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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ F: International Economics
/ / F6: Economic Impacts of Globalization
/ / / F65: Finance
This topic is covered by the following reading lists:
  1. Mondialisation
  2. SOEP based publications

Most recent items first, undated at the end.
  • 2017 Bank Efficiency, Productivity and Convergence in EU countries: A Weighted Russell Directional Distance Model
    by Fujii, Hidemichi & Managi, Shunsuke & Matousek, Roman & Rughoo, Aarti

  • 2017 China's Growth Slowdown and Prospects for Becoming a High-Income Developed Economy
    by Ding Lu

  • 2017 The Size and Costs of Bribes in Malaysia: An Analysis Based on Convicted Bribe Givers
    by Christine Siew-Pyng Chong & Suresh Narayanan

  • 2017 RMBI or RMBR? Is the Renminbi Destined to Become a Global or Regional Currency?
    by Barry Eichengreen & Domenico Lombardi

  • 2017 Government Support and R&D Investment Effectiveness in Chinese SMEs: A Complex Relationship
    by Claudio Petti & Lauretta Rubini & Silvia Podetti

  • 2017 Managing Economic Stability under Volatile Capital Flows: East Asia Perspectives
    by Chalongphob Sussangkarn

  • 2017 Internationalization of Indian Enterprises: Patterns, Determinants, and Policy Issues
    by Prema-chandra Athukorala & C. Veeramani

  • 2017 Trade Liberalization and the Aggregate Matching Function in India
    by Woong Lee

  • 2017 Deepening and Widening of Production Networks in ASEAN
    by Ayako Obashi & Fukunari Kimura

  • 2017 The Lead-Lag Relationship among East Asian Economies: A Wavelet Analysis
    by Buerhan Saiti

  • 2017 Productive Processes, Costs And Competitiveness: The Case Of A Company Producer Of Tequila Artesanal, Procesos Productivos, Costos Y Competitividad: Caso Empresa Productora De Tequila Artesanal
    by Jovita Georgina Neri Vega & Rafael Gonzalez Zarza & Aaron Ivan Gonzalez Neri & Rafael Albertti Gonzalez Neri & Héctor Miguel González Neri

  • 2017 The source of global stock market risk: A viewpoint of economic policy uncertainty
    by Tsai, I-Chun

  • 2016 The role of financial institutions in advancing responsible value chains
    by Mulder, Herman

  • 2016 Assessment of the place of the Russian Federation in the global financial market
    by Yu. Danilov.

  • 2016 Basel III: In quest for criteria and scenarios of the banking regulation reform advancement
    by E. Dzhagityan.

  • 2016 European versus Anglo-Saxon credit view: Evidence from the eurozone sovereign debt crisis
    by Altdörfer, Marc & de las Salas Vega, Carlos A. & Guettler, Andre & Löffler, Gunter

  • 2016 The International Impact of Financial Shocks: A Global VAR and Connectedness Measures Approach
    by Donal Smith

  • 2016 Nonlinearities and Parameter Instability in the Finance-Growth Nexus
    by Catherine Prettner

  • 2016 Financial development and inequality in the global economy
    by Maximilian von Ehrlich und Tobias Seidel

  • 2016 The banking sector and the Swiss financial account during the financial and European debt crises
    by Raphael Anton Auer & Cédric Tille

  • 2016 Impact Of The Global Financial Crises On The Major Asian Countries And Usa Stock Markets And Inter-Linkages Among Them
    by Cenk Gokce ADAS & Bibigul Tussupova

  • 2016 What drives cross-border bank expansion? Answers from Kenya
    by Odongo Kodongo

  • 2016 Do foreign banks take more risk? Evidence from emerging economies
    by Jeon, Bang & Wu, Ji & Chen, Minghua & Wang, Rui

  • 2016 Reforms to the European Union Financial Supervisory and Regulatory Architecture and Their Implications for Asia
    by Darvas, Zsolt & Schoenmaker, Dirk & Véron, Nicolas

  • 2016 The Origins of Argentina’s Litigation and Arbitration Saga, 2002-2016
    by Porzecanski, Arturo C.

  • 2016 Sovereign Debt Restructuring After Argentina
    by Porzecanski, Arturo C.

  • 2016 Uniunea Pietelor de capital - un proiect esential pentru Europa
    by Danila, Marius

  • 2016 Peru's selective default: A stain on its creditworthiness
    by Porzecanski, Arturo C.

  • 2016 International Borrowing Cycles: A New Historical Database
    by Graciela L. Kaminsky

  • 2016 Deadly Embrace: Sovereign and Financial Balance Sheets Doom Loops
    by Emmanuel Farhi & Jean Tirole

  • 2016 Prudential measures in dealing with capital flows – case of Poland
    by Milena Kabza & Konrad Kostrzewa

  • 2016 Real Exchange Rates and Growth
    by Duygu Yolcu Karadam & Erdal Özmen

  • 2016 Import Competition and the Composition of Firm Investments
    by Fromenteau, Philippe & Schymik, Jan & Tscheke, Jan

  • 2016 A long-term perspective on private equity ownership
    by Nordström, Louise

  • 2016 Systemic and Idiosyncratic Sovereign Debt Crises
    by Graciela Laura Kaminsky & Pablo Vega-Garcia

  • 2016 Bad Bad Contagion
    by Londono, Juan M.

  • 2016 Macroeconomic and financial sector policies to better serve the economy and society
    by Jesus Ferreiro

  • 2016 The Process Towards The Centralisation Of The European Financial Supervisory Architecture; The Case Of The Banking Union
    by Elisabetta Montanaro

  • 2016 The Integration of International Financial Markets: An Attempt to Quantify Contagion in an Input-Output-Type Analysis
    by Dieter Schumacher

  • 2016 Market Integration and Global Crashes
    by Malamud, Semyon & Malkhozov, Aytek

  • 2016 Is there macroprudential policy without international cooperation?
    by Cecchetti, Stephen G & Tucker, Paul

  • 2016 Market Integration and Global Crashes
    by Semyon Malamud & Aytek Malkhozov

  • 2016 Financial Development and Inequality in the Global Economy
    by Maximilian von Ehrlich & Tobias Seidel

  • 2016 The banking sector and the Swiss financial account during the financial and European debt crises:
    by Raphael A. Auer & Cedric Tille

  • 2016 Macro-financial linkages and bank behaviour: evidence from the second-round effects of the global financial crisis on East Asia
    by Chau H. A. Le

  • 2016 Impact Of The Global Financial Crises On The Major Asian Countries And Usa Stock Markets And Inter-Linkages Among Them
    by Cenk Gokce ADAS

  • 2016 FDI in Central and Eastern Europe’s (CEE) Agribusiness
    by Takács István & Nalin Bharti

  • 2016 The Dollar Dominance : Recent Episode of Trade Invoicing and Debt Issuance
    by Faudot, Adrien & Ponsot, Jean-François

  • 2016 Comparison Of The Profitability Of Top 1000 Firms In Canada And Usa
    by Shah SAUD & Waqar BADSHAH

  • 2016 The process towards centralisation of the European financial supervisory architecture: The case of the Banking Union
    by Elisabetta Montanaro

  • 2016 Analysis of Revenues and Expenditures of a Carrier for a Voyage Charter Trip
    by Oana Oprisan & Cosmin Tileagã & Gabriel Croitoru

  • 2016 Tax Havens in the Offshore World
    by Sergiu-Bogdan Constantin

  • 2016 Key features of the Chinese bond market
    by Zsanett Sütõ & Tamás Tóth

  • 2016 Financial Contagion in EFA Markets in Crisis Periods: A Multivariate GARCH Dynamic Conditional Correlation Framework
    by Mobeen Ur Rehman

  • 2016 Financial and Econometric Study of the Sustainability and Evaluation of Scenarios of Reforms for the Civil Regime of Moroccan
    by Latifa AITOUTOUHEN & Faris HAMZA

  • 2016 A magyar bankrendszer tulajdonosi struktúrájának átalakulása
    by Király, Júlia

  • 2016 Do Economic Reforms Spur Bancarisation Rate in the CEMAC Region? Empirical Analysis
    by Gerard Tchouassi

  • 2016 Linkages between financial sector CDS spreads and macroeconomic influence in a nonlinear setting
    by Lahiani, Amine & Hammoudeh, Shawkat & Gupta, Rangan

  • 2016 Do the size, value, and momentum factors drive stock returns in emerging markets?
    by Cakici, Nusret & Tang, Yi & Yan, An

  • 2016 Capital controls in Brazil: Effective?
    by Chamon, Marcos & Garcia, Márcio

  • 2016 Sovereign Wealth Funds' Internationalization Strategies: The Use of Investment Vehicles
    by Murtinu, Samuele & Scalera, Vittoria G.

