yakhin

  • 2008 Revisiting the Decline i he Exchange Rate Pass-Through: Further Evidence from Developing Countries
    by Barhoumi, K. & Jouini, J.

  • 2008 Indici di sviluppo finanziario e crescita: l'evidenza sull'Italia
    by Rosa Capolupo

  • 2008 Financial Crises, Safety Nets and Regulation
    by Michele Fratianni

  • 2008 Are All Measures of International Reserves Created Equal? An Empirical Comparison of International Reserve Ratios
    by Wong, Clement Yuk-pang & Cheung, Yin-Wong

  • 2008 Emerging Market Liquidity and Crises
    by Eduardo Levy Yeyati & Sergio L. Schmukler & Neeltje Van Horen

  • 2008 Real Convergence and Regime-Switching Among EU Accession Countries
    by Mark J. Holmes & Ping Wang

  • 2008 Stock returns and their probabilistic distribution (the Bucharest Stock Exchange case)
    by Trenca I. Ioan & Zoicas - Ienciu Adrian

  • 2008 The Reform Of National Bank Of Romania After Accession To Eu: Challenges And Perspectives
    by Cocris Vasile & Capraru Bogdan

  • 2008 Aspects Regarding Corporate Mandatory And Voluntary Disclosure
    by Popa Adina & Peres Ion

  • 2008 Study Regarding The Quality Of The True And Fair View Supplied By The Financial Statements From Financial Auditor'S Point Of View
    by Matis Dumitru & Bota Avram Florin

  • 2008 The Management Of The Company Through Dividend And The Ethical Dimension Of The Decisions Taken In Ethis Field
    by Petru Prunea

  • 2008 Foreign financial transactions of Belgian non-financial sectors
    by V. Baugnet & P. Stinglhamber & M.-D. Zachary

  • 2008 The structure of external financing: Is there a reason to worry about financing through debt?
    by András Komáromi

  • 2008 Az euróövezet bővítése és euróbevezetési stratégiák
    by Darvas, Zsolt & Szapáry, György

  • 2008 Capital Outflow Controls and Income Distribution in Malaysia
    by Jarita Duasa

  • 2008 Productive Government Spending, Welfare and Exchange Rate Dynamics
    by Juha Tervala

  • 2008 Control Mechanisms for Sovereign Wealth Funds in Selected Countries
    by Steffen Kern

  • 2008 Bank Regulation in Japan
    by Nobusuke Tamaki

  • 2008 Finančná kríza a obchodné financovanie
    by Eva Jančíková

  • 2008 Interbank rate fixings during the recent turmoil
    by Jacob Gyntelberg & Philip Wooldridge

  • 2008 The choice of exchange regimes by transition countries
    by Roxana NANU & Radu BUZIERNESCU

  • 2008 Stock Prices and the Exchange Rate in a Monetary Model: A ARDL Bounds Testing Approach Using South African Data
    by Smile Dube

  • 2008 The Drivers of Financial Globalization
    by Philip R. Lane & Gian Maria Milesi-Ferretti

  • 2007 Asset Prices and Twin Crises
    by Singh, Rajesh

  • 2007 Sterilization, Capital Mobility and Interest Rate Determination for East Asia
    by Cavoli, Tony

  • 2007 İhracat, ithalat ve reel döviz kuru ilişkisi: Türkiye için bir VAR modeli
    by Ömer YILMAZ & Vedat KAYA

  • 2007 The Consumption - Real Exchange Rate Anomaly: an Asset Pricing Perspective
    by Mathias Hoffmann & Thomas Nitschka

  • 2007 Are All Measures of International Reserves Created Equal? An Empirical Comparison of International Reserve Ratios
    by Cheung, Yin-Wong & Yuk-Pang Wong, Clement

  • 2007 The Impact of Political Risk on Sovereign Bond Spreads - Evidence from Latin America
    by Moser, Christoph

  • 2007 Measuring financial asset return and volatility spillovers, with application to global equity markets
    by Diebold, Francis X. & Yilmaz, Kamil

  • 2007 Trade Credit, International Reserves and Sovereign Debt
    by Kohlscheen, E. & O’Connell, S. A.

  • 2007 Searching for Nonlinearities in Real Exchange Rates?
    by Yamin Ahmad & Stuart Glosser

  • 2007 Why Should Emerging-Market Countries (Still) Concern Themselves With Capital Inflows?
    by Franklin Huaita & Manuel Agosín Trumper

  • 2007 Foreign Exchange Pressures in Latin America: Does Debt Matter?
    by Graham Bird & Alex Mandilaras

  • 2007 Monetary Policy in Dual Currency Environment
    by Felices Guillermo & Tuesta Vicente

  • 2007 Dollarization Persistence and Individual Heterogeneity
    by Paul Castillo & Diego Winkelried

  • 2007 Investors’ behaviour in the Chinese Stock Exchanges: Empirical Evidence in a Systemic Approach
    by Lucarelli, Caterina & Palomba, Giulio

  • 2007 Fear of the Unknown: Familiarity and Economic Decisions
    by Cao, Henry & Han, Bing & Hirshleifer, David & Zhang, Harold

  • 2007 On the dynamic link between stock prices and exchange rates: evidence from Romania
    by Horobet, Alexandra & Ilie, Livia

  • 2007 Time-varying global and local sources of risk in Russian stock market
    by Saleem, Kashif & Vaihekoski, Mika

  • 2007 Financial Integration in Emerging Market Economies
    by Pasricha, Gurnain

  • 2007 high level of international risk sharing when the productivity growth contains long run risk
    by Chang, Yanqin

  • 2007 Loan Dollarization in V4 Countries
    by Bednarik, Radek

  • 2007 Capital controls: An evaluation
    by Reinhart, Carmen & Magud, Nicolas

  • 2007 A new Test of Uncovered Interest Rate Parity: Evidence from Turkey
    by Erdemlioglu, Deniz M

  • 2007 Measuring Financial Asset Return and Volatility Spillovers, With Application to Global Equity Markets
    by Francis X. Diebold & Kamil Yilmaz

  • 2007 International Portfolios with Supply, Demand and Redistributive Shocks
    by Nicolas Coeurdacier & Robert Kollmann & Philippe Martin

  • 2007 Information Immobility and the Home Bias Puzzle
    by Stijn Van Nieuwerburgh & Laura Veldkamp

  • 2007 A Structural Approach to Identifying the Sources of Local-Currency Price Stability
    by Pinelopi K. Goldberg & Rebecca Hellerstein

  • 2007 Domestic Institutions and the Bypass Effect of Financial Globalization
    by Jiandong Ju & Shang-Jin Wei

  • 2007 Has New York Become Less Competitive in Global Markets? Evaluating Foreign Listing Choices Over Time
    by Craig Doidge & G. Andrew Karolyi & Rene M. Stulz

  • 2007 Why Do Emerging Economies Borrow Short Term?
    by Fernando A. Broner & Guido Lorenzoni & Sergio L. Schmukler

  • 2007 Crises and Growth: A Latin American Perspective
    by Sebastian Edwards

  • 2007 Public expenditure and growth volatility: do "globalisation" and institutions matter?
    by Fabrizio Carmignani & Emilio Colombo & Patrizio Tirelli

  • 2007 Determinants of Currency Crises in Emerging Markets: An Empirical Investigation on Turkey
    by Mete Feridun

  • 2007 Do Markets Care About Central Bank Governor Changes? Evidence from Emerging Markets
    by Christoph Moser & Axel Dreher

  • 2007 Measuring Financial Asset Return and Volatility Spillovers, With Application to Global Equity Markets
    by Francis X. Diebold & Kamil Yılmaz

  • 2007 An Inflated Multivariate Integer Count Hurdle Model: An Application to Bid and Ask Quote Dynamics
    by Katarzyna Bien & Ingmar Nolte & Winfried Pohlmeier

  • 2007 Volatility Transmission Patterns And Terrorist Attacks
    by Helena Chuliá Soler & Pilar Soriano Felipe & Francisco Climent & Hipòlit Torró

  • 2007 On the Role and Effects of IMF Seniority
    by Diego Saravia

  • 2007 Assessing the Competitiveness of International Financial Services in Particular Locations: A Survey of Methods and Perspectives
    by George von Furstenberg

  • 2007 Comovements in Volatility in the Euro Money Market
    by Nuno Cassola & Claudio Morana

  • 2007 Flattened Inflation-Output Tradeoff and Enhanced Anti-Inflation Policy as an Equilibrium Outcome of Globalization
    by Alon Binyamini & Assaf Razin

  • 2007 Aspects, Models and Measures for Assessing the Competitiveness of International Financial Services in a Particular Location
    by George M. von Furstenberg

  • 2007 The geography of asset holdings: Evidence from Sweden
    by Coeurdacier , Nicolas & Martin, Philippe

  • 2007 The international transmission of monetary policy in a dollar pricing model
    by Tervala, Juha

  • 2007 Diagnosing Dutch disease: Does Russia have the symptoms?
    by Oomes , Nienke & Kalcheva, Katerina

  • 2007 Financial Liberalisation in Emerging Markets: How Does Bank Lending Change?
    by Hübler, Olaf Hübler & Menkhoff, Lukas & Suwanaporn, Chodechai

  • 2007 Parametric and Non-parametric Approaches to Exits from Fixed Exchange Rate Regimes
    by Ahmet Atil Asici

  • 2007 Foreign Banks, Foreign Lending and Cross-Border Contagion: Evidence from the BIS Data
    by Adam Geršl

  • 2007 Information, Trading Volume, and International Stock Return Comovements: Evidence from Cross-Listed Stocks
    by Gagnon, Louis & Karolyi, G. Andrew

  • 2007 The Role of Expectations in Sudden Stops
    by Mertens, Karel

  • 2007 Exogenous Shocks and Exchange Rate Management in Developing Countries
    by Sajid Anwar & S. Zahid Ali

  • 2007 Financial Liberalisation, Crises, and Economic Growth
    by Inkoo Lee & Jonghyup Shin

  • 2007 Small Caps in International Diversified Portfolios
    by Massimo Guidolin & Giovanna Nicodano

  • 2007 Risk Sharing, Finance and Institutions in International Portfolios
    by Fratzscher, Marcel & Imbs, Jean

  • 2007 Can Openness Deter Corruption? The Role of Foreign Direct Investment
    by Larrain B., Felipe & Tavares, José

  • 2007 International Portfolios with Supply, Demand and Redistributive Shocks
    by Coeurdacier, Nicolas & Kollmann, Robert & Martin, Philippe

  • 2007 Why Do Emerging Economies Borrow Short Term?
    by Broner, Fernando A & Lorenzoni, Guido & Schmukler, Sergio

  • 2007 The Geography of Asset Trade and the Euro: Insiders and Outsiders
    by Coeurdacier, Nicolas & Martin, Philippe

  • 2007 Pricing to Habits and the Law of One Price
    by Ravn, Morten O & Schmitt-Grohé, Stephanie & Uribe, Martín

  • 2007 The geography of asset trade and the euro: insiders and outsiders
    by Coeurdacier, Nicolas & Martin, Philippe

  • 2007 Financial Globalization, Economic Growth, and Macroeconomic Volatility
    by Hernán Rincón

  • 2007 Hoarding of International Reserves: Mrs Machlup’s Wardrobe and the Joneses
    by Yin-Wong Cheung & Xingwang Qian

  • 2007 The transmission of emerging market shocks to global equity markets
    by Lucía Cuadro Sáez & Marcel Fratzscher & Christian Thimann

  • 2007 Domestic versus External Borrowing and Fiscal Policy in Emerging Markets
    by Garima Vasishtha

  • 2007 Exchange Rate Regimes, Globalisation, and the Cost of Capital in Emerging Markets
    by Antonio Diez de los Rios

  • 2007 Investors' Behaviour in the Chinese Stock Exchanges: Empirical Evidence in a Systemic Approach
    by Caterina LUCARELLI & Giulio PALOMBA

  • 2007 Are workers' remittances a hedge against macroeconomic shocks? The case of Sri Lanka
    by Erik Lueth & Marta Ruiz-Arranz

  • 2007 Are workers' remittances a hedge against macroeconomic shocks? The case of Sri Lanka
    by Erik Lueth & Marta Ruiz-Arranz

  • 2007 Mécanismes De Propag Ation Régionale De La Crise Boursière Asiatique
    by Elise MARAIS

  • 2007 Savings and investment in developing countries : Granger causality test
    by Mohammad Afzal

  • 2007 Timing Decisions in a Multinational Context: Implementing the Amin/Bodurtha Framework
    by Manfred Fruhwirth & Paul Schneider & Markus S. Schwaiger

  • 2007 Do Indian banks understate their bad loans?
    by Niranjan Chipalkatti & Meenakshi RishiAuthor-Email: rishim@seattleu.edu

  • 2007 Speculative currency attacks: role of inconsistent macroeconomic policies and real exchange rate overvaluation
    by Alfredo Pistelli

  • 2007 Global Market and Currency Risk in Finnish Stock Market
    by Mika Vaihekoski

  • 2007 Foreign Banks, Foreign Lending and Cross-Border Contagion: Evidence from the BIS Data (in English)
    by Adam GERŠL

  • 2007 Migration und Geld: Überweisungen aus Deutschland ins Heimatland erheblich
    by Elke Holst & Mechthild Schrooten

  • 2007 Can Adverse Effects of Poor Investor Protection Be Mitigated by Incoming Foreign Investment?
    by Eric Kelley & Tracie Woidtke

  • 2007 Croissance et finance
    by Philippe Aghion

  • 2006 Asymmetric Information and the Lack of International Portfolio
    by Juan Carlos Hatchondo

  • 2006 An empirical study to identify shift contagion during the Asian crisis
    by Marais, Elise & Bates, Samuel

  • 2006 Patterns of Shocks and Regional Currency for the Pacific Islands
    by Jayaraman, T. K.

