Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2011
- Delis, Manthos D & Hasan, Iftekhar & Mylonidis, Nikolaos, 2011, "The risk-taking channel of monetary policy in the USA: Evidence from micro-level data," MPRA Paper, University Library of Munich, Germany, number 34084, Oct.
- Langkamp, Christian, 2011, "Counterparty credit risk management in industrial corporates," MPRA Paper, University Library of Munich, Germany, number 34358, Oct.
- Tatom, John, 2011, "Predicting failure in the commercial banking industry," MPRA Paper, University Library of Munich, Germany, number 34608, Aug.
- Russo, Alberto, 2011, "La crisi, le sue origini e il prossimo futuro
[The crisis, its origins, and the next future]," MPRA Paper, University Library of Munich, Germany, number 34742, Nov. - Coskun, Yener, 2011, "Financial Engineering and Engineering of Financial Regulation," MPRA Paper, University Library of Munich, Germany, number 34838, Oct.
- Carfì, David & Musolino, Francesco, 2011, "Game complete analysis for financial markets stabilization," MPRA Paper, University Library of Munich, Germany, number 34901.
- Coskun, Yener & Kayacan, Murad, 2011, "Küresel Kriz ve Finansal Aracılarda Risk Yönetimi: Beyaz Sayfa Mı?
[Global Financial Crisis and Risk Management in Financial Intermediaries: Is It White Page?]," MPRA Paper, University Library of Munich, Germany, number 34910, Oct. - Janda, Karel & Rausser, Gordon, 2011, "American and European Regulation of Over-the-Counter Derivative Securities," MPRA Paper, University Library of Munich, Germany, number 35036, Nov.
- Estrada, Fernando, 2011, "Financial crises, asymmetric information and argumentation," MPRA Paper, University Library of Munich, Germany, number 35080.
- Pessoa, Argentino, 2011, "The Euro Area sovereign debt crisis: Some implications of its systemic dimension," MPRA Paper, University Library of Munich, Germany, number 35328, Dec.
- Ojo, Marianne, 2011, "Harmonising Basel III and the Dodd Frank Act," MPRA Paper, University Library of Munich, Germany, number 35475, Dec.
- Aliyu, Shehu Usman Rano, 2011, "Reactions of stock market to monetary policy shocks during the global financial crisis: the Nigerian case," MPRA Paper, University Library of Munich, Germany, number 35581, Nov, revised 28 Dec 2011.
- Muñoz, Mª Pilar & Márquez, María Dolores & Sánchez, Josep A., 2011, "Contagion between United States and european markets during the recent crises," MPRA Paper, University Library of Munich, Germany, number 35993, Jul.
- Constantinescu, Radu, 2011, "Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-
[Mainstream and keynesism: - two doctrines, two methods, same ideas -]," MPRA Paper, University Library of Munich, Germany, number 36128. - Constantinescu, Radu, 2011, "Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-
[Mainstream and keynesism: - two doctrines, two methods, same ideas -]," MPRA Paper, University Library of Munich, Germany, number 36130. - Dumitriu, Ramona & Stefanescu, Razvan, 2011, "Shocks on the Romanian foreign exchange market before and after the global crisis," MPRA Paper, University Library of Munich, Germany, number 36560, Jun, revised 09 Feb 2012.
- Dumitriu, Ramona & Stefanescu, Razvan & Nistor, Costel, 2011, "Analysis of within – month effects on the Bucharest stock exchange," MPRA Paper, University Library of Munich, Germany, number 36562, Aug, revised 09 Feb 2012.
- Casu, Barbara & Clare, Andrew & Saleh, Nashwa, 2011, "Towards a new model for early warning signals for systemic financial fragility and near crises: an application to OECD countries," MPRA Paper, University Library of Munich, Germany, number 37043, Dec.
- Dufrénot, Gilles & Mignon, Valérie & Péguin-Feissolle, Anne, 2011, "The effects of the subprime crisis on the Latin American financial markets: An empirical assessment," Economic Modelling, Elsevier, volume 28, issue 5, pages 2342-2357, September.
- Nitschka, Thomas, 2011, "About the soundness of the US-cay indicator for predicting international banking crises," The North American Journal of Economics and Finance, Elsevier, volume 22, issue 3, pages 237-256, DOI: 10.1016/j.najef.2011.02.004.
- Prean, Nora & Stix, Helmut, 2011, "The effect of raising deposit insurance coverage in times of financial crisis – Evidence from Croatian microdata," Economic Systems, Elsevier, volume 35, issue 4, pages 496-511, DOI: 10.1016/j.ecosys.2011.01.004.
- Riva, Angelo & White, Eugene N., 2011, "Danger on the exchange: How counterparty risk was managed on the Paris exchange in the nineteenth century," Explorations in Economic History, Elsevier, volume 48, issue 4, pages 478-493, DOI: 10.1016/j.eeh.2011.05.002.
- Delis, Manthos D. & Mylonidis, Nikolaos, 2011, "The chicken or the egg? A note on the dynamic interrelation between government bond spreads and credit default swaps," Finance Research Letters, Elsevier, volume 8, issue 3, pages 163-170, September.
- Charlotte, Christiansen, 2011, "Intertemporal risk-return trade-off in foreign exchange rates," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 21, issue 4, pages 535-549, October.
- Samarakoon, Lalith P., 2011, "Stock market interdependence, contagion, and the U.S. financial crisis: The case of emerging and frontier markets," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 21, issue 5, pages 724-742, DOI: 10.1016/j.intfin.2011.05.001.