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

  • 2016 Volatility spillovers across stock index futures in Asian markets: Evidence from range volatility estimatorsAuthor-Name: Yarovaya, Larisa
    by Brzeszczyński, Janusz & Lau, Chi Keung Marco

  • 2016 Escaping financial crises? Macro evidence from sovereign wealth funds' investment behaviour
    by Ciarlone, Alessio & Miceli, Valeria

  • 2016 The Elephant In The Ground: Managing Oil And Sovereign Wealth
    by van den Bremer, Ton & van der Ploeg, Frederick & Wills, Samuel

  • 2016 Political risk and international valuation
    by Bekaert, Geert & Harvey, Campbell R. & Lundblad, Christian T. & Siegel, Stephan

  • 2016 The Role of the Gulf Cooperation Council’s Sovereign Wealth Funds in the New Era of Oil
    by Hanan Naser

  • 2016 The Effect of Financial Liberalization through the General Agreement on Trade and Services on Economic Growth in Developing Countries
    by Hazem Al Samman & Chadi Azmeh

  • 2016 The Impact of Working Capital Management on Firms Financial Performance: Evidence from Pakistan
    by Tanveer Bagh & Muhammad Imran Nazir & Muhammad Asif Khan & Muhammad Atif Khan & Sadaf Razzaq

  • 2016 Interest Rate Liberalization, Quality institutions and Stock Market Development in Selected Sub-Saharan African Countries
    by Wakilat Olabisi Balogun & Jauhari B. Dahalan & Sallahuddin B. Hassan

  • 2016 Does Dividend Announcement Generate Market Signal? Evidence from Pakistan
    by Ghulam Mujtaba Chaudhary & Shujahat Haider Hashmi & Aqeel Younis

  • 2016 Determinants of Foreign Investment in the Brazilian Stock Market
    by Walter Gonçalves Junior & William Eid Junior

  • 2015 Recent Trends in Regional Financial Integration and Trade Liberalization in Maghreb Countries: A Multivariate Threshold Autoregressive Analysis
    by Soumia Zenasni

  • 2015 Location Decisions of Non-Bank Financial Foreign Direct Investment: Firm-Level Evidence from Europe
    by Ronald B. Davies & Neill Killeen

  • 2015 The role of investment banking in systemic risk profiles. Evidence from a panel of EU banking sectors
    by Renata Karkowska

  • 2015 Asymmetric Information As A Market Failure: Some Remarks For Banking System Of Oecd Countries
    by Özkan Zülfo?lu

  • 2015 What Determines Equity Flows by Investment Funds to Emerging Economies?
    by Andreas Savvides

  • 2015 How does financialisation affect functional income distribution? A theoretical clarification and empirical assessment
    by Köhler, Karsten & Guschanski, Alexander & Stockhammer, Engelbert

  • 2015 Cross-Country Co-movement in Long-Term Interest Rates: A DSGE Approach
    by Michael Chin & Thomai Filippeli & Konstantinos Theodoridis

  • 2015 The origins of Argentina’s litigation and arbitration saga, 2002-2014
    by Porzecanski, Arturo C.

  • 2015 Systemic and Idiosyncratic Sovereign Debt Crises
    by Kaminsky, Graciela & Vega-Garcia, Pablo

  • 2015 Autocorrelation in an unobservable global trend: Does it help to forecast market returns?
    by Peresetsky, Anatoly & Yakubov, Ruslan

  • 2015 Demokratie , öffentliche Güter und Europa
    by Mavrozacharakis, Emmanouil

  • 2015 Development and the post-2015 challenges: making the Sustainable Development Goals work
    by Gianni Vaggi

  • 2015 Currency-based measures targeting banks - Balancing national regulation of risk and financial openness
    by Annamaria de Crescenzio & Marta Golin & Anne-Christelle Ott

  • 2015 Explaining Foreign Holdings of Asia's Debt Securities: The Feldstein-Horioka Paradox Revisited
    by Charles Yuji Horioka & Akiko Terada-Hagiwara & Takaaki Nomoto

  • 2015 Insider Trading and Innovation
    by Ross Levine & Chen Lin & Lai Wei

  • 2015 Sovereign Default, Debt Restructuring, and Recovery Rates: Was the Argentinean “Haircut” Excessive?
    by Sebastian Edwards

  • 2015 The Coming U.S. Interest Rate Tightening Cycle: Smooth Sailing or Stormy Waters?
    by Carlos Arteta & M. Ayhan Kose & Franziska Ohnsorge & Marc Stocke

  • 2015 Is full banking integration desirable?
    by Iván Arribas & Jesús Peiró-Palomino & Emili Tortosa-Ausina

  • 2015 Capital Market Financing, Firm Growth, and Firm Size Distribution
    by Tatiana Didier & Ross Levine & Sergio L. Schmukler

  • 2015 The International Transmission of Shocks: Foreign Bank Branches in Hong Kong during Crises
    by Simon Kwan & Eric T.C. Wong & Cho-hoi Hui

  • 2015 International liquidity and the European sovereign debt crisis: Was euro area unconventional monetary policy successful?
    by Everett, Mary M.

  • 2015 Cross-Border Acquisitions and Restructuring: Multinational Enterprises versus Private Equity-Firms
    by Baziki, Selva & Norbäck, Pehr-Johan & Persson, Lars & Tåg, Joacim

  • 2015 The Home Bias in Sovereign Ratings
    by Andreas Fuchs & Kai Gehring

  • 2015 G20/BCBS/FSB Proposal and their Integration into European Framework
    by Mario Tonveronachi

  • 2015 Risk Algısındaki Ve Risk İştahındaki Değişmelerin Bankacılık Sisteminin Sağlamlığına Etkileri: Türkiye Örneği
    by Nimet Varlık & Serdar Varlık

  • 2015 Risk Algısındaki Ve Risk İştahındaki Değişmelerin Bankacılık Sisteminin Sağlamlığına Etkileri: Türkiye Örneği
    by Nimet Varlık & Serdar Varlık

  • 2015 Risk Algısındaki Ve Risk İştahındaki Değişmelerin Bankacılık Sisteminin Sağlamlığına Etkileri: Türkiye Örneği
    by Nimet Varlık & Serdar Varlık

  • 2015 The coming US interest rate tightening cycle: smooth sailing or stormy waters?
    by Carlos Arteta & M. Ayhan Kose & Franziska Ohnsorge & Marc Stocker

  • 2015 Internationale Verflechtung der Finanzmärkte: ein Versuch zur Quantifizierung des Dominoeffekts in Anlehnung an die Input-Output-Analyse
    by Dieter Schumacher

