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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ N: Economic History
/ / N2: Financial Markets and Institutions
/ / / N20: General, International, or Comparative
/ / / N21: U.S.; Canada: Pre-1913
/ / / N22: U.S.; Canada: 1913-
/ / / N23: Europe: Pre-1913
/ / / N24: Europe: 1913-
/ / / N25: Asia including Middle East
/ / / N26: Latin America; Caribbean
/ / / N27: Africa; Oceania

Most recent items first, undated at the end.
  • 2016 A systemic crisis in the context of globalization: the Great Recession in the perspective of economic history, 1970-2008
    by Carles Manera

  • 2016 Finansal İstikrar ve Para Vakıfları Etkisi: Rumeli Para Vakıfları Örnekleri
    by Bulut, Mehmet & Korkut, Cem

  • 2016 La controversia tra la Camera di Commercio di Roma e il Consiglio del Debito Pubblico Ottomano sulla conversione delle obbligazioni privilegiate del 1890
    by Ecchia, Stefania

  • 2016 Cash and non-cash payments in a long run perspective, Spain 1989-2014
    by Maixe-Altes, J. Carles & Mourelle, Estefanía

  • 2016 No more cakes and ale: banks and banking regulation in the post-bretton woods macro-regime
    by Klüh, Ulrich & Hütten, Moritz

  • 2016 Greek Sovereign Defaults in Retrospect and Prospect
    by Tsoulfidis, Lefteris & Zouboulakis, Michel

  • 2016 Pancasila, Globalisasi dan Pasar Bebas: Meneguhkan Kembali Ekonomi Pancasila sebagai Karakter Bangsa
    by Jaelani, Aan

  • 2016 Pancasila Economic and the Challenges of Globalization and Free Market In Indonesia
    by Jaelani, Aan

  • 2016 Crisis Financieras en la Historia Las crisis financieras no son un fenómeno nuevo en la historia. Desde la crisis de los tulipanes en 1634 hasta la crisis financiera de Estados Unidos en 2008 y la europea de 2010 son eventos que se han sucedido sin que se encuentre la forma de evitarlos. A lo largo de la historia, las crisis financieras asociadas a burbujas especulativas y excesiva acumulación de deudas son eventos recurrentes que comparten un patrón similar, matizado con las características de cada país y momento histórico. Los avances tecnológicos juegan un rol en la aceleración de las mismas. A pesar de ello no tienen una definición única ni tampoco un esquema de resolución aceptado. Las crisis generan consecuencias el elevado costo social que generan en niveles de actividad y empleo. Una revisión de las principales crisis financieras de la historia muestra una serie de elementos comunes y deja lecciones que deben tomarse en cuenta para, al menos, minimizar su ocurrencia
    by Carlos Parodi Trece

  • 2016 Commodities for the Long Run
    by Ari Levine & Yao Hua Ooi & Matthew Richardson

  • 2016 Two Centuries of Finance and Growth in the United States, 1790-1980
    by Howard Bodenhorn

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

  • 2016 The Dawn of the Plastic Jungle: The Introduction of the Credit Card in Europe and North America, 1950-1975
    by Bernardo Batiz-Lazo & Gustavo A. Del Angel

  • 2016 On the Origins of Moral Hazard: Politics, International Finance and the Latin American Debt Crisis of 1982
    by Altamura, Carlo Edoardo & Flores Zendejas, Juan

  • 2016 Repurchase agreements as an instrument of monetary policy at the time of the Accord
    by Garbade, Kenneth D.

  • 2016 Are All Booms and Busts Created Equal? A New Methodology for Understanding Bull and Bear Stock Markets
    by German Forero-Laverde

  • 2016 Financial Reforms in Myanmar and Japan's Engagement
    by Tomoo Kikuchi & Takehiro Masumoto

  • 2016 Representation without taxation, taxation without consent: the legacy of Spanish colonialism in America
    by Alejandra Irigoin

  • 2016 The FinTech Opportunity
    by Philippon, Thomas

  • 2016 Banking Crises
    by Grossman, Richard

  • 2016 Anomalous Trading Prior to Lehman Brothers' Failure
    by Gehrig, Thomas & Haas, Marlene

  • 2016 Efecto y distorsiones de los impuestos en los incentivos a la inversión y en los precios: Comparación Argentina - Estados Unidos
    by José P. Dapena & Gabriel Sosa

  • 2016 Usury laws and Private Credit in Lima, Peru. Evidence from notarized contracts
    by Luis Felipe Zegarra

  • 2016 "Spain - Eximbank's Billion Dollar Client": The Role of the US Financing the Spanish Nuclear Program
    by Mª del Mar Rubio-Varas & Joseba De la Torre

  • 2016 Pancasila Economic and The Challenges of Globalization and Free Market In Indonesia
    by Aan JAELANI

  • 2016 The economic consequences of the Spanish Reconquest: the long-term effects of Medieval conquest and colonization
    by Daniel Oto-Peralías & Diego Romero-Ávila

  • 2016 Old (Chicago) school, new century: the link between Knight and Simons’ Chicago plan to Buchanan’s constitutional money
    by Scott Burns

  • 2016 Dinámicas del tipo de cambio nominal y del IPC, 1991-2014: una especificación que combina los modelos ARFIMA y GARCH
    by Héctor F. Salazar-Núñez. & Francisco Venegas Martínez.

  • 2016 Local financial capacity and asset values: Evidence from bank failures
    by Rajan, Raghuram & Ramcharan, Rodney

  • 2016 Should the insurance industry be banking on risk escalation for solvency II?
    by Bryce, Cormac & Webb, Rob & Cheevers, Carly & Ring, P. & Clark, G.

  • 2016 Winners and losers in the allocation of credit during the era of import-substitution industrialisation in Colombia, 1940–1967
    by Carlos Andrés Brando

  • 2016 Winners and losers in the allocation of credit during the era of import-substitution industrialisation in Colombia, 1940–1967
    by Carlos Andrés Brando

  • 2015 Corporate debt securities market in Poland: state of art, problems, and prospects for development (BKorporacyjny rynek papierów d³u¿nych w Polsce: aktualny stan, problemy, perspektywy rozwoju)
    by Tomasz Galka & Agnieszka Gontarek & Piotr Kowalski

  • 2015 Fighting the Last War: economists on the lender of last resort
    by Richard S. Grossman & Hugh Rockoff

  • 2015 Kontribusi Sarjana Muslim bagi Peradaban Eropa: Melacak Akar Sejarah dan Perkembangan Ekonomi
    by Jaelani, Aan

  • 2015 Financial Crises, Development, and Growth: A Long-term Perspective
    by Reinhart, Carmen & Reinhart, Vincent

  • 2015 Strategies for Managing Bank’s Legacy Assets:part 2 (of 2) Assessment of strategies and their implementation
    by Jenk, Justin

  • 2015 Strategies for Managing Banks’ Legacy Assets: part 1 (of 2) context, setting the scene, Spain 2012
    by Jenk, Justin

