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Research classified by Journal of Economic Literature (JEL) codes

/ H: Public Economics
/ / H1: Structure and Scope of Government
/ / / H12: Crisis Management
Most recent items first, undated at the end.
  • 2017 Capital injection to banks versus debt relief to households
    by Yoo, Jinhyuk

  • 2017 From Fiscal Austerity towards Growth-Enhancing Fiscal Policy in Ukraine
    by Tetiana Bogdan & Vladimir Gligorov & Peter Havlik & Michael Landesmann

  • 2017 Tourism stocks in times of crises: An econometric investigation of non-macro factors
    by Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer

  • 2017 Tourism Stocks in Times of Crises: An Econometric Investigation of Unexpected Non-macroeconomic Factors
    by Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer

  • 2017 Optimal Fiscal and Monetary Policy, Debt Crisis and Management
    by Cristiano Cantore & Paul Levine & Giovanni Melina & Joseph Pearlman

  • 2017 What To Do If The Stock Market Crashes?
    by Gorga, Carmine

  • 2017 Kryzys gospodarczy w Federacji Rosyjskiej w kontekscie imigracji z panstw WNP
    by Agnieszka Piekutowska & Monika Fiedorczuk

  • 2017 Organizational Resilience of Family Business: Case Study
    by Tomasz Ingram & Grzegorz Glod

  • 2017 Managing disaster-related contingent liabilities
    by Catherine Gamper & Benedikt Signer & Luis Alton & Murray Petrie

  • 2017 Averting Catastrophes that Kill
    by Ian Martin & Robert S. Pindyck

  • 2017 Réguler la liquidité des actifs risqués
    by Anne-Marie Rieu-Foucault

  • 2017 Did the Basel Process of Capital Regulation Enhance the Resiliency of European Banks?
    by Gehrig, Thomas & Iannino, Maria Chiara

  • 2017 Offset Contracts as an Insurance Device in Building the National Security
    by Vesa Kanniainen & Juha-Matti Lehtonen

  • 2017 Cyber Technology and Arms Race
    by Vesa Kanniainen

  • 2017 The Collateral Policy of Central Banks - An Analysis Focusing on the Eurosystem
    by Christopher Weber

  • 2017 Analysing the Relevance of the MIP Scoreboard's Indicators
    by Domonkos Tomáš & Ostrihoň Filip & Šikulová Ivana & Širaňová Mária

  • 2017 New Scenarios of Joint Crises Fighting in Socio-Economic Sphere of Russia and Greece
    by Elena G. Popkova & Elena Y. Zolochevskaya & Svetlana A. Litvinova & Yuliya S. Zima

  • 2017 Experience of Greece on Recapitalization of Banks, Marketing Management and Personnel Retraining in Conditions of Economic Recession
    by L.Yu. Andreeva & O.Yu. Sviridov

  • 2017 Creating change through pilot and demonstration projects: Towards a valuation policy approach
    by Huguenin, Ariane & Jeannerat, Hugues

  • 2017 What explains the speed of recovery from banking crises?
    by Ambrosius, Christian

  • 2017 Analyzing the determinants of terrorist attacks and their market reactions
    by Halkos, George & Managi, Shunsuke & Zisiadou, Argyro

  • 2017 Guns and butter? Fighting violence with the promise of development
    by Khanna, Gaurav & Zimmermann, Laura

  • 2016 How to destroy a country. The economics and the politics of the Greek crisis
    by G. Kolodko.

  • 2016 Social and economic development of Russia: Finding new dynamics
    by D. Medvedev.

  • 2016 What Explains the Speed of Recovery from Banking Crises?
    by Ambrosius, Christian

  • 2016 Herausforderungen der Flüchtlingskrise für Hochschulen
    by Dilger, Alexander

  • 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 Fiscal implications of central bank balance sheet policies
    by Orphanides, Athanasios

  • 2016 Approaching effects of the economic crisis on university efficiency: A comparative study of Germany and Italy
    by Lehmann, Erik E. & Meoli, Michele & Paleari, Stefano & Stockinger, Sarah A. E.

  • 2016 Evolution of ICT and software industry: Crisis, resilience and the role of emerging clusters
    by Mete Basar Baypinar

  • 2016 Government Policies and Financial Crises: Mitigation, Postponement or Prevention?
    by Jakob Kapeller & Michael Landesmann & Franz X. Mohr & Bernhard Schütz

  • 2016 Tourism stocks in times of crises: An econometric investigation of non-macro factors
    by Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer

  • 2016 Tourism Stocks in Times of Crises: An Econometric Investigation of Non-macro Factors
    by Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer

  • 2016 On Economic Growth in Europe, or, The Uncertain Growth Prospects of Western Countries
    by Andrzej Rzoñca & Aleksander £aszek & Andrzej Halesiak

  • 2016 Shifting the tax burden from labor to property: The case of Germany
    by Paetzold, Jörg & Tiefenbacher, Markus

  • 2016 Financial Markets and Debt Crisis in European Union: Preventing spillover effects of financial crisis between EU periphery and the eurozone
    by Radosevic, Dubravko

  • 2016 Examining public Policy in Romania: is it transparent and legitimated?
    by Dogaru, Tatiana Camelia

  • 2016 الإدارة العامة: كيف يمكن الإفلات من لعنة أمراضها؟
    by Benzarour, Choukri

  • 2016 Tsipras and the rhetorical speech as policy
    by Kotroyannos, Dimitrios

  • 2016 Exploring the effect of terrorist attacks on markets
    by Halkos, George & Zisiadou, Argyro

  • 2016 Social protection system in Bangladesh and the scope of social work: learning from lessons on the ground
    by Khan, Trisa & Hasan, Mohammad Monirul

  • 2016 Alexis Tsipras und der rhetorische Diskurs als Politik
    by Kotroyannos, Dimitrios

  • 2016 The Economic Consequences of Brexit: A Taxing Decision
    by Rafal Kierzenkowski & Nigel Pain & Elena Rusticelli & Sanne Zwart

  • 2016 A Model of the International Monetary System
    by Emmanuel Farhi & Matteo Maggiori

  • 2016 “One size does not fit all” – institutional determinantsof financial safety net effectiveness
    by Aleksandra Masłowska-Jokinen & Anna Matysek-Jędrych

  • 2016 Measuring the Financial Shocks of Natural Disasters: A Panel Study of U.S. States
    by Yilin Hou & Qing Miao & Michael Abrigo

  • 2016 Government Policies and Financial Crises: Mitigation, Postponement or Prevention?
    by Jakob Kapeller & Michael Landesmann & Franz X. Mohr & Bernhard Schütz

  • 2016 Euro Area Sovereign Debt Crisis and Debt Mutualisation
    by António Afonso, & Marcelo Alcântara

  • 2016 TARP and Market Discipline: Evidence on the Moral Hazard Effects of Bank Recapitalizations
    by Forssbaeck, Jens & Nielsen, Caren Yinxia

  • 2016 Public expenditure in time of crisis: are Italian policymakers choosing the right mix?
    by Maria Jennifer Grisorio & Francesco Prota

  • 2016 The Resolution of a Systemically Important Insurance Company during the Great Depression
    by Rose, Jonathan D.

  • 2016 Can a Bank Run Be Stopped? Government Guarantees and the Run on Continental Illinois
    by Carlson, Mark A. & Rose, Jonathan D.

  • 2016 Tourism Stocks in Times of Crises: an Econometric Investigation of Non-macro Factors
    by Zopiatis, A. & Savva, C.S. & Lambertides, N. & McAleer, M.J.