  • 2015 Deadly Embrace: Sovereign and Financial Balance Sheets Doom Loops
    by Farhi, Emmanuel & Tirole, Jean

  • 2015 The Financial Secrecy Index: Shedding New Light on the Geography of Secrecy - Working Paper 404
    by Alex Cobham, Petr Janský, and Markus Meinzer

  • 2015 Did Globalization Influence Credit Market Deregulation
    by Peter Eppinger & Niklas Potrafke

  • 2015 Location Decisions of Non-Bank Financial Foreign Direct Investment: Firm-Level Evidence from Europe
    by Davies, Ronald B. & Killeen, Neill

  • 2015 Financial inclusion, rather than size, is the key to tackling income inequality
    by David Martinez Turegano & Alicia Garcia-Herrero

  • 2015 Explaining Foreign Holdings of Asia's Debt Securities: The Feldstein-Horioka Paradox Revisited
    by Horioka, Charles Yuji & Terada-Hagiwara, Akiko & Nomoto, Takaaki

  • 2015 Determinants of Entrepreneurs' Activities: New Evidence from Cross-Country Data
    by Doaa M. Salman

  • 2015 Promoting SMEs and Enhancing Labor Productivity in Singapore: A Policy Analysis
    by Khee Giap Tan & Yan Yi Tan

  • 2015 Informal Firms and Financial Inclusion: Status and Determinants
    by Subika Farazi

  • 2015 A New Regime of SME Finance in Emerging Asia: Enhancing Access to Growth Capital and Policy Implications
    by Shigehiro Shinozaki

  • 2015 Foreign Direct Investment, Intellectual Property Rights, and Productivity Growth
    by Sasatra Sudsawasd & Santi Chaisrisawatsuk

  • 2015 Trade and Investment Liberalization in India: Implications for Productivity Gains
    by Ram Upendra Das

  • 2015 Globalization, Foreign Direct Investment, and Regional Innovation in China
    by Yi Zhang & Hein Roelfsema

  • 2015 Foreign Direct Investment and Small and Medium Enterprises:Productivity and Access to Finance
    by

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

  • 2015 Sovereign credit ratings and the transnationalization of finance: Evidence from a gravity model of portfolio investment
    by Körner, Finn Marten & Trautwein, Hans-Michael

  • 2015 Sovereign Wealth Fund Investments and Stock Prices: The Effect of Target Industry and Location
    by Samuele Murtinu & Vittoria Giada Scalera

  • 2015 The Analysis of Profit per Employee in the Trade of Serbia
    by Radojko LUKIC

  • 2015 Fight Against Tax Competition in the EU and the Effects of Tax Policies Implemented in the EU During the 2008 Global Financial Crisis on Tax Competition
    by Eroğlu, Erdal

  • 2015 Capital Market Inflation in Emerging Markets: the Cases of Brazil and South Korea
    by Bruno Bonizzi

  • 2015 Newly Created Consequences Caused By The Change Of Income Tax
    by Domagoj Pavic & Domagoj Karacic

  • 2015 A monetáris politika globális tendenciái és a stabilitási kockázatok
    by Ábel, István

  • 2015 Does interest rate shocks transmit from united states to Ghana? Evidence from vector auto-regression
    by Chibuike R. Oguanobi* & Anthony A. Akamobi & Ogonna E. Ifebi & Anne C. Maduka

  • 2015 Change in Scenario of Foreign Investment in India (From 20th to 21st Century)
    by Dr. Shyam Kumar Ghai

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

  • 2015 Ethics into Finance: The Level of Ethics in Islamic Insurance
    by Lukman Ayinde Olorogun

  • 2015 Capital Flow Components and the Real Exchange Rate: Implications for India
    by Shashank Goel & V. Raveendra Saradhi

  • 2015 Investment Under Financial Liberalization: Post 1980 Turkey Case
    by Onur TUTULMAZ & Burcu DOGAN

  • 2015 Influence of Globalization on the Regional Capital Markets and Consequences; Evidence from Warsaw Stock Exchange
    by Sofya Glavina

  • 2015 What Does Bitcoin Look Like?
    by Jamal Bouoiyour & Refk Selmi

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

  • 2015 Foreign Direct Investment Inflows To Africa: Overview And Current Trends (Toky Priamych Zahraničných Investícií Do Afriky: Prehľad A Súčasné Trendy)
    by Eva Kovarova

  • 2015 The Basel Iii Approach On Liquidity Risk
    by SBARCEA Ioana Raluca

  • 2015 International monetary spillovers
    by Boris Hofmann & Elod Takáts

  • 2015 The Development Of The Romanian’S Capital Market And Its Importance In The European Economy
    by Raducu Stefan BRATU

  • 2014 Linkages between Financial Sector CDS Spreads and Macroeconomic Influence in a Nonlinear Setting
    by Amine Lahiani & Shawkat Hammoudeh & Rangan Gupta

  • 2014 The Empire of Value: A New Foundation for Economics
    by Orléan, André

  • 2014 An empirical assessment of the contribution of financialization and corporate governance to the rise in income inequality
    by Dünhaupt, Petra

  • 2014 Sovereign credit ratings and the transnationalization of finance: Evidence from a gravity model of portfolio investment
    by Körner, Finn Marten & Trautwein, Hans-Michael

  • 2014 Determinants of Capital Structure : Evidence from a Major Developing Economy
    by Bulent Koksal & Cuneyt Orman

  • 2014 The Analytical Framework For Identifying And Benchmarking Systemically Important Financial Institutions In Europe
    by Renata Karkowska

  • 2014 Has Regional Integration Led to Greater Risk-Sharing in Asia?
    by Ng, Thiam Hee & Yarcia, Damaris Lee

  • 2014 Stock Market Co-Movement and Exchange Rate Flexibility: Experience of the Republic of Korea
    by Park, Yung Chul & Park, Hail

  • 2014 Análise VAR dos índices bolsistas SP500, FTSE100, PSI20, HSI e IBOVESPA
    by Fuinhas, José Alberto & Marques, António Cardoso & Nogueira, David Coito

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

  • 2014 The analytical framework for identifying and benchmarking systemically important financial institutions in Europe
    by Karkowska, Renata

  • 2014 Panel Data Analysis of Performance of QDII Equity Funds in China
    by Jin, Hui & Cao, Yanka

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

  • 2014 The Elephant in the Ground: Managing oil and sovereign wealth
    by Ton van den Bremer & Frederick van der Ploeg & Samuel Wills

  • 2014 Scaling up and replicating effective climate finance interventions
    by Takayoshi Kato & Jane Ellis & Pieter Pauw & Randy Caruso

  • 2014 The Bitcoin Question: Currency versus Trust-less Transfer Technology
    by Adrian Blundell-Wignall

  • 2014 Capital Market Financing, Firm Growth, Firm Size Distribution
    by Tatiana Didier & Ross Levine & Sergio L. Schmukler

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

  • 2014 Financial Integration and Growth: A Nonlinear Panel Data Analysis
    by Duygu Yolcu Karadam & Nadir Ocal

  • 2014 An Outline of a Progressive Resolution to the Euro-area Sovereign Debt Overhang: How a Five-year Suspension of the Debt Burden Could Overthrow Austerity
    by Dimitris P. Sotiropoulos & John Milios & Spyros Lapatsioras

  • 2014 Rise of the Startup City: The Changing Geography of the Venture Capital Financed Innovation
    by Florida, Richard & Mellander , Charlotta

  • 2014 The role of jumps in volatility spillovers in foreign exchange markets: meteor shower and heat waves revisited
    by Lahaye, Jerome & Neely, Christopher J.