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

  • 2015 Comparative analysis of the stock markets of China, Russia, Brazil, South Africa and Argentina
    by Padmanabhan, Divya & Sinha, Ayan & Venkataraman, Arundhati & Ravi, Archi & Joshi, Apurva

  • 2015 Determinants of Bank Profitability and Basel Capital Regulation: Empirical Evidence from Nigeria
    by Ozili, Peterson, K

  • 2015 Determinants of Bank Profitability and Basel Capital Regulation: Empirical Evidence from Nigeria
    by Ozili, Peterson K

  • 2015 Momentum in Imperial Russia
    by William Goetzmann & Simon Huang

  • 2015 Bubble Investing: Learning from History
    by William N. Goetzmann

  • 2015 The Development of Corporate Governance in Toulouse: 1372-1946
    by David Le Bris & William N. Goetzmann & Sébastien Pouget

  • 2015 The Evolution of the Financial Stability Mandate: From Its Origins to the Present Day
    by Gianni Toniolo & Eugene N. White

  • 2015 Fighting the Last War: Economists on the Lender of Last Resort
    by Richard S. Grossman & Hugh Rockoff

  • 2015 Communication and performance in Bank-Fund joint participation
    by Silvia, Marchesi

  • 2015 The Rise of Money and Class Society: The Contributions of John F. Henry
    by Alla Semenova & L. Randall Wray

  • 2015 Capital Markets and Sovereign Defaults: A Historical Perspective
    by Flores Zendejas, Juan

  • 2015 Family Economics Writ Large
    by Jeremy Greenwood & Nezih Guner & Guillaume Vandenbroucke

  • 2015 Rumors and Runs in Opaque Markets: Evidence from the Panic of 1907
    by Fohlin, Caroline & Gehrig, Thomas & Haas, Marlene

  • 2015 Fighting the Last War: Economists on the Lender of Last Resort
    by Grossman, Richard & Rockoff, Hugh T

  • 2015 Index options realized returns distributions from passive investment strategies
    by José P. Dapena & Julian R. Siri

  • 2015 Aspectos financieros en la gestión de la empresa y en la evaluación de proyectos de inversión
    by José Pablo Dapena & Juan Carlos Alonso

  • 2015 The Effects Of Systemic Banking Crises In The Inter-War Period
    by Bruno Rocha & Solomos Solomou

  • 2015 Political Instability, Institutions and Private Capital Markets in Lima, Peru
    by Luis Felipe Zegarra

  • 2015 The relationship between bank competition and financial stability: a case study of the Mexican banking industry
    by Raúl Osvaldo Fernández & Jesús G. Garza-García

  • 2015 The effects of systemic banking crises in the inter-war period
    by da Rocha, Bruno T. & Solomou, Solomos

  • 2015 Victory or repudiation? Predicting winners in civil wars using international financial markets
    by Mitchener, Kris James & Oosterlinck, Kim & Weidenmier, Marc D. & Haber, Stephen

  • 2015 Capital controls and recovery from the financial crisis of the 1930s
    by Mitchener, Kris James & Wandschneider, Kirsten

  • 2015 Bank consolidation and stability: The Canadian experience, 1867–1935
    by Chu, Kam Hon

  • 2015 Administração fiscal nas províncias do centro: As fronteiras fiscais na América portuguesa (1780-1815)
    by Cláudia Chaves

  • 2015 The evolution of financial intermediation: Evidence from 19th-century Ontario microdata
    by Livio Di Matteo & Angela Redish

  • 2015 Interest Rate Regime And The Performance Of The Nigerian Capital Market
    by Jeroh Edirin & C. M. Ekwueme

  • 2014 SHADOW BANKING - A Geographical Interpretation
    by Gianfranco Battisti

  • 2014 Financial Thought as a Shield: Bogotá’s Stock Exchange and the Financial Ideas during its Foundation and Consolidation
    by Ramos-Toro, Diego

  • 2014 Book Review – Rethinking Housing Bubbles
    by Bell, Peter Newton

  • 2014 Política tributaria y economía fiscal en los enfoques de Hayek y Brenann/Buchanan
    by Estrada, Fernando & González, Jorge Iván

  • 2014 Four Centuries of Return Predictability
    by Benjamin Golez & Peter Koudijs

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

  • 2014 Counterparty Risk and the Establishment of the New York Stock Exchange Clearinghouse
    by Asaf Bernstein & Eric Hughson & Marc D. Weidenmier

  • 2014 Capital Controls and Recovery from the Financial Crisis of the 1930s
    by Kris James Mitchener & Kirsten Wandschneider

  • 2014 Leverage and Beliefs: Personal Experience and Risk Taking in Margin Lending
    by Peter Koudijs & Hans-Joachim Voth

  • 2014 Does it take two to tango? Improving cooperation between the IMF and the World Bank: theory and empirical evidence
    by Silvia Marchesi & Laura Sabani

  • 2014 Financial Crisis Resolution and Federal Reserve Governance: Economic Thought and Political Realities
    by Bernard Shull

  • 2014 The Separation of Information and Lending and the Rise of Rating Agencies in the United States
    by Marc Flandreau & Gabriel Geisler Mesevage

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

  • 2014 Has the U.S. Finance Industry Become Less Efficient? On the Theory and Measurement of Financial Intermediation
    by Philippon, Thomas

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

  • 2014 Capital Controls and Recovery from the Financial Crisis of the 1930s
    by Mitchener, Kris & Wandschneider, Kirsten

  • 2014 The Financial Power of the Powerless: Socio-Economic Status and Interest Rates under Partial Rule of Law
    by Timur Kuran & Jared Rubin

  • 2014 Ensayo sobre el efecto de los regímenes impositivos en las finanzas de la empresa en Argentina
    by José Pablo Dapena

  • 2014 Valor de mercado y valor contable de la firma: Activos intangibles y valor llave
    by José P. Dapena

  • 2014 Distorsiones económicas y financieras originadas en el impuesto sobre los ingresos brutos
    by José P. Dapena & Mario Volman

  • 2014 Comparación entre algoritmo de ciclos y modelos de regime-switching, con aplicación a estrategias de inversión en derivados (opciones de venta)
    by Julián R. Siri & José P. Dapena

  • 2014 Un enfoque económico de los efectos de la inflación en las ganancias de capital para los estados contables y el impuesto a las ganancias
    by José Pablo Dapena

  • 2014 El Estado y el desarrollo de la energía nuclear en España, c. 1950-1985
    by Joseba De la Torre & Mar Rubio

  • 2014 Macroeconomic variables and stock price volatility in Nigeria
    by Osazee Godwin Omorokunwa & Nosakhare Ikponmwosa

  • 2014 The Role Of Derivatives In The Financial Crisis And Their Impact On Security Prices
    by Ronald A. Stunda

  • 2014 Redistribution effects of inflation
    by Schneider, Martin

  • 2014 The impact of monetary policy in the midst of big shocks
    by Ohanian, Lee E.

  • 2013 Gentlemen Bankers: The World of J. P. Morgan
    by Pak, Susie J.