  • 2006 Is there a Logical Integration Sequence After EMU?
    by Crowley, Patrick M.

  • 2006 Does Globalization Lead to Increased Poverty in Africa? Empirical Evidence from Nigeria
    by Ogbuaku, Henry N. & Adebisi, Ademola & Feridun, Mete

  • 2006 Euro - Dolar paritesindeki oynaklığın ihracat üzerine etkisi: Türkiye örneği
    by Hakan KAHYAOĞLU & Utku UTKULU

  • 2006 International Trade, Hedging and the Demand for Forward Contracts
    by Eisenschmidt, Jens & Wälde, Klaus

  • 2006 Estimating liquidity using information on the multivariate trading process
    by Katarzyna Bien & Ingmar Nolte & Winfried Pohlmeier

  • 2006 International Liquidity Swaps : Is the Chiang Mai Initiative Pooling Reserves Efficiently ?
    by Kohlscheen, Emanuel & Taylor, Mark P

  • 2006 A Sovereign Debt Model with Trade Credit and Reserves
    by Kohlscheen, Emanuel & O'Connell, Stephen A.

  • 2006 A Sovereign Debt Model with Trade Credit and Reserves
    by Emanuel Kohlscheen & Stephen A O'Connell

  • 2006 A New Approach to Forecasting Exchange Rates
    by Kenneth W Clements & Yihui Lan

  • 2006 Adjustment to target capital, finance and growth
    by Antonio Ciccone & Elias Papaioannou

  • 2006 GDP-Indexed Bonds: Making It Happen
    by Stephany Griffith-Jones & Krishnan Sharma

  • 2006 Revisiting the Revolving Door: Capital Flight from Southeast Asia
    by Edsel L. Beja, Jr.

  • 2006 International Financial Integration through the Law of One Price
    by Eduardo Levy Yeyati & Sergio Luis Schmukler & Neeltje Van Horen

  • 2006 The Impact of Explicit Deposit Insurance on Market Discipline
    by Ioannidou, V. & de Dreu, J.

  • 2006 Currency Crises and Monetary Policy in an Economy with Credit Constraints: The Case for Low Interest Rates Restored
    by Shakill Hassan

  • 2006 Trade First and Trade Fast: A Duration Analysis of Recovery from Currency Crisis
    by Saubhik Deb

  • 2006 Why Do Emerging Economies Borrow Short Term?
    by Fernando Broner & Guido Lorenzoni & Sergio Schmuckler

  • 2006 Sovereign Risk: Constitutions Rule
    by Emanuel Kohlscheen

  • 2006 Financial Contagion and Attention Allocation
    by Jordi Mondria

  • 2006 Do trade costs in goods market lead to home bias in equities?
    by Nicolas Coeurdacier

  • 2006 International Intertemporal Solvency in OECD Countries: Evidence From Panel Unit Root
    by Kalyoncu, Huseyin

  • 2006 The Role of Distribution of the Income Shares of Individuals in Tradables and Nontradables on Exchange Rate Fluctuations and Delay of Stabilizations
    by Aysan, Ahmet Faruk

  • 2006 Trade Between Euro Zone and Arab Countries: a Panel Study
    by Harb, Nasri

  • 2006 The role of fear in home-biased decision making: first insights from neuroeconomics
    by Kenning, Peter & Mohr, Peter & Erk, Susanne & Walter, Henrik & Plassmann, Hilke

  • 2006 Losing our Marbles in the New Century? The Great Rebalancing in Historical Perspective
    by Christopher M. Meissner & Alan M. Taylor

  • 2006 Local Currency Bond Markets
    by John D. Burger & Francis E. Warnock

  • 2006 International Trade and Finance under the Two Hegemons: Complementaries in the United Kingdom 1870-1913 and the United States 1920-30
    by Alan M. Taylor & Janine L. F. Wilson

  • 2006 Financial Globalization, Governance, and the Evolution of the Home Bias
    by Bong-Chan Kho & René M. Stulz & Francis E. Warnock

  • 2006 Optimal Currency Shares in International Reserves: The Impact of the Euro and the Prospects for the Dollar
    by Elias Papaioannou & Richard Portes & Gregorios Siourounis

  • 2006 Measuring International Trade in Services
    by Robert E. Lipsey

  • 2006 Sticky Borders
    by Gita Gopinath & Roberto Rigobon

  • 2006 Financial Globalization, Corporate Governance, and Eastern Europe
    by Rene M. Stulz

  • 2006 Determinants of Spreads on Sovereign Bank Loans: The Role of Credit History
    by Péter Banczúr & Cosmin Ilut

  • 2006 Currency Crises in Emerging Markets: An Application of Signals Approach to Turkey
    by Mete Feridun

  • 2006 El Tipo De Cambio Real Dólar-Euro Y El Diferencial De Intereses Reales
    by Paz Rico Belda

  • 2006 What “Hides” Behind Sovereign Debt Ratings?
    by António Afonso & Pedro Gomes & Philipp Rother

  • 2006 Ordered Response Models for Sovereign Debt Ratings
    by António Afonso & Pedro Gomes & Philipp Rother

  • 2006 Sovereign Defaulters: Do International Capital Markets Punish Them?
    by Miguel Fuentes & Diego Saravia

  • 2006 The Swedish External Position and the Krona
    by Lane, Philip R.

  • 2006 Swedish Intervention and the Krona Float, 1993-2002
    by Humpage, Owen F. & Ragnartz, Javiera

  • 2006 Frequent Turbulence? A Dynamic Copula Approach
    by Chollete, Lorán & Heinen, Andreas

  • 2006 Contagion and interdependence: measuring CEE banking sector co-movements
    by Jokipii , Terhi & Lucey, Brian

  • 2006 Policy words and policy deeds: the ECB and the euro
    by Siklos, Pierre & Bohl , Martin

  • 2006 The yield curve as a predictor and emerging economies
    by Mehl, Arnaud

  • 2006 The Capitalism of financial market and the control of cognitive (In French)
    by François MORIN (LEREPS-GRES)

  • 2006 Does Financial Integration Spur Economic Growth? New Evidence from the First Era of Financial Globalization
    by Moritz Schularick & Thomas M. Steger

  • 2006 What Factors Drive Global Stock Returns?
    by Hou, Kewei & Karolyi, G. Andrew & Kho, Bong Chan

  • 2006 The Consequences of Terrorism for Financial Markets: What Do We Know?
    by Karolyi, G. Andrew

  • 2006 Price and Volatility Transmission across Borders
    by Gagnon, Louis & Karolyi, G. Andrew

  • 2006 On the Endogeneity of Exchange Rate Regimes
    by Levy-Yeyati, Eduardo & Sturzenegger, Federico & Reggio, Iliana

  • 2006 The Geography of Asset Trade and the Euro: Insiders and Outsiders
    by Coeurdacier, Nicolas & Martin, Philippe

  • 2006 A Dynamic Equilibrium Model of Imperfectly Integrated Financial Markets
    by Coeurdacier, Nicolas & Guibaud, Stéphane

  • 2006 Do Trade Costs in Goods Market Lead to Home Bias in Equities?
    by Coeurdacier, Nicolas

  • 2006 Sequencing of Capital Account Liberalization - Japan's experiences and their implications to China
    by Kenji Aramaki

  • 2006 The Impact of Explicit Deposit Insurance on Market Discipline
    by Vasso Ioannidou & Jan de Dreu

  • 2006 Adjustment to Target Capital, Finance and Growth
    by Ciccone, Antonio & Papaioannou, Elias

  • 2006 Losing our Marbles in the New Century? The Great Rebalancing in Historical Perspective
    by Meissner, Christopher M & Taylor, Alan M.

  • 2006 New Rates from New Weights
    by Bayoumi, Tamim & Jayanthi, Sarma & Lee, Jaewoo

  • 2006 The International Financial Integration of China and India
    by Lane, Philip R. & Schmukler, Sergio

  • 2006 International Trade and Finance under the Two Hegemons: Complementarities in the United Kingdom (1870-1913) and the United States (1920-30)
    by Taylor, Alan M. & Wilson, Janine

  • 2006 Optimal Currency Shares in International Reserves: The Impact of the Euro and the Prospects for the Dollar
    by Papaioannou, Elias & Portes, Richard & Siourounis, Gregorios

  • 2006 Institutional Weakness and Stock Price Volatility
    by Hale, Galina B & Razin, Assaf & Tong, Hui

  • 2006 Catching-up, Inflation Differentials and Credit Booms in a Heterogeneous Monetary Union: Some Implications for EMU and new EU Member States
    by Ronald MacDonald & Cezary Wójcik

  • 2006 Does Financial Integration Spur EconomicGrowth? New Evidence from the First Era of Financial Globalization
    by Moritz Schularick & Thomas Steger

  • 2006 The euro as a reserve currency: a challenge to the pre-eminence of the US dollar?
    by Gabriele Galati & Philip D. Wooldridge

  • 2006 The Economic Policy of Foreign Reserve Accumulation: New International Evidence
    by Martín Redrado & Jorge Carrera & Diego Bastourre & Javier Ibarlucia

  • 2006 The Economic Policy of Foreign Reserve Accumulation: New International Evidence
    by

  • 2006 Exchange Rate Regime Choice
    by Emilija Beker

  • 2006 Exchange rate arrangements from extreme to normal
    by Emilija Beker

  • 2006 Las actuales condiciones de acceso al crédito ante la expansión de la banca extranjera en México
    by Téllez, Carlos

  • 2006 Macroeconomic balance of the czech economy in the years 1995-2005
    by Vojtěch Spěváček

  • 2006 Foreign direct investment and the external balance in a transition economy: the application of life cycle theory
    by Martin Mandel & Vladimír Tomšík

  • 2006 International Intertemporal Solvency in OECD Countries: Evidence from Panel Unit Root
    by Huseyin Kalyoncu

  • 2006 Local Currency Bond Markets
    by John D. Burger & Francis E. Warnock

  • 2006 Remoteness and Real Exchange Rate Volatility
    by Claudio Bravo-Ortega & Julian di Giovanni

  • 2006 New Rates from New Weights
    by Tamim Bayoumi & Jaewoo Lee & Sarma Jayanthi

  • 2006 The Equivalence of Causality Detection in VAR and VECM Modeling with Applications to Exchange Rates
    by T.J. Brailsford & J. H.W. Penm & R.D. Terrell

  • 2006 The Determinants of Foreign Currency Hedging by U.K. Non-Financial Firms
    by Amrit Judge

  • 2006 Border Effects Between U.S. And Mexico
    by Fernando Borraz

  • 2006 The Impact of Financial Liberalization on Stock Returns and Volatility in Emerging Equity Markets
    by Kuan-Min Wang

  • 2006 El Pacto De Estabilidad Y Crecimiento ¿Qué Margen Para Una Gestión Macroeconómica En Europa?
    by ALVAREZ PERALTA, Ignacio

  • 2006 International Linkage Of Asean Stock Prices: An Analysis Of Response Asymmetries
    by Mansor H. IBRAHIM

  • 2006 Apertura económica en colombia y el sector externo (1990 -2004)
    by Aura Isabel Nájar Martínez

  • 2006 On the fringe of Europe: Iceland's currency dilemma
    by Tryggvi Thor Herbertsson & Gylfi Zoega

  • 2006 Shareholder Protection Across Countries – Is the EU on the Right Track?
    by Mathias M. Siems

  • 2006 Prospects for International Portfolio Diversification: Linkages Between the Ghanaian Equity Market and the World's Major Markets
    by Abdulsalam Alhassan

  • 2005 Regional currency areas in financial globalization : a survey of current issues
    by Legros, Florence & Artus, Patrick & Cartapanis, André

  • 2005 The Elasticity of Substitution across Maturities in International Capital Markets: A Simple Test
    by Drakos, Konstantinos

  • 2005 What do Savings-Investment Correlations tell us about the International Capital Mobility of Less Developed Countries?
    by Holmes, Mark J.