  • 2014 The international transmission of shocks: foreign bank branches in Hong Kong during crises
    by Kwan, Simon H. & Wong, Eric T.C. & Hui, Cho-hoi

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

  • 2014 The rise in home currency issuance
    by Hale, Galina & Jones, Peter & Spiegel, Mark M.

  • 2014 Four Instruments to Strengthen Financial Integration in Sub-Saharan Africa
    by Amadou SY

  • 2014 Four Instruments to Strengthen Financial Integration in Sub-Saharan Africa
    by Amadou SY

  • 2014 The elephant in the ground: managing oil and sovereign wealth
    by Ton van den Bremer & Frederick van der Ploeg & Samuel Wills

  • 2014 Stock Market Co-Movement and Exchange Rate Flexibility : Experience of the Republic of Korea
    by Yung Chul Park & Hail Park

  • 2014 Stock Market Co-Movement and Exchange Rate Flexibility : Experience of the Republic of Korea
    by Yung Chul Park & Hail Park

  • 2014 Never Say Never: Commentary on a Policymaker’s Reflections
    by Obstfeld, Maurice

  • 2014 The Elephant in the Ground: Managing Oil and Sovereign Wealth
    by Van Den Bremer, Ton & van der Ploeg, Frederick & Wills, Samuel

  • 2014 Central Bank Currency Swaps and the International Monetary System
    by Christophe Destais

  • 2014 Accountability and transparency as learning processes in private, public and global governance
    by Rodolfo Apreda

  • 2014 International Bailouts: Why Did Banks' Collective Bet Lead Europe to Rescue Greece?
    by E. Mengus

  • 2014 Are Sovereign Wealth Funds contrarian investors?
    by Alessio Ciarlone & Valeria Miceli

  • 2014 Sovereign debt markets in turbulent times: creditor discrimination and crowding-out effects
    by Fernando Broner & Alberto Martin & Jaume Ventura & Aitor Erce

  • 2014 Integración financiera y modelos de financiación de los bancos globales
    by José María Serena & Eva Valdeolivas

  • 2014 Conclusion
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 A Numerical Approach to Pricing American Call Options under SVJD
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 Fourier Cosine Expansion Approach
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 Representation and Numerical Approximation of American Option Prices under Heston
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 American Option Prices under Stochastic Volatility and Jump-Diffusion Dynamics — The Transform Approach
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 American Call Options under Jump-Diffusion Processes
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 The Merton and Heston Model for a Call
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 Introduction
    by Carl Chiarella & Boda Kang & Gunter H. Meyer

  • 2014 The Numerical Solution of the American Option Pricing Problem:Finite Difference and Transform Approaches
    by Carl Chiarella & Boda Kang & Gunter H Meyer

  • 2014 Tokyo's Ultimately Failed Bid for First-Tier International Financial Center Status: Why Did It Fall Short?
    by Huw McKay

  • 2014 Trade Implications of the Trans-Pacific Partnership for ASEAN and Other Asian Countries
    by Alan V. Deardorff

  • 2014 Identyfikacja i analiza porównawcza instytucji systemowo wa¿nych w Europie. (The analytical framework for identifying and benchmarking systemically important financial institutions in Europe.)
    by Renata Karkowska

  • 2014 The Analysis of the Efficiency of Trade Costs Management in Serbia
    by Radojko LUKIC

  • 2014 Autocorrelation in the global stochastic trend
    by Durdyev, Ruslan & Peresetsky, Anatoly

  • 2014 Banking ethics: main conceptions and problems
    by Valentina Fetiniuc & Ivan Luchian

  • 2014 The Financial Integration in Romania and in the New Member States of the European Union
    by Milea Camelia

  • 2014 Ensuring a Balance in Conducting the Tax Inspection
    by Nicodim Liliana & Moldovan Iosif & Niþu Claudiu Valentin

  • 2014 Taxation, between Positive and Negative Effects
    by Nicodim Liliana & Moldovan Iosif & Tileagã Cosmin

  • 2014 Bank Mergers And Acquisitions In Romania After 1989
    by Copil Crina Angela

  • 2014 Globalization And The Evolution Of The Global Financial System In The Current Financial Crisis
    by Boghean Carmen

  • 2014 Bank Efficiency in Bulgaria, International Financial Crisis and Eurozone Debt Crisis
    by Gergana Mihaylova-Borisova

  • 2014 A Fed szigorodó monetáris politikájának hatása az eszközárakra a feltörekvő piacokon
    by Szabó, Zsolt

  • 2014 Home currency issuance in global debt markets
    by Hale, Galina & Jones, Peter & Spiegel, Mark M.

  • 2014 Effects of Trade and Financial Links on the Transmission of GDP Growth
    by Paul Armstrong-Taylor

  • 2014 Financial integration and national autonomy: China and India
    by Sunanda SeN

  • 2014 Análisis del impacto de los cambios del control corporativo sobre el valor de las empresas en América Latina
    by Germán Horacio Cardona Vélez

  • 2014 Research Funding After The Economic Crisis.Comparative Study
    by Mircea-Iosif RUS & Andreea HEGYI & Mircea-Ioan PASTRAV

  • 2014 Impact Of Financial Crisis On Banking Efficiency: Evidence From Romania
    by Mihăiță-Cosmin M. POPOVICI

  • 2014 Sustainable Risk Management in the Banking Sector
    by Ivo Županović

  • 2014 Renforcer les systèmes financiers des pays d'Afrique subsaharienne pour financer le futur agenda pour le développement durable
    by Fabien Bertho

  • 2014 Four instruments to strengthen financial integration in sub-Saharan Africa
    by A. Sy.

  • 2014 Quatre instruments de renforcement de l’intégration financière en Afrique subsaharienne
    by SY, A.

  • 2014 An Indicator Based Assessment Methodology Proposal for the Identification of Domestic Systemically Important Banks within the Turkish Banking Sector
    by Ozge ULKUTAS SACCI & Guven SAYILGAN

  • 2014 Measuring the degree of integration within a group of stock markets
    by Boryana Bogdanova

  • 2014 Financial Globalization, Inequality, and the Rising Public Debt
    by Marina Azzimonti & Eva de Francisco & Vincenzo Quadrini

  • 2014 Financial Networks and Contagion
    by Matthew Elliott & Benjamin Golub & Matthew O. Jackson

  • 2013 Cross-Border Retail Banking: Exploring the Unknown Financial Globalization in Times of Financial Crises
    by Harald Sander & Stefanie Kleimeier

  • 2013 Misconceptions about Credit Ratings - An Empirical Analysis of Credit Ratings across Market Sectors and Agencies
    by Kerstin Lopatta & Magdalena Tchikov & Finn Marten Körner

  • 2013 Sovereign Credit Ratings and the Transnationalization of Finance - Evidence from a Gravity Model of Portfolio Investment
    by Finn Marten Körner & Hans-Michael Trautwein

  • 2013 Cross-Border Interbank Networks, Banking Risk and Contagion
    by Lena Tonzer

  • 2013 Offshoring And Financial Markets
    by Gianfranco Battisti

  • 2013 Sovereign debt markets in turbulent times: Creditor discrimination and crowding-out effects
    by Fernando Broner & Aitor Erce & Alberto Martin & Jaume Ventura

  • 2013 Financial globalization and long-run growth: is Asia different?
    by Jeanne, Olivier & Noland, Marcus & Subramanian, Arvind & Williamson, John

  • 2013 Financial liberalization, disaggregated capital flows and banking crisis: Evidence from developing countries
    by BOUKEF JLASSI, NABILA & HAMDI, HELMI

  • 2013 Venture capital optimal investment portfolio strategies selection in diffusion - type financial systems in global capital markets with nonlinearities
    by Ledenyov, Dimitri O. & Ledenyov, Viktor O.