  • 2016 The political consequences of ethnic tension: Theory and evidence
    by Kemal Kivanc Akoz & K Peren Arin & Christina Zenker

  • 2016 Reading Between the Lines: Prediction of Political Violence Using Newspaper Text
    by Mueller, Hannes Felix & Rauh, Christopher

  • 2016 Fiscal Implications of Central Bank Balance Sheet Policies
    by Orphanides, Athanasios

  • 2016 Funding Liquidity, Market Liquidity and the Cross-Section of Stock Returns
    by Jean-Sébastien Fontaine & René Garcia & Sermin Gungor

  • 2016 Regional Heterogeneity, the Rise of Public Debt and Monetary Policy in Post-Bubble Japan: Lessons for the EMU
    by Raphael Fischer & Gunther Schnabl

  • 2016 How to Handle the Crisis in Greece? Empirical Evidence Based on a Survey of Economics Experts
    by Niklas Potrafke & Markus Reischmann

  • 2016 Reconciling Insurance with Market Discipline: A Blueprint for a European Fiscal Union
    by Mathias Dolls & Clemens Fuest & Friedrich Heinemann & Andreas Peichl

  • 2016 Spanish public finances through the financial crisis
    by Francisco Martí & Javier J. Pérez

  • 2016 On some recent proposals of public debt restructuring in the Eurozone
    by Ernesto Longobardi & Antonio Pedone

  • 2016 Uncertainty and Catastrophe Management:The 2011 Great East Japan Earthquake and Beyond

  • 2016 The Collateral Framework of the Eurosystem and Its Fiscal Implications
    by Jakob Korbinian Eberl

  • 2016 Decision-making under radical uncertainty: An interpretation of Keynes' treatise
    by Marsay, David

  • 2016 Efficiency Study of Greek Health Units of the Public Sector using Data Envelopment Analysis Method, before and during the start of the Economic Crisis
    by Georgios I. Farantos & Nikitas Spiros Koutsoukis

  • 2016 Der nächtliche Gang zum Kühlschrank – staatliche Selbstkontrolle und Schulden
    by Johannes Becker

  • 2016 EU vor der Zerreißprobe – wie sieht die gemeinsame Zukunft aus?
    by Gisela Müller-Brandeck-Bocquet & Jürgen Neyer & Daniela Schwarzer & Jens Hölscher & Horst Tomann

  • 2016 Effect of controllability of product harm crisis on Asian consumer?s purchasing behavior
    by Ganganee Samaraweera

  • 2016 Iceland, economic integration and the European Union
    by Hilmar Tór HILMARSSON

  • 2016 Introduction. Time for a new debate on Europe
    by Carlo D'Ippoliti

  • 2016 Introduzione. Tempo di rilanciare il dibattito sull’Unione Europea (Introduction. Time for a new debate on Europe)
    by Carlo D'Ippoliti

  • 2016 Global Economic Crisis and Government Intervention
    by Claudia I. Dobre & Costin I. Răsăuţeanu

  • 2016 Budget reform before and after the global financial crisis
    by Marc Robinson

  • 2016 Macroeconomic Effects of Budget Expenditure in Bulgaria (Econometric Analysis)
    by Nikolay Velichkov

  • 2016 Pseudo-Scientific Economic Policies Of Moldova Association To The Eu: Methodology, Problems, Solutions
    by Gheorghe RUSU & Tudor ROBU & Mihai BUMBU

  • 2016 World Economy Post-Crysis Development
    by Sergiu GARSTEA & Iulita BIRCA & Alexandru GRIBINCEA

  • 2016 Bank resolution as a new MNB function – resolution of MKB Bank
    by Krisztina Földényi Láhm & András Kómár & Antal Stréda & Róbert Szegedi

  • 2016 Impact of Logistics on Technical Efficiency of World Production (2007–2012)
    by Pablo Coto-Millán & Xose Luís Fernández & Miguel Ángel Pesquera & Manuel Agüeros

  • 2016 Romania – To Have Or Not To Have Its Own Development Path?
    by Gabriela BODEA & Aurelian-Petrus PLOPEANU

  • 2016 A Comparison between the Styles of Transformational Leaders and Authentic Leaders in Crisis Management
    by Adnan Celik & Tahir Akgemci & Turgut Emre Akyazi

  • 2016 Current Risk of Budget Deficit
    by Mariana PAJA

  • 2016 Did Japan's high-growth success foster persistent stagnation?
    by W.R. Garside

  • 2016 The long-run consequences of Chernobyl: Evidence on subjective well-being, mental health and welfare
    by Danzer, Alexander M. & Danzer, Natalia

  • 2016 The impact of external debt on growth: Evidence from highly indebted poor countries
    by Siddique, Abu & Selvanathan, E.A. & Selvanathan, Saroja

  • 2016 Bank restructuring in the EU: Which way to go?
    by Iwanicz-Drozdowska, Małgorzata & Smaga, Paweł & Witkowski, Bartosz

  • 2016 The Political Economy of Financial Regulation Policies Following the Global Crisis
    by Hale Balseven

  • 2016 Institutional conditioning of the German labour market in the face of the global economic crisis 2008–2009
    by Michal Moszynski

  • 2016 Políticas públicas desde las crisis económicas y sociales, en el marco de los Estados y territorios emergentes
    by Jahír Alexánder Gutiérrez Ossa & Gleidy Alexandra Urrego Estrada & Jefferson Carmona Maldonado

  • 2016 Prezidentská Diplomacie: Srovnání Tří Brazilských Prezidentů (Presidential Diplomacy: Three Brazilian Presidents In A Comparative Perspective)
    by Irena Melounová

  • 2015 Regional Dimension of the New Russian Crisis
    by N. Zubarevich.

  • 2015 The Euro Area Crisis Five Years After the Original Sin
    by Athanasios Orphanides

  • 2015 Can Management Practices Make a Difference? Nonprofit Organization Financial Performance during Times of Economic Stress
    by Qian Hu & Naim Kapucu

  • 2015 Reconciling insurance with market discipline: A blueprint for a European fiscal union
    by Dolls, Mathias & Fuest, Clemens & Heinemann, Friedrich & Peichl, Andreas

  • 2015 German public finances through the financial crisis
    by Blömer, Maximilian & Dolls, Mathias & Fuest, Clemens & Löffler, Max & Peichl, Andreas

  • 2015 Policy Constraints and the Recovery from Banking Crises
    by Ambrosius, Christian

  • 2015 Financialisation and the financial and economic crises: Theoretical framework and empirical analysis for 15 countries
    by Dodig, Nina & Hein, Eckhard & Detzer, Daniel

  • 2015 Decision-making under radical uncertainty: An interpretation of Keynes' Treatise
    by Marsay, David

  • 2015 Substituting Existing Federal/State/Local control and managed Homeland Security Services with Regional Governance: A Public Choice Approach
    by Simon Hakim & Erwin A. Blackstone

  • 2015 Optimal Fiscal and Monetary Policy, Debt and Crisis Management
    by Cristiano Cantore & Peter Paul Levine & Giovanni Melina & Joseph Pearlman

  • 2015 Women, Peace, and Security: The Case of Turkey
    by Vanessa Tinker

  • 2015 The Future Of Peace Process In Turkey: Threats And Opportunities
    by Nezir Akyesilmen

  • 2015 State Anti-Crisis Management of Banking Sector: Looking for Optimization Ways and Contemporary Development Trends (english version)
    by Dudin, Mihail Nikolaevich & Sekerin, Vladimir Dmitriyevich & Smirnova, Olga Olegovna & Frolova, Åvgenia Åvgenevna & Sepiashvili, Ekaterina Nikolaevna

  • 2015 State Anti-Crisis Management of Banking Sector: Looking for Optimization Ways and Contemporary Development Trends
    by Dudin, Mihail Nikolaevich & Sekerin, Vladimir Dmitriyevich & Smirnova, Olga Olegovna & Frolova, Åvgenia Åvgenevna & Sepiashvili, Ekaterina Nikolaevna

  • 2015 Interdependence between Sovereign and Bank CDS Spreads in Eurozone during the European Debt Crisis - The PSI Effect
    by Papafilis, Michalis-Panayiotis & Psillaki, Maria & Margaritis, Dimitris

  • 2015 Holding out for a better deal: Brinkmanship in the Greek bailout negotiations
    by Pitsoulis, Athanassios & Schwuchow, Sören C.

  • 2015 Past and Current Paths to European Union Accession: Romania and Turkey a Comparative Approach
    by Dogaru, Tatiana - Camelia

  • 2015 Und Angela Merkel hat doch Recht: der Flüchtlingsstrom als Chance für eine Erneuerung der Gesellschaft Deutschlands
    by Fischer, Justina A.V.