- Lang, Mark & Maffett, Mark, 2011, "Transparency and liquidity uncertainty in crisis periods," Journal of Accounting and Economics, Elsevier, volume 52, issue 2, pages 101-125, DOI: 10.1016/j.jacceco.2011.07.001.
- Ng, Jeffrey, 2011, "The effect of information quality on liquidity risk," Journal of Accounting and Economics, Elsevier, volume 52, issue 2, pages 126-143, DOI: 10.1016/j.jacceco.2011.03.004.
- Aloui, Riadh & Aïssa, Mohamed Safouane Ben & Nguyen, Duc Khuong, 2011, "Global financial crisis, extreme interdependences, and contagion effects: The role of economic structure?," Journal of Banking & Finance, Elsevier, volume 35, issue 1, pages 130-141, January.
- Harras, Georges & Sornette, Didier, 2011, "How to grow a bubble: A model of myopic adapting agents," Journal of Economic Behavior & Organization, Elsevier, volume 80, issue 1, pages 137-152, DOI: 10.1016/j.jebo.2011.03.003.
- Puri, Manju & Rocholl, Jörg & Steffen, Sascha, 2011, "Global retail lending in the aftermath of the US financial crisis: Distinguishing between supply and demand effects," Journal of Financial Economics, Elsevier, volume 100, issue 3, pages 556-578, June.
- Ang, Andrew & Gorovyy, Sergiy & van Inwegen, Gregory B., 2011, "Hedge fund leverage," Journal of Financial Economics, Elsevier, volume 102, issue 1, pages 102-126, October.
- Giesecke, Kay & Longstaff, Francis A. & Schaefer, Stephen & Strebulaev, Ilya, 2011, "Corporate bond default risk: A 150-year perspective," Journal of Financial Economics, Elsevier, volume 102, issue 2, pages 233-250, DOI: 10.1016/j.jfineco.2011.01.011.
- Fahlenbrach, Rüdiger & Stulz, René M., 2011, "Bank CEO incentives and the credit crisis," Journal of Financial Economics, Elsevier, volume 99, issue 1, pages 11-26, January.
- Bird, R. & Menzies, G. & Dixon, P. & Rimmer, M., 2011, "The economic costs of US stock mispricing," Journal of Policy Modeling, Elsevier, volume 33, issue 4, pages 552-567, July.
- Acharya, Viral V. & Skeie, David, 2011, "A model of liquidity hoarding and term premia in inter-bank markets," Journal of Monetary Economics, Elsevier, volume 58, issue 5, pages 436-447, DOI: 10.1016/j.jmoneco.2011.05.006.
- Bastos, João A. & Caiado, Jorge, 2011, "Recurrence quantification analysis of global stock markets," Physica A: Statistical Mechanics and its Applications, Elsevier, volume 390, issue 7, pages 1315-1325, DOI: 10.1016/j.physa.2010.12.008.
- Bekaert, Geert & Harvey, Campbell R. & Lundblad, Christian, 2011, "Financial Openness and Productivity," World Development, Elsevier, volume 39, issue 1, pages 1-19, January.
- Mardi Dungey & Gerald P. Dwyer & Thomas Flavin, 2011, "Systematic and Liquidity Risk in Subprime-Mortgage Backed Securities," CAMA Working Papers, Centre for Applied Macroeconomic Analysis, Crawford School of Public Policy, The Australian National University, number 2011-30, Sep.
- Tihomir Domazet, 2011, "Okvir ekonomike na makro i mikro razini - odgovor na nove izazove," Ekonomija Economics, Rifin d.o.o., volume 18, issue 2, pages 197-232.
- L. Randall Wray, 2011, "The Dismal State of Macroeconomics and the Opportunity for a New Beginning," Chapters, Edward Elgar Publishing, chapter 19, in: John B. Davis & D. Wade Hands, "The Elgar Companion to Recent Economic Methodology".
- Donatella Porrini & Giovanni B. Ramello, 2011, "Class action and financial markets: insights from law and economics," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 3, issue 2, pages 140-160, May, DOI: 10.1108/17576381111133615.
- Linus Wilson, 2011, "Stock demand curves and TARP returns," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 3, issue 3, pages 229-242, August, DOI: 10.1108/17576381111152218.
- Puspa Amri & Apanard P. Angkinand & Clas Wihlborg, 2011, "International comparisons of bank regulation, liberalization, and banking crises," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 3, issue 4, pages 322-339, November, DOI: 10.1108/17576381111182909.
- Maximilian A. Vermorken & Alphons Th. Vermorken, 2011, "Cause v. consequence‐based regulation: Basel III v. the Eurocodes," Journal of Financial Regulation and Compliance, Emerald Group Publishing Limited, volume 19, issue 2, pages 111-116, May, DOI: 10.1108/13581981111123834.
- Chang, C-L. & Jiménez-Martín, J.A. & McAleer, M.J. & Pérez-Amaral, T., 2011, "The Rise and Fall of S&P500 Variance Futures," Econometric Institute Research Papers, Erasmus University Rotterdam, Erasmus School of Economics (ESE), Econometric Institute, number EI2011-37, Nov.
- Roth, Felix & Nowak-Lehmann D., Felicitas & Otter, Thomas, 2011, "Has the financial crisis shattered citizens’ trust in national and European governmental institutions? Evidence from the EU member states, 1999-2010," CEPS Papers, Centre for European Policy Studies, number 4159, Feb.
- Ernest Gnan, & Ryszard Kokoszczynski & Tomasz Lyziak & Robert McCauley (ed.), 2011, "Monetary Policy after the Crisis," SUERF Studies, SUERF - The European Money and Finance Forum, number 2011/3, ISBN: ARRAY(0x7461c258), May.