  • 2013 Capital market inflation in emerging markets: The case of Brazil and South Korea
    by Bonizzi, Bruno

  • 2013 Echilibrul financiar global şi riscul suveran în perioada post-criză
    by Georgescu, George

  • 2013 Diversifying Risks in Bond Portfolios: A Cross-border Approach
    by Sun, David & Tsai, Shih-Chuan

  • 2013 Exploring Climate Finance Effectiveness
    by Jane Ellis & Randy Caruso & Stephanie Ockenden

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

  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Fernando Broner & Aitor Erce & Alberto Martin & Jaume Ventura

  • 2013 Fundamentals and Sovereign Risk of Emerging Markets
    by Joshua Aizenman & Yothin Jinjarak & Donghyun Park

  • 2013 Interdependence of Stock Markets Before and After the Global Financial Crisis of 2007
    by Boulis Ibrahim & Janusz Brzeszczynski &

  • 2013 Customs regulation in the EurAsEC customs union and financial law development in the Russian federation
    by Alexander Kozyrin

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

  • 2013 Financial Integration in the European Union: an Analysis of ECB’s role
    by Marco Passarella

  • 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 Toward a Multilateral Framework for Identifying National Security Threats Posed by Foreign Acquisitions : With Special Reference to Chinese Acquisitions in the United States, Canada, and Australia
    by Theodore H. Moran

  • 2013 China’s Regulatory Framework for Outward Foreign Direct Investment
    by Karl P. Sauvant & Victor Zitian Chen

  • 2013 Financial Crisis as a Catalyst of Legal Reforms : The Case of Asia
    by Masahiro Kawai & Henrik Schmiegelow

  • 2013 Financial Crisis as a Catalyst of Legal Reforms : The Case of Asia
    by Masahiro Kawai & Henrik Schmiegelow

  • 2013 Global liquidity as an early warning indicator of asset price booms: G5 versus broader measures
    by Beata Bierut

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

  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Broner, Fernando A & Erce, Aitor & Martin, Alberto & Ventura, Jaume

  • 2013 Gambling for resurrection in Iceland: the rise and fall of the banks
    by Baldursson, Fridrik Mar & Portes, Richard

  • 2013 Extracting global stochastic trend from non-synchronous data
    by Korhonen, Iikka & Peresetsky, Anatoly

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

  • 2013 Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects
    by Fernando Broner & Aitor Erce & Alberto Martín & Jaume Ventura

  • 2013 Global and European Monetary Arrangements: from Bretton Woods to EMU
    by Niels Thygesen

  • 2013 Sovereign Investment Funds, Opportunity Within The Context Of The Global Economic Crisis
    by DRANICEANU, Doina

  • 2013 Foreword
    by MANOLESCU, Gheorghe

  • 2013 The Modes of Matching of Insolvency Proceedings in International Comparison
    by Zsuzsa Piller

  • 2013 The Fiscal Council Analysis on the Budget Fiscal Strategy in Romania During 2013-2016
    by Roxana Ispas

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

  • 2013 Export Credits Insurance in the International Practice
    by Vãduva Cecilia Elena

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

  • 2013 The future of the Asian economic and financial community
    by Rintaro Tamaki

  • 2013 Safe havens in Europe: Switzerland and the ten dwarfs
    by Martin Paldam

  • 2013 EMBI+México y su relación dinámica con otros factores de riesgo sistemático: 1997-2011
    by Francisco López Herrera & Francisco Venegas Martínez & César Gurrola Ríos

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

  • 2013 The Management Of An Insurance Company
    by Florin FRANT

  • 2013 Financial Stability in Open Markets Economy: Holistic Approach in Economic Policy
    by Marijana Mitrović Mijatović

  • 2013 La finance non réglementée et le négoce international des matières premières
    by Yves Simon

  • 2013 La titrisation en France : évolutions récentes
    by BIROUK, O. & DARVES, F.

  • 2013-2014 Securitisation in France: recent developments
    by O. Birouk. & F. Darves.

  • 2013(XXIII) Volatility Of International Financial Markets And Public Debt Sustainability
    by George GEORGESCU

  • 2012 Între Anteu şi Icarus
    by Dăianu Daniel

  • 2012 VAT Collection to Collection: Advantages and Disadvantages
    by Roxana Ispas

  • 2012 Causes and Consequences of the Current Economic Crisis
    by Chindriº-Vãsioiu Oana & Tocan Mãdãlina Cristina

  • 2012 The Impact of Economic Crisis on the Romanian Small and Medium Enterprises
    by Tocan Madalina Cristina & Chindriº-Vãsioiu Oana

  • 2012 Integration and Economic Globalization: Analysis of Selected Western Balkans’ Countries
    by Nasir Selimi

  • 2012 The Effect on Revenues: How do Capital Gains Tax Rises Causes Them
    by Kaviyarasu Elangkovan & Yuvarani Thorisingam & Balakrishnan Parasuraman

  • 2012 Globalization and the Economy of Macedonia
    by Nasir Selimi

  • 2012 Finansal Şişkinliğin Arka Planı
    by Şiir YILMAZ

  • 2012 La titrisation en France
    by BIROUK, O. & CASSAN, L.

  • 2010 The National Question And The Question Of Crisis
    by

  • 2010 Financial Openness and Financial Development: An Analysis Using Indices
    by Ozkok, Zeynep

  • 2009 What I Learned in Forty-Five Years as an Entrepreneur, Entrepreneurial Mentor, Teacher, and Coach
    by John Bailey

  • 2009 Sound Bites and Other Food for Entrepreneurial Thought
    by Elissa B. Grossman

  • 2009 Fulfilling the Impossible Dream: Breaking into a Targeted Niche Market
    by Martha de la Torre

  • 2009 Developing Entrepreneurs Through Mentorship
    by Shaun Tan & L. Nicole Landrum

  • 2009 The Academy of Business Leadership
    by Anna Ouroumian

  • 2009 Listening to the Pioneers of Entrepreneurship Education
    by Brian McKenzie

  • 2009 Creating the University-Based Entrepreneurship Resource Center
    by Cal Caswell

  • 2009 Can a Young Person REALLY be an Entrepreneur?
    by Brad Keywell

  • 2009 Entrepreneurship Within a Large Organization
    by Wesley B. Truitt

  • 2009 Making Entrepreneurial Finance Relevant and Interesting for Aspiring Entrepreneurs
    by David Y. Choi

  • 2009 The Entrepreneur's Ethical Survival Kit
    by Arthur Gross-Schaefer

  • 2009 Five Classic Challenges for Entrepreneurial Leaders: Coaching and Mentoring Entrepreneurial Winners!
    by Marshall Goldsmith

  • 2009 Entrepreneurship for Non-Traditional Youth Entrepreneurs
    by Robert Warren

  • 2009 The Miracle of Changing The Mindset for Young, Would-Be Entrepreneurs!
    by Jose M. Romaguera

  • 2009 The Celtic Tiger Economy of Ireland: A New Perspective
    by Ted O Keeffe

  • 2009 Entrepreneurship Educators Need to be Enterprising!
    by Chris Collet & Barra Ó Cinnéide

  • 2009 Social Entrepreneurs: Born or Bred? Capitalism that Makes a Difference!
    by David Bussau

  • 2009 Teaching Global Entrepreneurship through Action-Based Learning
    by Len Middleton

  • 2009 Global Entrepreneurship Education: What I Have Learned about Entrepreneurship Education in Asia!
    by Leo Paul Dana