  • 2015 Impact of the Fukushima nuclear accident on obesity of children in Japan, using data from 2008 to 2014
    by Yamamura, Eiji

  • 2015 The Greek referendum: an alternative approach
    by Mavrozacharakis, Emmanouil & Tzagarakis, Stelios

  • 2015 Completing the Monetary Union of Europe as mid-term solution of the Euro crisis
    by Fischer, Justina A.V. & Pastore, Francesco

  • 2015 Empirical study on the determinants of fiscal vulnerability: evidence for the European Union
    by Stoian, Andreea & Obreja Brasoveanu, Laura & Dumitrescu, Bogdan & Brasoveanu, Iulian

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

  • 2015 A new framework for detecting the short term fiscal vulnerability for the European Union countries
    by Stoian, Andreea & Obreja Brasoveanu, Laura & Dumitrescu, Bogdan & Brasoveanu, Iulian

  • 2015 Das ökonomische und politische Dilemma Europas
    by Mavrozacharakis, Emmanouil

  • 2015 Designing a Financial Stability Architecture for a Regionally Integrated Financial Space: The European Experience
    by Heinrich, Gregor

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

  • 2015 Ordoliberalism and the macroeconomic policy in the face of the euro crisis
    by Michal Moszynski

  • 2015 Institutional Conditioning of the German Labour Market in the Face of the Global Economic Crisis 2008-2009
    by Michal Moszynski

  • 2015 Uwarunkowania instytucjonalne niemieckiego rynku pracy wobec swiatowego kryzysu gospodarczego 2008-2009
    by Michal Moszynski

  • 2015 Ordoliberalizm a polityka makroekonomiczna w obliczu kryzysu strefy euro
    by Michal Moszynski

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

  • 2015 Customers and Investors: A Framework for Understanding Financial Institutions
    by Robert C. Merton & Richard T. Thakor

  • 2015 Runs versus Lemons: Information Disclosure and Fiscal Capacity
    by Miguel Faria-e-Castro & Joseba Martinez & Thomas Philippon

  • 2015 Model Risk - From Epistemology to Management. Ipse se nihil scire id unum sciat. (Socrates' Plato)
    by Bertrand K Hassani

  • 2015 Budgetary rigour with stimulus in lean times: Policy advices from an agent-based model
    by Andrea Teglio & Andrea Mazzocchetti & Linda Ponta & Marco Raberto & Silvano Cincotti

  • 2015 Completing the Monetary Union of Europe as Mid-term Solution of the Euro Crisis
    by Fischer, Justina A.V. & Pastore, Francesco

  • 2015 Guns and Butter? Fighting Violence with the Promise of Development
    by Khanna, Gaurav & Zimmermann, Laura V

  • 2015 Greece: Solidarity And Adjustment In Times Of Crisis
    by Tassos Giannitsis & Stavros Zografakis

  • 2015 TARP and market discipline: Evidence on the moral hazardeffects of bank recapitalizations
    by Forssbaeck, Jens & Xinxia Nielsen, Caren

  • 2015 Unemployment and Public Budget Impacts of the Auto Bailout
    by Robert Baumann & Andrea Thompson

  • 2015 Do we need a global ‘central planner’ and ‘optimal’ economic policy for all?
    by Sergey Drobyshevsky

  • 2015 The rescue of Fannie Mae and Freddie Mac
    by Frame, W. Scott & Fuster, Andreas & Tracy, Joseph & Vickery, James

  • 2015 The rescue of Fannie Mae and Freddie Mac
    by Frame, W. Scott & Fuster, Andreas & Tracy, Joseph & Vickery, James

  • 2015 Financialisation and the financial and economic crises: Theoretical framework and empirical analysis for 15 countries
    by Nina Dodig & Eckhard Hein & Daniel Detzer

  • 2015 Quarterly Report on the Euro Area (QREA), Vol.14, No.3 (2015)
    by Alessandro Angelini & Kieran McMorrow & Rafal Raciborski & Werner Roeger & Eric Ruscher & Valerie Vandermeulen & Borek Vasicek & Lauri Vilmi

  • 2015 Sovereign Debt and Structural Reforms
    by Müller, Andreas & Storesletten, Kjetil & Zilibotti, Fabrizio

  • 2015 Las reservas internacionales en Colombia: ¿Regla de acumulación, o política discrecional?
    by Juan Sebastián Mariño

  • 2015 Federal Reinsurance for Terrorism Risk in 2015 and Beyond: Working Paper 2015-04
    by Perry Beider & David Torregrosa & Susan Willie

  • 2015 Fiscal consolidation after the Great Recession:the role of composition
    by Iván Kataryniuk & Javier Vallés

  • 2015 Los Mecanismos Extraordinarios De Pago A Proveedores De Las Administraciones Públicas En España
    by Mar Delgado Téllez & Pablo Hernández de Cos & Samuel Hurtado & Javier J. Pérez

  • 2015 Funding Liquidity, Market Liquidity and the Cross-Section of Stock Returns
    by Jean-Sébastien Fontaine & René Garcia & Sermin Gungor

  • 2015 Export boost of Textile Industry of Pakistan by availing EU’s GSP Plus
    by Wagan, Shah Mehmood

  • 2015 An Optimality Assessment Of The Fiscal Consolidation Process Initiated By Romania In 2010
    by DUMITRESCU, Bogdan Andrei

  • 2015 Global Risk Management – A Necessity in a World of Vulnerabilities and of ECO-Economy and BIO -ECO-Economy Needed by ECO-SANO-Genesis
    by Elena Gurgu & Cosmina Savu

  • 2015 Unchanging Rescuer of Economic Crises: Fiscal Policy
    by Hüseyin ŞEN & Ayşe KAYA

  • 2015 Financial Risk in Polish Companies During the Global Economic Crisis of 2007–2008 with Particular Emphasis on Evaluation of the Use of Reserve Debt Capacity (Ryzyko finansowania polskich przedsiebiorstw w latach globalnego kryzysu ze szczegolnym uwzglednieniem oceny wykorzystania rezerwy pojemnosci zadluzeniowej )
    by Wiktor Cwynar & Anna Ostrowska-Dankiewicz & Piotr Oratowski

  • 2015 Feedbacks and Systematic Risk of Denominated Debt in Poland (Sprzezenia zwrotne i ryzyko systemowe kredytow denominowanych w Polsce)
    by Ireneusz Dabrowski

  • 2015 Economic Policy without Politics
    by Mark S. Peacock

  • 2015 Local government financial distress: international comparison and latest developments in the light of the Italian spending review approach
    by Paolo RICCI & Renato CIVITILLO

  • 2015 Imbalances System Enterprise: Reflections from Italian Doctrine
    by Guido MIGLIACCIO

  • 2015 The Fiscal Costs of Banking Intervention in the Eurozone
    by Yılmaz, Derya & Murat, Dilek

  • 2015 Crisis bancarias como eventos infrecuentes
    by León, María de Fátima & Vargas, Astrid & Winkelried, Diego

  • 2015 The Fiscal Tools of Crisis Management – A Comparative Analysis
    by Viktor Asztalos

  • 2015 The New Hungarian Public Finance System – in a Historical, Institutional and Scientific Context
    by Csaba Lentner

  • 2015 The Structural Outline of the Development and Consolidation of Retail Foreign Currency Lending
    by Csaba Lentner

  • 2015 Ordoliberalism And The Macroeconomic Policy In The Face Of The Euro Crisis
    by Michal Moszynski

  • 2015 Fdi Inflows In Time Of Crisis - Panel Data Analysis Of Fdi Inflows To The Selected Eu Member States
    by Ozren Pilipovic & Meta Ahtik & Nenad Rancic

  • 2015 Impact Analysis Of Economic Parameters On Social Development
    by Goran Sucic & Zeljko Pozega & Boris Crnkovic

  • 2015 The Common Agricultural Policy Role in Addressing External Shocks - The Case of Russian Import Ban

  • 2015 Structural Economic Crisis As A Manifestation of Political Constraints on Modernization
    by Nikolaev, I.

  • 2015 Export boost of textile industry of Pakistan by availing EU’s GSP Plus
    by Shah Mehmood WAGAN

  • 2015 Politikai változások a költségvetési kiigazítások tükrében
    by Asztalos, Viktor

  • 2015 Do Austerity Measures Harm International Trade?
    by CHIRIȚOIU Dorin Iulian & BURLACU Rodica

  • 2015 Greece: A Classical Example of Failure to Join the Eurozone
    by Petre Prisecaru

  • 2015 Riflessioni su banche e mercati
    by Michele Patanè

  • 2015 War and the growth of government
    by O'Reilly, Colin & Powell, Benjamin

  • 2015 Saving and the long shadow of macroeconomic shocks
    by Aizenman, Joshua & Noy, Ilan

  • 2015 Banking union: Mind the gaps
    by Béranger, Adrien & Scialom, Laurence

  • 2015 The impact of macroeconomic and financial stress on the U.S. financial sector
    by Hippler, William J. & Hassan, M. Kabir

  • 2015 Market discipline by bank creditors during the 2008–2010 crisis
    by Bennett, Rosalind L. & Hwa, Vivian & Kwast, Myron L.