- Mustapha Djennas & Mohamed Benbouziane & Meriem Djennas, 2011, "An Approach of Combining Empirical Mode Decomposition and Neural Network Learning for Currency Crisis Forecasting," Working Papers, Economic Research Forum, number 627, Jan, revised 09 Jan 2011.
- Nicolae Dardac & Adriana Giba, 2011, "Systemic Financial Crisis: A Cluster Analysis," European Research Studies Journal, European Research Studies Journal, volume 0, issue 2, pages 53-64.
- Robert Kelly & Kieran Mcquinn & Rebecca Stuart, 2011, "Exploring the Steady-State Relationship Between Credit and GDP for a Small Open Economy–The Case Of Ireland," The Economic and Social Review, Economic and Social Studies, volume 42, issue 4, pages 455-477.
- Michael G. Arghyrou & Alexandros Kontonikas, 2011, "The EMU sovereign-debt crisis: Fundamentals, expectations and contagion," European Economy - Economic Papers 2008 - 2015, Directorate General Economic and Financial Affairs (DG ECFIN), European Commission, number 436, Feb.
- Ilario Favaretto & Germana Giombini, 2011, "Crisi economica, criminalit? e vincoli di liquidit? delle imprese," ARGOMENTI, FrancoAngeli Editore, volume 2011, issue 31, pages 107-140.
- Figuera Stefano, 2011, "Alcune considerazioni sullo Shadow Banking System," STUDI ECONOMICI, FrancoAngeli Editore, volume 0, issue 104, pages 69-87.
- Claudiu T. Albulescu, 2011, "Economic and Financial Integration of CEECs: The Impact of Financial Instability," Czech Economic Review, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, volume 5, issue 1, pages 027-045, March.
- Alexis Derviz, 2011, "Real Implications of Bursting Asset Price Bubbles in Economies with Bank Credit," Czech Journal of Economics and Finance (Finance a uver), Charles University Prague, Faculty of Social Sciences, volume 61, issue 1, pages 92-116, January.
- veronika Holá & Petr Jakubík, 2011, "Dopady změn parametrů pojištění vkladů v roce 2008," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2011/05, Jan, revised Jan 2011.
- Milan Rippel & Ivo Jánský, 2011, "Value at Risk forecasting with the ARMA-GARCH family of models in times of increased volatility," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2011/27, Jul, revised Jul 2011.
- Jan Babecký & Tomáš Havránek & Jakub Matìjù & Marek Rusnák & Kateøina Šmídková & Boøek Vašíèek, 2011, "Early Warning Indicators of Crisis Incidence: Evidence from a Panel of 40 Developed Countries," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2011/36, Nov, revised Nov 2011.
- Mardi Dungey & Gerald P. Dwyer & Thomas Flavin, 2011, "Systematic and liquidity risk in subprime-mortgage backed securities," FRB Atlanta Working Paper, Federal Reserve Bank of Atlanta, number 2011-15.
- Timothy Bianco & Ryan Eiben & Dieter Gramlich & Mikhail V. Oet & Stephen J. Ong & Jing Wang, 2011, "SAFE: An early warning system for systemic banking risk," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1129.
- Gabriel Jimenez & Atif Mian & José-Luis Peydró & Jesus Saurina, 2011, "Local versus aggregate lending channels : the effects of securitization on corporate credit supply in Spain," Proceedings, Federal Reserve Bank of Chicago, number 1126.
- Santiago Carbó-Valverde & Edward J. Kane & Francisco Rodríguez-Fernández, 2011, "Safety-net benefits conferred on difficulty-to-fail-and-unwind banks in the U.S. and EU before and during the Great Recession," Proceedings, Federal Reserve Bank of Chicago, number 1132.
- Viral V. Acharya & Nada Mora, 2011, "Are banks passive liquidity backstops? deposit rates and flows during the 2007-2009 crisis," Research Working Paper, Federal Reserve Bank of Kansas City, number RWP 11-06.
- Fabrizio Perri & Vincenzo Quadrini, 2011, "International recessions," Staff Report, Federal Reserve Bank of Minneapolis, number 463.
- Warren B. Hrung & Jason S. Seligman, 2011, "Responses to the financial crisis, treasury debt, and the impact on short-term money markets," Staff Reports, Federal Reserve Bank of New York, number 481.
- Rajashri Chakrabarti & Donghoon Lee & Wilbert Van der Klaauw & Basit Zafar, 2011, "Household debt and saving during the 2007 recession," Staff Reports, Federal Reserve Bank of New York, number 482.
- Viral V. Acharya & David R. Skeie, 2011, "A model of liquidity hoarding and term premia in inter-bank markets," Staff Reports, Federal Reserve Bank of New York, number 498.
- Sudipto Bhattacharya & Kjell G. Nyborg, 2011, "Bank Bailout Menus," FMG Discussion Papers, Financial Markets Group, number dp668, Jan.
- Itay Goldstein & Emre Ozdenoren & Kathy Yuan, 2011, "Trading Frenzies and their Impact on Real Investment," FMG Discussion Papers, Financial Markets Group, number dp670, Feb.
- Sudipto Bhattacharya & Kjell G. Nyborg, 2011, "Bank Bailout Menus," FMG Discussion Papers, Financial Markets Group, number dp676, Mar.
- Dembinski, Paul H., 2011, "Encyclical Letter "Caritas in Veritate": An Economist's Reading," FSES Working Papers, Faculty of Economics and Social Sciences, University of Freiburg/Fribourg Switzerland, number 422, Oct.