  • 2005 Current Account Deficit Sustainability: a Panel Approach
    by Baharumshah, Ahmad Zubaidi & Lau, Evan

  • 2005 Can We Predict GDP through Examining the Past Values of Money? Empirical Evidence from an Asian Tiger
    by Feridun, Mete

  • 2005 Why do bigger countries have more problems with the Stability and Growth Pact?
    by Herzog, Bodo

  • 2005 German bank lending to industrial and non-industrial countries: driven by fundamentals or different treatment?
    by Nestmann, Thorsten

  • 2005 Dollarization Persistence and Individual Heterogeneity
    by Paul Castillo & Diego Winkelried

  • 2005 International equity flows and returns: a quantitative equilibrium approach
    by Rui Albuquerque & Gregory H. Bauer & Martin Schneider

  • 2005 Do European Stock Markets Affect Latin American Stock Markets?
    by Andrés Rivas & Rahul Verma & Antonio Rodriguez & Pedro H. Albuquerque

  • 2005 International Stock-Bond Correlations in a Simple Affine Asset Pricing Model
    by Stefano d'Addona & Axel H. Kind

  • 2005 Productivity growth and the exchange rate regime: The role of financial development
    by Philippe Aghion & Philippe Bacchetta & Romain Rancière & Kenneth Rogoff

  • 2005 International Capital Flows, Financial Stability and Growth
    by Graciela L. Kaminsky

  • 2005 The duration of fixed exchange rate regimes
    by Sébastien Wälti

  • 2005 Limited Participation, Income Distribution and Capital Account Liberalization
    by Eva de Francisco

  • 2005 The Capital Inflows Problem in Selected Asian Economies in the 1990s Revisited: The Role of Monetary Sterilization
    by Tony Cavoli & Ramkishen S. Rajan

  • 2005 Information Immobility and the Home Bias Puzzle
    by Laura Veldkamp & Stijn Van Nieuwerburgh

  • 2005 International Lending, Capital Controls and Wealth Inequality
    by Geoffrey Dunbar

  • 2005 International Asset Markets and Real Exchange Rate Volatility
    by Martin Bodenstein

  • 2005 International Financial Adjustment
    by Helene Rey & Pierre Olivier Gourinchas

  • 2005 Serial Default and Its Remedies
    by Reinhart, Carmen & Rogoff, Kenneth

  • 2005 The Exchange Rates and Monetary Dynamics in Pakistan: An Autoregressive Distributed Lag (ARDL) Apporach
    by Khan, Muhammad Arshad & Sajjid, Muhammad Zabir

  • 2005 The Doha development agenda: what special and differential treatment?
    by Singh, Ajit

  • 2005 Sustainability of Current Account for Turkey: Intertemporal Solvency Approach
    by Kalyoncu, Huseyin

  • 2005 Capital Controls: Myth and Reality A Portfolio Balance Approach to Capital Controls
    by Nicolas Magud & Carmen Reinhart & Kenneth Rogoff

  • 2005 Econometrics of the forward premium puzzle
    by Stephen E. Haynes & Avik Chakraborty

  • 2005 Do Local Analysts Know More? A Cross-Country Study of the Performance of Local Analysts and Foreign Analysts
    by Kee-Hong Bae & Rene M. Stulz & Hongping Tan

  • 2005 Real Exchange Rate Volatility and the Price of Nontradables in Sudden-Stop-Prone Economies
    by Enrique G. Mendoza

  • 2005 Capital Controls, Exchange Rate Volatility and External Vulnerability
    by Sebastian Edwards & Roberto Rigobon

  • 2005 Establishing Credibility: The Role of Foreign Advisors
    by Sebastian Edwards

  • 2005 Investor Competence, Trading Frequency, and Home Bias
    by John R. Graham & Campbell R. Harvey & Hai Huang

  • 2005 Liquidity and Expected Returns: Lessons From Emerging Markets
    by Geert Bekaert & Campbell R. Harvey & Christian Lundblad

  • 2005 Effective Exchange Rate Classifications and Growth
    by Justin M. Dubas & Byung-Joo Lee & Nelson C. Mark

  • 2005 Self-Fulfilling Currency Crises: The Role of Interest Rates
    by Christian Hellwig & Arijit Mukherji & Aleh Tsyvinski

  • 2005 Capital Controls, Sudden Stops and Current Account Reversals
    by Sebastian Edwards

  • 2005 The Limits of Financial Globalization
    by Rene M. Stulz

  • 2005 Crise et contagion : cas des pays de l'Europe de l'Est
    by Mohamed Ben Abdallah & Iuliana Matei

  • 2005 The Impact of Financial Openness on Economic Integration: Evidence from the Europe and the Cis
    by Fabrizio Carmignani & Abdur Chowdhury

  • 2005 The duration of fixed exchange rate regimes
    by Sébastien Wälti

  • 2005 On PPP, Unit Roots and Panels
    by Wagner, Martin

  • 2005 The production and financing of regional public goods
    by Vito Tanzi

  • 2005 Structural Breaks and Common Factors in the Volatility of the Fama-French Factor Portfolios
    by Andrea Beltratti & Claudio Morana

  • 2005 Corporate Social Responsibility In Japan: Analyzing The Participating Companies In Global Reporting Initiative
    by Suzuki, Kenji & Tanimoto, Kanji

  • 2005 Why do bigger countries have more problems with the Stability and Growth Pact?
    by Bodo Herzog

  • 2005 International Credit and Welfare: A Paradoxical Theorem and Its Policy Implications
    by Basu, Kaushik & Morita, Hodaka

  • 2005 THE CAPITAL INFLOWS PROBLEM IN SELECTED ASIAN ECONOMIES IN THE 1990s REVISITED : THE ROLE OF MONETARY STERILIZATION
    by Tony Cavoli & Ramkishen S. Rajan

  • 2005 Expectations Hypotheses Tests and Predictive Regressions at Long Horizons
    by Rossi, Barbara

  • 2005 Monitoring and Forecasting Currency Crises
    by Inoue, Atsushi & Rossi, Barbara

  • 2005 Banking Sector Strenght and the Transmission of Currency Crises
    by Allard Bruinshoofd & Bertrand Candelon & Katharina Raabe

  • 2005 German Bank Lending During Financial Crises: A Bank Level Analysis
    by Heid, Frank & Nestmann, Thorsten & Von Westernhagen, Natalja & Weder di Mauro, Beatrice

  • 2005 International Equity Flows and Returns: A Quantitative Equilibrium Approach
    by Albuquerque, Rui & Bauer, Gregory & Schneider, Martin

  • 2005 How to Exit from Fixed Exchange Rate Regimes
    by Asici, Ahmet Atil & Ivanova, Nadezhda & Wyplosz, Charles

  • 2005 Cross-Country Variations in Capital Structures: The Role of Bankruptcy Codes
    by Acharya, Viral V & John, Kose & Sundaram, Rangarajan K

  • 2005 Cultural Biases in Economic Exchange
    by Guiso, Luigi & Sapienza, Paola & Zingales, Luigi

  • 2005 Financial Regulations in Developing Countries: Can they Effectively Limit the Impact of Capital Account Volatility?
    by Liliana Rojas-Suarez

  • 2005 Arbitrage in foreign exchange markets within the context of a transactional algebra
    by Rodolfo Apreda

  • 2005 Déficits gêmeos e poupança nacional: abordagem convencional e pós keynesiana
    by Marco Flávio da Cunha Resende

  • 2005 When in Peril, Retrench: Testing the Portfolio Channel of Contagion
    by Fernando A. Broner & R. Gaston Gelos & Carmen M. Reinhart

  • 2005 Déficits Gêmeos E Poupança Nacional: Abordagem Convencional E Pós Keynesiana
    by Marco Flávio da Cunha Resende

  • 2005 Sterilisation, Capital Mobility and Interest Rate Determination for East Asia
    by Tony Cavoli

  • 2005 Sterilisation, Capital Mobility and Interest Rate Determination for East Asia
    by Tony Cavoli

  • 2005 Internationalization of Banks: Strategic Patterns and Performance
    by Alfred Slager

  • 2005 Guardando al futuro del Sistema Monetario Internazionale
    by Carlo D'Adda

  • 2005 Sustainability of Current Account for Turkey: Intertemporal Solvency Approach
    by Huseyin Kalyoncu

  • 2005 Capital flight from the Philippines, 1970-2002
    by Edsel L. Beja

  • 2005 Country Insurance
    by Tito Cordella & Eduardo Levy Yeyati

  • 2005 Welfare and Public Policy: The Role of Internationalized Production
    by Hsiao-Lei Chu

  • 2005 A "Shock" of the net external assets and the Colombian Economic Cycle 1994-2001
    by Wilman Arturo Gómez Muñoz & Carlos Esteban Posada Posada

  • 2005 The Asian crisis: an economic analysis of the causes
    by Saleheen Khan & Faridul Islam & Syed Ahmed

  • 2005 Do Emerging Equity Markets Respond Symmetrically to US Market Upturns and Downturns? Evidence from Latin America
    by Rahul Verma & Priti Verma

  • 2005 Purchasing Power Parity Based on Capital Account, Exchange Rate Volatility and Cointegration: Evidence from Some Developing Countries
    by Ahmed, M.

  • 2005 Real Exchange Rate Volatility and the Price of Nontradable Goods in Economies Prone to Sudden Stops
    by Enrique G. Mendoza

  • 2005 Unequal Spending, Aggregate Demand and International Financial Stability
    by H. Peter Gray

  • 2005 Breaking Up is Hard to Do: Global Co-Dependency, Collective Action, and the Challenges of Global Adjustment
    by Catherine L. Mann

  • 2005 The Sustainability of the US External Imbalances
    by Nouriel Roubini & Brad Setser

  • 2005 Is the US Current Account Deficit Sustainable?
    by Richard N. Cooper

  • 2005 Dokumentárny akreditív - jeden zo základných platobných a zabezpečovacích prostriedkov v medzinárodnom platobnom styku
    by Eva Jančíková

  • 2004 Market Discipline under Systemic Risk: Evidence from Bank Runs in Emerging Economies
    by Sergio L. Schmukler & Eduardo Levy-Yeyati & Maria Soledad Martinez Peria

  • 2004 The Chilean-Style of Capital Controls: an Empirical Assessment
    by Heriberto Tapia & Ricardo Ffrench-Davis

  • 2004 Non Monotone Liquidity Under-Supply
    by Fostel Ana & Geanakoplos John

  • 2004 Country Insurance
    by Eduardo Levy Yeyati & Tito Cordella

  • 2004 Contagious Asian Crisis: Bank Lending and Capital Inflows
    by Khan, Saleheen

  • 2004 Decomposing Interest Differentials: An International Borrowing and Lending Approach
    by J. Makin, Anthony

  • 2004 The Risk-Adjusted Interest Rate Parity: Panel Data Evidence
    by Hatemi-J, Abdulnasser & Maneschiöld , Per-Ola

  • 2004 A Probit Model Towards the Prediction of Financial Crises
    by Feridun, Mete

  • 2004 Cross-Border Securities Clearing and Settlement Infrastructure in the European Union as a Prerequisite to Financial Markets Integration : Challenges and Perspectives
    by de Carvalho, Cynthia Hirata

  • 2004 German bank lending during emerging market crises: A bank level analysis
    by Heid, Frank & Nestmann, Thorsten & di Mauro, Beatrice Weder & von Westernhagen, Natalja

  • 2004 Financial Liberalization and Business Cycles: The Experience of Countries in the Baltics and Central Eastern Europe
    by Vinhas de Souza, Lúcio

  • 2004 Foreign Capital, Inflation, Sterilization, Crowding-Out and
    by Nirvikar Singh & T.N. Srinivasan

  • 2004 Which currency to set price? A model of multiple countries and risk averse firm
    by Jian Wang

  • 2004 International Equity Flows and Returns: A Quantitative Equilibrium Approach
    by Rui Albuquerque & Gregory Bauer & Martin Schneider

  • 2004 La contagion financi`ere : une ´etude empirique sur les causalités lors de la crise asiatique
    by MARAIS Elise

  • 2004 Financial Liberalization and Business Cycles: The Experience of Future EU Member States in the Baltics and Central Eastern Europe
    by Lucio Vinhas de Souza

  • 2004 Contagion And Portfolio Shift In Emerging Countries´ Sovereign Bonds
    by Alicia Garcia Herrero & Antonio Diez de los Rios

  • 2004 How should emerging economies manage their foreign exchange reserves?
    by Akash Gupta & Rahul Agarwal

  • 2004 Breaks and Persistency: Macroeconomic Causes of Stock Market Volatility
    by Andrea Beltratti & Claudio Morana

  • 2004 Determinants and growth effects of foreign direct investment
    by Uppenberg, Kristian & Riess, Armin

  • 2004 The internationalisation of production: moving plants, products, and people
    by Riess, Armin & Uppenberg, Kristian

  • 2004 Big Fish in Small Ponds: The Trading Behaviour and Price Impact of Foreign Investors in Asian Emerging Equity Markets
    by Anthony Richards

  • 2004 Exchange Rate Misalignment in Pakistan: Evidence from Purchasing Power Parity Theory
    by qayyum, Abdul & Khan, Arshad & Zaman, Kair-u

  • 2004 When it rains, it pours: Procyclical capital flows and macroeconomic policies
    by Reinhart, Carmen & Kaminsky, Graciela & Vegh, Carlos

  • 2004 Straining at the Anchor: The Argentine Currency Board and the Search for Macroeconomic Stability, 1880-1935: A Review
    by Reinhart, Carmen

  • 2004 Current Account Deficit Sustainability: A Panel Approach
    by Ahmad Zubaidi Baharumshah & Evan Lau

  • 2004 Global Growth Opportunities and Market Integration
    by Geert Bekaert & Campbell R. Harvey & Christian Lundblad & Stephan Siegel

  • 2004 When in Peril, Retrench: Testing the Portfolio Channel of Contagion
    by Fernando A. Broner & R. Gaston Gelos & Carmen Reinhart

  • 2004 Growth Volatility and Financial Liberalization
    by Geert Bekaert & Campbell R. Harvey & Christian Lundblad

  • 2004 Can Portfolio Rebalancing Explain the Dynamics of Equity Returns, Equity Flows, and Exchange Rates?
    by Harald Hau & Helene Rey

  • 2004 Financial Openness, Sudden Stops and Current Account Reversals
    by Sebastian Edwards

  • 2004 Thirty Years of Current Account Imbalances, Current Account Reversals and Sudden Stops
    by Sebastian Edwards

  • 2004 Incidence des crises financières : une analyse empirique à partir des pays émergents
    by Mohamed Ben Abdallah & Kalidou Diallo

  • 2004 The forward unbiasedness hypothesis and the forward premium: a nonlinear analysis
    by Sofiane Sekioua

  • 2004 Time Variation And Asymmetry In The World Price Of Covariance Risk: The Implications For International Diversification
    by Olan T. Henry & Nilss Olekalns & Kalvinder Shields

  • 2004 Emerging Market Bond Returns – An Investor Perspective
    by D. Johannes Juttner & David Chung & Wayne Leung

  • 2004 Trade and Welfare Under Alternative Exchange Rate Regimes
    by Singh, Rajesh

  • 2004 On the Relationship between Pass-Through and Sticky Nominal Prices
    by Charles Engel

  • 2004 Do Japanese CEOs Matter?
    by Ahn, Sanghoon & Bhattacharya, Utpal & Jung, Taehun & Nam, Giseok

  • 2004 Privatization and Stock Market Liquidity
    by Bortolotti, Bernardo & de Jong, Frank & Nicodano, Giovanna & Schindele, Ibolya

  • 2004 Sunspot Equilibria and the Transfer Paradox
    by Hens, Thorsten & Pilgrim, Beate

  • 2004 Performance of international securities markets
    by Schmiedel, Heiko

  • 2004 What Drives Home Bias? Evidence from Fund Managers Views
    by Lütje, Torben & Menkhoff, Lukas

  • 2004 Do Banks Influence the Capital Structure Choices of Firms?
    by Daniševská, P. & de Jong, A. & Verbeek, M.J.C.M.