  • 2015 Lack of Governance During 2000-2001 Economic Crises in Turkey
    by Demet ÇAK

  • 2015 Budget Deficits , Their Roles In The Economic Crises And The Effectiveness Of Stabilization Programs (In Case Of Turkey After 1990’S)
    by Cuma Çataloluk & Halil Kete

  • 2015 When Do Governments Improve Fiscal Institutions? Lessons from Financial Crisis and Fiscal Reform in Latin America
    by Mark Hallerberg & Carlos Scartascini

  • 2015 Banking union: Mind the gaps
    by Adrien Béranger & Laurence Scialom

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

  • 2015 Intercreditor and Debtor-creditor Equity Issues in Sovereign Debt Restructuring
    by Skylar Brooks & Martín Guzman & Doménico Lombardi & Joseph E. Stiglitz

  • 2015 The Baltic Economies and the Marked out Route to Membership in the European Monetary Union
    by Iordanka Stateva

  • 2015 The Need For Evolving Practice Of Governance In Public Enterprises
    by Dragulin Marius-Ionu? Ph. D Student & Ph. Danu? Ileana Ph. D Student

  • 2014 Rethinking Exchange Rate Regimes after the Crisis
    by Jay C. Shambaugh

  • 2014 Monetary Policy Targets after the Crisis
    by Michael Woodford

  • 2014 Monetary Policy during the Crisis: From the Depths to the Heights
    by Mervyn A. King

  • 2014 Perspectives on Dodd-Frank and Finance

  • 2014 What Have We Learned? Macroeconomic Policy After the Crisis

  • 2014 A viable insolvency procedure for sovereigns (VIPS) in the euro area
    by Fuest, Clemens & Heinemann, Friedrich & Schröder, Christoph

  • 2014 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland

  • 2014 Exit Strategies and Their Impact on the Euro Area - A Model Based View
    by Belke, Ansgar

  • 2014 What Happened in Cyprus? The Economic Consequences of the Last Communist Government in Europe
    by Orphanides, Athanasios

  • 2014 Charting Ways Out of Europe’s Impasse – A Policy Memorandum
    by Francis Cripps & Michael Landesmann & Jacques Mazier & Robert McDowell & Terry McKinley & Pascal Petit & Terry Ward & Enrico Wolleb

  • 2014 State Government Revenue Recovery from the Great Recession
    by James Alm & David L. Sjoquist

  • 2014 Crisis Management in the Slovak Republic at the National Level
    by Rudolf Kuchar?ík & Karol Janas

  • 2014 An Exploratory factor on the threats of new terrorism in the Republic of Korea
    by Jin-Hee Park

  • 2014 Impact Of Enterprise Risk Management On The Company?S Financial Performance In A Period Of The Global Financial Crisis
    by Danijela Milo? Spr?i? & Marina Me?in & Mojca Marc

  • 2014 State Anti-Crisis Management of Banking Sector: Looking for Optimization Ways and Contemporary Development Trends
    by Dudin, Mikhail & Sekerin, Vladimir & Smirnova, Olga & Frolova, Evgenia & Sepiashvili, Ekaterina

  • 2014 Exit State-of-play in Implementing Macroeconomic Adjustment Programmes in the Euro Area
    by Ansgar Belke & Daniel Gros & Alcidi Cinzia & Leonor Coutinho & Alessandro Giovannini

  • 2014 Exit Strategies and Their Impact on the Euro Area – A Model Based View
    by Ansgar Belke

  • 2014 KEUANGAN PUBLIK ISLAM:Refleksi APBN dan Politik Anggaran di Indonesia
    by Jaelani, Aan

  • 2014 Por qué fracasan los países: breves notas sobre Colombia
    by Estrada, Fernando

  • 2014 The role of the Central Bank in the Economic Slow-down in Russia
    by BLINOV, Sergey

  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordoñez & Christoph Trebesch

  • 2014 Banking union through Hungarian eyes - The MNB’s assessment of a possible close cooperation
    by Anikó Szombati & Kornél Kisgergely

  • 2014 Political Booms, Financial Crises
    by Herrera, Helios & Ordoñez, Guillermo & Trebesch, Christoph

  • 2014 The Long-Run Consequences of Chernobyl: Evidence on Subjective Well-Being, Mental Health and Welfare
    by Danzer, Alexander M. & Danzer, Natalia

  • 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 Withstanding great recession like China
    by Wen, Yi & Wu, Jing

  • 2014 The Europe 2020 strategy at midterm: Disappointing assessment calls for an urgent change driven by long run priorities
    by Karl Aiginger

  • 2014 THE GLOBAL ECONOMIC CRISIS AND DEVELOPING COUNTRIES (economic and sociological aspects)
    by Aleksandar Kostiæ, Vladimir Kostiæ

  • 2014 Banking Union: Time Is Not On Our Side
    by Adrien Béranger & Jézabel Couppey Soubeyran & Laurence Scialom

  • 2014 The Euro Area Crisis: Politics over Economics
    by Orphanides, Athanasios

  • 2014 Measuring too-big-to-fail funding advantages from small banks’ CDS spreads
    by Michiel Bijlsma & Jasper Lukkezen & Kristina Marinova

  • 2014 The Effects of Domestic Rice Market Interventions Outside Business-As-Usual Conditions For Imported Rice Prices
    by M.J. Mariano & J.A. Giesecke & N.H. Tran

  • 2014 ECB Collateral Criteria: A Narrative Database 2001–2013
    by Jakob Eberl & Christopher Weber

  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordonez & Christoph Trebesch

  • 2014 The Long-Run Consequences of Chernobyl: Evidence on Subjective Well-Being, Mental Health and Welfare
    by Alexander M. Danzer & Natalia Danzer

  • 2014 Fiscal Policy in an Unemployment Crisis
    by Pontus Rendahl

  • 2014 Heading into Trouble: A Comparison of the Latin American Crises and the Euro Area's Current Crisis
    by Manuel Ramos Francia & Ana María Aguilar Argaez & Santiago García-Verdú & Gabriel Cuadra

  • 2014 Una union bancaria para Europa: haciendo de la necesidad virtud
    by Maria Abascal & Tatiana Alonso & Santiago Fernandez de Lis & Wojciech Golecki

  • 2014 A banking union for Europe: making a virtue out of necessity
    by Maria Abascal & Tatiana Alonso & Santiago Fernandez de Lis & Wojciech Golecki

  • 2014 A Comparion of the Performances of Type A Mutual Funds Before and After 2008 Global Economic Crisis in Turkey
    by Başçi, Eşref Savaş & Memiş, Fatih

  • 2014 State Anti-Crisis Management of Banking Sector: Looking for Optimization Ways and Contemporary Development Trends
    by Mihail Nikolaevich DUDIN & Vladimir Dmitriyevich SEKERIN & Olga Olegovna SMIRNOVA & ?vgenia ?vgenevna FROLOVA & Ekaterina Nikolaevna SEPIASHVILI

  • 2014 A framework to manage the measurable, immeasurable and the unidentifiable financial risk
    by Amandha Ganegoda & John Evans

  • 2014 Managing the Crisis in Iceland and the Dishonesty of the International Community?
    by Hilmar Tór HILMARSSON

  • 2014 Managing Financial Crisis: The Case of Iceland and Latvia
    by Hilmar Tór HILMARSSON

  • 2014 Public broadcasting crisis as management crisis: a case study of radio television of Vojvodina
    by Njegovan, Biljana Ratkovic & Iva Sidanin

  • 2014 Zwischen Kooperation und Konfrontation. Machtressourcen und Strategien der spanischen Gewerkschaften CCOO und UGT in der Eurokrise (Between cooperation and confrontation: Power resources and strategies of the Spanish trade unions CCOO and UGT during the Eurozone crisis)
    by Huke, Nikolai & Tietje, Olaf

  • 2014 The Debt Consolidation of Hungarian Local Governments
    by Csaba Lentner

  • 2014 Policy Options for Restoring Public Debt Sustainability in EU Member States
    by Bilan Irina

  • 2014 The Crisis, New Eu Policies, And The Republic Of Croatia
    by Mladen Vedris

  • 2014 Impact Of The Global Financial Crisis On Sovereign Debt In The European Union
    by Condea Bogdan Virgil & Harangus Daniela

  • 2014 How to deal with contingent liabilities – Lessons from the Dutch experience
    by Heleen M.J. Hofmans & Clement R. van de Coevering

  • 2014 Coping with fiscal risk: Analysis and practice
    by George Kopits

  • 2014 Impact Of The Activity Of Court Of Accounts Of The Republic Of Moldova On The Efficiency Of The Public Finance Management
    by Iulia CAPRIAN & Maria COJOCARU & Lilia ROTARU

  • 2014 The Credit Crunch: Reflections, Analysis And Suggestions
    by Ion STURZU & Alexandru GRIBINCEA & Silvestru Maximilian

  • 2014 Resolution Reform
    by Thomas F. Huertas

  • 2014 Destined to be defaulted: Local government insolvency and bailout in post-transition Hungary
    by Izabella Barati-Stec

  • 2014 Determinants of Bank Profitability in Turkey: An Empirical Analysis on Types of Banking from 2002 to 2012
    by Eþref Savaþ BAÞÇI & Öznur SAKINÇ

  • 2014 A Comparison of the Performances of Type A Mutual Funds Before And After 2008 Global Economic Crisis in Turkey
    by Esref Savas BASCI & Fatih MEMIS

  • 2014 Eco-Bio-Management of Global Risks - A Necessity in a World of Vulnerabilities Where Eco-Bio-Economy Is Required to Accomplish Eco-Sano-Genesis
    by Elena GURGU & Cosmina Silviana SAVU

  • 2014 The neoclassical sink and the heterodox spiral: political divides and lines of communication in economics
    by Gary A. Dymski

  • 2014 State policy and the political economy of criminal enterprise: mass incarceration and persistent organized hyperviolence in the USA
    by Wallace, Rodrick & Fullilove, Robert E.