  • 2013 The News Content of Bank Rating Changes - Evidence from a Global Event Study
    by Christian Fieberg & Armin Varmaz & Jörg Prokop & Finn Marten Körner

  • 2013 Offshoring And Financial Markets
    by Gianfranco Battisti

  • 2013 Politics on the road to the U.S. monetary union
    by Peter L. Rousseau

  • 2013 Reassessing the Thesis of the Monetary History
    by David Laidler

  • 2013 The Impact of Financialization on Management and Employment Outcomes
    by Rosemary Batt & Eileen Appelbaum

  • 2013 Institusi Pasar dan Hisbah: Teori Pasar dalam Sejarah Pemikiran Ekonomi Islam
    by Jaelani, Aan

  • 2013 Bank Depositor behavior in Russia in the Aftermath of Financial Crisis
    by Pyle, William & Schoors, Koen & Semenova, Maria & Yudaeva, Ksenya

  • 2013 When Cards and ATM’s are the only choice: A fortnight in Cyprus with no banking system, nor trust
    by Efthymiou, Leonidas & Michael, Sophia

  • 2013 Trade and Institutions: Evidence from Regional Studies
    by Ojeaga, Paul & Ogundipe, Adeyemi

  • 2013 Have Financial Markets Become More Informative?
    by Jennie Bai & Thomas Philippon & Alexi Savov

  • 2013 R-squared and the Economy
    by Randall Morck & Bernard Yeung & Wayne Yu

  • 2013 Shifting Mandates: The Federal Reserve's First Centennial
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2013 'Those Who Know Most': Insider Trading in 18th c. Amsterdam
    by Peter Koudijs

  • 2013 The boats that did not sail: Asset Price Volatility and Market Efficiency in a Natural Experiment
    by Peter Koudijs

  • 2013 Does it take two to tango? How to improve cooperation between the IMF and the World Bank
    by Silvia Marchesi & Laura Sabani

  • 2013 Does it take two to tango? Improving cooperation between the IMF and the World Bank: theory and empirical evidence
    by Silvia Marchesi & Laura Sabani

  • 2013 Does it Take Two to Tango? Improving Cooperation between the IMF and the World Bank: Theory and Empirical Evidence
    by Silvia Marchesi & Laura Sabani

  • 2013 Una aproximación al impacto del “efecto portafolio” en los resultados de una muestra de empresas cotizantes
    by José Pablo Dapena & Patricio Villavicencio

  • 2013 Finanzas corporativas: El “efecto portafolio” en la gestión financiera de la empresa en contextos de inflación
    by José Pablo Dapena

  • 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 Competition and Efficiency in the Mexican Banking Sector
    by Sara G.Castellanos & Jesus G. Garza-Garcia

  • 2013 Frank Crean: A long wait for a turbulent tenture
    by John Hawkins

  • 2013 Economic crises and the development of the industrial state: the industrial intervention of the Bank of Italy and the Bank of England, 1918–1939
    by Valerio Cerretano

  • 2013 Does the structure of banking markets affect economic growth? Evidence from U.S. state banking markets
    by Mitchener, Kris James & Wheelock, David C.

  • 2012 Birth of a Market: The U.S. Treasury Securities Market from the Great War to the Great Depression
    by Garbade, Kenneth D.

  • 2012 Inflation volatility, financial institutions and sovereign debt rating
    by Emara, Noha

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

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

  • 2012 Speculation and regulation in commodity markets: The Keynesian approach in theory and practice
    by Marcuzzo, Maria Cristina

  • 2012 Infrastructures institutionnelles et développement financier en zone CEMAC
    by Mpabe Bodjongo, Mathieu Juliot

  • 2012 The Great Leveraging
    by Alan M. Taylor

  • 2012 Has the U.S. Finance Industry Become Less Efficient? On the Theory and Measurement of Financial Intermediation
    by Thomas Philippon

  • 2012 Epilogue: Foreign-Exchange-Market Operations in the Twenty-First Century
    by Michael D. Bordo & Owen Humpage & Anna J. Schwartz

  • 2012 Voting Rights, Share Concentration, and Leverage at Nineteenth-Century US Banks
    by Howard Bodenhorn

  • 2012 Introduction to an Alternative History of Money
    by L. Randall Wray

  • 2012 The banking place of Lyon in 1848-1870. Between local banks and the second banking revolution (In French)
    by Hubert BONIN (GREThA, CNRS, UMR 5113 & Sciences Po Bordeaux)

  • 2012 The Great Leveraging
    by Taylor, Alan M.

  • 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 determinants and consequences of IPOs in a regulated economy: Evidence from China
    by Fang, Junxiong & Shi, Haina & Xu, Haoping

  • 2012 Financial development and economic growth: Recent evidence from China
    by Zhang, Jin & Wang, Lanfang & Wang, Susheng

  • 2012 Historical evidence on the finance-trade-growth nexus
    by Bordo, Michael D. & Rousseau, Peter L.

  • 2012 Corporate governance in the 2007–2008 financial crisis: Evidence from financial institutions worldwide
    by Erkens, David H. & Hung, Mingyi & Matos, Pedro

  • 2011 When Wall Street Met Main Street: The Quest for an Investors' Democracy
    by Ott, Julia C.

  • 2011 Taking Firms to the Stock Market: IPOs and the Importance of Universal Banks in Imperial Germany 1896-1913
    by Sibylle Lehmann

  • 2011 Booms and Busts in United States Financial Markets
    by Yochanan Shachmurove

  • 2011 HISBAH DAN MEKANISME PASAR: Studi Moralitas Pelaku Pasar Perspektif Ekonomi Islam
    by Jaelani, Aan

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

  • 2011 String of defaults: Spanish financial crises through the years
    by Shachmurove, Tomer & Shachmurove, Yochanan

  • 2011 Game complete analysis for financial markets stabilization
    by Carfì, David & Musolino, Francesco

  • 2011 Plastic Money/Credit Cards Charisma for Now and Then (A Thin Line between Easy Money and Risky Money)
    by Hasan, Syed Akif & Subhani, Muhammad Imtiaz & Osman, Ms. Amber

  • 2011 Monetary policy restriction and dividend behavior of Pakistani firms: an empirical analysis
    by Mohsin, Hasan M & Ashraf, Muhammad Shahzad

  • 2011 Auditors and the supervision of retail finance: evidence from two small-sized building societies, 1976-1978
    by Batiz-Lazo, Bernardo & Noguchi, Masayoshi

  • 2011 The disciplinary power of accounting-based regulation: the case of building societies, circa 1960
    by Batiz-Lazo, Bernardo & Noguchi, Masayoshi

  • 2011 Boom and Bust of the spanish Economy
    by Tomer Shachmurove & Yochanan Shachmurove

  • 2011 Reoccurring Financial Crises in the United States
    by Yochanan Shachmurove

  • 2011 A Brief History of Regulations Regarding Financial Markets in the United States: 1789 to 2009
    by Alejandro Komai & Gary Richardson