- Panzera, Fabio S., 2011, "Price stability and financial imbalances: rethinking the macrofinancial framework after the 2007-8 financial crisis," FSES Working Papers, Faculty of Economics and Social Sciences, University of Freiburg/Fribourg Switzerland, number 423, Dec.
2010
- Ziesemer, Thomas H.W., 2010, "The impact of the credit crisis on poor developing countries: Growth, worker remittances, accumulation and migration," Economic Modelling, Elsevier, volume 27, issue 5, pages 1230-1245, September.
- Jiang, Zhi-Qiang & Zhou, Wei-Xing & Sornette, Didier & Woodard, Ryan & Bastiaensen, Ken & Cauwels, Peter, 2010, "Bubble diagnosis and prediction of the 2005-2007 and 2008-2009 Chinese stock market bubbles," Journal of Economic Behavior & Organization, Elsevier, volume 74, issue 3, pages 149-162, June.
- Panageas, Stavros, 2010, "Bailouts, the incentive to manage risk, and financial crises," Journal of Financial Economics, Elsevier, volume 95, issue 3, pages 296-311, March.
- Veronesi, Pietro & Zingales, Luigi, 2010, "Paulson's gift," Journal of Financial Economics, Elsevier, volume 97, issue 3, pages 339-368, September.
- Campello, Murillo & Graham, John R. & Harvey, Campbell R., 2010, "The real effects of financial constraints: Evidence from a financial crisis," Journal of Financial Economics, Elsevier, volume 97, issue 3, pages 470-487, September.
- Demirgüç-Kunt, Asli & Huizinga, Harry, 2010, "Bank activity and funding strategies: The impact on risk and returns," Journal of Financial Economics, Elsevier, volume 98, issue 3, pages 626-650, December.
- Demyanyk, Yuliya & Hasan, Iftekhar, 2010, "Financial crises and bank failures: A review of prediction methods," Omega, Elsevier, volume 38, issue 5, pages 315-324, October.
- Uhlig, Harald, 2010, "A model of a systemic bank run," Journal of Monetary Economics, Elsevier, volume 57, issue 1, pages 78-96, January.
- Suhadolnik, Nicolas & Galimberti, Jaqueson & Da Silva, Sergio, 2010, "Robot traders can prevent extreme events in complex stock markets," Physica A: Statistical Mechanics and its Applications, Elsevier, volume 389, issue 22, pages 5182-5192, DOI: 10.1016/j.physa.2010.07.025.
- Dirk G. Baur, 2010, "Financial Contagion and the Real Economy," CAMA Working Papers, Centre for Applied Macroeconomic Analysis, Crawford School of Public Policy, The Australian National University, number 2010-16, May.
- Dušan Zbašnik, 2010, "Rješavanje problematike deficita i dugova u kriznom periodu," Ekonomija Economics, Rifin d.o.o., volume 17, issue 1, pages 257-280.
- Alejandro Villagómez & Luis Navarro, 2010, "Política fiscal contracíclica en México durante la crisis reciente: Un análisis preliminar," Working Papers, CIDE, División de Economía, number DTE 475, Feb.
- Alejandro Villagómez, 2010, "Notas sobre la primera crisis global del siglo XXI," Working Papers, CIDE, División de Economía, number DTE 492, May.
- Peter Backé, Ernest Gnan and Philipp Hartmann (ed.), 2010, "Contagion and Spillovers: New Insights from the Crisis," SUERF Studies, SUERF - The European Money and Finance Forum, number 2010/5, ISBN: ARRAY(0x75742ba8), May.
- Nicolas Berman and Philippe Martin, 2010, "The Vulnerability Of Sub-Saharan Africa To The Financial Crisis: The Case Of Trade," EUI-RSCAS Working Papers, European University Institute (EUI), Robert Schuman Centre of Advanced Studies (RSCAS), number 15, Mar.
- Amalia Venera Todorut & Liliana Constantinescu, 2010, "A New Strategy for Europe and New Economic Opportunities for Greece and the East European Countries," European Research Studies Journal, European Research Studies Journal, volume 0, issue 2, pages 15-22.
- Monica Violeta Achim & Nicolae Sorin Borlea & Ludovica Breban, 2010, "Financial Crisis and Accounting Information: The Need for Corporate Social Responsibility in Accounting Profession," European Research Studies Journal, European Research Studies Journal, volume 0, issue 3, pages 39-62.
- Angulo Sánchez, Nicolás, 2010, "Gobernanza y crisis del neoliberalismo," Entelequia. Revista Interdisciplinar, Entelequia y Servicios Académicos Intercontinentales SL, issue 11, pages 241-259, Spring.
- Haase, Fee-Alexandra, 2010, "The Linguistic Representation of financial crisis. 'The New York Times Online,' 2008-2009," Entelequia. Revista Interdisciplinar, Entelequia y Servicios Académicos Intercontinentales SL, issue 11, pages 93-106, Spring.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome I : revue des auteurs et preamble," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b010, edition 1, ISBN: ARRAY(0x60f00a28), May.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome II : Donnees empiriques sur la periode 1800-2000 : histoires economique et monetaire de l'Europe," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b011, edition 1, ISBN: ARRAY(0x60bc83b0), May.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome III : Modele et calculs : une theorie monetaire des Cycles de Kondratieff, l'Euro de 2000 a 2050," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b012, edition 1, ISBN: ARRAY(0x6160bbe8), May.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome IV : Annexes," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b013, edition 1, ISBN: ARRAY(0x60e7c890), May.