  • 2014 Safety and security: The influence of 9/11 to the EU framework for air carriers and aircraft operators
    by Fox, Sarah

  • 2014 Take-up of mortgage assistance for distressed homeowners: The role of geographic accessibility
    by Russell, Blair D. & Moulton, Stephanie & Greenbaum, Robert T.

  • 2014 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland

  • 2014 Fiscal adjustments, labour market flexibility and unemployment
    by Agnello, Luca & Castro, Vitor & Tovar Jalles, João & Sousa, Ricardo M.

  • 2014 La corrupción y la ineficiencia en el gasto público local y su impacto en la pobreza en Colombia
    by Luz Patricia Cano Martínez

  • 2014 Against the political expectations and theoretical models: how to implement austerity and not to lose political power
    by Viljar Veebel & Liina Kulu

  • 2014 Position and perspectives for enhancement of competitiveness in the Southern EU member-states five years after the beginning of the crisis
    by Nadezhda Ivanova

  • 2014 Growth, the priority for Europe and Italy
    by Pier Carlo Padoan

  • 2014 Banks and local development in Italy. Eight local systems in the crisis and beyond
    by Giuseppe De Rita

  • 2014 The New Pragmatism, or economics and policy for the future
    by Grzegorz W. Kolodko

  • 2014 Treasury Operations Mechanism in Romania
    by Dumitru Laurentiu ANDREI & Petre BREZEANU

  • 2014 Study On The Decision Process Of The Mobile Telecommunications Services’ Users
    by Georgeta-Madalina Meghisan & Flaviu Meghisan

  • 2013 Sensibilidad del Sector Fiscal a los Ciclos Económicos en Bolivia 1990-2012
    by Aliaga Lordemann, Javier & Garrón Vedia, Ignacio

  • 2013 Financial Regulation and Nation State Crisis Management: Evidence from Germany, Ireland and the UK
    by William Forbes & Sheila Frances O'Donohoe & Jörg Prokop

  • 2013 Liquidity Regulation, the Central Bank, and the Money Market
    by Scheubel, Beatrice & Körding, Julia

  • 2013 Cluster governance in the framework of cluster social responsibility
    by Mikhaylov, Andrey Sergeevich

  • 2013 Analysis of Short and Medium Term Crisis Effects on Welfare and Poverty in SEE: Stress Testing Bulgarian and Romanian Households
    by Sebastian Leitner

  • 2013 Inequality and the Crisis: A Causal Inference Analysis
    by Mario Holzner

  • 2013 The politics of fiscal effort in Spain and Ireland: Market credibility versus political legitimacy
    by Sebastian Dellepiane & Niamh Hardiman

  • 2013 Do Floods have Permanent Effects? Evidence from the Netherlands
    by Trond G. Husby & Henri L.F. de Groot & Marjan W. Hofkes & Martijn I. Dröes

  • 2013 Italy: From Economic Decline to the Current crisis
    by Pasquale Tridico

  • 2013 Public Procurement in Times of Crisis: The Bundling Decision Reconsidered
    by Schmitz, Patrick W.

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

  • 2013 Distrust in the ECB – product of failed crisis prevention or of inappropriate cure?
    by Albinowski, Maciej & Ciżkowicz, Piotr & Rzońca, Andrzej

  • 2013 Transparency and View Regarding Nuclear Energy Before and After the Fukushima Accident: Evidence on Micro-data
    by Yamamura, Eiji

  • 2013 Terrorism and the macroeconomy: Evidence from Pakistan
    by Mehmood, Sultan

  • 2013 Passing the Buck? Central and Sub-national Governments in Times of Fiscal Stress
    by Rudiger Ahrend & Marta Curto-Grau & Camila Vammalle

  • 2013 Sub-national Finances and Fiscal Consolidation: Walking on Thin Ice
    by Camila Vammalle & Claudia Hulbert

  • 2013 National Adaptation Planning: Lessons from OECD Countries
    by Michael Mullan & Nicholas Kingsmill & Arnoldo Matus Kramer & Shardul Agrawala

  • 2013 The Effectiveness of Monetary Policy since the Onset of the Financial Crisis
    by Romain Bouis & Łukasz Rawdanowicz & Jean-Paul Renne & Shingo Watanabe & Ane Kathrine Christensen

  • 2013 Policyholder Protection Schemes: Selected Considerations
    by OECD

  • 2013 The Pronounced Impact of Macroeconomic Stress on the Financial Sector: Implications for Real Sector Growth
    by M. Kabir Hassan & William J. Hippler III

  • 2013 Was This Time Different? Fiscal Policy in Commodity Republics
    by Luis Felipe Céspedes & Andrés Velasco

  • 2013 Government Debt and Banking Fragility: The Spreading of Strategic Uncertainty
    by Russell Cooper & Kalin Nikolov

  • 2013 Links between the trust in the ECB and its interest rate policy
    by Maciej Albinowski & Piotr Ciżkowicz & Andrzej Rzońca

  • 2013 Understanding Financial Crises: Causes, Consequences, and Policy Responses
    by Stijn Claessens & M. Ayhan Kose & Luc Laeven & Fabián Valencia

  • 2013 Climate Change and Extreme Weather Events in Latin America: An Exposure Index
    by Adrian Garlati

  • 2013 Financial Crises: Explanations, Types and Implications
    by Stijn Claessens & M. Ayhan Kose

  • 2013 Understanding Financial Crises: Causes, Consequences, and Policy Responses
    by Stijn Claessens & M. Ayhan Kose & Luc Laeven & Fabián Valencia

  • 2013 Why Italy's saving rate became (so) low?
    by Luigi Pierfranco Campiglio

  • 2013 Public Procurement in Times of Crisis: The Bundling Decision Reconsidered
    by Schmitz, Patrick W

  • 2013 Financial Crises: Explanations, Types, and Implications
    by Claessens, Stijn & Kose, Ayhan

  • 2013 Understanding Financial Crises: Causes, Consequences, and Policy Responses
    by Claessens, Stijn & Kose, Ayhan & Laeven, Luc & Valencia, Fabian

  • 2013 Oil and Vinegar: A Positive Fiscal Theory of the Euro Crisis
    by Charles B. Blankart

  • 2013 Policy choices and socioeconomic divides: long-term changes in Italy’s democratic quality
    by Stefano Sacchi

  • 2013 How to create a financial crisis by trying to avoid one: the Brazilian 1999-financial collapse as "Macho-Monetarism" can't handle "Bubble Thy Neighbour" levels of inflows
    by Palma, J.G.