  • 2004 The effects of systemic crises when investors can be crisis ignorant
    by Kole, H.J.W.G. & Koedijk, C.G. & Verbeek, M.J.C.M.

  • 2004 Human capital and international portfolio choice
    by Christian Julliard

  • 2004 Country Insurance
    by Tito Cordella & Eduardo Levy Yeyati

  • 2004 Optimal Devaluations
    by Juan Pablo Nicolini & Constantino Hevia

  • 2004 The Impact of the Introduction of the Euro on Foreign Exchange Rate Risk Exposures
    by Bartram, Sohnke M. & Karolyi, G. Andrew

  • 2004 Multi-market Trading and Arbitrage
    by Gagnon, Louis & Karolyi, G. Andrew

  • 2004 Collateral Restrictions and Liquidity Under-Supply: A Simple Model
    by Ana Fostel & John Geanakoplos

  • 2004 Non-Monotone Liquidity Under-Supply
    by Ana Fostel & John Geanakoplos

  • 2004 A Regional Bond Market for East Asia? The Evolving Political Dynamics of Regional Financial Cooperation
    by Jennifer A. Amyx

  • 2004 Macroeconomic Order Flows: Explaining Equity and Exchange Rate Returns
    by Dunne, Peter & Hau, Harald & Moore, Michael

  • 2004 Fixed Costs and FDI: The Conflicting Effects of Productivity Shocks
    by Razin, Assaf & Rubinstein, Yona & Sadka, Efraim

  • 2004 The Politics Of Debt Crises
    by Van Rijckeghem, Caroline & Weder di Mauro, Beatrice

  • 2004 Domestic and International Finance: How Do They Affect Consumption Smoothing?
    by Huizinga, Harry & Zhu, Dantao

  • 2004 Can Portfolio Rebalancing Explain the Dynamics of Equity Returns, Equity Flows and Exchange Rates?
    by Hau, Harald & Rey, Hélène

  • 2004 Measuring Market Integration: Foreign Exchange Arbitrage and the Gold Standard 1874-1913
    by Canjels, Eugene & Prakash-Canjels, Gauri & Taylor, Alan M.

  • 2004 Macroeconomic Effects of Nominal Exchange Rate Regimes: New Insights into the Role of Price Dynamics
    by Kollmann, Robert

  • 2004 Growth Effects of the Exchange-Rate Regime and the Capital Account Openness in A Crisis-Prone World Market: A Nuanced View
    by Razin, Assaf & Rubinstein, Yona

  • 2004 Pitfalls of a State-Dominated Financial System: The Case of China
    by Boyreau-Debray, Genevieve & Wei, Shang-Jin

  • 2004 Privatization and Stock Market Liquidity
    by Bortolotti, Bernardo & de Jong, Frank & Nicodano, Giovanna & Schindele, Ibolya

  • 2004 Exchange Rate Pass-Through into Import Prices
    by Campa, José Manuel & Goldberg, Linda S.

  • 2004 Inflation in Open Economies with Complete Markets
    by Celentani, Marco & Conde-Ruiz, José Ignacio & Desmet, Klaus

  • 2004 The Real Effects of Financial Integration
    by Imbs, Jean

  • 2004 Which Countries Export FDI, and How Much?
    by Razin, Assaf & Rubinstein, Yona & Sadka, Efraim

  • 2004 The Asian Financial Crisis in Retrospect: What Happened? What Can We Conclude?
    by Wink Joosten

  • 2004 EU Enlargement and Endogeneity of some OCA Criteria: Evidence from the CEECs
    by Ian Babetskii

  • 2004 Exchange Rate Regimes, Globalisation And The Cost Of Capital In Emerging Markets
    by Antonio Diez de los Rios

  • 2004 Determinants of Country Beta Risk in Poland
    by Piotr Wdowinski

  • 2004 The Monetary Origins of Asymmetric Information in International Equity Markets
    by Gregory H. Bauer & Clara Vega

  • 2004 International Equity Flows and Returns: A Quantitative Equilibrium Approach
    by Rui Albuquerque & Gregory H. Bauer & Martin Schneider

  • 2004 Commodity-Linked Bonds: A Potential Means for Less-Developed Countries to Raise Foreign Capital
    by Joseph Atta-Mensah

  • 2004 When Bad Things Happen to Good Banks: Contagious Bank Runs and Currency Crises
    by Raphael H. Solomon

  • 2004 Exchange Rate Policy and Reserve Management in Indonesia in the Context of East Asian Monetary Regionalism
    by Reza Siregar & Ramkishen Rajan

  • 2004 From Floating to Monetary Union: The Economic Distance between Exchange Rate Regimes
    by Eduard Hochreiter & Pierre Siklos

  • 2004 Thirty Years of Current Account Imbalances, Current Account Reversals, and Sudden Stops
    by Sebastian Edwards

  • 2004 Extreme Contagion in Equity Markets
    by Jorge A. Chan-Lau & Donald J. Mathieson & James Y. Yao

  • 2004 Crises gêmeas nos mercados emergentes: América Latina x Leste Asiático [Twin crises in emergent markets: Latin America and Eastern Asia]
    by Tito Belchior Silva Moreira & Maurício Barata de Paula Pinto & Geraldo da Silva e Souza

  • 2004 Dynamics of the U.S. trade with developing countries
    by Mohsen Bahmani-Oskooee & Artatrana Ratha

  • 2004 Does Foreign Direct Investment Decrease Corruption?
    by Felipe Larraín & José Tavares

  • 2004 World Finance and Economic Stability (J. Tobin) (in Czech)
    by Martin Èihák

  • 2004 Experimentelle Aktienmärkte als Instrumente der Konjunkturprognose
    by Michael Berlemann

  • 2004 Export market integration in the European Union
    by Salvador Gil-Pareja & Simón Sosvilla-Rivero

  • 2004 Assessing new perspectives on country risk
    by Claudio Borio & Frank Packer

  • 2004 Sector Level Contagion in African Financial Markets
    by Daryl Collins & Mark Abrahamson

  • 2003 Credit Reporting Systems and the International Economy
    by

  • 2003 Choosing between different fixed exchange rate regimes
    by Rasmussen, Sandemann

  • 2003 Capital Market Integration and Industrial Structure: The Case of Australia, Canada and the United States
    by R. Mittoo, Usha & W. Faff, Robert

  • 2003 Spreads on Emerging-Market Debt: Global vs. Regional Factors
    by Cifarelli, Giulio & Paladino, Giovanna

  • 2003 The Sustainability of African Current Account Deficits: A Panel Cointegration Analysis
    by Holmes, Mark J.

  • 2003 Financial Crises in Light of the Asian Experience: Some Theoretical Reconsiderations
    by Sharma, Shalendra D.

  • 2003 Evaluating a Trade Policy Using a Revealed Preference Approach
    by Adhikari, Deergha Raj

  • 2003 International trade, hedging and the demand for forward contracts
    by Eisenschmidt, Jens & Wälde, Klaus

  • 2003 What Do Capital Inflows Do? Dissecting the Transmission Mechanism for Thailand, 1980-96
    by W. Jos Jansen

  • 2003 The Internationalization of Money and Finance and the Globalization of Financial Markets
    by James R. Lothian

  • 2003 The Balance Of Payments As A Monetary Phenomenon:An Econometric Case Study Of Nigeria
    by GODWIN CHUKWUDUM NWAOBI

  • 2003 Revisiting the Interest Rate-Exchange Rate Nexus: A Markov Switching Approach
    by Shiu-Sheng Chen

  • 2003 The international diversification puzzle is not worse than you think
    by Christian Julliard

  • 2003 Pre-financing Migrant Remittance Flows in Support of Agricultural Development in Africa
    by Lamon Rutten & Okey Oramah

  • 2003 Towards Transparency in Finance and Governance
    by Tara Vishwanath & Daniel Kaufmann

  • 2003 Transparency, Liberalization and Financial Crises
    by Gil Mehrez & Daniel Kaufmann

  • 2003 Potential applications of structured commodity financing techniques for banks in developing countries
    by Lamon Rutten

  • 2003 DEMOCRACY’S SPREAD: Elections and Sovereign Debt in Developing Countries
    by Steven A. Block & Burkhard N. Schrage & Paul M. Vaaler

  • 2003 Democratization’s Risk Premium: Partisan and Opportunistic Political Business Cycle Effects on Sovereign Ratings in Developing Countries
    by Steven Block & Burkhard N. Schrage & Paul M. Vaaler

  • 2003 When in peril, retrench: Testing the portfolio channel of contagion
    by Fernando Broner & R. Gaston Gelos & Carmen M. Reinhart

  • 2003 Why do emerging economies borrow short term?
    by Fernando Broner & Guido Lorenzoni & Sergio L. Schmukler

  • 2003 Learning Dynamics and Endogenous Currency Crises
    by In-Koo Cho & Kenneth Kasa

  • 2003 The Characteristics and Trading Behaviour of Dual-listed Companies
    by Jaideep Bedi & Anthony Richards & Paul Tennant

  • 2003 The Realities of Modern Hyperinflation
    by Reinhart, Carmen & Savastano, Miguel

  • 2003 The Art of Gracefully Exiting a Peg
    by Asici, Ahmet & Wyplosz, Charles

  • 2003 The unholy trinity of financial contagion
    by Reinhart, Carmen & Kaminsky, Graciela & Vegh, Carlos

  • 2003 Twin fallacies about exchange rate policy in emerging markets
    by Reinhart, Carmen & Reinhart, Vincent

  • 2003 Flexible Exchange Rates as Shock Absorbers
    by Sebastian Edwards & Eduardo Levy Yeyati

  • 2003 Strict Dollarization and Economic Performance: An Empirical Investigation
    by Sebastian Edwards & I. Igal Magendzo

  • 2003 Stock Market Cycles, Financial Liberalization and Volatility
    by Sebastian Edwards & Javier Gomez Biscarri & Fernando Perez de Gracia

  • 2003 Short-Run Pain, Long-Run Gain: The Effects of Financial Liberalization
    by Graciela Kaminsky & Sergio Schmukler

  • 2003 Twin Fallacies About Exchange Rate Policy in Emerging Markets
    by Carmen M. Reinhart & Vincent R. Reinhart

  • 2003 Varieties of Currency Crises
    by Graciela L. Kaminsky

  • 2003 How do Regimes Affect Asset Allocation?
    by Andrew Ang & Geert Bekaert

  • 2003 The Unholy Trinity of Financial Contagion
    by Graciela L. Kaminsky & Carmen Reinhart & Carlos A. Vegh

  • 2003 Addicted to Dollars
    by Carmen M. Reinhart & Kenneth S. Rogoff & Miguel A. Savastano

  • 2003 Analysis of large real exchange rate appreciation episodes
    by Zsolt Darvas

  • 2003 Stock Prices as a leading indicator of the East Asian Financial Crisis
    by Simon J. Broome & Morley, B.

  • 2003 Liberalization of capital inflows and the real exchange rate in India: A VAR analysis
    by Indrani Chakraborty

  • 2003 Optimal bailout during currency and financial crises: A sequential game analysis
    by Mundaca, Gabriela

  • 2003 Towards A New Early Warning System of Financial Crises
    by Fratzscher, Marcel & Matthieu Bussiere

  • 2003 Financial Instability under Floating Exchange Rates
    by Besancenot, Damien & Vranceanu, Radu

  • 2003 Modelling time-varying correlations of financial markets
    by A.S.K. Wong & P.J.G. Vlaar

  • 2003 International Trade, Hedging and the Demand for Forward Contracts
    by Jens, EISENSCHMIDT & Klaus, WAELDE

  • 2003 International Good Market Segmentation and Financial Market Structure
    by Basak, Suleyman & Croitoru, Benjamin

  • 2003 Monetary Policy Rules in an Interdependent World
    by Kollmann, Robert

  • 2003 Wages and International Trade
    by Kramarz, Francis

  • 2003 The Monetary Consequences of A Free Trade Area of the Americas
    by Eichengreen, Barry & Taylor, Alan M.