- Ila Patnaik, 2010, "Why India Choked when Lehman Broke," Working Papers, eSocialSciences, number id:2362.
- Xiaoqiang Cheng & Patrick VAN CAYSEELE, 2010, "State Aid and Competition in Banking: The Case of China in the Late Nineties," Working Papers, eSocialSciences, number id:2435, Feb.
- Ramkishen Rajan, 2010, "The Japanese Economy and Economic Policy in Light of the East Asian Financial Crisis," Working Papers, eSocialSciences, number id:2695, Jul.
- Gloria O. Pasadilla, 2010, "Financial Crisis, Trade Finance, and SMEs: Case of Central Asia," Working Papers, eSocialSciences, number id:3023, Oct.
- Lucas Bretschger & Vivien Kappel, 2010, "Market concentration and the likelihood of financial crises," CER-ETH Economics working paper series, CER-ETH - Center of Economic Research (CER-ETH) at ETH Zurich, number 10/138, Sep.
- Lucjan T. Orlowski, 2010, "Proliferation of risk and policy responses in the EU financial markets," European Economy - Economic Papers 2008 - 2015, Directorate General Economic and Financial Affairs (DG ECFIN), European Commission, number 416, Jul.
- Friederike Niepmann & Tim Schmidt-Eisenlohr, 2010, "Bank Bail-Outs, International Linkages and Cooperation," Economics Working Papers, European University Institute, number ECO2010/05.
- Franklin Allen & Ana Babus & Elena Carletti, 2010, "Financial Connections and Systemic Risk," Economics Working Papers, European University Institute, number ECO2010/26.
- Franklin Allen & Ana Babus & Elena Carletti, 2010, "Financial Connections and Systemic Risk," Economics Working Papers, European University Institute, number ECO2010/30.
- Erkan TOKUCU, 2010, "Kriz Ve Para Politikaları: Para Politikalarının Başarısızlığı Üzerine," Ekonomik Yaklasim, Ekonomik Yaklasim Association, volume 21, issue 76, pages 31-54, DOI: 10.5455/ey.20044.
- Mustafa DURMUŞ, 2010, "Aşırı Birikim - Finansallaşma İlişkisinin 2008 Krizi Bağlamında Analizi," Ekonomik Yaklasim, Ekonomik Yaklasim Association, volume 21, issue 77, pages 1-48, DOI: 10.5455/ey.20036.
- Petra Benešová & Petr Teply, 2010, "Main Flaws of The Collateralized Debt Obligation‘s: Valuation Before And During The 2008/2009 Global Turmoil," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2010/01, Jan, revised Jan 2010.
- Radovan Parrák & Jakub Seidler, 2010, "Mean-Variance & Mean-VaR Portfolio Selection: A Simulation Based Comparison in the Czech Crisis Environment," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2010/27, Nov, revised Nov 2010.
- Viral V. Acharya & Lasse H. Pedersen & Thomas Philippon & Matthew Richardson, 2010, "Measuring systemic risk," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1002, DOI: 10.26509/frbc-wp-201002.
- Martin Saldias Zambrana, 2010, "Systemic risk analysis using forward-looking distance-to-default series," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1005, DOI: 10.26509/frbc-wp-201005.
- Stefania D'Amico & Don H. Kim & Min Wei, 2010, "Tips from TIPS: the informational content of Treasury Inflation-Protected Security prices," Finance and Economics Discussion Series, Board of Governors of the Federal Reserve System (U.S.), number 2010-19.
- Song Han & Dan Li, 2010, "The fragility of discretionary liquidity provision - lessons from the collapse of the auction rate securities market," Finance and Economics Discussion Series, Board of Governors of the Federal Reserve System (U.S.), number 2010-50.
- Viral V. Acharya, 2010, "Measuring systemic risk," Proceedings, Federal Reserve Bank of Chicago, number 1140.
- Gene Amromin & Jennifer Huang & Clemens Sialm & Edward Zhong, 2010, "Complex mortgages," Working Paper Series, Federal Reserve Bank of Chicago, number WP-2010-17.
- Alan S. Blinder, 2010, "Quantitative easing: entrance and exit strategies," Review, Federal Reserve Bank of St. Louis, volume 92, issue Nov, pages 465-480.
- Darrell Duffie & Ada Li & Theo Lubke, 2010, "Policy perspectives on OTC derivatives market infrastructure," Staff Reports, Federal Reserve Bank of New York, number 424.
- Gara Afonso & Anna Kovner & Antoinette Schoar, 2010, "Stressed, not frozen: the Federal Funds market in the financial crisis," Staff Reports, Federal Reserve Bank of New York, number 437, Mar.
- Nicola Cetorelli & Linda S. Goldberg, 2010, "Global banks and international shock transmission: evidence from the crisis," Staff Reports, Federal Reserve Bank of New York, number 446.
- Adam B. Ashcraft & Paul Goldsmith-Pinkham & James Vickery, 2010, "MBS ratings and the mortgage credit boom," Staff Reports, Federal Reserve Bank of New York, number 449.
- Tobias Adrian & Adam B. Ashcraft & Hayley Boesky & Zoltan Pozsar, 2010, "Shadow banking," Staff Reports, Federal Reserve Bank of New York, number 458.
- Toni Dechario & Patricia C. Mosser & Joseph Tracy & James Vickery & Joshua Wright, 2010, "A private lender cooperative model for residential mortgage finance," Staff Reports, Federal Reserve Bank of New York, number 466, Aug.