  • 2013 Some Thoughts On The Spanish Economy After Five Years Of Crisis
    by Eloísa Ortega & Juan Peñalosa

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

  • 2013 Changing the Total Allowable Catch (TAC) Decision-Making Framework: A Central Bank of Fishes?
    by Kepa Astorkiza & Ikerne del Valle

  • 2013 Aspects Regarding The Socio-Economic Determinism – Analysis At The European Union Level
    by IORDACHE, Floarea & AILINCA, Alina Georgeta

  • 2013 Financial Crises: Review and Evidence
    by Stijn Claessens & M. Ayhan Kose

  • 2013 Knowledge Management – Innovation and Positive Practices
    by Ciobanasu Marilena

  • 2013 Ubezpieczenia wzajemne w finansowaniu skutkow zdarzen katastroficznych w samorzadzie terytorialnym – zarys koncepcji . (Mutual insurance in the financing of the effects of catastrophic events in the local government – an outline of the concept.)
    by Marietta Janowicz-Lomott

  • 2013 Economics Of Crisis Versus Crisis Of Economics: The Fall Of Capitalism And The Remake Of The Economic World Order
    by Ana-Madalina POTCOVARU

  • 2013 La gran depresión en Chile: Lecciones macroeconómicas
    by Moreno, Ignacio

  • 2013 Introduction
    by Alessandro Roncaglia

  • 2013 Keynes, Hobson, Marx
    by Robert Slidelsky

  • 2013 Introduction: on the role of a generalist journal
    by Alessandro Roncaglia

  • 2013 Introduzione: L'Unione Europea e' "mammona" (Introduction: A Pansy European Union)
    by Carlo D'Ippoliti

  • 2013 Keynes, Hobson, Marx
    by Robert Skidelsky

  • 2013 The Impact Of The Economic Crises On Financing Of Municipalities In Slovakia
    by Sylvia Jenèová & Eva Litavcová & Róbert Štefko & Daniela Ma ovèíková

  • 2013 La crisis financiera internacional: debates teóricos, políticas económicas y enseñanzas
    by Juan E. Santartángelo & Roberto Lampa

  • 2013 The Liquidity of the Financial System and the Sovereign Debt Crisis in Europe – Is There a Solution?
    by Nedelcu Monica Letitia

  • 2013 Evolution of Taxation in the period 2004-2012. Impact on the Romanian Economy
    by Mihãilã Nicoleta & Isachi Silvia Elena

  • 2013 Trust in the EU in CESEE
    by Elisabeth Beckmann & Sandra Dvorsky & Thomas Scheiber

  • 2013 Who pays the ferryman? The story of the euro area from recession to political crisis to the revision of the institutional structure
    by Ágnes Csermely

  • 2013 The Federalization of European Union
    by Petre Prisecaru

  • 2013 Resetting the Growth Engines of the BRICS Countries as a Reaction to the Global Crisis
    by Iulia Monica Oehler-Sincai

  • 2013 Risk Management In Economic Crisis
    by Roxana ?TEF?NESCU

  • 2013 The Caux Round Table Principles: A Solution For The International Economic And Social Crisis?
    by Petru BARDAS & Simona ROTARU & Mirela GHITA & Mihaela COCOSILA

  • 2013 Gipuzkoako Udaletxeak krisialdian
    by Ormazabal Aizpurua, Imanol

  • 2013 Do words matter? The impact of communication on the PIIGS' CDS and bond yield spreads during Europe's sovereign debt crisis
    by Büchel, Konstantin

  • 2013 Learning, political attitudes and crises: Lessons from transition countries
    by Grosjean, Pauline & Ricka, Frantisek & Senik, Claudia

  • 2013 Quantifying structural subsidy values for systemically important financial institutions
    by Ueda, Kenichi & Weder di Mauro, B.

  • 2013 Public procurement in times of crisis: The bundling decision reconsidered
    by Schmitz, Patrick W.

  • 2013 One crisis, two crises…the subprime crisis and the European sovereign debt problems
    by Ureche-Rangau, Loredana & Burietz, Aurore

  • 2013 D-Mark, Euro, Eurokrise und danach
    by Charles Beat Blankart

  • 2013 Conflict Management: security structures in conflicts from the former Soviet space
    by Razvan Ion N. CHITESCU

  • 2013 The new EU Macroeconomic Imbalances Procedure and its Relevance for the Candidate Countries
    by Daniela Bobeva

  • 2013 The German “debt brake”: a shining example for European fiscal policy?
    by Achim Truger & Henner Will

  • 2013 Small states and big banks – the case of Iceland
    by Hilmar Þór Hilmarsson

  • 2013 Public venture capital in Latvia
    by Krists Avots & Rihards Strenga & Anders Paalzow

  • 2013 A bridge towards recovery
    by Fabrizio Saccomanni

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

  • 2012 Consecinţele „Tratatului fiscal” asupra statelor Uniunii Europene
    by Şaguna Dan Drosu, Zdanovschi Alice Cristina Maria

  • 2012 The Role of Leadership in Managing Emergencies and Disasters
    by Fatih Demiroz & Naim Kapucu

  • 2012 The German 'debt brake': A shining example for European fiscal policy?
    by Truger, Achim & Will, Henner

  • 2012 Strategic adaptation to climate change in Europe
    by Fankhauser, Sam & Soare, Raluca

  • 2012 Credit risk connectivity in the financial industry and stabilization effects of government bailouts
    by Bosma, Jakob & Koetter, Michael & Wedow, Michael

  • 2012 Financial Contagion in Industrial Clusters: A Dynamical Analysis and Network Simulation
    by Andrea Giovannetti

  • 2012 When the Global Crisis and Youth Bulge Collide: Double the Jobs Trouble for Youth
    by Isabel Ortiz & Matthew Cummins

  • 2012 Equity Begins with Children
    by Jan Vandemoortele

  • 2012 The impact of the economic crisis on the EU labour market: a comparative perspective
    by Pasquale Tridico

  • 2012 To what extent are financial crises comparable and thus predictable?
    by Diamondopoulos, John

  • 2012 Credit Crises and the Shortcomings of Traditional Policy Responses
    by William R. White

  • 2012 Solomonic Separation: Risk Decisions as Productivity Indicators
    by Nolan Miller & Alexander F. Wagner & Richard J. Zeckhauser

  • 2012 The 2008 Financial Crisis and its effects on credit supply in the Brazilian banking system - The stabilizing role of public banks
    by Juliano Adolfo Wide Pissetti

  • 2012 The Limits of Pragmatism in Institutional Change
    by Karlson, Nils

  • 2012 Secteur informel, crise et politiques publiques au Vietnam
    by Jean-Pierre Cling & Mireille Razafindrakoto & François Roubaud

  • 2012 Fiscal Federalism in Times of Crisis
    by Foremny, Dirk & von Hagen, Jürgen

  • 2012 The ECB as Lender of Last Resort for Sovereigns in the Euro Area
    by Buiter, Willem H. & Rahbari, Ebrahim

  • 2012 Fiscal Sustainability in the Presence of Systemic Banks: The Case of EU Countries
    by Agnes Benassy-Quere & Guillaume Roussellet

  • 2012 Fiscal Policy in an Unemployment Crisis
    by Rendahl, P.

  • 2012 How the full opening of the capital account to highly liquid financial markets led Latin America to two and a half cycles of ‘mania, panic and crash’
    by Palma, J. G.

  • 2012 The Spanish economic crisis: key factors and growth challenges in the euro area
    by Eloísa Ortega & Juan Peñalosa

  • 2012 The Impact of EU Membership on the Economic Governance of Spain
    by Francesc Granell (Professor of International Economic Organisation)

  • 2012 Italy from economic decline to the current crisis
    by Pasquale Tridico

  • 2012 Políticas públicas para incentivar el acceso a la financiación de las PYMES en España: el mercado alternativo bursátil (MAB)
    by Carmen Calderón Patier & Álvaro González Lorente

  • 2012 EU fiscal consolidation strategies in times of crisis – comparative approaches
    by Irina BILAN & Florin OPREA

  • 2012 Reconsidering to Fiscal Rules in European Union: Six-Pack and Evaluation of Turkey
    by Gok, Musa & Biyan, Ozgur & Akar, Sevda

  • 2012 Entérese rápidamente de la crisis financiera: guía de lectura para un fin de semana
    by Gary Gorton & Andrew Metrick

  • 2012 Euro crisis or public debt crisis? With a remedy for the latter case
    by Mario Sarcinelli

  • 2012 Introduction: there is more to Keynesianism than public spending alone
    by Carlo D'Ippoliti

  • 2012 Introduzione: le politiche keynesiane non riguardano solo, né sempre, la spesa pubblica
    by Carlo D'Ippoliti

  • 2012 Similarities and Differences in European Crisis Management
    by Árpád Kovács & Péter Halmosi

  • 2012 The Effectiveness Of Crisis Management’S Logistics Support In Local Governments
    by Jaros³aw £apeta

  • 2012 VAT Revenues in Romania: An Econometric Approach
    by Cuceu Ionuþ Constantin & Vãidean Viorela Ligia & ªarlea Mihaela

  • 2012 Modern Leadership by Applying a Crisis-Adjusted Management
    by Grigorescu Adriana & Chiþescu Rãzvan Ion

  • 2012 New Types of Romanian Energetic Small and Medium Enterprises Under Crisis
    by Boteanu Carmen-Mihaela

  • 2012 Study on Sustainable Development Assessment Criteria
    by Vãduva Maria

  • 2012 Study on Sustainable Development Policies
    by Vãduva Cecilia Elena & Ceau?escu Ionut

  • 2012 The Contemporary Conditions, Limitations and Trends in Situations of Fragility for Romania
    by Oana-Ramona Lobonþ

  • 2012 Taxation Of Financial Sector After The Crisis In The European Union
    by Mara Eugenia-Ramona

  • 2012 Does The Maastricht Convergence Criteria Work?
    by Karsai Zoltán-Krisztián

  • 2012 Theoretical Considerations Regarding The Automatic Fiscal Stabilizers Operating Mechanism
    by Gondor Mihaela

  • 2012 The State Anti-Crisis Support of Russian Companies: Assistance and Restrictions
    by Simachev, Yu. & Kuzyk, M.