  • 2011 When the Music Stopped: Transatlantic Contagion During the Financial Crisis of 1931
    by Gary Richardson & Patrick Van Horn

  • 2011 Historical Evidence on the Finance-Trade-Growth Nexus
    by Michael D. Bordo & Peter L. Rousseau

  • 2011 "To Establish a More Effective Supervision of Banking": How the Birth of the Fed Altered Bank Supervision
    by Eugene N. White

  • 2011 Communal Responsibility and the Coexistence of Money and Credit under Anonymous Matching
    by Lars Boerner & Albrecht Ritschl

  • 2011 Communal Responsibility and the Coexistence of Money and Credit Under Anonymous Matching
    by Boerner, Lars & Ritschl, Albrecht

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

  • 2011 Financial crises and financial market regulation: the long record of an ‘emerger’
    by Sophia Lazaretou

  • 2011 Financial Crises In Spain: Lessons From The Last 150 Years
    by Concha Betrán & Pablo Martín-Aceña & María Angeles Pons

  • 2011 THE INTERNATIONAL FINANCIAL CRISIS:Have the Rules of Finance Changed?
    by

  • 2011 Fair Redistribution In Financial Markets: A Game Theory Complete Analysis
    by David Carfi & Francesco Musolino

  • 2011 Do we need a distinct monetary constitution?
    by Horwitz, Steven

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

  • 2011 The co-evolution of social capital and financial development
    by Marc Sangnier

  • 2011 The Lifestyle Halal in European Marketing
    by Ahmed Ameur Ameur

  • 2010 In Time of Troubles: Challenges and Prospects in the Middle East and North Africa
    by Imed Drine

  • 2010 The global economic and financial crisis: a review and commentary
    by Singh, Ajit & Zammit, Ann

  • 2010 In Digital We Trust: The computerisation of retail finance in Western Europe and North America
    by Batiz-Lazo, Bernardo & Maixe-Altes, J. Carles & Thomes, Paul

  • 2010 Diverging Paths to a Network World: Computerizing Spanish and British Savings Banks, 1960-1990
    by Maixe-Altes, J. Carles

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

  • 2010 The historical relationship between inflation and political rebellion, and what it might teach us about neoliberalism
    by Cohen, Joseph N & Linton, April

  • 2010 Global Financial crisis and Islamic finance
    by Alasrag, Hussien

  • 2010 Breve guia temático e bibliográfico sobre o estudo da actual crise financeira e económica
    by Costa Cabral, Nazare

  • 2010 The Next Financial Crisis
    by Yochanan Shachmurove

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

  • 2010 Property Rights and Financial Development: The Legacy of Japanese Colonial Institutions
    by Dongwoo Yoo & Richard H. Steckel

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

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

  • 2010 Covered Farm Mortgage Bonds in the Late Nineteenth Century U.S
    by Kenneth A. Snowden

  • 2010 The Shanxi Banks
    by Randall Morck & Fan Yang

  • 2010 Searching for Irving Fisher
    by Kris James Mitchener & Marc D. Weidenmier

  • 2010 Securitization in the 1920's
    by William N. Goetzmann & Frank Newman

  • 2010 The Transition from Industrial Capitalism to a Financialized Bubble Economy
    by Michael Hudson

  • 2010 Communal Responsibility and the Coexistence of Money and Credit Under Anonymous Matching
    by Lars Boerner & Albrecht Ritschl

  • 2010 French investment banks and the earthquake of post-war shocks (1944-1946)
    by Hubert BONIN (GREThA UMR CNRS 5113 - Institut de Sciences Politique de Bordeaux)

  • 2010 French savings communities exposed to Russian risks on assets in the 1900s-1920s. A few issues about the actual risks on financial pledges (In French)
    by Hubert BONIN (GREThA UMR CNRS 5113 - Institut de Sciences Politique de Bordeaux)

  • 2010 Towards a New Agenda for the Study of Business Internationalization: Integrating Markets, Institutions and Politics
    by Rodrigues, S.B.

  • 2010 Financial crises and financial reforms in Spain : what have we learned?
    by Pons, Ángeles & Martín-Aceña, Pablo & Betrán, Concepción

  • 2010 Communal Responsibility and the Coexistence of Money and Credit Under Anonymous Matching
    by Lars Boerner & Albrecht Ritschl

  • 2010 The Global Economic and Financial Crisis: A Review and Commentary
    by Singh, A. & Zammit, A.

  • 2010 THE GREAT RECESSION:History, Ideology, Hubris and Nemesis
    by Michael Siam-Heng Heng

  • 2010 Entrepreneurial Tendencies: Evidence From China And India
    by Barbara K. Fuller & Martha C. Spears & Darrell F. Parker

  • 2010 Cost Of Carry On Steroids: Application To Oil Futures Pricing
    by Eric Girard & Trevor Reid

  • 2010 Determinants Of Emerging Markets’ Commercial Bank Stock Returns
    by Eric Girard & James Nolan & Tony Pondillo

  • 2010 The delay of stock price adjustment to information: A country-level analysis
    by Kian-ping Lim & Chee-wooi Hooy

  • 2010 Efficient markets: land and slave prices in Henrico County, Virginia, 1782-1863
    by Catherine L. McDevitt & James R. Irwin

  • 2010 The Banking Crises In The Kingdom Of Serbia In 1908 And 1912
    by Biljana Stojanoviæ

  • 2010 Common stock returns in the pre-WWI Berlin Stock Exchange
    by Caroline Fohlin & Steffen Reinhold

  • 2009 Read my lips: The role of information transmission in multilateral reform design
    by Marchesi, Silvia & Sabani, Laura & Dreher, Axel

  • 2009 Incentives for Savings in the Turkish Banking Sector: Lottery 1930-1975
    by Nevin Coşar

  • 2009 Agency and Communication in IMF Conditional Lending: Theory and Empirical Evidence
    by Silvia Marchesi & Laura Sabani & Axel Dreher

  • 2009 The financial crisis: an inside view
    by Swagel, Phillip

  • 2009 This Time It’s Different: Eight Centuries of Financial Folly-Chapter 1
    by Reinhart, Carmen & Rogoff, Kenneth

  • 2009 This Time It’s Different: Eight Centuries of Financial Folly-Preface
    by Reinhart, Carmen & Rogoff, Kenneth

  • 2009 The diversity of organisational forms in banking: France, Italy and Spain 1900-2000
    by Maixe-Altes, J. Carles

  • 2009 Banking Crises and the Rules of the Game
    by Charles Calomiris

  • 2009 Splendid Associations of Favored Individuals: Federal and State Commercial Banking Policy in the Federalist Era
    by Howard Bodenhorn

  • 2009 Never Waste a Good Crisis: An Historical Perspective on Comparative Corporate Governance
    by Randall Morck & Bernard Yeung

  • 2009 Sterling in crisis: 1964-1967
    by Michael D. Bordo & Ronald MacDonald & Michael J. Oliver

  • 2009 Agency and communication in IMF conditional lending: theory and empirical evidence
    by Silvia Marchesi & Laura Sabani & Axel Dreher