- Matteo Barigozzi & Christian T. Brownlees & Giampiero M. Gallo & David Veredas, 2010, "Disentangling Systematic and Idiosyncratic Risk for Large Panels of Assets," Econometrics Working Papers Archive, Universita' degli Studi di Firenze, Dipartimento di Statistica, Informatica, Applicazioni "G. Parenti", number wp2010_06, Jul.
- Andrew Ellul & Vijay Yerramilli, 2010, "Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding Companies," FMG Discussion Papers, Financial Markets Group, number dp646, Feb.
- Caitlin Ann Greatrex & Erick W. Rengifo, 2010, "Government Intervention and the CDS Market: A Look at the Market's Response to Policy Announcements During the 2007-2009 Financial Crisis," Fordham Economics Discussion Paper Series, Fordham University, Department of Economics, number dp2010-12.
- Janusz Rybak & Valentina Shapoval, 2010, "Effect Of The World Financial Crisis On Real Estate Market In Terms Of Poland And Ukraine," European Journal of Business and Economics, Central Bohemia University, volume 1, issue 0, pages 841:1-841:1, September, DOI: 10.12955/ejbe.v1i0.84.
- Thorvardur Tjörvi Ólafsson & Thórarinn G. Pétursson, 2010, "Weathering the financial storm: The importance of fundamentals and flexibility," Economics Working Papers, Department of Economics and Business Economics, Aarhus University, number 2010-17, Oct.
- Charlotte Christiansen, 2010, "Intertemporal Risk-Return Trade-off in Foreign Exchange Rates," CREATES Research Papers, Department of Economics and Business Economics, Aarhus University, number 2010-20, May.
- Martin Cicowiez & Carlos Gustavo Machicado, 2010, "Effects of the Global Financial and Economic Crisis on the Bolivian Economy: A CGE Approach," Development Research Working Paper Series, Institute for Advanced Development Studies, number 10/2010, Aug.
- Joseph E. Stiglitz, 2010, "Risk and Global Economic Architecture: Why Full Financial Integration May Be Undesirable," American Economic Review, American Economic Association, volume 100, issue 2, pages 388-392, May, DOI: 10.1257/aer.100.2.388.
- Anton Korinek & Agustin Roitman & Carlos A. Végh, 2010, "Decoupling and Recoupling," American Economic Review, American Economic Association, volume 100, issue 2, pages 393-397, May, DOI: 10.1257/aer.100.2.393.
- Javier Bianchi, 2010, "Credit Externalities: Macroeconomic Effects and Policy Implications," American Economic Review, American Economic Association, volume 100, issue 2, pages 398-402, May, DOI: 10.1257/aer.100.2.398.
- Olivier Jeanne & Anton Korinek, 2010, "Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach," American Economic Review, American Economic Association, volume 100, issue 2, pages 403-407, May, DOI: 10.1257/aer.100.2.403.
- Atif Mian & Amir Sufi, 2010, "The Great Recession: Lessons from Microeconomic Data," American Economic Review, American Economic Association, volume 100, issue 2, pages 51-56, May, DOI: 10.1257/aer.100.2.51.
- Charles Engel & Kenneth D. West, 2010, "Global Interest Rates, Currency Returns, and the Real Value of the Dollar," American Economic Review, American Economic Association, volume 100, issue 2, pages 562-567, May, DOI: 10.1257/aer.100.2.562.
- Enrique G. Mendoza, 2010, "Sudden Stops, Financial Crises, and Leverage," American Economic Review, American Economic Association, volume 100, issue 5, pages 1941-1966, December.
- Arvind Krishnamurthy, 2010, "Amplification Mechanisms in Liquidity Crises," American Economic Journal: Macroeconomics, American Economic Association, volume 2, issue 3, pages 1-30, July.
- Marcin Kacperczyk & Philipp Schnabl, 2010, "When Safe Proved Risky: Commercial Paper during the Financial Crisis of 2007-2009," Journal of Economic Perspectives, American Economic Association, volume 24, issue 1, pages 29-50, Winter.
- Arvind Krishnamurthy, 2010, "How Debt Markets Have Malfunctioned in the Crisis," Journal of Economic Perspectives, American Economic Association, volume 24, issue 1, pages 3-28, Winter.
- Darrell Duffie, 2010, "The Failure Mechanics of Dealer Banks," Journal of Economic Perspectives, American Economic Association, volume 24, issue 1, pages 51-72, Winter.
- Rene M. Stulz, 2010, "Credit Default Swaps and the Credit Crisis," Journal of Economic Perspectives, American Economic Association, volume 24, issue 1, pages 73-92, Winter.
- Christian Laux & Christian Leuz, 2010, "Did Fair-Value Accounting Contribute to the Financial Crisis?," Journal of Economic Perspectives, American Economic Association, volume 24, issue 1, pages 93-118, Winter.
- Lawrence J. White, 2010, "Markets: The Credit Rating Agencies," Journal of Economic Perspectives, American Economic Association, volume 24, issue 2, pages 211-226, Spring.
- Michael Woodford, 2010, "Financial Intermediation and Macroeconomic Analysis," Journal of Economic Perspectives, American Economic Association, volume 24, issue 4, pages 21-44, Fall.
- Robert E. Hall, 2010, "Why Does the Economy Fall to Pieces after a Financial Crisis?," Journal of Economic Perspectives, American Economic Association, volume 24, issue 4, pages 3-20, Fall.
- Ricardo J. Caballero, 2010, "Macroeconomics after the Crisis: Time to Deal with the Pretense-of-Knowledge Syndrome," Journal of Economic Perspectives, American Economic Association, volume 24, issue 4, pages 85-102, Fall.