  • 2009 Training Programs for Fledgling Entrepreneurs
    by George Solomon

  • 2009 Developing Effective Business Plans
    by Charles W. Hofer

  • 2009 Creating The 21st Century Entrepreneurial Campus
    by Donald F. Kuratko

  • 2009 Basel II, Regulation and the Sub-Prime “Crisis”
    by Michael W. Taylor

  • 2009 Comments on Session VIII: Where to Go from Here — Policy Panel
    by Andrew Sheng

  • 2009 Globalization and Systemic Risk: Where to Go from Here — Policy Panel
    by William L. Rutledge

  • 2009 The US Government's Approach to Financial Decisions
    by Kenneth W. Dam

  • 2009 Speaking Points for Where to Go from Here? Policy Panel
    by Jaime Caruana

  • 2009 Crisis Resolution in a Global Context
    by Pascual O'Dogherty

  • 2009 Crisis Resolution in a Global Context: Regulation and Supervision for Cross-Border Banking
    by Mattias Persson

  • 2009 EU Financial-Stability Framework: Analytical Benchmarks for Assessing Its Effectiveness
    by María J. Nieto & Garry J. Schinasi

  • 2009 Global Crisis Management
    by John Lane

  • 2009 Comments on Session VI: Globalization and Systemic Risk — Capital Markets
    by Liliana Rojas-Suarez

  • 2009 What Can Central Bankers Learn from Hedge Fund Replication Strategies?
    by David A. Hsieh

  • 2009 Systemic Risks in Our Global Marketplace
    by Chester S. Spatt

  • 2009 The Sub-Prime Crisis and Systemic Risk: Evidence from US Securities Markets
    by Leonce Bargeron & Kenneth Lehn & Mehmet Yalin

  • 2009 Globalization and Systemic Risk
    by Grant Spencer

  • 2009 Quantitative Modeling of Systemic Risk in a Globalized Banking System: Methodological Challenges
    by Martin Summer

  • 2009 The Systemic Risk Implications of Originate and Distribute
    by Andrew G. Haldane

  • 2009 International Integration, Common Exposure and Systemic Risk in the Banking Sector
    by Nicole Allenspach & Pierre Monnin

  • 2009 Pension Plans and Systemic Risk
    by Dennis E. Logue

  • 2009 Globalization Duality and Nonbank Financial Intermediaries
    by Mohamed A. El-Erian

  • 2009 Remarks on Globalization and Systemic Risk: Nonbank Financial Intermediaries
    by Julian Adams

  • 2009 Systemic Risk in a Global Context: Comment on Freixas, Hattori and Shin, and Kane
    by Richard J. Herring

  • 2009 The Broad Yen Carry Trade
    by Hyun Song Shin & Masazumi Hattori

  • 2009 Systemic Risk and Prudential Regulation in the Global Economy
    by Xavier Freixas

  • 2009 Incentive Conflict in Central Bank Responses to Sectoral Turmoil in Financial Hub Countries
    by Edward J. Kane

  • 2009 The Current State of Financial Globalization — Good News, and Bad
    by Gerard Caprio Jr.

  • 2009 Financial Globalization in the Asian Region
    by Philip Lowe

  • 2009 Does Financial Integration Improve Countries' Growth Opportunities?
    by Gianni De Nicolò

  • 2009 Financial Globalization and Stability
    by Falko Fecht & Hans-Peter Grüner & Philipp Hartmann & Marco Lo Duca

  • 2009 The Crisis of 2007: The Same Old Story, Only the Players Have Changed
    by Michael D. Bordo

  • 2009 Remarks on Systemic Risk and the International Lender of Last Resort
    by Frederic S. Mishkin

  • 2009 The Current Financial Crisis: Will Latin America Be Caught in the Web, Again?
    by Guillermo A. Calvo

  • 2009 Through the Looking Glass: The Links between Financial Globalization and Systemic Risk
    by John Lipsky

  • 2009 Engineering a Financial Bloodbath:How Sub-Prime Securitization Destroyed the Legitimacy of Financial Capitalism
    by Justin O'Brien

  • 2009 Creating Entrepreneurs:Making Miracles Happen
    by

  • 2009 Political Economy in a Globalized World
    by Jørgen Ørstrøm Møller

  • 2009 Globalization and Systemic Risk
    by

  • 2008 Can financial ratios predict the Malaysian stock return?
    by Lee, Chin & Lee, Weng Hong

  • 2008 Cross-Track Betting: Is the Crass Greener on the Other Side ?
    by Siew Meng Leong & Kian Guan Lim

  • 2008 Efficient Market Results in an Asian Setting
    by Kelly Busche

  • 2008 An Exception to the Risk Preference Anomaly
    by Kelly Busche & Christopher D. Hall

  • 2008 Tests Of The Efficiency Of Racetrack Betting Using Bookmaker Odds
    by RON BIRD & MICHAEL MCCRAE

  • 2008 Anomalies In The Gambling Market
    by R. H. TUCKWELL

  • 2008 The Efficiency Of Racetrack Betting Markets: Australian Evidence
    by R. Bird & M. McCrae

  • 2008 The Dr. Z Betting System in England
    by William T. Ziemba & Donald B. Hausch

  • 2008 An Examination of Efficiency in British Racetrack Betting: Errata and Corrections
    by Paul Gabriel & James R. Marsden

  • 2008 An Examination of Market Efficiency in British Racetrack Betting
    by Paul E. Gabriel & James R. Marsden

  • 2008 Winning Systems?: Some Further Evidence on Insiders and Outsiders in British Horse Race Betting
    by N F R Crafts

  • 2008 On the Efficiency and Equity of Betting Markets
    by JACK DOWIE

  • 2008 Introduction to the Efficiency of Racetrack Betting Markets in England
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 POST POSITION BIAS: An Econometric Analysis of the 1987 Season at Exhibition Park
    by Sandra Betton

  • 2008 Efficient Market Adjustment Of Odds Prices To Reflect Track Biases
    by BRIAN R. CANFIELD & BRUCE C. FAUMAN & WILLIAM T. ZIEMBA

  • 2008 On The Efficiency Of The Market For Double (Quinella) Bets At A Finnish Racetrack
    by Antti Kanto & Gunnar Rosenqvist

  • 2008 Pricing Exotic Racetrack Wagers
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 How Accurately Do Bettors Bet in Doubles ?
    by Victor S. Y. Lo & Kelly Busche

  • 2008 Efficiency and Profitability in Exotic Bets
    by PETER ASCH & RICHARD E. QUANDT

  • 2008 Some Evidence Of The Efficiency Of A Speculative Market
    by MUKHTAR M. ALI

  • 2008 Introduction to the Efficiency of Exotic Wagering Markets
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 Racetrack Betting–An Example Of A Market With Efficient Arbitrage
    by Jay R. Ritter

  • 2008 Locks at the Racetrack
    by DONALD B. HAUSCH & WILLIAM T. ZIEMBA

  • 2008 Arbitrage Strategies for Cross-Track Betting on Major Horse Races
    by Donald B. Hausch & William T. Ziemba

  • 2008 Transactions Costs, Extent Of Inefficiencies, Entries And Multiple Wagers In A Racetrack Betting Model
    by DONALD B. HAUSCH & WILLIAM T. ZIEMBA

  • 2008 Efficiency Of The Market For Racetrack Betting
    by DONALD B. HAUSCH & WILLIAM T. ZIEMBA & MARK RUBINSTEIN

  • 2008 Market Efficiency in Racetrack Betting: Further Evidence and a Correction
    by Peter Asch & Burton G. Malkiel & Richard E. Quandt

  • 2008 Market Efficiency in Racetrack Betting
    by Peter Asch & Burton G. Malkiel & Richard E. Quandt

  • 2008 Introduction to Prices vs. Handicapping: Place and Show Anomalies
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 Prices Of State Contingent Claims With Insider Traders, And The Favourite-Longshot Bias
    by Hyun Song Shin

  • 2008 Differences Of Opinion At The Racetrack
    by Stephen R. Blough

  • 2008 Betting And Equilibrium
    by RICHARD E. QUANDT

  • 2008 Application of Logit Models in Racetrack Data
    by Victor S. Y. Lo

  • 2008 Racetrack Betting And Informed Behavior
    by Peter ASCH & Burton G. MALKIEL & Richard E. QUANDT

  • 2008 Subjective Information and Market Efficiency in a Betting Market
    by Stephen Figlewski

  • 2008 Back on the Track with the Efficient Markets Hypothesis
    by ROBERT L. LOSEY & JOHN C. TALBOTT JR.