  • 2009 Agency and communication in IMF conditional lending: theory and empirical evidence
    by Silvia Marchesi & Laura Sabani & Axel Dreher

  • 2009 Regional Financial System and the Financial Structure of Small Firms
    by Prashanth Mahagaonkar & Swayan Chaudhuri

  • 2009 Agency and Communication in IMF Conditional Lending: Theory and Empirical Evidence
    by Marchesi, Silvia & Sabani, Laura & Dreher, Axel

  • 2009 Agency and Communication in IMF Conditional Lending: Theory and Empirical Evidence
    by Marchesi, Silvia & Sabani, Laura & Dreher, Axel

  • 2009 Agency and communication in IMF conditional lending: theory and empirical evidence
    by Silva Marchesi & Laura Sabani & Axel Dreher

  • 2009 Read my lips: the role of information transmission in multilateral reform design
    by Silvia Marchesi & Laura Sabani & Axel Dreher

  • 2009 Read my lips: the role of information transmission in multilateral reform design
    by Silvia Marchesi & Laura Sabani & Axel Dreher

  • 2009 The End of Gatekeeping: Underwriters and the Quality of Sovereign Bond Markets, 1815-2007
    by Marc Flandreau & Juan H. Flores & Norbert Gaillard & Sebastián Nieto-Parra

  • 2009 Read my Lips: the Role of Information Transmission in multilateral reform design
    by Silvia Marchesi & Laura Sabani & Axel Dreher

  • 2009 The Evolution of Paper Money
    by Levintal, Oren & Zeira, Joseph

  • 2009 The End of Gatekeeping: Underwriters and the Quality of Sovereign Bond Markets, 1815-2007
    by Flandreau, Marc & Flores Zendejas, Juan Huitzilihuitl & Gaillard, Norbert & Nieto-Parra, Sebastián

  • 2009 Ratings Performance, Regulation and the Great Depression: Lessons from Foreign Government Securities
    by Flandreau, Marc & Gaillard, Norbert & Packer, Frank

  • 2009 Banking Crises and the Rules of the Game
    by Charles W. Calomiris

  • 2009 Rol del mercado de capitales en el crecimiento de la economía: literatura y evidencia para Argentina
    by José Pablo Dapena

  • 2009 Balkan Countries: Catching Up and their Integration in the European Financial System
    by Fabienne Bonetto & Srđan Redžepagić & Anna Tykhonenko

  • 2009 A pénz cseréje pénzre. Pénzbőség és pénzszűke
    by Bródy, András

  • 2009 A tartós depresszióról - a tőzsdeindex mozgása
    by Bródy, András

  • 2009 The Risk Factors Associated With Investing In An Emerging Equity Market During The Eu Membership Process
    by Eric Girard & Halil Kiymaz

  • 2009 Is the Convergence of Accounting Standards Good for Stock Markets?
    by Terence Tai-Leung Chong & Winnie S. C. Leung & Rita W. Y. Yip & Howard Z. Huang

  • 2008 Too Big to Fail? The Newfoundland Bank Crash of 1894
    by Kam Hon Chu

  • 2008 Testing multifactor capital asset pricing model in case of Pakistani market
    by Javid, Attiya Yasmin & Ahmad, Eatzaz

  • 2008 Policy options of agricultural biotechnology R&D in Sub-Saharan Africa: key issues and aspects
    by Yawson, Robert M. & Yawson, Ivy

  • 2008 Linearity and stationarity of G7 government bond returns
    by Liew, Venus Khim-Sen & Qiao, Zhuo & Wong, Wing-Keung

  • 2008 The Transatlantic Economy Dollar vs Euro relations amid the Global Financial Crisis
    by Avellaneda, Maria Belen

  • 2008 ¿Es tan diferente la crisis financiera de sub-prime en EEUU? Una comparacion historica internacional
    by Reinhart, Carmen & Rogoff, Kenneth

  • 2008 Agrarian Structure and Endogenous Financial System Development
    by Vollrath, Dietrich

  • 2008 Reflections on the International Dimensions and Policy Lessons of the U.S. Subprime Crisis
    by Reinhart, Carmen

  • 2008 Agrarian Structure and Endogenous Financial System Development
    by Vollrath, Dietrich

  • 2008 Great Fortunes of the Gilded Age
    by Hugh Rockoff

  • 2008 Bretton Woods and the Great Inflation
    by Michael D. Bordo & Barry Eichengreen

  • 2008 The Rise and Fall of the Dollar, or When Did the Dollar Replace Sterling as the Leading International Currency?
    by Barry Eichengreen & Marc Flandreau

  • 2008 The Continental Dollar: What Happened to It after 1779?
    by Farley Grubb

  • 2008 Agency and communication problems in IMF conditional lending
    by Floriana Cerniglia & Laura Sabani

  • 2008 Agrarian Structure and Endogenous Financial System Development
    by Dietz Vollrath

  • 2008 The Continental Dollar: What Happened to It after 1779?
    by Farley Grubb

  • 2008 Managed Futures as a Portfolio Diversification Instrument
    by Izabela Pruchnicka-Grabias

  • 2008 On the Origins and Evolving Role of Money
    by Jean-Paul Chavas & Daniel W. Bromley

  • 2008 Dunyada Kobi Borsalari ve Turkiye’de Kobi Borsasinin Olusumuna Yonelik Uygulamalar
    by Sevinc GULER & Berna TANER

  • 2008 An analysis of the efficiency of the foreign exchange market in Kenya
    by Sifunjo E. Kisaka & Wainaina Gituro & Pokhariyal Ganesh & Ngugi W. Rose

  • 2008 Stock craze: an empirical analysis of PER in Chinese equity market
    by Chen Xiang LIU & Mohamed El Hedi AROURI

  • 2008 Disclosure of mergers without regulatory restrictions: Insider trading in pre-1914 Germany
    by Gerhard Kling

  • 2007 The Chinese Bond Market: Historical Lessons, Present Challenges and Future Perspectives
    by Haizhou Huang & Ning Zhu

  • 2007 Only Twice As Much: A Rule for Regulating Lenders
    by Mandar Oak & Anand Swamy

  • 2007 Only Twice As Much: A Rule for Regulating Lenders
    by Mandar Oak & Anand Swamy

  • 2007 Government debts and credit markets in Renaissance Italy
    by Luciano Pezzolo

  • 2007 Central banks as agents of employment creation
    by Gerald Epstein

  • 2007 La reforma del sistema financiero argentino de 1977 como factor fundamental para la instauración del modelo económico neoliberal en la Argentina
    by Marongiu, Federico

  • 2007 The Paris Bourse and the international capital flows before 1914
    by Quennouëlle-Corre, Laure

  • 2007 Barriers in EU retail financial markets
    by Micuda, Dan

  • 2007 Financial Dependence and Firm Survival in Interwar Britain
    by David Chambers

  • 2007 Bank Failures in Theory and History: The Great Depression and Other "Contagious" Events
    by Charles W. Calomiris