  • 2003 Information Diffusion in International Markets
    by Izquierdo, Alejandro & Morisset, Jacques & Olarreaga, Marcelo

  • 2003 An Information-Based Trade-off Between Foreign Direct Investment and Foreign Portfolio Investment: Volatility, Transparency and Welfare
    by Goldstein, Itay & Razin, Assaf

  • 2003 Exchange Rates, Equity Prices and Capital Flows
    by Hau, Harald & Rey, Hélène

  • 2003 Coordination Failure, Moral Hazard and Sovereign Bankruptcy Procedures
    by Ghosal, Sayantan & Miller, Marcus

  • 2003 The Choice of Exchange Rate Regime and Speculative Attacks
    by Cukierman, Alex & Goldstein, Itay & Spiegel, Yossi

  • 2003 Macroeconomics of International Price Discrimination
    by Corsetti, Giancarlo & Dedola, Luca

  • 2003 Exchange Rate Regimes and Supply Shocks Asymmetry: the Case of the Accession Countries
    by Jan Babetski & Laurence Boone & Mathilde Maurel

  • 2003 Exchange Rate Regimes, Globalisation and the Cost of Capital in Emerging Markets
    by Antonio Díez de los Ríos

  • 2003 Contagion and portfolio shift in emerging countries' sovereign bonds
    by Antonio Díez de los Ríos & Alicia García Herrero

  • 2003 Anatomy of a Twin Crisis
    by Raphael H. Solomon

  • 2003 Banking Crises and Contagion: Empirical Evidence
    by Eric Santor

  • 2003 Instituciones de inversión colectiva en españa desde una perspectiva histórica
    by Fernando Carnero Lorenzo

  • 2003 Exchange Rate Policy and Foreign Exchange Reserves Management in Indonesia in the Context of East Asian Monetary Regionalism
    by Reza Siregar & Ramkishen Rajan

  • 2003 Are Real Interest Rates Cointegrated? Further evidence based on paneleconometric methods
    by Christian Dreger & Christian Schumacher

  • 2003 Confidence in Domestic Money and Currency Substitution
    by Ajay Tandon & Yong Wang

  • 2003 Financial Globalization: Some Conceptual Problems
    by Philip Arestis & Santonu Basu

  • 2003 Sources of Exchange Rate Fluctuations: The Cases of Mexico and Thailand in the Aftermaths of their Recent Currency Crises
    by Kevin X.D. Huang & Thaneepanichskul Suchada

  • 2003 Living and Dying with Hard Pegs: The Rise and Fall of Argentina's Currency Board
    by Augusto de la Torre & Eduardo Levy Yeyati & Sergio L. Schmukler

  • 2002 Hedge Fund Leverage Before and after the Cr
    by Eichengreen, Barry & Park, Bokyeong

  • 2002 The Devaluation of The Thai Baht and a Simple Second Generation Currency Crisis Model
    by Rajan , Ramkishen S. & Sugema, Iman

  • 2002 Propagation of Crises across Countries: Trade Roots of Contagion Effects
    by Cukrowski, Jacek & Aksen, Ernest & Fischer, Manfred M.

  • 2002 Pricing in International Markets: a 'Small-Country' Benchmark
    by David Parsley

  • 2002 Structural Breaks and Diversification: The Impact of the 1997 Asian Financial Crisis on the Integration of Asia-Pacific Real Estate Markets
    by Pat Wilson & Ralf Zurbruegg & Richard Gerlach

  • 2002 The CCAPM Meets Euro-Interest Rate Persistence, 1960-2000
    by Allen C. Head & Gregor W. Smith

  • 2002 An Introduction to International Factoring & Project Finance
    by Glinavos, Ioannis

  • 2002 Is a G-3 Target Zone on Target for Emerging Markets?
    by Reinhart, Carmen & Reinhart, Vincent

  • 2002 Sovereign Credit Ratings Before and After Financial Crises
    by Reinhart, Carmen

  • 2002 Hedging currency risk: Does it have to be so complicated?
    by Haefliger, Thomas & Waelchli, Urs & Wydler, Daniel

  • 2002 Fear of floating
    by Reinhart, Carmen & Calvo, Guillermo

  • 2002 Default, currency crises, and sovereign credit ratings
    by Reinhart, Carmen

  • 2002 Financial markets in time of stress
    by Reinhart, Carmen & Kaminsky, Graciela

  • 2002 Financial crises, credit ratings, and bank failures: An introduction
    by Reinhart, Carmen

  • 2002 The Potential Consequences of Alternative Exchange Rate Regimes: A Study of Three Candidate Regions
    by Eduard Hochreiter & Anton Korinek & Pierre L. Siklos

  • 2002 On the Sustainability of Current Account Deficits: Evidence from Four ASEAN Countries
    by Ahmad Zubaidi Baharumshah & Evan Lau

  • 2002 Transparency and International Investor Behavior
    by R. Gaston Gelos & Shang-Jin Wei

  • 2002 Identifying the Efficacy of Central Bank Interventions: The Australian Case
    by Jonathan Kearns & Roberto Rigobon

  • 2002 The Modern History of Exchange Rate Arrangements: A Reinterpretation
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2002 Default, Currency Crises and Sovereign Credit Ratings
    by Carmen M. Reinhart

  • 2002 Dynamics of the trade balance: The Turkish J-curve
    by Elif Akbostanci

  • 2002 To What Extent Can Foreign Direct Investment Help Achieve International Development Goals?
    by Peter Nunnenkamp

  • 2002 Hong Kong, Singapore and the East Asian Crisis: How Important were Trade Spillovers?
    by Ramkishen Rajan & Rahul Sen & Reza Y. Siregar

  • 2002 Inflation, Exchange Rates and PPP in a Multivariate Panel Cointegration Model
    by Jacobson, Tor & Lyhagen, Johan & Larsson, Rolf & Nessén, Marianne

  • 2002 International Financial Liberalization and Industry Growth
    by Vlachos, Jonas & Waldenström, Daniel

  • 2002 International Financial Liberalization and Industry Growth
    by Vlachos, Jonas & Waldenström, Daniel

  • 2002 Output and Expected Returns - a multicountry study
    by Rangvid, Jesper

  • 2002 The Actors and the Financial Affairs of the Northern Dimension
    by Riikka Ruotoistenmäki & Evgenia Babykina

  • 2002 The Balance-of-payments Constraint: From Balanced Trade to Sustainable Debt
    by Nelson H. Barbosa Filho

  • 2002 The international diversification puzzle is not worse than you think
    by Christian Julliard

  • 2002 The status quo is not an option
    by Richard Layard

  • 2002 Exchange rate pass-through into import prices: A macro or micro phenomenon?
    by Campa, Jose M. & Goldberg, Linda S.

  • 2002 Testing Long-horizon Predictive Ability with High Persistence, and the Meese-Rogoff Puzzle
    by Rossi, Barbara

  • 2002 Confidence Intervals for Half-life Deviations from Purchasing Power Parity
    by Rossi, Barbara

  • 2002 PPP May not Hold Afterall: A Further Investigation
    by Serena Ng & Pierre Perron

  • 2002 The Role of Transaction Costs for Financial Volatility: Evidence from the Paris Bourse
    by Hau, Harald

  • 2002 A Dynamic Model with Import Quota Constraints
    by Basak, Suleyman & Pavlova, Anna

  • 2002 On the Way of EMU Enlargement towards CEECs: What is the Appropriate Exchange Rate Regime?
    by Maurel, Mathilde

  • 2002 Exchange Rate Regimes and Supply Shocks Asymmetry: The Case of the Accession Countries
    by Babetskii, Ian & Boone, Laurence & Maurel, Mathilde

  • 2002 A Simple Framework for International Monetary Policy Analysis
    by Clarida, Richard & Galí, Jordi & Gertler, Mark

  • 2002 Some Contagion, Some Interdependence: More Pitfalls in Tests of Financial Contagion
    by Corsetti, Giancarlo & Pericoli, Marcello & Sbracia, Massimo

  • 2002 Monetary Policy Rules in the Open Economy: Effects on Welfare and Business Cycles
    by Kollmann, Robert

  • 2002 Inflation, Exchange Rates and PPP in a Multivariate Panel Cointegration Model
    by Tor Jacobson & Johan Lyhagen & Rolf Larsson & Marianne Nessén

  • 2002 Beyond Burgernomics and MacParity: Exchange Rate Forecasts Based on the Law of One Price
    by Matthias Lutz

  • 2002 The New International Architecture
    by Rudi Dornbusch

  • 2002 Optimal Supervisory Policies and Depositor-Preferences Laws
    by Pagès, H. & Santos, J.

  • 2002 Asset Allocation in Transition Economies
    by Jondeau, E. & Rockinger, M.

  • 2002 Impact of Exchange Rate Volatility on IndonesiaÂ’s Trade Performance in the 1990s
    by Reza Siregar & Ramkishen Rajan

  • 2002 A panel cointegration approach to the investment-saving correlation
    by Tsung-wu Ho

  • 2002 New International Financial Arrangements
    by Meltzer, Allan-H

  • 2002 A teoria do regime de acumulação financeirizado: conteúdo, alcance e interrogações
    by Chesnais, François

  • 2002 PPP May not Hold Afterall: A Further Investigation
    by Serena Ng & Pierre Perron

  • 2001 Developing Countries in the World Trading System: from GATT, 1947, to the Third Ministerial Meeting of WTO, 1999
    by Srinivasan, T.N.

  • 2001 Interpreting the Asian Financial Crisis: Open Issues in Theory and Policy
    by Corsetti, G.

  • 2001 Trade and Human Rights
    by Srinivasan, T.N.

  • 2001 Strengthening the International Financial Architecture
    by Srinivasan, T.N.

  • 2001 Financial Market Integration in Europe: On the Effects of EMU on Stock Markets
    by Fratzscher, M.

  • 2001 Portfolio Diversification: Alive and well In Euroland
    by Adjaoute, K. & Danthine, J.P.

  • 2001 Fixity of Exchange Rates and Efficiency of Monetary Policy in the European Transition Economics. The Experience of the Late 1990's
    by Pournarakis, M.

  • 2001 Fixity of Exchange Rates and Efficiency of Monetary Policy in the European Transition Economics. The Experience of the Late 1990's
    by Pournarakis, M.

  • 2001 Finanzpolitik im Spannungsfeld des europäischen Stabilitäts- und Wachstumspaktes : zwischen gesamtwirtschaftlichen Erfordernissen und wirtschafts- und finanzpolitischem Handlungsbedarf
    by Willi Leibfritz & Rolf H. Dumke & Albert Müller & Wolfgang Ochel & Michael Reutter & Frank Westermann

  • 2001 Optimal Currency Basket Pegs for Developing and Emerging Economies
    by P. Daniels, Joseph

  • 2001 Hedging Exchange Rate Economic Exposure: Real Options Or Currency Options?
    by Kanas, Angelos

  • 2001 Revisiting the Long-Run Relationship between Real Exchange Rates and Real Interest Differentials: A Productivity Differential Approach Patterns in Neighboring Areas
    by Guglielmo Maria Caporale & Nikitas Pttis

  • 2001 Investor panic, IMF actions, and emerging stock market returns and volatility: A panel investigation
    by Hayo, Bernd & Kutan, Ali M.

  • 2001 The Impact of Institutional Differences on Derivatives Usage : A Comparative Study of US and Dutch Firms
    by Bodnar, G.M. & de Jong, A. & Macrae, V.

  • 2001 A Bayesian Analysis of the PPP Puzzle using an Unobserved Components Model
    by Richard Kleijn & Herman K. van Dijk

  • 2001 A New Representation for the Foreign Currency Risk Premium
    by Bernardino Adão & Maria de Fátima Silva

  • 2001 The Growth-Interest Rate Cycle in the United States and its Consequences for Emerging Markets
    by Reinhart, Carmen & Calvo, Guillermo & Fernandez Arias, Eduardo & Talvi, Ernesto

  • 2001 Growth and External Financing in Latin America
    by Reinhart, Carmen & Calvo, Guillermo & Fernandez Arias, Eduardo & Talvi, Ernesto

  • 2001 The US dollar, the euro, and the yen: An evaluation of their present and future status as international currencies
    by Beckmann, Rainer & Born, Jürgen & Kösters, Wim

  • 2001 What hurts most?: G-3 exchange rate or interest rate volatility
    by Reinhart, Carmen & Reinhart, Vincent

  • 2001 Capital controls during financial crises: The case of Malaysia and Thailand
    by Reinhart, Carmen & Edison, Hali

  • 2001 Fundamental determinants of the Asian crisis: The role of financial fragility and external imbalances (a comment)
    by Reinhart, Carmen

  • 2001 Private inflows when crises are anticipated: a case study of Korea (A comment)
    by Reinhart, Carmen

  • 2001 Financial Markets in Times of Stress
    by Graciela L. Kaminsky & Carmen M. Reinhart

  • 2001 Did the Malaysian Capital Controls Work?
    by Ethan Kaplan & Dani Rodrik

  • 2001 Turkish Twin Effects: An Error Correction Model of Trade Balance
    by Elif Akbostanci & Gül Ipek Tunç

  • 2001 A Corporate Balance-Sheet Approach to Currency Crises
    by Philippe Aghion & Philippe Bacchetta & Abhijit Banerjee

  • 2001 Portfolio Diversification: Alive and well in Euroland !
    by Kpate ADJAOUTE & Jean-Pierre DANTHINE

  • 2001 Liberalization and Regulation of International Capital Flows: Where the Opposites Meet
    by Peter Nunnenkamp

  • 2001 Uzawa's Transformation and Optimal Control Problems with Variable Rates of Time Preference
    by Johanna Francis & Tom Kompas

  • 2001 Interpreting real exchange rate movements in transition countries
    by Broeck, Mark De & Sløk, Torsten

  • 2001 Portfolio Diversification: Alive and Well in Euroland!
    by Kpaté ADJAOUTE & Jean-Pierre DANTHINE

  • 2001 Correlation Analysis of Financial Contagion: What One Should Know Before Running a Test
    by Giancarlo Corsetti & Marcello Pericoli & Massimo Sbracia

  • 2001 International Credit and Welfare: Some Paradoxical Results with Implications for the Organization of International Lending
    by Basu, Kaushik & Morita, Hodaka

  • 2001 Portfolio allocation in transition economies
    by ROCKINGER, Michael & JONDEAU, Eric

  • 2001 Dynamic mean-variance analysis
    by HENROTTE, Philippe

  • 2001 A Corporate Balance Sheet Approach to Currency Crises
    by Aghion, Philippe & Bacchetta, Philippe & Banerjee, Abhijit

  • 2001 Portfolio Diversification: Alive and Well in Euroland!
    by Adjaoute, Kpate & Danthine, Jean-Pierre

  • 2001 EMU and Portfolio Diversification Opportunities
    by Adjaoute, Kpate & Danthine, Jean-Pierre

  • 2001 The Euro and the International Financial System
    by Portes, Richard

  • 2001 Asset Market Linkages in Crisis Periods
    by de Vries, Casper G & Hartmann, Philipp & Straetmans, Stefan

  • 2001 Dollarization, Bailouts and the Stability of the Banking System
    by Gale, Douglas M & Vives, Xavier

  • 2001 Price Discovery Across the Rhine
    by Biais, Bruno & Martinez, Isabelle

  • 2001 Exchange Rates and Monetary Policy in Emerging Market Economies
    by Devereux, Michael B & Lane, Philip R.