  • 2008 Horse Racing: Testing The Efficient Markets Model
    by WAYNE W. SNYDER

  • 2008 Anomalies Parimutuel Betting Markets: Racetracks and Lotteries
    by Richard H. Thaler & William T. Ziemba

  • 2008 Introduction to the Efficiency of Win Markets and the Favorite-Longshot Bias
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 Application of Running Time Distribution Models in Japan
    by Victor S. Y. Lo

  • 2008 Estimating the Probabilities of the Outcomes of a Horse Race (Alternatives to the Harville Formulas)
    by Hal S. Stern

  • 2008 Permutation Probabilities as Models for Horse Races
    by R. J. HENERY

  • 2008 Assigning Probabilities to the Outcomes of Multi-Entry Competitions
    by DAVID A. HARVILLE

  • 2008 An Empirical Cross-validation of Alternative Classification Strategies Applied to Harness Racing Data for Win Bets
    by Larry H. Ludlow

  • 2008 Computer Based Horse Race Handicapping and Wagering Systems: A Report
    by William Benter

  • 2008 Still Searching For Positive Returns At The Track: Empirical Results From 2,000 Hong Kong Races
    by Randall G. Chapman

  • 2008 Searching For Positive Returns At The Track: A Multinomial Logit Model For Handicapping Horse Races
    by RUTH N. BOLTON & RANDALL G. CHAPMAN

  • 2008 Growth Versus Security In Dynamic Investment Analysis
    by L. C. MACLEAN & W. T. ZIEMBA & G. BLAZENKO

  • 2008 Optimal Bets In Pari-Mutuel Systems
    by NISSAN LEVIN

  • 2008 Concavity Properties of Racetrack Betting Models
    by J. G. Kallberg & W. T. Ziemba

  • 2008 Optimal Horse Race Bets
    by RUFUS ISAACS

  • 2008 Introduction to Economics and Mathematical Insights
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 Probability and Utility Estimates for Racetrack Bettors
    by Mukhtar M. Ali

  • 2008 Gambling And Rationality
    by RICHARD N. ROSETT

  • 2008 Utility Analysis And Group Behavior An Empirical Study
    by MARTIN WEITZMAN

  • 2008 On The Robustness Of The Arrow–Pratt Risk Aversion Measure
    by J. G. KALLBERG & W. T. ZIEMBA

  • 2008 Introduction to Utility Preferences of Racetrack Bettors
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 Biases In Betting: An Application Of Laboratory Findings
    by MARY ANN METZGER

  • 2008 A Footnote On Horse Race Betting
    by RICHARD M. GRIFFITH

  • 2008 Stability Of Choices Among Uncertain Alternatives
    by WILLIAM H. MCGLOTHLIN

  • 2008 Odds Adjustments By American Horse-Race Bettors
    by R. M. GRIFFITH

  • 2008 Introduction to Psychological Studies
    by Donald B. Hausch & Victor S. Y. Lo & William T. Ziemba

  • 2008 Introduction
    by Donald B Hausch & Victor SY Lo & William T Ziemba

  • 2008 Option Pricing by Partial Differential Equations
    by Ömür Uğur

  • 2008 Random Numbers and Monte Carlo Simulation
    by Ömür Uğur

  • 2008 The Black-Scholes Equation
    by Ömür Uğur

  • 2008 Stochastic Differential Equations
    by Ömür Uğur

  • 2008 Option Pricing and Binomial Methods
    by Ömür Uğur

  • 2008 Introduction
    by Ömür Uğur

  • 2008 An Introduction to Computational Finance
    by Ömür Ugur

  • 2008 An Undergraduate Introduction to Financial Mathematics
    by J Robert Buchanan

  • 2008 Efficiency of Racetrack Betting Markets
    by

  • 2008 Guidebook for Supporting Decision Making Under Uncertainties:Today's Managers, Tomorrow's Business
    by Ettore Piccirillo & Massimo G Noro

  • 2007 Islamic Finance and Globalization: A Convergence?
    by Mirakhor, Abbas

  • 2007 Concluding Remarks
    by STEPHEN J. TAYLOR

  • 2007 Valuing Options
    by STEPHEN J. TAYLOR

  • 2007 Evidence Against the Efficiency of Futures Markets
    by STEPHEN J. TAYLOR

  • 2007 Forecasting Trends in Prices
    by STEPHEN J. TAYLOR

  • 2007 Testing the Random Walk Hypothesis
    by STEPHEN J. TAYLOR

  • 2007 The Accuracy of Autocorrelation Estimates
    by STEPHEN J. TAYLOR

  • 2007 Forecasting Standard Deviations
    by STEPHEN J. TAYLOR

  • 2007 Modelling Price Volatility
    by STEPHEN J. TAYLOR

  • 2007 Features of Financial Returns
    by STEPHEN J. TAYLOR

  • 2007 Introduction
    by STEPHEN J. TAYLOR

  • 2007 Modelling Financial Time Series
    by Stephen J Taylor

  • 2006 An Undergraduate Introduction to Financial Mathematics
    by J Robert Buchanan

  • 2005 Globalization and China's Economic and Financial Development
    by Gregory C. Chow

  • 2004 Models For Integrated Customer Order Selection And Requirements Planning Under Limited Production Capacity
    by K. Taaffe & J. Geunes

  • 2004 Network Flow Problems With Step Cost Functions
    by R. Yang & P. M. Pardalos

  • 2004 Exchange Rate Forecasting Through Distributed Time-Lagged Feedforward Neural Networks
    by N. G. Pavlidis & D. K. Tasoulis & G. S. Androulakis & M. N. Vrahatis

  • 2004 Mining Encrypted Data
    by B. Boutsinas & G. C. Meletiou & M. N. Vrahatis

  • 2004 A New Algorithm For The Triangulation Of Input–Output Tables In Economics
    by B. H. Chiarini & W. Chaovalitwongse & P. M. Pardalos

  • 2004 Portfolio Optimization Using Markowitz Model: An Application To The Bucharest Stock Exchange
    by C. Viju & G. Baourakis & A. Migdalas & M. Doumpos & P. M. Pardalos

  • 2004 Portfolio Optimization With Drawdown Constraints
    by A. Chekhlov & S. Uryasev & M. Zabarankin

  • 2004 Towards Integrated Web-Based Environment For B2b International Trade: Mall2000 Project Case
    by R. Nikolov & B. Lomev & S. Varbanov

  • 2004 Towards The Identification Of Human, Social, Cultural And Organizational Requirements For Successful E-Commerce Systems Development
    by A. S. Andreou & S. M. Mavromoustakos & C. N. Schizas

  • 2004 Critical Success Factors Of Business To Business (B2b) E-Commerce Solutions To Supply Chain Management
    by I. P. Vlachos