  • 2012 Bank Taxes in Europe
    by Márk Fenyő

  • 2012 Trust in Government: A Note from Nigeria
    by Iroghama Paul Iroghama

  • 2012 Global Financial and Economic Crisis and the EU Economic Governance Failure – Evidence From Spain
    by Iulia Monica Oehler-Sincai

  • 2012 Global Economic And Financial Crisis And The Failure Of The Community Governance, Through Spanish Experience
    by Iulia Monica Oehler-Sincai

  • 2012 Crisis - Strategic Management in Public Relation
    by Saari Ahmad

  • 2012 Lobbying and Advocacy in Assuring Participative Democracy in Romania
    by Simona Mina

  • 2012 Cambiamenti strategici in risposta alla crisi e crescita delle giovani imprese ad alta tecnologia
    by Massimo G. Colombo & Evila Piva & Anita Quas & Cristina Rossi-Lamastra

  • 2012 Impacts of financial crisis on social engagement in Hong Kong
    by Cheung, Chau-kiu & Ng, Sik Hung

  • 2012 Illusion therapy: How to impose an economic shock without social pain
    by Atashbar, Tohid

  • 2012 Operative methods for crisis management in public organizations
    by Cristina Nicoleta Mihaila

  • 2012 Strategic Role Of Activity In The Effective Management Of A Company From The Sme Sector In The Era Of Global Crisis
    by OKWIET Bartlomiej & GRABARA Janusz

  • 2012 Management Challenges - A Preview In Future Of Capitalism
    by MIHAESCU Liviu & MIHAESCU Diana

  • 2012 Role of Innovations for Increasing the Competitiveness of the Bulgarian Enterprises
    by Nadejda Ivanova

  • 2012 Project financing bankability for anticyclical infrastructural investments
    by Roberto Moro Visconti

  • 2012 Taxation Is For Poor People Or For Rich?
    by Narcis Eduard Mitu

  • 2011 Globalizarea crizei. Sau criza globalizării?
    by Dănilă Nicolae

  • 2011 The Effects of Global Crisis into Euro Region: A Case Study of Greek Crisis
    by Bora Selcuk & Naci Yilmaz

  • 2011 The Role of the Military in Disaster Response in the U.S
    by Naim Kapucu

  • 2011 Choice Democracy
    by Olivier Ledoit

  • 2011 Exit Strategies
    by Winkler, Roland C. & Angeloni, Ignazio & Faia, Ester

  • 2011 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland C.

  • 2011 A fragile guideline to development assistance
    by Simone Bertoli & Elisa Ticci

  • 2011 Fighting Austerity and Reclaiming a Future for State and Local Governments
    by Robert Pollin & Jeffrey Thompson

  • 2011 Identifying Fiscal Space:Options for Social and Economic Development for Children and Poor Households in 184 Countries
    by Isabel Ortiz & Jingqing Chai & Matthew Cummins

  • 2011 Austerity Measures Threaten Children and Poor Households: Recent Evidence in Public Expenditures from 128 Developing Countries
    by Isabel Ortiz & Matthew Cummins

  • 2011 Escalating Food Prices: The threat to poor households and policies to safeguard a Recovery for All
    by Isabel Ortiz & Jingqing Chai & Matthew Cummins

  • 2011 Learning, Political Attitudes and the Crisis in Transition Countries
    by Pauline Grosjean & Frantisek Ricka & Claudia Senik

  • 2011 Strategic Sovereign Defaults under International Sanctions
    by Carlo de Bassa Scheresberg, Francesco Passarelli

  • 2011 Public Expenditures on Education and Health in Georgia before and during the Global Crisis
    by Maka Chitanava & Maya Grigolia & Lasha Labadze

  • 2011 Determinants of Domestic Public Debt Crisis
    by Park , Bokyeong & Song , Wonho

  • 2011 Raza, corrupción y acceso a servicios públicos en el Perú: ¿Exclusión o discriminación?
    by Ricardo Montero & Gustavo Yamada

  • 2011 Doble a triple castigo: Burocracia, corrupción e inequidad en los servicios públicos en el Perú
    by Gustavo Yamada & Ricardo Montero

  • 2011 Policy Frameworks in the Post-Crisis Environment
    by Nigel Pain & Oliver Röhn

  • 2011 Raising Potential Growth After the Crisis: A Quantitative Assessment of the Potential Gains from Various Structural Reforms in the OECD Area and Beyond
    by Romain Bouis & Romain Duval

  • 2011 Designing Optimal Risk Mitigation and Risk Transfer Mechanisms to Improve the Management of Earthquake Risk in Chile
    by Robert Muir-Wood

  • 2011 How do Banking Crises Impact on Income Inequality?
    by Luca Agnello & Ricardo M. Sousa

  • 2011 Stability periods between financial crises: The role of macroeconomic fundamentals and crises management policies
    by Zorobabel Bicaba & Daniel Kapp & Francesco Molteni

  • 2011 Do Europe's Minimum Income Schemes Provide Adequate Shelter against the Economic Crisis and How, If at All, Have Governments Responded?
    by Marchal, Sarah & Marx, Ive & Van Mechelen, Natascha

  • 2011 Do Europe's Minimum Income Schemes Provide Adequate Shelter against the Economic Crisis and How, If at All, Have Governments Responded?
    by Marchal, Sarah & Marx, Ive & Van Mechelen, Natascha

  • 2011 Economic Crisis and Fiscal Reforms in Latin America
    by Mark Hallerberg & Carlos Scartascini

  • 2011 On the Optimal Design of Disaster Insurance in a Federation
    by Timothy J. Goodspeed & Andrew Haughwout

  • 2011 International Economic Crisis and the Hungarian Pension Reform
    by Andras Simonovits

  • 2011 The impact of the global financial crisis on output performance across the European Union: vulnerability and resilience
    by Karin Kondor & Karsten Staehr

  • 2011 Hope, Change, and Financial Markets: Can Obama's Words Drive the Market?
    by Sazedj, Sharmin & Tavares, José

  • 2011 The Develope of Software Solution for Supply Chain Management
    by Sorin BURLACU & Daniel Constantin JIROVEANU

  • 2011 National Bank of Romania Management in Time of Financial Crisis
    by Ioana Florentina SAVU

  • 2011 Some Theoretical And Practical Lessons To Be Learnt From The Economic Crisis Challenges In Romania
    by ZAMAN, Gheorghe

  • 2011 Will restricting proprietary trading and stricter derivatives regulation make the US financial system more stable?
    by Jan Kregel

  • 2011 Introduction
    by Alessandro Roncaglia

  • 2011 Taking the moral hazard out of banking: the next fundamental step in financial reform
    by Rainer Masera

  • 2011 Resolving the US financial crisis: politics dominates economics in the New Political Economy
    by Jan Kregel

  • 2011 A multi-faceted financial crisis
    by Alessandro Roncaglia

  • 2011 Debito e crescita
    by Terenzio Cozzi

  • 2011 Uscire dalla crisi finanziaria statunitense: la politica domina l’economia nella Nuova Economia Politica
    by Jan Kregel

  • 2011 Ancora sulla crisi
    by Alessandro Roncaglia

  • 2011 Tax Measures Taken to Fight the Crisis in Developed Countries
    by Jiří Kostohryz

  • 2011 The Analysis of Unemployment in Hunedoara County in the Context of the Economic Crisis
    by Alina Fleșer & Oana Dobre-Baron

  • 2011 The Economic Recession, the Everlasting Bridge to the Informal Economy
    by Libardea Vlãducã Laura & Þâmpu Diana Larisa

  • 2011 Profit Tax Impact on Economic Development in Romania
    by Dobrotã Gabriela & Chirculescu Maria Felicia

  • 2011 Analysis regarding the International Competitiveness of the Business Sector in Romania in the Context of the Global Economic Crisis
    by Pirnea Ionela Carmen & Cãldãraru Elena Alexandra

  • 2011 Public Indebtedness in Developing Cuntries: Romanian Case
    by Dobranschi Marian