- Nicolae Dardac & Adriana Giba, 2010, "Systemic Crisis Management and Central Bank Independence. An Empirical Analysis," The AMFITEATRU ECONOMIC journal, Academy of Economic Studies - Bucharest, Romania, volume 12, issue 28, pages 594-605, June.
- Macias, Jose Brambila & Massa, Isabella & Salois, Matthew J., , "The Impact of Financial Crises on Trade Flows: A Developing Country Perspective," 84th Annual Conference, March 29-31, 2010, Edinburgh, Scotland, Agricultural Economics Society, number 91831, DOI: 10.22004/ag.econ.91831.
- Tirole, Jean, 2010, "Illiquidity and all its Friends," Institutions and Markets Papers, Fondazione Eni Enrico Mattei (FEEM), number 91011, Jun, DOI: 10.22004/ag.econ.91011.
- Maria Carmen Huian, 2010, "Impact Of Current Financial Crisis On Disclosures On Financial Instruments," Analele Stiintifice ale Universitatii "Alexandru Ioan Cuza" din Iasi - Stiinte Economice (1954-2015), Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, volume 2010, pages 41-50, july.
- Alexandra HOROBET, 2010, "Searching For Causes Of The Current Financial Crisis: On Risk Underassessment And Ignorance," Review of Economic and Business Studies, Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, issue 5, pages 195-200, June.
- Ruxandra CIULU, 2010, "Crisis Inversion Strategies – Theory or Reality in Romania of 2009?," Review of Economic and Business Studies, Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, issue 5, pages 25-37, June.
- Marin Opriţescu & Alina Manta, 2010, "New Trends In Banking Due To The International Financial Crisis," Annals of University of Craiova - Economic Sciences Series, University of Craiova, Faculty of Economics and Business Administration, volume 3, issue 38, pages 527-541, May.
- Lect. Voicu Iulica Ph. D & Assist. Talmaciu Iuliana Ph. D Student, 2010, "Lagrange-Hamilton Model For Control Affine Systems With Positive Homogeneous Cost," Annals of University of Craiova - Economic Sciences Series, University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 38, pages 269-275, May.
- Prof. Ana Popa Ph. D & Assoc. Prof. Laura Giurcă Vasilescu Ph. D., 2010, "Romanian Rural Development And The Financing Policy," Annals of University of Craiova - Economic Sciences Series, University of Craiova, Faculty of Economics and Business Administration, volume 2, issue 38, pages 1-10, May.
- Lect.. Eugenia Ramona Mara Ph. D & Lect. Monica Achim Ph. D & Lect.. Angela Filip Ph. D, 2010, "Analysis Of The Taxation System In Romania In The Economic Crisis Context," Annals of University of Craiova - Economic Sciences Series, University of Craiova, Faculty of Economics and Business Administration, volume 2, issue 38, pages 1-8, May.
- Prof. Jenica Popescu Ph. D & Prof. Maria Sandu Ph. D, 2010, "Views On Banking Supervision In The International Financial Crisis," Annals of University of Craiova - Economic Sciences Series, University of Craiova, Faculty of Economics and Business Administration, volume 3, issue 38, pages 1-6, May.
- Lect. Voicu Iulica Ph. D & Assist. Talmaciu Iuliana Ph. D Student, 2010, "The Influence Of Global," Annals of University of Craiova - Economic Sciences Series, University of Craiova, Faculty of Economics and Business Administration, volume 3, issue 38, pages 1-6, May.
- Jenica POPESCU & Dorina POANTA, 2010, "Economic theory and current global financial crisis," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 122-127, May.
- Marin OPRITESCU & Alina MANTA & Mircea PERPELEA, 2010, "Quantifying the effects of the macroeconomic variables on the loan portofolio quality for the Romanian banking system using the VAR model," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 14-20, May.
- Roxana NANU & Gheorghe PIRVU & Ramona GRUESCU, 2010, "Euro-dollar ratio of forces in the current stage of economic-financial crisis," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 177-183, May.
- Cristian STANCIU, 2010, "A review of early warning system models," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 222-228, May.
- Octavia Maria GIBESCU, 2010, "Households lending crisis for the most important countries of Central and Eastern Europe," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 229-235, May.
- Alina Georgiana MANTA, 2010, "Empirical study on the risk – performance correlations at BRD – Groupe Société Générale," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 243-249, May.
- Rodica Viorica COANA & Iudit FODOR, 2010, "The adjustment of banking systems to the demands of contemporary economies," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 250-253, May.
- Mircea Gabriel CIOLPAN, 2010, "Developments of credit default swap contracts under the influence of global crisis," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 254-259, May.
- Ioan NISTOR & Maria ULICI, 2010, "Banking crisis. Case of U.S. banks versus UK banks," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 26-34, May.
- Dan Florentin SICHIGEA & Lorena TUPANGIU, 2010, "The euro-leu argument in the population’s preferences for savings placement," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 260-264, May.
- Claudia MITITELU & Stefan MITITELU, 2010, "Banking supervising in Romania – attribute of the National Bank of Romania," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 270-276, May.
- Mihaela RADU & Paula GEZA, 2010, "The capitalization of banks during crisis," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 283-288, May.
- Costin Daniel AVRAM, 2010, "The social responsibility and the deontology of the banking profession under the conditions of the global financial crisis," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 289-296, May.
- Marcel DRACEA & Narcis MITU & Nicoleta DRACEA, 2010, "Crisis management fiscal policy action of member states," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 48-52, May.
- Dorina POANTA & Vera MORARIU, 2010, "Trends and expectations regarding lending activity," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 53-59, May.