  • 2004 Brand Management In The Fruit Juice Industry
    by G. Baourakis & G. Baltas

  • 2004 Measuring Production Efficiency In The Greek Food Industry
    by A. Karakitsiou & A. Mavrommati & A. Migdalas

  • 2004 Single Airport Ground Holding Problem - Benefits Of Modeling Uncertainty And Risk
    by K. Taafe

  • 2004 Stacked Generalization Framework For The Prediction Of Corporate Acquisitions
    by E. Tartari & M. Doumpos & G. Baourakis & C. Zopounidis

  • 2004 Assessing Equity Mutual Funds' Performance Using A Multicriteria Methodology: A Comparative Analysis
    by K. Pendaraki & M. Doumpos & C. Zopounidis

  • 2004 Assessing Country Risk Using Multicriteria Classification Approaches
    by E. Gjonca & M. Doumpos & G. Baourakis & C. Zopounidis

  • 2004 Assessing The Financial Performance Of Marketing Co-Operatives And Investor Owned Firms: A Multicriteria Methodology
    by G. Baourakis & N. Kalogeras & C. Zopounidis & G. Van Dijk

  • 2004 On The Efficiency Of The Capital Market In Greece: Price Discovery And Causality In The Athens Stock Exchange And The Athens Derivatives Exchange
    by H. V. Mertzanis

  • 2004 Network-Based Techniques In The Analysis Of The Stock Market
    by V. Boginski & S. Butenko & P. M. Pardalos

  • 2003 Mαth-Kit: A Multimedia Project For Learning And Teaching Mathematics
    by SABINE SCHILLER & LUISE UNGER

  • 2003 Hankel Operators On Generalized Bergman-Hardy Spaces
    by BETTINA REHBERG

  • 2003 Mathematician'S Careers - Analysis Of A Questionnaire
    by INA KERSTEN & EMILIA MEZZETTI

  • 2003 Focus On Italian Activities In Women And Science
    by ROSA MARIA SPITALERI

  • 2003 Women And Science, In Europe And In France
    by CLAUDINE HERMANN

  • 2003 Popularization Of Mathematics: Local And Global Perspectives
    by FRANKA MIRIAM BRÜCKLER

  • 2003 Raising Public Awareness In Mathematics: The Wmy2000 Experience
    by MIREILLE CHALEYAT-MAUREL

  • 2003 Report
    by TATIANA IVANOVA

  • 2003 Lecture 2 Residue Formulae For Volumes And Number Of Integral Points In Convex Rational Polytopes
    by MICHÈLE VERGNE

  • 2003 Lecture 1 Residue Formulae For Bernoulli Polynomials And Verlinde Sums
    by MICHÈLE VERGNE

  • 2003 Residue Formulae For Verlinde Sums, And For Number Of Integral Points In Convex Rational Polytopes
    by MICHÈLE VERGNE

  • 2003 Tessellations And Related Modular Groups
    by ASIA IVIĆ WEISS

  • 2003 Why Is There Hyperbolic Geometry In Dynamics?
    by CAROLINE SERIES

  • 2003 Calabi-Yau Manifolds And Mirror Symmetry
    by XENIA DE LA OSSA

  • 2003 Total Positivity, Flag Varieties And Quantum Cohomology
    by KONSTANZE RIETSCH

  • 2003 The Mckay Correspondence – A Bridge From Algebra To Geometry
    by YUKARI ITO

  • 2003 Analytical And Geometrical Features Of De Rham And Dolbeault'S Cohomologies
    by CHIARA DE FABRITIIS

  • 2003 Portfolio Optimization In Finance
    by NADINE BELLAMY

  • 2003 Why Heavy Tails In Financial Series? Estimations And Tests
    by MONIQUE PONTIER

  • 2003 Derivatives: A Scientific Revolution Of The Seventies
    by FRANCINE DIENER

  • 2003 The Mathematical Part Of Ewm Meetings
    by CAPI CORRALES RODRIGANEZ & LAURA TEDESCHINI LALLI

  • 2003 A Brief History Of The Ewm Office In Helsinki, 1991–2001
    by MARJATTA NÄÄTÄNEN

  • 2001 Социальный Феномен Глобализации
    by Kaluzhsky, Mikhail

  • 2001 Decomposition And Search Techniques In Disjunctive Programs For Portfolio Selection
    by KATHERINE WYATT

  • 2001 Monte Carlo Within A Day
    by JUAN D. CÁRDENAS & EMMANUEL FRUCHARD & JEAN-FRANÇOIS PICRON & CECILIA REYES & KRISTEN WALTERS & WEIMING YANG

  • 2001 How To Use Self-Similarities To Discover Similarities Of Path-Dependent Options
    by ALEXANDER LIPTON

  • 2001 Simulating Bermudan Interest Rate Derivatives
    by PETER CARR & GUANG YANG

  • 2001 One- And Multi-Factor Valuation Of Mortgages: Computational Problems And Shortcuts
    by ALEXANDER LEVIN

  • 2001 Weighted Monte Carlo: A New Technique For Calibrating Asset-Pricing Models
    by MARCO AVELLANEDA & ROBERT BUFF & CRAIG FRIEDMAN & NICOLAS GRANDECHAMP & LUKASZ KRUK & JOSHUA NEWMAN

  • 2001 Building A Consistent Pricing Model From Observed Option Prices
    by JEAN-PAUL LAURENT & DIETMAR P. J. LEISEN

  • 2001 Reconstructing The Unknown Local Volatility Function
    by THOMAS F. COLEMAN & YUYING LI & ARUN VERMA

  • 2001 Determining Volatility Surfaces And Option Values From An Implied Volatility Smile
    by PETER CARR & DILIP MADAN

  • 2001 Hedging Under Stochastic Volatility
    by K. RONNIE SIRCAR

  • 2001 Asset Prices Are Brownian Motion: Only In Business Time
    by HELYETTE GEMAN & DILIP B. MADAN & MARC YOR

  • 2001 When Is Time Continuous?
    by DIMITRIS BERTSIMAS & LEONID KOGAN & ANDREW W. LO

  • 2001 Hidden Markov Experts
    by ANDREAS S. WEIGEND & SHANMING SHI

  • 2001 Transition Densities For Interest Rate And Other Nonlinear Diffusions
    by YACINE AÏT-SAHALIA

  • 2000 Multi-Currency Investments And Exact Performance Attribution
    by Cornelis A. Los

  • 2000 Swaps
    by Cornelis A. Los

  • 2000 Forwards And Futures
    by Cornelis A. Los

  • 2000 Bond Portfolio Valuation And Management
    by Cornelis A. Los

  • 2000 Option Pricing Ii
    by Cornelis A. Los

  • 2000 Option Pricing I
    by Cornelis A. Los

  • 2000 Complete Valuation And Dynamic Risk Theory
    by Cornelis A. Los

  • 2000 Systematic Financial Risk Analysis
    by Cornelis A. Los

  • 2000 Optimal Portfolio Formation
    by Cornelis A. Los

  • 2000 Analysis Of Inexact Data Ii
    by Cornelis A. Los

  • 2000 Analysis Of Exact Data I
    by Cornelis A. Los

  • 2000 Fundamental Security Valuation
    by Cornelis A. Los

  • 2000 Capital Budgeting And Analytic Formulas
    by Cornelis A. Los

  • 2000 A Scientific Perspective
    by Cornelis A. Los

  • 1995 The need for international monetary stability: proposals for stabilizing exchange rates
    by Becker, Fernando & Fernandez, Pascual & Fontela, Emilio

  • This information is provided to you by IDEAS at the Research Division of the Federal Reserve Bank of St. Louis using RePEc data.