  • 2007 Victory or Repudiation? The Probability of the Southern Confederacy Winning the Civil War
    by Marc D. Weidenmier & Kim Oosterlinck

  • 2007 The Baring Crisis and the Great Latin American Meltdown of the 1890s
    by Kris James Mitchener & Marc D. Weidenmier

  • 2007 Why Don't Inventors Patent?
    by Petra Moser

  • 2007 The Continental Dollar: How Much Was Really Issued?
    by Farley Grubb

  • 2007 Growing Up to Financial Stability
    by Michael D. Bordo

  • 2007 Fetters of Debt, Deposit, or Gold during the Great Depression? The International Propagation of the Banking Crisis of 1931
    by Gary Richardson & Patrick Van Horn

  • 2007 Occupational Choice and the Spirit of Capitalism
    by Matthias Doepke & Fabrizio Zilibotti

  • 2007 The Political Economy of Financial Regulation: Evidence from U.S. State Usury Laws in the 19th Century
    by Efraim Benmelech & Tobias J. Moskowitz

  • 2007 Microfinance in LDCs: multipurpose NGOs linkage models
    by Chiara SANSEVERINO

  • 2007 IMF concern for reputation and conditional lending failure: theory and empirics
    by Silvia Marchesi & Laura Sabani

  • 2007 Seeding new ventures - green thumbs and fertile fields: individual and environmental drivers of informal investment
    by Laszlo Szerb & Siri Terjesen & Gabor Rappai

  • 2007 Occupational Choice and the Spirit of Capitalism
    by Matthias Doepke & Fabrizio Zilibotti

  • 2007 Occupational Choice and the Spirit of Capitalism
    by Doepke, Matthias & Zilibotti, Fabrizio

  • 2007 Occupational Choice and the Spirit of Capitalism
    by Matthias Doepke & Fabrizio Zilibotti

  • 2007 Occupational Choice and the Spirit of Capitalism
    by Doepke, Matthias & Zilibotti, Fabrizio

  • 2007 Do We Need the IMF to Resolve a Crisis? Lessons from Past Episodes of Debt Restructuring
    by Philipp Maier

  • 2007 The Role of the Natural Resource Curse in Preventing Development in Politically Unstable Countries: Case Studies of Angola and Bolivia
    by Saraly Andrade & Joaquin Morales

  • 2007 Los pósitos en el siglo XIX: una red pública de microcrédito agrario (1800-1914)
    by Ángel Pascual Martínez Soto

  • 2007 Quantifying Moral Hazard: A Reply to Gary Richardson
    by Linda M. Hooks & Kenneth J. Robinson

  • 2007 Deposit Insurance and Moral Hazard: Capital, Risk, Malfeasance, and Mismanagement
    by Gary Richardson

  • 2007 Administración de Riesgos Cambiarios en una empresa importadora del Sector Agropecuario
    by Cecilia Ruiz Campoy & Julian Ferrer & Martha Ríos Manríquez

  • 2006 The Equity Premium Puzzle: Australia and the United States in Comparative Perspective
    by Ville, Simon

  • 2006 Independence Day for the “Old Lady? A Natural Experiment on the Implications of Central Bank Independence
    by Jagjit S. Chadha & Peter Macmillan & Charles Nolan

  • 2006 Making Financial Markets: Contract Enforcement and the Emergence of Tradable Assets in Late Medieval Europe
    by Lars Boerner & Albrecht Ritschl

  • 2006 Review of Huerta de Soto´s `Money, Bank Credit, and Economic Cycles´
    by van den Hauwe, Ludwig

  • 2006 Book review. The politics of Islamic finance edited by Clement M. Henry and Rodney Wilson
    by Islahi, Abdul Azim

  • 2006 A Comment Concerning Deposit Insurance and Moral Hazard
    by Gary Richardson

  • 2006 Bank Distress during the Great Depression: The Illiquidity-Insolvency Debate Revisited
    by Gary Richardson

  • 2006 Correspondent Clearing and the Banking Panics of the Great Depression
    by Gary Richardson

  • 2006 Quarterly Data on the Categories and Causes of Bank Distress During the Great Depression
    by Gary Richardson

  • 2006 Monetary Intervention Mitigated Banking Panics During the Great Depression: Quasi-Experimental Evidence from the Federal Reserve District Border in Mississippi, 1929 to 1933
    by Gary Richardson & William Troost

  • 2006 Financial Innovation for an Aging World
    by Olivia S. Mitchell & John Piggott & Michael Sherris & Shaun Yow

  • 2006 Competing With the NYSE
    by William O. Brown, Jr. & J. Harold Mulherin & Marc D. Weidenmier

  • 2006 Currency Mismatches, Default Risk, and Exchange Rate Depreciation: Evidence from the End of Bimetallism
    by Michael D. Bordo & Christopher M. Meissner & Marc D. Weidenmier

  • 2006 Bubbles and Busts: The 1990s in the Mirror of the 1920s
    by Eugene N. White

  • 2006 Are Prudential Supervision and Regulation Pillars of Financial Stability? Evidence from the Great Depression
    by Kris James Mitchener

  • 2006 Legal-Political Factors and the Historical Evolution of the Finance-Growth Link
    by Michael D. Bordo & Peter L. Rousseau

  • 2006 Capitalizing Patriotism: The Liberty Loans of World War I
    by Sung Won Kang & Hugh Rockoff

  • 2006 How bad is Divergence in the Euro-Zone? Lessons from the United States of America and Germany
    by Sebastian Dullien & Ulrich Fritsche

  • 2006 Historia del Banco de la República en Cali, y el establecimiento de los principales pilares bancarios en la ciudad a finales del siglo XIX e inicios del siglo XX
    by Jaime Andrés Collazos Rodríguez & Arley Barandica Villegas

  • 2006 Cambios en el negocio mundial corchero: un análisis a largo plazo de las exportaciones españolas (1849-2000)
    by Francisco Manuel Parejo Moruno

  • 2006 Il dibattito sul futuro del sistema finanziario italiano alla Assemblea Costituente
    by Michele Bagella

  • 2006 Jamaican Large Complex Financial Institutions (LCFI): Challenges for Public Policy
    by Peter W Jones

  • 2005 Instituciones, federalismo defensor de mercados y Estado de las Autonomías Un análisis de segunda generación
    by Caballero, Gonzalo

  • 2005 Un Análisis de cointegración con corrección de errores de las Fugas de Capital y la Inestabilidad Política en México , An econometric model of capital flight in Mexico
    by Alejandro Diaz-Bautista & Cesar Alfredo Olivas Andrade

  • 2005 Los Determinantes de la Inversión Extranjera de Cartera en México: Un Análisis de Corte Estructural, The determinants of foreign portfolio investment in Mexico
    by Alejandro Diaz-Bautista & Mario Alberto Rosas Chimal

  • 2005 Bank Supervision Russian style: Rules versus Enforcement and Tacit Objectives
    by Sophie Claeys, & Gleb Lanine & Koen Schoors