  • 2001 Greek Banking at the Dawn of the New Millennium
    by Eichengreen, Barry & Gibson, Heather D

  • 2001 Did the Malaysian Capital Controls Work?
    by Kaplan, Ethan & Rodrik, Dani

  • 2001 How Risky is Financial Liberalization in the Developing Countries?
    by Wyplosz, Charles

  • 2001 Exchange Rate Regimes: Some Lessons from Postwar Europe
    by Wyplosz, Charles

  • 2001 Do Monetary Handcuffs Restrain Leviathan? Fiscal Policy in Extreme Exchange Rate Regimes
    by Fatás, Antonio & Rose, Andrew K

  • 2001 Price discovery in international equity trading
    by GRAMMIG, Joachim & MELVIN, Michael & SCHLAG, Christian

  • 2001 Exit Options for Argentina with a Special Focus on Their Impact on External Trade
    by Sophie Chauvin

  • 2001 A Note on the Selection of Time Series Models
    by Serena Ng & Pierre Perron

  • 2001 Correlation Analysis of Financial Contagion: What One Should Know before Running a Test
    by Giancarlo Corsetti & Marcello Pericoli & Massimo Sbracia

  • 2001 A Primer on Financial Contagion
    by Marcello Pericoli & Massimo Sbracia

  • 2001 An Analysis of the Dynamic Relationships Between the South African Equity Market and Major World Equity Markets
    by Asjeet S. Lamba & Isaac Otchere

  • 2001 Contagion in Latin America: Definitions, Measurement, and Policy Implications
    by Roberto Rigobón & Kristin Forbes

  • 2001 COUNTRY RISK: Economic Policy, Contagion Effect or Political noise?
    by Julio Nogués & Martín Grandes

  • 2001 Why Not a Global Currency?
    by Kenneth Rogoff

  • 2001 Black-White Achievement Differences and Governmental Interventions
    by Eric A. Hanushek

  • 2000 Bankruptcy, Corporate Governance and Competition -Some Important Links
    by Maule, C.

  • 2000 Incentive Mechanismes Surrounding International Financial Institutions
    by Hamada, K.

  • 2000 Will the Euro Trigger More Monetary Unions in Africa?
    by Honohan, P. & Lane, P.R.

  • 2000 Systematic Differences in the Determinants of Foreign Currency Sovereign Ratings by Rating Agency
    by Trevino, L. & Thomas, S.

  • 2000 Economic Tensions and Conflict in the Commonwealth 1945-c. 1951
    by Rooth, T.

  • 2000 A "Market Clearing" Model of the International Business Cycle that Explains the 1980s
    by Pikoulakis, E.V.

  • 2000 Pagging and Macroeconomic Performance in East Asia
    by Moreno, R.

  • 2000 Fixed or Floating: Is It Still Possible to Manage in the Middle?
    by Glick, R.

  • 2000 Routes to Equity Market Integration - the Interplay Between Politicians, Investors and Managers
    by Oxelheim, L.

  • 2000 Managerial Perceptions of Costs and Benefits of Foreign Listing: European Evidence
    by Bancel, F. & Mittoo, U.R.

  • 2000 Exchange Rates and Economic Growth in Kenya: An Econometric Analysis
    by McPherson, M.F. & Rakovski, T.

  • 2000 Provision for Adversity: Managing Supply Uncertainties in an Era of Globalization
    by McGuire, M.

  • 2000 Cooperation et politique publique dans le bassin mediterraneen
    by Lheritier, M.

  • 2000 Exchange Rate Adjustment and Output in Selected Latin American Countries
    by Upadhyaya, Kamal P. & Dhakal, Dharmendra & Mixon, Franklin G.

  • 2000 Exchange Rate Economic Exposure under Collusive Pricing and Hedging Using Asian Currency Options
    by Kanas , Angelos

  • 2000 Performance Evaluation of Indian Export-Processing Zones since Economic Liberalisation
    by Kundra, Ashok K. & Sharan, Vyuptakesh

  • 2000 The Effect of Real Exchange Rate Volatility on Bilateral Sector Exports
    by Tammy A. Rapp & Nallapu N. Reddy

  • 2000 Der Euro und der Geldschöpfungsgewinn: Gewinner und Verlierer durch die Währungsunion
    by Hans-Werner Sinn & Holger Feist

  • 2000 Gesamtwirtschaftliche Perspektiven für Deutschland
    by Wolfgang Nierhaus

  • 2000 Preisprognose für den Euro-Raum
    by Wolfgang Nierhaus

  • 2000 Fractional cointegration and real exchange rates
    by Caporale, Guglielmo Maria & Gil-Alaña, Luis A.

  • 2000 The volatility of capital flows to emerging markets and financial services trade
    by Beck, Roland

  • 2000 Sovereign Debt as Intertemporal Barter
    by Kenneth M. Kletzer & Brian D. Wright

  • 2000 Competition, Growth, and Performance in the Banking Industry
    by Bert Scholtens

  • 2000 Decentralized International Risk Sharing and Governmental Moral Hazard
    by Wagner, W.B.

  • 2000 Economic development, finance and liberalisation: a survey and some unresolved issues
    by Siddiki, Jalal Uddin & Auerbach, Paul

  • 2000 The Russian default and the contagion to Brazil
    by Taimur Baig & Ilan Goldfajn

  • 2000 Is adopting Full Dollarization the solution? Looking at the evidence
    by Ilan Goldfajn & Gino Olivares

  • 2000 Rate-of-Return Dominance and Efficiency in an Experimental Economy
    by Camera, G. & Noussair, C. & Tucker, S.

  • 2000 The Wake of Crises and Devaluations
    by Reinhart, Carmen & Goldstein, Morris & Kaminsky, Graciela

  • 2000 Notes on contagion
    by Reinhart, Carmen & Kaminsky, Graciela & Goldstein, Morris

  • 2000 Las crisis gemelas: las causas de los problemas bancarios y de balanza de pagos
    by Reinhart, Carmen & Kaminsky, Graciela

  • 2000 Crisis financieras en Asia y Latinoamerica: ahora y entonces
    by Reinhart, Carmen & Kaminsky, Graciela

  • 2000 Contagion in Latin America: Definitions, Measurement, and Policy Implications
    by Kristin Forbes & Roberto Rigobon

  • 2000 Explaining the Border Effect: The Role of Exchange Rate Variability, Shipping Costs, and Geography
    by David C. Parsley & Shang-Jin Wei

  • 2000 The Asian Flu and Russian Virus: Firm-level Evidence on How Crises are Transmitted Internationally
    by Kristin Forbes

  • 2000 On the Gains to International Trade in Risky Financial Assets
    by Steven J. Davis & Jeremy Nalewaik & Paul Willen

  • 2000 On the Instability of Variance Decompositions of the Real Exchange Rate across Exchange-Rate-Regimes: Evidence from Mexico and the United States
    by Enrique G. Mendoza

  • 2000 Controls on Capital Inflows: Do they Work?
    by Jose De Gregorio & Sebastian Edwards & Rodrigo O. Valdes

  • 2000 Some Current Issues of Interational Monetary Policy
    by Perkins, J.O.N.

  • 2000 How to Finance Economic Development in the New Millennium: German Capital Exports to Asia and the Debate on the Effectiveness of Official Development Financing
    by Peter Nunnenkamp

  • 2000 Routes to Equity Market Integration - The Interplay between Politicians, Investors and Managers
    by Oxelheim, Lars

  • 2000 One good - two prices
    by Asplund, Marcus & Friberg, Richard

  • 2000 EMU and Portfolio Diversification Opportunities
    by Kpate ADJAOUTÉ, & Jean-Pierre DANTHINE

  • 2000 Extreme correlation of international equity markets
    by LONGIN, François & SOLNIK, Bruno

  • 2000 Assessing macroeconomic vulnerability in central Europe
    by Libor Krkoska

  • 2000 On the Instability of Variance Decompositions of the Real Exchange Rate Across Exchange- Rate-Regimes: Evidence from Mexico and the United States
    by Mendoza, Enrique G.

  • 2000 Herding and financial panics: a role for cognitive psychology?
    by H.M. Prast

  • 2000 The Effects of Capital Inflows in Thailand, 1980-96
    by W.J. Jansen

  • 2000 Foreign Direct Investment and Intra-Industry Trade - the Case of the United States
    by Tina Yiping Chen

  • 2000 Japanese Foreign Direct Investment in the World Economy 1951-1997
    by Roger Farrell

  • 2000 Did the EMS Reduce the Cost of Capital?
    by Sentana, Enrique

  • 2000 Looking for Contagion: the Evidence from the ERM
    by Favero, Carlo A. & Giavazzi, Francesco

  • 2000 Detecting Structural Breaks in Exchange Rates in Transition Economies
    by Kocenda, Evzen

  • 2000 Extreme Correlation of International Equity Markets
    by Longin, François & Solnik, Bruno H

  • 2000 Currency Crises and Monetary Policy in an Economy with Credit Constraints
    by Aghion, Philippe & Bacchetta, Philippe & Banerjee, Abhijit

  • 2000 Measuring Co-Movements Between US and European Stock Markets
    by Bonfiglioli, Alessandra & Favero, Carlo A.

  • 2000 Exchange Rate And Foreign Inflation Risk Premiums In Global Equity Returns
    by Vassalou, Maria

  • 2000 The Bail-In Problem: Systematic Goals, Ad Hoc Means
    by Eichengreen, Barry & Ruehl, Christoph

  • 2000 A Simple Dynamic General Equilibrium Model Of The Tradeoff Between Fixed And Floating Exchange Rates
    by Devereux, Michael B

  • 2000 Real Exchange Rate Volatility and Economic Openness: Theory and Evidence
    by Hau, Harald

  • 2000 The Future of Banking in Europe
    by Forum Franco Allemand

  • 2000 The Forward Rate Unbiasedness Hypothesis Revisited: Evidence from a New Test
    by Natalya Delcoure & John T. Barkoulas & Christopher F. Baum & Atreya Chakraborty

  • 2000 Forward Premiums and Market Efficiency: Panel Unit-root Evidence from the Term Structure of Forward Premiums
    by John T. Barkoulas & Christopher F. Baum & Atreya Chakraborty

  • 2000 Introducción: El Futuro de las Monedas Nacionales
    by Hernán Cortés-Douglas & Edgardo Barandiarán

  • 2000 Regímenes Cambiarios para Economías Emergentes
    by Felipe Larraín & Andrés Velasco

  • 2000 Unconditional international asset pricing models: empirical tests
    by Mika Vaihekoski

  • 2000 Macroeconomic and Financial Aspects of Euro-Area Development
    by Michal Mejstøík

  • 2000 Crisis and Risk Management
    by Myron S. Scholes

  • 2000 International Financial Crises: Causes, Prevention, and Cures
    by Lawrence H. Summers

  • 1999 The Kiss of Death: IMF Subsidies in Sovereign Debt Markets
    by Easton, S.T. & Rockerbie, D.W.

  • 1999 Quantifying the Half-Life of Deviations from PPP: The Role of Economic Priors
    by Kilian, L. & Zha, T.

  • 1999 Impacts of the Indonesian Economic Crisis: Price Changes and the Poor
    by Levinsphn, J. & Berry, S. & Friedman, J.

  • 1999 Dynamic Aspects of Euro-Meditessanean Agressments for the MENA Economies
    by Stern, R.M.

  • 1999 Financial Integration, Vulnerability to Crisis, and EU Accession in Five Central European Countries
    by Nabli, M.

  • 1999 Currency Hedging for International Stock Portfolios: a General Approach
    by de Roon, F.A. & Nijman, T.E. & Werker, B.J.M.

  • 1999 The Real Costs of Indonesia's Economic Crisis: Preliminary Findings from the Indonesia Family Life Surveys
    by Frankenberg, E. & Thomas, D. & Beegle, K.

  • 1999 The Real Costs of Indonesia's Economic Crisis: Preliminary Findings from the Indonesia Family Life Surveys
    by Frankenberg, E. & Thomas, D. & Beegle, K.

  • 1999 Financial Stability in European Economic and Monetary Union
    by Prati, A. & Schinasi, G.J.

  • 1999 Microstates and Offshore Finance: the Political Economy of Vulnerability
    by Hampton, M.P.

  • 1999 Banking and Currency Crises: How Common are Twins?
    by Glick, R. & Hutchison, M.

  • 1999 Size Distortions of Tests of the Null Hypothesis of Stationarity: Evidence and Implications for the PPP Debate
    by Kilian, L. & Caner, M.