  • 2011 Crisis Financing in the EU
    by Franz Nauschnigg & Paul Schieder

  • 2011 Az európai gazdasági kormányzás előtt álló kihívások. A hármas tagadás lehetetlensége
    by Benczes, István

  • 2011 Public Debt Management – Fundamental Component Of Public Policy
    by Maria Pascal (Andriescu)

  • 2011 The impact of the crisis on the SME sector in Romania-The back-up of innovation and entrepreneurship development
    by Zsuzsanna K.SZABO

  • 2011 Stock price targeting and fiscal deficit in Japan: Why did the fiscal deficit increase during Japan’s lost decades?
    by Fukuda, Shin-ichi & Yamada, Junji

  • 2011 Der Fall Opel: eine Gratwanderung zwischen industriepolitischem Interventionismus und ordnungspolitischer Gradlinigkeit
    by Jochen Homann

  • 2011 Crise et déficit de l'assurance maladie. Faut-il changer de paradigme ?
    by Gérard Cornilleau & Thierry Debrand

  • 2011 Difficulties Regarding The Absorbtion Of Structural And Cohesion Funds In Romania
    by Meral KAGITCI

  • 2011 Evaluating The Impact Of The Economic Crisis On Greek Tourism: Public Perceptions Among Romanians
    by Ana Maria Tuluc

  • 2011 The Effects Of Public Services In The Context Of Blocking Job Positions As A Recession Measure
    by Prof. Ion Criveanu Ph. D & Conf. Adriana Scriosteanu Ph.D & Lect. Andreea Nita Ph. D

  • 2011 Growing Risks, Down Economy – A Brief Identification Of Systemic Risks Of The Current Period
    by Assoc. Prof. Narcis Eduard Mitu Ph. D

  • 2011 The Regulation Framework for the Banking Sector: The EMU, European Banks and Rating Agencies before and during the Recent Financial and Debt Crisis
    by Eleftherios Thalassinos & Konstantinos Liapis & John E. Thalassinos

  • 2010 Managing Public's Complacency and Public Preparedness in Response to 2006 Avian Influenza Crisis in Turkey
    by Naim Kapucu & Sitki Corbacioglu & Vener Garayev & Ulvi Saran

  • 2010 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland C.

  • 2010 The Case of Mexico's 1995 Peso Crisis and Argentina's 2002 Convertibility Crisis
    by Paola Pereznieto

  • 2010 Prioritizing Expenditures for a Recovery for All: A Rapid Review of Public Expenditures in 126 Developing
    by Isabel Ortiz & Jingqing Chai & Matthew Cummins & Gabriel Vergara

  • 2010 Including Children in Policy Responses to Economic Crises
    by Caroline Harper & Nicola Jones & Andy McKay

  • 2010 Assessing the Impacts of and Response to the 1997-98 Asian Financial Crisis through a Child Rights Lens
    by Nicola Jones & Hannah Marsden

  • 2010 Fiscal Federalism in Crisis: Lessons for Europe from the US
    by Zsolt Darvas

  • 2010 Notas sobre la primera crisis global del siglo XXI
    by Alejandro Villagómez

  • 2010 ¿El camino hacia la paz o palos de ciego? Impacto del Programa de Desmovilización
    by Kimberly Howe & Fabio Sánchez & Carolina Contreras

  • 2010 Kindleberger e l'instabilitˆ
    by Pierluigi Ciocca

  • 2010 Managing Crises: Are Lax Fiscal Policies a Worthy Practice?
    by Ionescu Alexandra & Horga Maria Gabriel & Horga Vasile

  • 2010 Budget Policy Evolution in Russia in 2000s: searching for the budget system financial stability
    by Sergey Sinelnikov-Murylev & Ilya Sokolov & Sergey Drobyshevsky & Vladimir Nazarov

  • 2010 Budget Policy Evolution in Russia in 2000s: searching for the budget system financial stability
    by Sergey Sinelnikov-Murylev & Sergey Drobyshevsky & Vladimir Nazarov & Ilya Sokolov

  • 2010 Aşırı Birikim - Finansallaşma İlişkisinin 2008 Krizi Bağlamında Analizi
    by Mustafa DURMUŞ

  • 2010 ¿Qué pasa en Irlanda y en los otros PIGS, incluida España?
    by Navarro López, Vicenç

  • 2010 La crisis de la deuda pública en la Unión Monetaria Europea
    by Garmendia Ibáñez, Jesús

  • 2010 Nouveaux défis pour la dette publique dans les pays avancés : synthèse du colloque tenu à Strasbourg les 16 et 17 septembre 2010
    by Bouthevillain, C. & Dufrénot, G. & Frouté, P. & Paul, L.

  • 2010-2011 New challenges for public debt in advanced economies Summary of the conference held in Strasbourg on 16-17 September 2010
    by Bouthevillain, C. & Dufrénot, G. & Frouté, P. & Paul, L.

  • 2009 A generalization of Tyler's M-estimators to the case of incomplete data
    by Frahm, Gabriel & Jaekel, Uwe

  • 2009 True Taxpayer Burden of Bank Restructuring
    by Landier, Augustin & Ueda, Kenichi

  • 2009 True Taxpayer Burden of Bank Restructuring
    by Landier, Augustin & Ueda, Kenichi

  • 2009 The Global Crisis As Seen from Russia
    by Vladimir Mau

  • 2009 Bond Liquidity Premia
    by Jean-Sébastien Fontaine & René Garcia

  • 2009 Risk and Crisis Management:101 Cases
    by Akira Ishikawa & Atsushi Tsujimoto

  • 2009 Economic Policy out of the Corridor. Reflections on the Global Crisis and the Latin American Experience
    by José María Fanelli

  • 2009 Notes on Varieties of Crises
    by Daniel Heymann

  • 2009 The North from the South
    by Javier Finkman

  • 2008 Willingness of Foreign Retired Residents to Participate In Local Public Life and Strategic Approaches to the Relationship Networks within the Local Community; (Example of Antalya, Turkey)
    by Zerrin Toprak Karaman

  • 2008 Perspectives on Crisis Management in European Union Countries: United Kingdom, Spain and Germany
    by Bahadir Sahin & Naim Kapucu & Ali Unlu

  • 2008 The Nature of Infaq and its Effects on Distribution of Wealth
    by Farooq Aziz & Muhammad Mahmud & Emad ul Karim

  • 2007 Управљање Кризним Ситуацијама – Случај Финансијске Пирамиде Ммм
    by Bukvić, Rajko

  • 2006 Situación de la economía peruana antes del gobierno militar de 1968: un análisis institucional
    by Jorge Fernandez-Baca & Carmen Astorne

  • 2004 On the Consequences of Sudden Stops
    by Pablo E. Guidotti & Federico Sturzenegger & Agustín Villar

  • 2003 Great Expectations and Hard Times: The Argentine Convertibility Plan
    by Sebastian Galiani & Daniel Heymann & Mariano Tommasi

  • 2002 Globalization Hazard and Delayed Reform in Emerging Markets
    by Guillermo A. Calvo

  • 2001 Recursive Dynamic Cge Analysis – The Road To Economic Recovery In Asia
    by Zhi Wang & Dianqing Xu

  • 2001 Philippine – The 1997–1999 Philippine Economic Downturn: A Preventable One
    by Edita A. Tan

  • 2001 Indonesia – Indonesia'S Responses To The Recent Economic Crisis
    by Anwar Nasution

  • 2001 Malaysia – Financial Crisis In Malaysia
    by Mohamed Ariff & Michael Meow-Chung Yap

  • 2001 Thailand – 1997 Thai Financial Crisis
    by Chawin Leenabanchong

  • 2001 Taiwan – Financial Crisis In East Asia
    by Teh-Ming Huo

  • 2001 Hong Kong – Financial Crisis In The Case Of Hong Kong: Last In, Last Out?
    by Chyau Tuan & Linda F.Y. Ng

  • 2001 Singapore – Coping With The Asian Financial Crisis: The Singapore Experience
    by Kee-jin Ngiam

  • 2001 Korea – Korea Financial Crisis: The Crisis Of A Development Model?
    by Jaymin Lee

  • 2001 China – Financial Crisis And Chinese Economy
    by Dianqing Xu

  • 2001 Japan – Japan'S Bubble Economy And Asia
    by Hua Sing Lim

  • 2001 An Overview Of The Financial Crisis In East Asia
    by Tzong-shian Yu

  • 1998 Can robust pro-female policies be identified when the true model of the household is unknown?
    by John Mackinnon

  • 1994 Baggrunden forudviklingslandenes grældskrise
    by Tarp, Finn

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