- Nicolae SICHIGEA & Marcel DRACEA, 2010, "Banking’s implications on Romanian’s business environment in context of global financial crisis," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 60-67, May.
- Ioan TRENCA & Mihail-Dragos BOLOCAN, 2010, "Considerations regarding credit portfolio risk management of the banking institution," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 84-90, May.
- Constantin IONETE, 2010, "Global financial crisis and integration into world economy," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 9-13, May.
- Ana POPA & Laura GIURCA VASILESCU, 2010, "Financial stability or economic stability?," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 11, pages 96-100, May.
- Mircea CIOLPAN & Mihaita Victor DUTA, 2010, "Speculation from morality to profitability," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 12, pages 159-162, December.
- Ioan Alin NISTOR & Viorela Ligia VAIDEAN, 2010, "The private health insurance market in Romania – past, present and future," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 12, pages 184-188, December.
- Cristina CURUTIU BALINT, 2010, "The correlation between the macroeconomic variables and the Bucharest stock exchange share prices," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 12, pages 189-195, December.
- Ioan NISTOR & Maria ULICI, 2010, "The impact of Lehman Brothers on Romanian banks listed on BVB," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 12, pages 21-28, December.
- Jenica POPESCU & Dan SICHIGEA, 2010, "Exchange rate and foreign exchange market during the pre-accession of Romania to the European Monetary Union," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 12, pages 68-75, December.
- Constantin IONETE, 2010, "December 2010, a new beginning for the national economy," Finante - provocarile viitorului (Finance - Challenges of the Future), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 12, pages 9-11, December.
- Prof. Ph.D Poanta Dorina & Prof. Ph.D Popescu Jenica & Lect. Ph.D Student Ciolpan Mircea Gabriel, 2010, "2010 Romanian Banking Trends," Revista Tinerilor Economisti (The Young Economists Journal), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 14S, pages 33-38, April.
- Assist. Ph.D Panait Nicoleta, 2010, "The Romanian Banking System And The International Financial Crisis," Revista Tinerilor Economisti (The Young Economists Journal), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 14S, pages 39-42, April.
- Ph.D Student Anca-Ioana Bumbeneci, 2010, "The Conseqences Of The Global Financial Crisis Regarding The Romanian Banking System," Revista Tinerilor Economisti (The Young Economists Journal), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 14S, pages 7-12, April.
- Prof. Popescu Jenica Ph.D, 2010, "Mutations In The Investments’ Structure Of The Bank Of Romania In The Years 2009-2010: New Ways Of Action," Revista Tinerilor Economisti (The Young Economists Journal), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 15, pages 17-27, November.
- Oana-Adriana Duţă Ph.D Student & Simona Florentina Făurescu Ph.D Student, 2010, "The Impact Of The Financial Crisis On Indebtedness And Stock Exchange Quotation – A Case Study," Revista Tinerilor Economisti (The Young Economists Journal), University of Craiova, Faculty of Economics and Business Administration, volume 1, issue 15S, pages 7-10, November.
- Andrei Marga, 2010, "Consequences of the crisis: New concepts," Society and Economy, Akadémiai Kiadó, Hungary, volume 32, issue 2, pages 179-194, December.
- Giorgio Barba Navaretti & Giacomo Calzolari & Alberto Franco Pozzolo & Micol Levi, 2010, "Multinational Banking in Europe: Financial Stability and Regulatory Implications;Lessons from the Financial Crisis," Mo.Fi.R. Working Papers, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences, number 40, Apr.
- Petr Teply & Libena Cernohorska & Jan Cernohorsky, 2010, "Key Economic Policy Lessons From The 2008 Financial Crisis," Anadolu University Journal of Social Sciences, Anadolu University, volume 10, issue 2, pages 123-134, May.
- Hakan Altin, 2010, "Financial Efficiency Test Of The Ise Industrial Companies In The Global Crisis Environment: Data Envelopment Analysis Application," Anadolu University Journal of Social Sciences, Anadolu University, volume 10, issue 2, pages 15-30, May.
- Melda Yaman Ozturk, 2010, "Gender Aspect Of Survival Strategies: Burdens That Financial Crises Create In Women’S Life In The Developing Countries," Anadolu University Journal of Social Sciences, Anadolu University, volume 10, issue 3, pages 93-110, September.
- Tobias Adrian & Hyun Song Shin, 2010, "The Changing Nature of Financial Intermediation and the Financial Crisis of 2007–2009," Annual Review of Economics, Annual Reviews, volume 2, issue 1, pages 603-618, September.
- Wanfeng Yan & Ryan Woodard & Didier Sornette, 2010, "Diagnosis and Prediction of Market Rebounds in Financial Markets," Papers, arXiv.org, number 1003.5926, Mar, revised Mar 2011.
- Stefan Kerbl, 2010, "Regulatory Medicine Against Financial Market Instability: What Helps And What Hurts?," Papers, arXiv.org, number 1011.6284, Nov, revised Nov 2010.
- Prajakta Bhide & Lucia Fiorito & Zachary Noteman & Kunal Sawardekar, 2010, "Did bankruptcy reform lead to looser mortgage lending standards? Evidence from the U.S. mortgage market 2000-2007," Ensayos de Política Económica, Departamento de Investigación Francisco Valsecchi, Facultad de Ciencias Económicas, Pontificia Universidad Católica Argentina., volume 1, issue 4, pages 88-107, Octubre.
- Bär, Michaela & Ciccotello, Conrad S. & Ruenzi, Stefan, 2010, "Risk management and team-managed mutual funds," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 4, issue 1, pages 57-73, December.
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