  • 1999 Currency Portfolios and Nominal Exchange Rates in a Dual Currency Search Economy
    by Craig, B. & Waller, C.J.

  • 1999 Currency Portfolios and Nominal Exchange Rates in a Dual Currency Search Economy
    by Craig, B. & Waller, C.J.

  • 1999 Moving the Escudo into the Euro
    by de Macedo, J.B. & Nunes, L.C. & Covas, F.

  • 1999 Le comportement des places financieres asiatiques avant et apres la "Crise": cointegration, contagion et globalisation des marches
    by Ory, J.-N.

  • 1999 Financial Capital Mobility and the Origins of Stock Markets
    by Verdier, D.

  • 1999 Financial Capital Mobility and the Origins of Stock Markets
    by Verdier, D.

  • 1999 EU Repo Markets: Opportunities for Change
    by The Giovanni Group.

  • 1999 Implications for Africa of Initiatives by the WTO, European Union, and U.S
    by Plunkett, D.J.

  • 1999 Dollarization and Its Implications in Ghana
    by Stryker, J.D.

  • 1999 Foreign Portfolio Investors Before and During a Crisis
    by Wei, S.J. & Kim, W.

  • 1999 The Effect of Capital Controls on Interest Rate Differentials
    by Herrera, L.O. & Valdes, R.

  • 1999 Implications for Africa of Initiatives by the WTO, European Union, and U.S
    by Plunkett, D.J.

  • 1999 Dollarization and Its Implications in Ghana
    by Stryker, J.D.

  • 1999 Social Consequences of the Financial Crisis in Asia
    by Knowles, J.C. & Pernia, E.M., Racelis, M.

  • 1999 The Asian Crisis: an Alternative View
    by Kumar, R. & Debroy, B.

  • 1999 Financial Integration and Monetary Competition
    by Cardarelli, R. & Vidal, J.-P.

  • 1999 What Causes Currency Crises: Sunspots, Contagion or Fundamentals?
    by Fratzscher, M.

  • 1999 The Foreign Exchange Risk Premium: Real and Nominal Factors
    by Hollifield, B. & Yaron, A.

  • 1999 Ins and Outs of Asia’s Financial Crisis
    by Cabalu, Helen

  • 1999 The Dynamics of the Real and Naminal Exchange Rates of India
    by Guha-Khasnobis, Basudeb & Ranign, Rajiv

  • 1999 Exchange Rate Policy in Transition Economies: The Initial Choice and the Subsequent Experience
    by Papazoglou, Christos

  • 1999 Financial services trade, capital flows, and financial stability
    by Kono, Masamichi & Schuknecht, Ludger

  • 1999 Financial contagion: Spillovers through banking centers
    by Van Rijckeghem, Caroline & Weder, Beatrice

  • 1999 Dynamic and Long Run Responses of Import Prices to the Exchange Rate in the Asia-Pacific
    by Webber, A.

  • 1999 Privatization, Political Risk and Stock Market Development in Emerging Economies
    by Enrico C. Perotti & Pieter van Oijen

  • 1999 Interregional and International Risk Sharing and Lessons for EMU
    by Jacques Mélitz & Frédéric Zumer

  • 1999 A Reconsideration of the Twentieth Century
    by Mundell, Robert A.

  • 1999 Financial market contagion in the Asian crisis
    by Ilan Goldfajn & Taimur Baig

  • 1999 The Real Costs of Indonesian Economic Crisis: Preliminary Findings from the Indonesia Family Life Surveys
    by Elizabeth Frankenberg & Duncan Thomas & Kathleen Beegle

  • 1999 Do Exchange Rate-Based Stabilizations Carry the Seeds of Their Own Destruction?
    by Reinhart, Carmen & Vegh, Carlos

  • 1999 Capital Flow Reversals,the Exchange Rate Debate,and Dollarization
    by Reinhart, Carmen & Calvo, Guillermo

  • 1999 The twin crises: The causes of banking and balance of payments problems
    by Reinhart, Carmen & Kaminsky, Graciela

  • 1999 On the Measurement of the International Propagation of Shocks
    by Roberto Rigobon

  • 1999 No Contagion, Only Interdependence: Measuring Stock Market Co-movements
    by Kristin Forbes & Roberto Rigobon

  • 1999 Political Contagion in Currency Crises
    by Allan Drazen

  • 1999 Regional Contagion and the Globalization of Securities Markets
    by Guillermo A. Calvo & Enrique G. Mendoza

  • 1999 Measuring Product-Market Integration
    by Michael M. Knetter & Matthew J. Slaughter

  • 1999 Exchange Rate Exposure, Foreign Involvement and Currency Hedging of Firms - Some Swedish Evidence
    by Nydahl, Stefan

  • 1999 Equivalence of the different discounted cash flow valuation methods. Different alternatives for determining the discounted value of tax shields and their implications for the valuation
    by Fernández, Pablo

  • 1999 The Mekong River Basic Development : The Realities and Prospects of Korea's Participation
    by Jae Wan Cheong

  • 1999 The Changing Climate for Foreign Direct Investment into Japan
    by Peter Drysdale & Toshi Naito & Ray Trewin & Dominic Wilson

  • 1999 Would Collective Action Clauses Raise Borrowing Costs?
    by Eichengreen, Barry & Mody, Ashoka

  • 1999 Option Pricing and Foreign Investment under Political Risk
    by Cherian, Joseph A & Perotti, Enrico C

  • 1999 Global Financial Markets and Financial Stability: Europe's Role
    by Portes, Richard

  • 1999 Risk Sharing and Industrial Specialization: Regional and International Evidence
    by Sørensen, Bent E & Yosha, Oved

  • 1999 Interregional and International Risk Sharing and Lessons for EMU
    by Melitz, Jacques & Zumer, Frédéric

  • 1999 A Lender of Last Resort for Europe
    by Michel Aglietta

  • 1999 Emissions Trading, Capital Flows and the Kyoto Protocol
    by Warwick J. McKibbin & Martin T. Ross & Robert Shackleton & Peter J. Wilcoxen

  • 1999 Financial Market Contagion in the Asian Crisis
    by Taimur Baig & Ilan Goldfajn

  • 1999 International Portfolio Diversification with Generalized Expected Utility Preferences
    by Joshua Aizenman

  • 1999 Global Financial Instability: Framework, Events, Issues
    by Frederic S. Mishkin

  • 1999 International Institutions for Reducing Global Financial Instability
    by Kenneth Rogoff

  • 1998 Keynes's Road to Bretton Woods - An Essay in Interpretation
    by Skidelsky, R.

  • 1998 Vietnam - Ready for Doi Moi II?
    by Kokko, Ari

  • 1998 An Information-Based Model of Foreign Direct Investment: the Gains from Trade Revisited
    by Razin, A. & Sadka, E. & Yuen, C.-W.

  • 1998 Implications of the Asian Currency Crisis and the Debt Crisis of the 1980s
    by Krueger, A.

  • 1998 Financial Services Trade, Capital Flow, and Financial Stability
    by Kono, M. & Schknecht, L.

  • 1998 Determinants of Currency Risk Premiums
    by Carlson, J.A: Osler, C.L.

  • 1998 Economic and Financial Crises and Transformations in Sixteenth-Century Europe
    by Kindleberger, C.P.

  • 1998 The Continental Imperative? Canadian International Trade and Finance in the Twentieth Century
    by Rooth, T.

  • 1998 Excess Returns, Portfolio Choices and Exchange rates Dynamics. The Yen/Dollar Case, 1980-1998
    by Andrade, P. & Bruneau, C.

  • 1998 Trading Costs for Goods and PPP. A Nonlinear Alternative for Real Exchange rate Dynamics
    by Bec, F. & Ben Salem, M.

  • 1998 International Portfolio Diversification and Endogenous Labour Supply Choice
    by Jermann, U.J.

  • 1998 The Cost of Institutional Equity Trades
    by Keim, D.B. & Madhavan, A.

  • 1998 Emergence of a New Center and Periphery
    by Mallon, R.

  • 1998 Exchange Rates and Economic Growth in Kenya: An Econometric Analysis
    by McPherson, M.F. & Rakovski, T.

  • 1998 Determinants of Trade and Growth Performance in Africa: A Cross-Country Exchange Rate Regimes
    by Amvouna, A.M.

  • 1998 Determinants of Trade and Growth Performance in Africa: A Cross-Country Exchange Rate Regimes
    by Amvouna, A.M.

  • 1998 What Caused the Asian Currency and Financial Crisis?
    by Corsetti, G. & Pesenti, P. & Roubini, N.

  • 1998 Uzawa's Transformation and Optimal Control Problems With Variable Rates of Time Preference
    by Francis, J. & Kompas, T.

  • 1998 Too much of a good thing: the macroeconomic effects of taxing capital inflows Book Title:Managing Capital Flows and Exchange Rates
    by Carmen Reinhart

  • 1998 Understanding Devaluations in Latin America: A "Bad Fundamentals" Approach
    by Maria Soledad Martinez Peria

  • 1998 Country Funds and Asymmetric Information
    by Jeffrey A. Frankel & Sergio L. Schmukler

  • 1998 Recent Trends in Employer-Sponsored Health Insurance Coverage: Are Bad Jobs Getting Worse?
    by Henry S. Farber & Helen Levy

  • 1998 Financial crises in Asia and Latin America: Then and now
    by Reinhart, Carmen & Kaminsky, Graciela

  • 1998 Too much of a good thing: The macroeconomic effects of taxing capital inflows
    by Reinhart, Carmen & Smith, R. Todd

  • 1998 Capital Inflows into Latin America: A Stop-Go Story?
    by Sebastian Edwards

  • 1998 International Portfolio Diversification and Labor/Leisure Choice
    by Urban J. Jermann

  • 1998 Co-Fluctuations
    by Jean IMBS

  • 1998 Financial Liberalization and Volatility in Emerging Market Economies
    by Philippe AGHION & Philippe BACCHETTA & Abhijit BANERJEE

  • 1998 World-Wide Purchasing Power Parity
    by Jacobson, Tor & Nessen, Marianne

  • 1998 Correlation Structure of International Equity Markets During Extremely Volatile Periods
    by François, LONGIN & Bruno, SOLNIK

  • 1998 Open Regionalism going Global: APEC and the New Translantic Economic Partnership
    by Andrew Elek

  • 1998 Attracting FDI: Australian Government Investment Promotion in Japan, 1983-96
    by Jamie Anderson

  • 1998 An EMU with Different Transmission Mechanisms
    by Giovannetti, Giorgia & Marimon, Ramon

  • 1998 The International Role of the Euro
    by Agnès Bénassy-Quéré & Benoît Mojon & Armand-Denis Schor

  • 1998 The Potential Effects of International Carbon Emissions Permit Trading Under the Kyoto Protocol
    by Warwick J. McKibbin & Robert Shackleton & Peter J. Wilcoxen

  • 1998 What to Expect from an International System of Tradable Permits for Carbon Emmisions
    by Warwick J. McKibbin & Robert Shackleton & Peter J. Wilcoxen

  • 1998 The Scope for Exchange Rate Pass-through in an Oligopoly
    by Richard Damania

  • 1998 Regime-Switching in Emerging Stock Market Returns
    by Kodjovi G. Assoe

  • 1998 The Global Capital Market: Benefactor or Menace?
    by Maurice Obstfeld

  • 1997 What Happens When Countries Peg Their Exchange Rates? (The Real Side of Monetary Reforms
    by Sergio, R.

  • 1997 Seigniorage, Fiscal Constraints, and the Viability of a Fixed Exchange Rate
    by Betty C. Daniel

  • 1997 The Impact of the Changeover to the Euro on Community Policies, Institutions and Legislation
    by Directorate General II. Economic and Financial Affairs.

  • 1997 Practical Aspects of the Introduction of the Euro
    by Directorate General II. Economic and Financial Affairs.

  • 1997 The Introduction of the Euro. Compilation of Community Legislation and Related Documents
    by Directorate General II. Economic and Financial Affairs.

  • 1997 Checklist on the Introduction of the Euro for Entreprises and Auditors
    by Federation des Experts Comptables Europeens.

  • 1997 Round Table on Practical Aspects of the Changeover to the Euro. May 15, 1997. Summary and Conclusion
    by Directorate General II. Economic and Financial Affairs.

  • 1997 Legal Framework for the Use of the Euro
    by Directorate General II. Economic and Financial Affairs.

  • 1997 The Impact of the Introduction of the Euro on Capital Markets
    by Directorate General II, Economic and Financial Affaires.

  • 1997 Accounting for the Introduction of the Euro
    by Directorate General XV, Internal Market and Financial Services

  • 1997 Preparing Financial Information System for the Euro
    by Directorate General XV. Internal Market and Financial Services.

  • 1997 The Legal Framework for the Use of the Euro. Questions and Answers on the Euro Regulations
    by Directorate General II. Economic and Financial Affairs.

  • 1997 External Aspects of Economic and Monetary Union
    by Directorate General II,Economic and Financial Affairs

  • 1997 Globalization, Financial Market Opening, and Foreign Capital Inflows
    by Fry, M.J.

  • 1997 Do Capital Inflows Appreciate the Real Exchange Rate?
    by Fry, M.J.

  • 1997 Exchange Rate regimes, Political Parties, and the Inflation-Unemployment Tradeoff: Evidence From Greece
    by Lee, D.H. & Philippopoulos, A.

  • 1997 Inefficient National Environmental Regulation as a Signal of High Abatement Costs
    by Steiner, U.

  • 1997 Exchange Rate regimes, Political Parties, and the Inflation-Unemployment Tradeoff: Evidence From Greece
    by Lee, D.H. & Philippopoulos, A.