  • 2005 IMF concern for reputation and conditional lending failure: theory and empirics
    by Silvia Marchesi & Laura Sabani

  • 2005 Central Banks as Agents of Economic Development
    by Gerald Epstein

  • 2005 Bank Supervision Russian Style: Rules vs Enforcement and Tacit Objectives
    by S. CLAEYS & G. LANINE & K. SCHOORs

  • 2005 Raising Greece's Potential Output Growth
    by Vassiliki Koutsogeorgopoulou & Helmut Ziegelschmidt

  • 2005 The Role of Foreign Currency Debt in Financial Crises: 1880-1913 vs. 1972-1997
    by Michael D. Bordo & Christopher M. Meissner

  • 2005 Usury Ceilings, Relationships and Bank Lending Behavior: Evidence from Nineteenth Century
    by Howard Bodenhorn

  • 2005 Historical Financing of Small- and Medium-Sized Enterprises
    by Robert Cull & Lance E. Davis & Naomi R. Lamoreaux & Jean-Laurent Rosenthal

  • 2005 The Highest Price Ever: The Great NYSE Seat Sale of 1928-1929 and Capacity Constraints
    by Lance E. Davis & Larry Neal & Eugene N. White

  • 2005 Volatility in an Era of Reduced Uncertainty: Lessons from Pax Britannica
    by William O. Brown & Richard C. K. Burdekin & Marc D. Weidenmier

  • 2005 General Purpose Technologies
    by Boyan Jovanovic & Peter L. Rousseau

  • 2005 The Global History of Corporate Governance: An Introduction
    by Randall K. Morck & Lloyd Steier

  • 2005 Evolution des institutions financières et transition entre régimes d'accumulation : le cas de l'Argentine contemporaine
    by Célia Firmin

  • 2005 Financial Market Integration Over the Long Run: Is there a U-shape?
    by Vadym Volosovych

  • 2005 IMF concern for reputation and conditional lending failure: theory and empirics
    by Silvia Marchesi & Laura Sabani

  • 2005 The Role of Preconceived Ideas in Macroeconomic Policy: Japan's Experiences in the Two Deflationary Periods
    by Koichi Hamada & Asahi Noguchi

  • 2005 Trust: A Concept Too Many
    by Timothy W. Guinnane

  • 2005 IMF Concern for Reputation and Conditional Lending Failure: Theory and Empirics
    by Silvia Marchesi & Laura Sabani

  • 2005 Prolonged Use and Conditionality Failure: Investigating the IMF Responsibility
    by Silvia Marchesi & Laura Sabani

  • 2005 Bank Failures and Bank Fundamentals: A Comparative Analysis of Latin America and East Asia during the Nineties using Bank-Level Data
    by Marco Arena

  • 2004 Prohibitions on Punishments in Private Contracts
    by Andrew Newman & Philip Bond

  • 2004 China and the World Financial Markets 1870-1930:
    by WILLIAM N. GOETZMANN & ANDREY UKHOV & NING ZHU

  • 2004 A New Historical Database For The NYSE 1815 To 1925: Performance And Predictability
    by William N. Goetzmann & ROGER G. IBBOTSON & LIANG PENG

  • 2004 A Century of Global Stock Markets
    by William N. Goetzmann & Philippe Jorion

  • 2004 China and the World Financial Markets 1870-1930:Modern Lessons From Historical Globalization (Chinese Version)
    by WILLIAM N. GOETZMANN & ANDREY UKHOV & NING ZHU

  • 2004 Procesy konsolidacyjne. Raiders & targets w polskich instytucjach finansowych
    by Poteraj, Jarosław

  • 2004 Economic Development in the Middle East
    by Yochanan Shachmurove

  • 2004 Covered Interest Arbitrage: Then vs. Now
    by Ted Juhl & William Miles & Marc D. Weidenmier

  • 2004 Gunboats, Reputation, and Sovereign Repayment: Lessons from the Southern Confederacy
    by Marc Weidenmier

  • 2004 The Concept of Systematic Corruption in American Political and Economic History
    by John Joseph Wallis

  • 2004 Financing Invention During the Second Industrial Revolution: Cleveland, Ohio, 1870-1920
    by Naomi R. Lamoreaux & Margaret Levenstein & Kenneth L. Sokoloff

  • 2004 Charles Kindleberger
    by Edward J. Kane

  • 2004 Sovereign Debt and Repudiation: The Emerging-Market Debt Crisis in the U.S. States, 1839-1843
    by John Joseph Wallis & Richard E. Sylla & Arthur Grinath III

  • 2004 The History and Politics of Corporate Ownership in Sweden
    by Peter Hogfeldt

  • 2004 Bank Supervision, Regulation, and Instability During the Great Depression
    by Kris James Mitchener

  • 2004 What Does the Walrasian Auctioneer Know? (Or: The Relationship Between Technology Adoption and Financial Innovation.)
    by Ana Fernandes

  • 2004 LAW ENFORCEMENT UNDER INCOMPLETE LAW: Theory and Evidence from Financial Market Regulation
    by Katharina Pistor & Chenggang Xu

  • 2004 Do Rural Banks Matter? Evidence from the Indian Social Banking Experiment
    by Robin Burgess & Rohini Pande

  • 2004 Le Déclin Du Monde Musulman À Partir Du Moyen Âge : Une Revue Des Explications
    by Jacques BRASSEUL

  • 2004 A Brief History of the Czech Bond Market
    by Anna Dvoøáková

  • 2003 Issuing Policies In Currencies Denominated In Euros And Eurocents
    by Novak, Branko & Matić, Branko & Stjepanović, Slobodanka

  • 2003 Financial Markets of the Middle East and North Africa: The Past and Present
    by Yochanan Shachmurove

  • 2003 Prodigals and Projecture: An Economic History of Usury Laws in the United States from Colonial Times to 1900
    by Hugh Rockoff

  • 2003 Y a-t-il une théorie des marchés financiers ?
    by Jean-Pierre Galavielle

  • 2003 Do rural banks matter? evidence from the Indian social banking experiment
    by Robin Burgess & Rohini Pande

  • 2003 The Great Depression as a credit boom gone wrong
    by Barry Eichengreen & Kris Mitchener

  • 2003 Product Innovation and Population Dynamics in the German Insurance Market
    by Michael Menhart & Andreas Pyka & Bernd Ebersberger & Horst Hanusch

  • 2002 The Risk Premium Differential in Japanese-Era Taiwan and its Effect
    by Kelly B. Olds

  • 2002 Institutions and Impersonal Exchange: From Communal to Individual Responsibility
    by Avner Greif

  • 2002 Fractional Reserve Banking as Economic Parasitism: A Scientific, Mathematical & Historical Expose, Critique, and Manifesto
    by Vladimir Z. Nuri

  • 2002 Institutions, Financial Development, And Pathways Of Growth: The United States From 1900 To 1940
    by Rajeev Dehejia & Adriana Lleras-Muney