  • 1997 Capital inflows to Latin America with reference to the Asian experience Book Title:Capital Controls, Exchange Rates, and Monetary Policy in the World Economy
    by Carmen Reinhart

  • 1997 Contrazione fiscale e crescita della produzione: il ruolo del settore estero e dei tassi di interes¬se nel caso dell’Irlanda - Fiscal contraction and output expansion: the role of the foreign sector and interest rates in the case of Ireland
    by De Bonis, Valeria

  • 1997 Are Stabilization Programs Expansionary?
    by Federico Echenique & Alvaro Forteza

  • 1997 Tariffs, Unemployment, and the Current Account: An Intertemporal Equilibrium Model
    by Shouyong Shi

  • 1997 International Portfolio Diversification with Generalized Expected Utility Preferences
    by Joshua Aizenman

  • 1997 Re-emerging Markets
    by William N. Goetzmann & Philippe Jorion

  • 1997 A Century of Global Stock Markets
    by William N. Goetzmann & Philippe Jorion

  • 1997 Openness and the exchange rate exposure of national stock markets - a note
    by Friberg, Richard & Nydahl, Stefan

  • 1997 Rational Herd Behavior and the Globalization of Securities Markets
    by Calvo, Guillermo A. & Mendoza, Enrique

  • 1997 Japanese Foreign Direct Investment in Real Estate 1985-1994
    by Roger Farrell

  • 1997 Theorical aspects of the foreing debt
    by Adelis Graterol

  • 1996 Zimbabwe's New Entrepreneurs: An Emerging Success Story?
    by Levy, B. & Bradburd, R.

  • 1996 Effects of Adjustment Programs on Poverty and Autonomy: Chile, Mexico, and Peru
    by Sheahan, J.

  • 1996 The Long-Run U.S./U.K. real Exchange Rate
    by Engel, C. & Kim, C.J.

  • 1996 A Model of Foreign Exchange Rate Indetermination
    by Engel, C.

  • 1996 Accounting for U.S. Real Exchange Rate Changes
    by Engel, C.

  • 1996 The Exchange Rate in a Dynamic-Optimizing Current Account Model with Nominal Rigidities: A Quantitative Investigation
    by Kollman, R.

  • 1996 Consumption Smoothing and the Current Account: Evidence for France, 1970-94
    by Agenor, P.R. & Bismut, C. & Cashin, P. & McDermott, C.J.

  • 1996 Policy Making and Speculative Attacks in Models of Exchange Rate Crises: A Synthesis
    by Corsetti, G. & Cavallari, L.

  • 1996 Project Finance at the World Bank: An Overview of Policies and Instruments
    by Benoit, P.

  • 1996 World Bank Lending for Small Enterprises 1989-1993
    by Webster, L.M. & Riopelle, R. & Chidzero, A.M.

  • 1996 Insuring Sovereign Debt Against Default
    by Babbel, D.F.

  • 1996 The Long-Run U.S./U.K. real Exchange Rate
    by Engel, C. & Kim, C.J.

  • 1996 A Model of Foreign Exchange Rate Indetermination
    by Engel, C.

  • 1996 Accounting for U.S. Real Exchange Rate Changes
    by Engel, C.

  • 1996 Irish Macroeconomic Performance Under Different Exchange Rate Regimes
    by Kavanagh, E.

  • 1996 Testing the Rationality of Exchange and Interest Rate Expectations: An Empirical Study of Australian Survey Based Expectations
    by Kim, S.J.

  • 1996 Diversification internationale sous contrainte et couverture contre le risque de change
    by Namur, D.

  • 1996 The Effects of Industry Structure on Economic Exposure
    by Marston, R.C.

  • 1996 The Peseta Real Exchange Rate: Which Are Its Determinants?
    by Camarero, M. & Esteve, V. & Tamarit, C.

  • 1996 Decodage des changements sur les marches internationaux des capitaux a la lumiere de l'evolution des conventions
    by Leroux, F.

  • 1996 Would SDR Value Have Been Affected by Replacement of the Three European Currencies with the ECU (Euro)?
    by Leroux, F.

  • 1996 Le marche des actions internationales: Evolution et perspectives
    by Leroux, F.

  • 1996 Punts, Pounds and Euros: In Search of an Optimum Currency Area
    by Neary, J.P. & Thom, D.R.

  • 1996 Convergence ou divergence entre les monnaies europeennes et equilibre financier international
    by Artus,P.

  • 1996 Monetary Policy Transmission, the Exchange Rate and Long-Term Yields under Different Hypothesis on Expectations
    by Gaiotti, E. & Nicoletti-Altimari, S.

  • 1996 Debt Restructuring with Multiple Creditors and the Role of Exchange Offers
    by Detragiache, E. & Garella, P.G.

  • 1996 Monetary Policy and Business Cycle: The View From Geneva in the 1920s
    by Fleming, G.A. & Enders, A.M.

  • 1996 Politique optimale de fixite par rapport a un panier de devises: le cas de la Tunisie
    by Zamiti, M.

  • 1996 Composition optimale des reserves de change dans un contexte de flottement generalise
    by Zamiti, M.

  • 1996 A Statistical Analysis of Foreign Exchange Rate Behaviour in Nigeria's Auction
    by Ogiogio, G.O.

  • 1996 The Balance of Payments as a Monetary Phenomenon: An Econometric Study of Zimbabwe's Experience
    by Dhliwayo, R.

  • 1996 Foreign Exchange Bureaus in the Economy of Ghana
    by Osei, K.A.

  • 1996 Do Exchange Rate Move to Address International Macroeconomic Imbalances?
    by Matthew B. Canzoneri & Javier Vallés & José Viñals

  • 1996 Optimal Exchange Rate Targets and Macroeconomic Stabilization
    by Enrique Alberola Ila

  • 1996 An Empirical Analysis of the Peseta's Exchange Rate Dynamics
    by Juan Ayuso & Juan L. Vega

  • 1996 Speculation, Hedging and Intermediation in the Foreign Exchange Market
    by Malte Krüger

  • 1996 The Current Account Issue Revisited
    by Corden, W.M.

  • 1996 Technical Trading Rule Profitability and Foreing Exchange Intervention
    by LeBaron, B.

  • 1996 Essays in Economics, Vol. 4: National and International
    by James Tobin

  • 1996 Australian Financial Market Volatility: An Exploration of Cross-country and Cross-market Linkages
    by Tro Kortian & James O’Regan

  • 1996 Testing for the Sustainability of the Current Account Deficit in Two Industrial Countries
    by Jyh-lin Wu & Stilianos Fountas & Show-lin Chen

  • 1996 International Capital Mobility in History: The Saving-Investment Relationship
    by Alan M. Taylor

  • 1996 International Capital Mobility in History: Purchasing-Power Parity in the Long Run
    by Alan M. Taylor

  • 1996 Country Fund Discounts, Asymmetric Information and the Mexican Crisis of 1994: Did Local Residents Turn Pessimistic Before International Investors?
    by Jeffrey A. Frankel & Sergio L. Schmukler

  • 1996 Relative Labor Productivity and the Real Exchange Rate in the Long Run: Evidence for a Panel of OECD Countries
    by Matthew B. Canzoneri & Robert E. Cumby & Behzad Diba

  • 1996 Forecasting Exchange Rates and Relative Prices with the Hamburger Standard: Is What You Want What You Get With McParity?
    by Robert E. Cumby

  • 1996 The Exchange Rate in a Dynamic-Optimizing Current Account Model with Nominal Rigidities: a Quantitative Investigation
    by Kollman, R.

  • 1996 High Yields: The Spread on German Interest Rates
    by Favero, Carlo A. & Giavazzi, Francesco & Spaventa, Luigi

  • 1995 Intervention and Long Term Bias: Evidence from the Spot U.S. Dollar/Japanese Yen Fractal structure
    by Batten, J. & Ellis, C.

  • 1995 When Is Foreign Aid Policy Credible? Aid Dependence and Conditionality
    by Svensson, J.

  • 1995 Why Issue Equity Abroad? The Experience of Small Country Companies
    by Moden, K.M. & Oxelheim, L.

  • 1995 "Irish Exchange Rate Policy Under Wide ERM Bands"
    by Thom, R.

  • 1995 The Forecasting Ability of Correlations Implied in Foreign Exchange Options
    by Campa, J.M. & Chang, P.H.K.

  • 1995 Arbitrage-Based Tests of Target Zone Credibility: Evidence from ERM Cross-Rate Options
    by Campa, J.M. & Chang, P.H.K.

  • 1995 Growth, Structural Change and Optimal Poverty Interventions
    by Chatterjee, S.

  • 1995 Profiles and Determinants of Nigeria's Balance of Payments: The Current Account Component, 1950-88
    by Umo, J.U. & Fakiyesi, T.

  • 1995 Institutional Reforms and the Management of Exchange Rate Policy in Nigeria
    by Odubogun, K.

  • 1995 An Empirical Examination of a Multilateral Target Zone
    by Paul Schulstad & Ángel Serrat

  • 1995 Devaluations and Depreciation Expectations in the E.M.S
    by Juan Ayuso & María Pérez Jurado

  • 1995 Is there a Trade-Off Between Exchange Rate Risk and Interest Rate Risk?
    by Juan Ayuso Huertas

  • 1995 Experiments in Evolutionary Finance
    by LeBaron, B.

  • 1995 Nominal interest rates, consumption booms, and lack of credibility: A quantitative examination
    by Reinhart, Carmen & Vegh, Carlos

  • 1995 Collapsing Exchange Rate Regimes: Another Linear Example
    by Robert P. Flood & Peter M. Garber & Charles Kramer

  • 1995 The Law of One Price Over 700 Years
    by Kenneth A. Froot & Michael Kim & Kenneth Rogoff

  • 1995 A Panel Project on Purchasing Power Parity: Mean Reversion Within and Between Countries
    by Jeffrey A. Frankel & Andrew K. Rose

  • 1995 Why Issue Equity Abroad? The Experience of Small Country Companies
    by Modén, Karl-Markus & Oxelheim, Lars

  • 1995 Imperfect Knowledge and Behavior in the Foreign Exchange Market
    by Goldberg, M.D. & Frydman, R.

  • 1995 Dollarization and inflation in a two-country optimization model
    by Heng-fu Zou

  • 1995 A Panel Project on Purchasing Power Parity: Mean Reversion Within and Between Countries
    by Frankel, Jeffrey A & Rose, Andrew K

  • 1995 Interest Rates, Banking Spreads and Credit Supply: The Real Effects
    by Fernando Barran & Virginie Coudert & Benoît Mojon

  • 1995 Transmission de la politique monétaire et crédit bancaire
    by Virginie Coudert & Benoît Mojon

  • 1994 Modelling Exchange Rates in Continuous Time: Theory, Estimation and Option Pricing
    by William Perraudin & Bent Sørensen

  • 1994 The capital inflows problem: Concepts and issues
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo

  • 1994 The determinants of commodity prices
    by Reinhart, Carmen & Borensztein, Eduardo

  • 1994 Targeting the real exchange rate: Theory and evidence
    by Reinhart, Carmen & Calvo, Guillermo & Vegh, Carlos

  • 1994 Business Cycles and the Asset Structure of Foreign Trade
    by Marianne Baxter & Mario J. Crucini

  • 1994 Issues Concerning Nominal Anchors for Monetary Policy
    by Robert Flood & Michael Mussa

  • 1993 The International Reaction to U.S. Trade Announcements and Exchange Rate Exposure: A Market-wide and Cross-Sectional Analysis
    by Puffer, M.K.

  • 1993 Formulating a policy response: Reply to Snowden
    by Reinhart, Carmen & Calvo, Guillermo & Leiderman, Leonardo

  • 1993 International Business Cycles: Theory and Evidence
    by David Backus & Patrick J. Kehoe & Finn E. Kydland

  • 1992 Exchange Rate Economics: A Survey
    by Ronald Macdonald & Mark P. Taylor

  • 1991 Private Saving and Terms of Trade Shocks
    by Reinhart, Carmen & Ostry, Jonathan

  • 1991 Macroeconomic Implications of Real Exchange Rate Targeting in Developing Countries
    by Peter J. Montiel & Jonathan D. Ostry

  • 1991 From Centrally Planned to Market Economy: The Road from CPE to PCPE
    by Guillermo A. Calvo & Jacob A. Frenkel

  • 1990 The foreing exchange market in Venezuela
    by Luis Toro

  • 1978 A theory of international trade under uncertainty
    by Helpman, Elhanan & Razin, Assaf

  • A Note on the Tobin Tax
    by Korkut Erturk

  • A Note on the Tobin Tax
    by Korkut Erturk

  • Where does Volatility and Return Come From? The Case of Asian ETFs
    by Yiuman Tse & Jose A. Gutierrez

  • The Relationship between Commodity Prices and Currency Exchange Rates: Evidence from the Futures Markets
    by Yiuman Tse

  • Cross-Country Causes and Consequences of the 2008 Crisis: Early Warning
    by Andrew K. Rose & Mark M. Spiegel

  • The Equity Home Bias: Contrasting An Institutional With A Behavioral Explanation
    by Gerlinde Fellner & Boris Maciejovsky

  • Do Implicit Barriers Matter for Globalization?
    by Francesca CARRIERI & Ines CHAIEB & Vihang ERRUNZA

  • Un "Choque" del Activo Externo Neto y el Ciclo Económico Colombiano
    by Wilman Gómez & Carlos Esteban Posada

  • This information is provided to you by IDEAS at the Research Division of the Federal Reserve Bank of St. Louis using RePEc data.