  • 2002 Expected Legal and Financial Effects of the Continuation of the Process of Privatization of the Housing Fund in the Republic of Croatia
    by Matić, Branko & Brekalo, Miljenko & Marijanović, Goran

  • 2002 Polskie instytucje finansowe: Kreacja rynków i procesy konsolidacyjne
    by Poteraj, Jarosław

  • 2002 Who Panics During Panics? Evidence from a Nineteenth Century Savings Bank
    by Cormac O Grada & Eugene N. White

  • 2002 The Impact of Financial Liberalisation Policies on Financial Development Evidence from Developing Economies
    by Philip Arestis & Panicos O. Demetriades & Bassam Fattouh & Kostas Mouratidis

  • 2002 Reflections on New Financial System in Japan: Participation Costs, Wealth Distribution,and Security Market-Based Intermediation
    by Kitamura, Yukinobu & Suto, Megumi & Teranishi, Juro

  • 2002 Law enforcement under incomplete law: theory and evidence from financial market regulation
    by Katharina Pistor & Cheng-Gang Xu

  • 2001 Normal versus Student in Measuring Value at Risk. An Empirical Bayesian Overview
    by Gonzalo GarcÃa-Donato, Pedro Gento and Juan Ortega, University of Castilla-La Mancha

  • 2001 The Origins of the Japanese Banking Panic of 1927
    by Myung Soo Cha

  • 2001 China and the World Financial Markets 1870-1930: Modern Lessons From Historical Globalization (Chinese Version)
    by William N. Goetzmann & Andrey Ukhov & Ning Zhu

  • 2001 Financial Systems, Economic Growth, and Globalization
    by Peter L. Rousseau & Richard Sylla

  • 2001 Mergers and Technological Change: 1885-1998
    by Boyan Jovanovic & Peter L. Rousseau

  • 2001 The Origins of the Modern Financial Revolution: Responses to Impediments from Church and State in Western Europe, 1200 - 1600
    by John H. Munro

  • 2001 Vintage Organization Capital
    by Boyan Jovanovic & Peter L. Rousseau

  • 2001 Short-Term Loans and Long-Term Relationships: Relationship Lending in Early America
    by Howard Bodenhorn

  • 2001 What Caused the Crisis of 1839?
    by John Joseph Wallis

  • 2001 Delegated Monitors, Large and Small: The Development of Germany's Banking System, 1800-1914
    by Timothy W. Guinnane

  • 2001 Financial Market Discipline in Early 20th Century Mexico
    by Elisabeth Huybens & Astrid Luce & Sangeeta Pratap

  • 2001 Indentured Migration in America's Great Basin: An Observation in Strategic Behavior in Cooperative Exchanges
    by Scott Alan Carson

  • 2000 Economic Tensions and Conflict in the Commonwealth 1945-c. 1951
    by Rooth, T.

  • 2000 Principals and Agents in Crisis: Reforms of Accounting and Audit at Lloyd's in 1982-6
    by Gwilliam, David & Macve, Richard & Meeks, Geoffrey

  • 2000 New development in the Japanese corporate governance in the 1990s - the role of corporate pension funds
    by Suto, Megumi

  • 2000 A New Historical Database For The NYSE 1815 To 1925: Performance And Predictability
    by William N. Goetzmann & Roger G. Ibbotson & Liang Peng

  • 2000 Wool and Wool-Based Textiles in the West European Economy, c.800 - 1500: Innovations and Traditions in Textile Products, Technology, and Industrial Organisation
    by John H. Munro

  • 2000 The West European Woollen Industries and their Struggles for International Markets, c.1000 - 1500
    by John H. Munro

  • 2000 The Changing Fortunes of Fairs in Medieval and Early Modern Europe: Warfare, Transaction Costs, and the 'New Institutional Economics'
    by John H. Munro

  • 2000 Causes of U.S. Bank Distress During the Depression
    by Charles W. Calomiris & Joseph R. Mason

  • 1999 The Monetary Origins of the Price Revolution' Before the Influx of Spanish-American Treasure: the South German Silver-Copper Trades, Merchant-Banking, and Venetian Commerce, 1470-1540
    by John H. Munro

  • 1999 California Banking in the Nineteenth Century: The Art and Method of the Bank of A. Levy
    by Eugene White

  • 1999 California Banking in the Nineteenth Century: The Art and Method of the Bank of A. Levy
    by Eugene N. White

  • 1999 Was Adherence to the Gold Standard a "Good Housekeeping Seal of Approval" During the Interwar Period?
    by Michael Bordo & Michael Edelstein

  • 1999 Detecting self-organisational change in economic processes exhibiting logistic growth
    by John Foster & Phillip Wild

  • 1998 Universal Banking in Historical Perspective
    by Richard Tilly

  • 1998 English 'Backwardness' and Financial Innovations in Commerce with the Low Countries, 14th to 16th centuries
    by John H. Munro

  • 1998 The Maze of Medieval Mint Metrology in Flanders, France and England: Determining the Weight of the Marc de Troyes and the Tower Pound from the Economics of Counterfeiting, 1388 - 1469
    by John H. Munro

  • 1998 The Asian model: a crisis foretold
    by Singh, Ajit & Weisse, Bruce

  • 1998 A Contracting-Theory Interpretation of the Origins of Federal Deposit Insurance
    by Edward J. Kane & Berry K. Wilson

  • 1998 Stability Without a Pact? Lessons from the European Gold Standard 1880-1914
    by Flandreau, Marc & Le Cacheux, Jacques & Zumer, Frédéric

  • 1997 Why Danish Credit Co-operatives were so unimportant
    by Timothy W. Guinnane & Ingrid Henriksen

  • 1997 Capital Imports and the Jacksonian Economy: A New View of the Balance of Payments
    by T. J. O. Dick & John E. Floyd

  • 1996 On limited liability and the development of capital markets: An historical analysis
    by Michael Smart

  • 1996 Catching up with the West: a perspective on Asian economic development
    by Singh, Ajit

  • 1996 The Demise of Double Liability as an Optimal Contract for Large-Bank Stockholders
    by Berry K. Wilson & Edward J. Kane

  • 1996 How Persistently do Firms Innovate?
    by Geroski, Paul A & Samiei, Hossein & Van Reenen, John

  • 1995 An Essay on the Emergence of the International Gold Standard, 1870-80
    by Flandreau, Marc

  • 1994 Institutions and Economic Growth: Europe After World War II
    by Eichengreen, Barry

  • 1994 French Post-war Growth: From (Indicative) Planning to (Administered) Market
    by Sicsic, Pierre & Wyplosz, Charles

  • 1993 Corporate-Finance Benefits from Universal Banking: Germany and the United States, 1870-1914
    by Charles W. Calomiris

  • 1993 Foreign Exchange Markets in Russia: Understanding the Reforms
    by Linda S. Goldberg

  • 1984 Using the Longitudinal Structure of Earnings to Estimate the Effect of Training Programs
    by Orley Ashenfelter & David Card

  • Vanishing Liquidity, Market Runs,and the Welfare Impact of TARP
    by Christian EWERHART

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